HomeMy WebLinkAboutFCS Agenda - 2024-11-18 - Operating Budget1
KITc�ivER
Finance and Corporate Services Committee
Agenda
Monday, November 18, 2024, 12:30 p.m. - 4:30 p.m.
Council Chambers - Hybrid
City of Kitchener
200 King Street W, Kitchener, ON N2G 4G7
People interested in providing input on the budget are welcome to register for the Finance and
Corporate Services Committee meeting (Public Budget meeting) scheduled for November 25, 2024.
For those individuals interested in participating in that meeting, please register online using the
delegation registration form at www.kitchener.ca/delegation or via email at delegation(a)kitchener.ca.
For those who are interested in providing input on the budget after the November 25, 2024 public
budget engagement meeting, individuals can submit written submissions to delegation @kitchener.ca.
Written comments received will be circulated prior to the meeting and will form part of the public
record.
The meeting live -stream and archived videos are available at www.kitchener.ca/watchnow.
*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.*
Chair: Councillor S. Davey
Vice -Chair: Councillor B. loannidis
Pages
1. Commencement
2. Disclosure of Pecuniary Interest and the General Nature Thereof
Members of Council and members of the City's local boards/committees are
required to file a written statement when they have a conflict of interest. If a
conflict is declared, please visit www. kitchener. ca/conflict to submit your written
form.
3. Discussion Items
3.1 2025 Operating Budget, FIN -2024-495 3
NOTE: Full budget material are anticipated to be published no later than
November 14, 2024 and can be found at.www.kitchener.calbu0ciet.
Final approval of the 2025 Operating Budget will take place as part of
Final Budget Day, scheduled for December 12, 2024.
3.1.a General Overview by the Chief Financial Officer
3.1.b.a Kitchener Public Library (KPL)
3.1.b.b Centre in the Square (CITS)
3.1.c Strategic Addition Discussion
3.1.d Tax Supported Operating Budget
3.1.e Enterprise Operating Budgets
3.1.e.a Building Enterprise Budget
3.1.e.b Golf Enterprise Budget
3.1.e.c Parking Enterprise Budget
3.1.e.d Utilities Overview - Water Utility, Sanitary Utility and
Stormwater Utility Budgets
3.1.e.e Gas Utility
4. Adjournment
Dianna Saunderson
Manager of CounciXommittee Services & Deputy Clerk
Page 2 of 4
StaffRepoit
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Financia( Services Department www.kitchener.ca
REPORT TO: Finance and Corporate Services Committee
DATE OF MEETING: November 18, 2024
SUBMITTED BY: Ryan Hagey, Director of Financial Planning & Asset Management,
519-741-2200 ext. 7353
PREPARED BY: Ryan Hagey, Director of Financial Planning & Asset Management,
519-741-2200 ext. 7353
WARD(S) INVOLVED: All
DATE OF REPORT: November 6, 2024
REPORT NO.: FIN -2024-495
SUBJECT: 2025 Operating Budget
RECOMMENDATION:
For discussion.
REPORT HIGHLIGHTS:
The purpose of this report is to introduce the 2025 operating budget for Council discussion.
This report supports the delivery of core services.
BACKGROUND:
The 2025 budget process includes a series of meetings to discuss and potentially make
amendments to the budget. Council has approved a schedule that includes meetings on the
following dates:
• November 18 — Operating Budget presentation by staff
• November 25 — Capital Budget presentation by staff
• December 5 — Mayor proposes the budget
• December 12 — Council votes on budget amendments/Mayor decides on amendment via
veto
REPORT:
The City's operating budget funds the ongoing day-to-day costs of providing the valued public
programs and services citizens use every day. Examples include recreational programming at
the City's parks and community centres, having drinkable water available at the turn of a tap,
and maintaining roads in a condition they are safe to drive on all seasons of the year.
Detailed budget information can be found on the City's budget website (kitchener.ca/budget)
by November 14tH
STRATEGIC PLAN ALIGNMENT:
This report supports the delivery of core services.
*** This information is available in accessible formats upon request. ***
Please call 519-741-2345 or TTY 1-866-969-9994 for assistance.
Page 3 of 4
FINANCIAL IMPLICATIONS:
Financial impacts of the 2025 budget are outlined in the detailed budget information.
COMMUNITY ENGAGEMENT:
INFORM — This report has been posted to the City's website with the agenda in advance of
the council / committee meeting.
PREVIOUS REPORTS/AUTHORITIES:
• FIN -2024-285 2025 Budget Process and Timelines
APPROVED BY: Jonathan Lautenbach, Chief Financial Officer, Financial Services
Page 4 of 4
1
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2025 BUDGET SUM MARY
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CITY OF KITCHENER
2025 BUDGET SUMMARY
KITCHENER.CA/BUDGET
2025 BUDGET SUMMARY
Table of Contents
Budget at a Glance...........................................................3
Budget Highlights............................................................5
About Kitchener.............................................................7
City Governance.............................................................9
General Overview..........................................................
10
Economic Considerations..................................................
15
The Budget Process........................................................
16
Services Overview.........................................................
19
Tax Supported Operating Budget ..........................................
21
Delivering City Services ...............................................
22
Investing in Infrastructure ............................................
24
Advancing Strategic Priorities ........................................
25
Revenues..............................................................
27
Enterprise Budget Overview ...............................................
30
Utilities Overview..........................................................
37
Capital Budget Overview ..................................................
49
Debt...................................................................
53
Reserve and Reserve Funds ...........................................
54
3
2025 CITY OF KITCHENER
Budget at a Glance
Rate Increases and Impact on Homeowner:
The rate increases included in the budget and the estimated impact on the
average homeowner are shown in the table below. Please note that there may be
some differences in calculations due to rounding.
BASIS FOR HOW THE IMPACT
IS CALCULATED
Total Impact
CITY OF KITCHENER BUDGET SUMMARY
Key Budget Highlights
Gross operating expenditures (excluding enterprises): $275,546,378
Gross operating expenditures (including enterprises): $559,422,365
Net tax levy: $164,944,637
Assessment growth (estimated): 1.75%
2025 capital budget: $290,448,000
2025 -203410 -Year capital budget and forecast: $1,866,629,000
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2025 CITY OF KITCHENER
Budget Highlights
The City of Kitchener's budget is made up of four components: tax -supported
operating, enterprise operating, utilities and capital.
The City's 2025 budget represents a combined annual increase of $131 for the
average household, based on the average assessed value of $326,000 and an
estimated water consumption of 170m3.
The City's operating budget delivers around 50 services to the community
including things like snow clearing, recreational programming, and fire
suppression.
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY
The capital budget includes more than 470 projects with a total cost of
$1.9 billion over 10 years, with $290 million of spending in the first year. This
includes meaningful investments in areas that are important to the citizens of
Kitchener, such as:
Kitchener Indoor Recreation Complex ($94M in 2025,$144M overall)
Mill Courtland Community Centre ($2M in 2025,$8.5M overall)
Centreville Chicopee Community Centre ($2M in 2025)
Downtown Fire Hall ($3.7M in 2025,$15M overall)
New Neighbourhood Parks ($2M in 2025,$21.6M overall)
Strasburg Road South & Watermain Extension ($8.7M in 2025,$18.1M
overall)
Otterbein Sewage Pumping Station Upgrades ($8.2M in 2025, $9.1M
overall)
Full Road Reconstruction Projects ($39M in 2025)
Middle Strasburg Creek Naturalization ($4.8M in 2025, $14.5M overall)
0
150
major facilities
4
winter rinks
.
01
827 km
of sanitary sewers
0
37
soccer fields
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60,000+
street & park trees
19
64
baseball diamonds
Goo
24,000 2,000 km 4,275
ice hours of maintained roads water hydrants
19
2,800
sidewalk repairs
0
616 km
of storm sewers
a
3,593
parking spaces
K I T C H E N E R. C A/ B U D G E T
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A PROGRESSIVE CITY.
About Kitchener
The city of Kitchener is situated on the traditional territory of the Neutral,
Anishinaabeg and Haudenosaunee Peoples. We recognize our responsibility
to serve as stewards for the land and honour the original caretakers who came
before us. Our community is enriched by the enduring knowledge and deep-
rooted traditions of the diverse First Nations, Metis and Inuit in Kitchener today.
Kitchener is an innovative, caring and vibrant city. It's a place for everyone. It's a
place where people come from across Canada and the world to put down roots.
They're joining vibrant neighbourhood communities and enriching them with
new businesses, cultures to celebrate and innovative ideas to share. It's a place
where people have a passion for citybuilding - they're inspired by what Kitchener
is becoming and they want to be a part of its vibrant future. By embracing new
people and perspectives, Kitchener has always been on the cutting edge.
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY
When Kitchener tries something new, the world follows. We're the anchor of
Canada's Innovation Corridor, and our startup density is second only to Silicon
Valley. We're the fastest growing startup ecosystem in Canada, creating 30,000
tech jobs in the past 20 years.
With a population of approximately 300,000 people, Kitchener is the urban
centre of the region. We're connected to the City of Waterloo and part of the
Region of Waterloo. The region's post -secondary school system is the core of our
tech industry, and with 100,000 students in the region there are new ideas and
newer skillsets available every day. This new talent feeds into the world's largest
free startup incubator Velocity, located in the Communitech Hub.
Kitchener is a city where
beautiful brick factories have been
transformed into condos that flank
a modern light rail system. It's a
city where you can find established,
CITY OF KITCHENER WARD MAP: 8
tree -lined neighbourhoods as well _003061 01 N
as brand-new neighbourhoods 'X7
creating their own sense of
a/
community.
No matter who you are or where
you come from, you belong in
Kitchener.
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2025 CITY OF KITCHENER
City Governance
The City of Kitchener is governed by an elected Mayor and 10
elected City Councillors. Each City Councillor represents one of
ten geographic wards. City Council is responsible for the overall
governance of the Corporation of the City of Kitchener through
approving policies, master plans and strategies.
On July 1, 2023 the Ontario government provided strong mayor
powers to 26 municipalities, including Kitchener. As part of
this legislation, Kitchener's mayor is responsible for proposing
the municipal budget. At the Mayor's direction, City staff have
prepared a draft budget for consideration by Council which
has been informed by Council and community priorities and in
alignmentwith the city's approved financial guidelines and policies.
The City of Kitchener is structured administratively around
five departments, led by the Chief Administrative Officer
(CAO). The departments that deliver City services include:
Community Services Department (CSD), Corporate Services
Department (COR), Development Services Department (DSD),
Financial Services Department (FIN) and Infrastructure Services
Department (INS).
CITY OF KITCHENER 1 2 0 2 5 BUDGET SUMMARY
City Council left to right, front row to back row: Ward 3 Councillor: Jason Den eau It, Ward 8 Councillor: Margaret Johnston,
Mayor: Barry Vrbanovic, Ward 4 Councillor: Christine Michaud, Ward 6 Councillor: Paul Singh Ward 1 Councillor: Scott Davey,
Ward 10 Councillor: Stephanie Stretch, Ward 5 Councillor: Ayo Owodunni, Ward 2 Councillor: Dave Schnider, Ward 7 Councillor: Bil loannidis,
Ward 9Councillor: Debbie Chapman
2025 CITY OF KITCHENER
General Overview
Introduction:
Each year staff prepare an annual operating budget and 10 -year capital forecast for Council's consideration. The
annual budget helps identify the spending plans and priorities for the municipality for the upcoming year and is
informed by the City's strategic plan, various master plans, and feedback from the community.
The 2025 budget continues to build on previous years, addressing priorities that are important for the residents
of Kitchener. The themes for this year's budget are summarized under three priority areas: Delivering City
Services, Investing in Infrastructure, and Advancing Strategic Priorities.
Delivering City Services:
The 2025 Operating Budget has been prepared using the previous year's budget as a starting point, with the goal of
maintaining the programs and services that Kitchener residents and businesses rely on. These base services, often
referred to as core services, are delivered efficiently through a five -department structure and include activities
such as fire protection, park maintenance, snow clearing, recreational programming and many others.
The City follows a robust internal budget review process, which includes setting budget targets that departments
are require to achieve. This ensures that what's proposed by staff each year in the operating budget for Council
consideration is only what's viewed as necessary to support the delivery of City services for the upcoming year.
Following this approach has resulted in a proposed budget that maintains existingservice levels, while at the same
time, responds to increased pressures related to providing program and services for a growing community.
After an extended period of high inflation and high interest rates, the economy
is showing signs of slowing down. This has prompted the Bank of Canada to start
cutting interest rates in 2024 and this trend is expected to continue into 2025.
The leveling of inflation and reduction in interest rates is an encouraging sign
for many who have been struggling to keep pace with rising costs of goods and
services. Municipalities have also experienced higher increases in costs over
the past few years, but even with these pressures, staff have always tried to find
the right balance between the cost to deliver valued programs and services for
the residents, while carefully considering the financial impact of any proposed
property tax increase that's required to support the delivery of those services.
For the past fewyears, the City has used a two-year inflation average as a
benchmark to assess whether the proposed property tax increase is reasonable.
The 2025 budget contemplates an increase of 3.9%, which is in line the two-
year inflation average (3.2%) for Ontario. The slightly higher proposed increase
compared to the benchmark is due to growth -related pressures that in 2025
exceeds assessment growth, which is slightly lower compared to previous years.
One of the main growth pressures in 2025 is the opening of the new southwest
library branch that will service the growing population in that part of the City.
Operating costs for the new branch alone represent approximately a 0.75% tax
rate impact for 2025.
By taking a responsible approach when preparing the annual operating budget,
Kitchener's been able to consistently deliver property tax increases that have been
below the rate of inflation over the past 5 years (cumulative tax rate increases vs
CPI shown in the graph illustrated here).
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY
Kitchener's track record in delivering low property tax rate increases for residents
isn't something that all municipalities in Ontario have been able to achieve. The
City's commitment to considering affordability as part of budget and rate setting
process, should give Kitchener residents confidence that they are getting good
value for the services the City provides.
Investing in Infrastructure:
The City owns and is responsible for maintaining approximately $1013 worth of
assets. These include hard infrastructure such as roads and bridges; underground
infrastructure related to water, wastewater, and stormwater; and community-based
infrastructure such as facilities, parks & open spaces, and forestry.
Having sufficient fundingfor asset replacement is a challenge that all municipalities
across Canada are facing. Most of Kitchener's infrastructure was built after the
1950s as the City experienced extensive population growth. This growth put more
demands on the need for infrastructure and associated City services without the
funding tools available at the municipal level to adequately address future asset
replacement needs. As assets reach their end of life, significant capital investment is
needed to replace existing infrastructure.
The City's capital budget identifies the infrastructure that is planned to be replaced
over the next 10 years. Although the City's planned investment over 10 years is
significant, it's still not enough to address all of the City's infrastructure replacement
needs. Despite these challenges, the City has been proactive in trying to address its
infrastructure funding needs, including launching the Water Infrastructure Program
(WI P) in 2017 to fund replacement of underground infrastructure (Water, Sanitary
and Storm.) By moving to a more predictable rate model through the WIP program,
the City has been able to fund approximately $400M in capital infrastructure
replacements since the program was established. The City is currently in the second
year of the most recently approved 2024-2027 WI P program, which will continue to
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funding for facility infrastructure has been increased by approximately $5M per
year since 2019 and facilities continue to be a significant funding priority within
the Capital Budget. In 2025, an additional $6M from reserves has been allocated
to support facility repairs and rehabilitation. This includes $1.4M being allocated
from the City's energy retrofit reserve, which was established to ensure the City
is replacing components in facilities with smart energy efficient solutions. This
approach will help to reduce the City's overall facility operating costs over time,
while also supporting required action to move towards a more sustainable, low -
carbon future.
Besides the City's own efforts and strategies to try and address capital funding
needs, staff have also pursued federal and provincial grant opportunities,
successfully securing over $200M in federal and provincial funding over the past
five years. It's important for the City to continue to be proactive in this space,
ensuring that funding opportunities are fully explored, including continuing with
advocacy efforts for additional infrastructure funding since this represents the
most significant funding challenges that municipalities face moving forward.
In addition to the rehabilitation of existing infrastructure, the City also needs
to provide new infrastructure to support a growing community. This new
infrastructure is funded through development charges and not through property
taxes, maintaining the concept that growth should pay for growth. As the City
continues to expand, particularly in the southwest area of the City, new amenities
are needed to support recreational needs. This include $16M for the construction
of a new library branch in southwest Kitchener, $6M for the Rosenburg Community
see the City make progress in addressing critical core infrastructure needs.
Centre, and a $144M for the Kitchener Indoor Recreation Facility that will be
In addition to the WI program, a detailed review of facilities was completed in 2019 located at Schlegel Park and will include an indoor pool, FIFA sized soccer facility,
that resulted in allocating a greater amount of funding towards facilities. Annual and provide other important gathering space for residents and the community.
K I T C H E N E R. C A/ B U D G E T
Advancing Strategic Priorities:
The City is in the second year of implementation of its 2023-2026 Strategic Plan. The 2025 Budget continues to build on investments made through last year's budget
process, with funding allocated within the budget to support actions identified under the five goal areas within the Strategic Plan including:
® Building a Connected City Together
Cultivating a Green City Together
Creating an Economically -Thriving City Together
Fostering a Caring City Together
s Stewarding a Better City Together
Extensive engagement took place to develop the Strategic Plan that included a
new 20 -year vision for Kitchener: Building a city for everyone where, together,
we take care of the world around us - and each other. Engagement included
completing a statistically valid survey and the involvement of a demographically
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY
representative resident panel, that helped validate and confirm priorities and
actions that are included in the City's Strategic Plan.
The 2025 Budget highlights approximately $75M in funding that will help to
advance strategic priorities. This includes $56M in Federal and Provincial funding
that the City has received to advance housing initiatives. Investments included
in this year's budget will build on progress made in the previous year and are
needed to implement key priorities and commitments included in the 2023-2026
Strategic Plan. In addition to these investments, staff have left an additional
$11VI in one-time capital funding available and unallocated to give Council some
flexibility, should there be additional priorities they wish to advance as part of the
2025 Budget.
In Summary:: The 2025 Budget
addresses a number of priorities,
from delivering city services
that residents and businesses
rely on every day, to investing in
infrastructure to address the City's
asset replacement and growth -
related needs, to providing funding
to implement the City's 2023-
2026 Strategic Plan that will help
shape Kitchener's future. All of
these priority areas are important
and have been accommodated by
carefully preparing a budget to meet
the service expectations of citizens
while at the same time balancing the
need for reasonable rate increases.
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2025 CITY OF KITCHENER
Economic Considerations
The Consumer Price Index (CPI) represents the change in prices experienced
by Canadian consumer. Ontario's monthly inflation rate dropped below 2% in
September 2024 for the first time since February 2021. The 1.9% in September
brought down the 2025 year-to-date CPI figure to 2.5%, which is in line with
forecasts for the year.
After CPI hit a 40 -year high of 7.9% in June 2022, the Bank of Canada raised
interest rates 10 times in 2022 and 2023 to curb the rate of inflation. With
weakening inflation rates the central bank has delivered several rate cuts since
June 2024, taking its policy rate to 3.75% with additional reductions expected
over the next few month.
Capital costs are still increasing more than CPI inflation, but price increases for
construction projects have slowed considerably from recent times that saw 30%
jumps in costs from year to year.
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY
CURRENT ECONOMIC
@
/Q
INFLATION
INTEREST
FUEL
CAPITAL
HOUSING
PATES
COST
COSTS
ESCALATION
...........................................................................................................................................
2.5%
3.75%
$1.58/L
3.9%
$694K
Average fuel price 2024
Average home price 2024
UNDERSTANDING
The Budget Process
The annual budget advances the City of Kitchener's values and priorities, which
are developed through a long process of listening to the broader community
16
While keeping tax rate increases around the rate of inflation is an important
factor to take into account when setting the budget, it is not the only
through various public engagement opportunities such as the strategic planning consideration. The City of Kitchener has considered a number of factors, such as:
process and through the development of various master plans.
In the first quarter of 2024, budget direction was developed by the Financial
Planning team. Budget targets were established using the Council -endorsed
inflation policy. The City's policy is to forecast costs using a two-year inflationary
average, which means that we are gradually accommodating the cost increases
associated with rising inflation rates.
Comparison to other municipalities
Inflationary factors specific to municipalities
Balance of service levels versus rate increases
Recent operating budget results
The timeline below reflects the new legislation for the Strong Mayor powers and
its impact on the budget approval process.
K I T C H E N E R. C A/ B U D G E T
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MAY -JUNE
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get direction
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K I T C H E N E R. C A/ B U D G E T
Comparison To Other Municipalities:
The City of Kitchener has one of the lowest total municipal burdens (taxes +
water charges + sewer charges) of large cities in Ontario. The graph below shows
the most recent results of an analysis conducted annually by BMA Management
Consulting Inc. Kitchener ($5,165) holds the seventh lowest ranking in the
province and is well below the average ($5,838).
Even comparing locally Kitchener has the lowest overall municipal burden of all
the cities in the Region. Again, this points to Kitchener being a comparatively
affordable city in which to live.
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CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY
Inflationary Factors Unique to Municipalities:
As part of the Long -Term Financial Plan (LTFP), Council endorsed a multi-year
inflation figure when setting the budget. This inflation figure blends the prior
year's Consumer Price Index (CPI) figure and the current year-to-date CPI figure.
Using a multi-year figure helps smooth out dramatic changes in inflation.
For the 2025 budget, the two-year average of CPI inflation is 3.2%. The tax
rate increase of 3.9% is above the average, but accommodates strategic priority
investments and the growth pressures on City services as the local population
continues to increase.
The figures for this year's budget are shown in the graph below:
6.0%
5.0%
4.0% --
2.0%
1.0%
0.0%
Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec
.-- -2023 -410-2024 — —2 -Year Average Tabled Budget
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Balance Of Service Levels vs Rate Increases:
Recent Operating Budget Results:
The City of Kitchener has been able to keep annual tax rate increases at or below
One final, but important consideration is how the City has performed financially
the rate of inflation for the past 10 years through efficient and effective delivery
in prior years. The City compares actuals to budget through variance reporting
of services. As citizen expectations continue to increase related to the level of
three times per year in June, September, and December. These projections help
service that the City provides, it will become more challenging for the City to
to form the next year's budget.
continue this trend.
Prior to the pandemic, Kitchener had established a strong record of regularly
Generational shifts in the community are putting more demands on services.
ending the year with a small operating surplus. This indicated the budgets
Customer service expectations related to online services are high, but traditional
established were sufficient to deliver the services included in the budget.
methods of interacting, communicating, and doing business with the City are
During the pandemic (2020-2022) when various restrictions were in place, City
still expected by many. Ensuring services are accessible for all is an important
consideration, and this goal involves additional service delivery costs.
The built environment in the City is in a stage of transition, with a greater
emphasis on intensification, changing the landscape of the City - particularly in
the downtown core. This urbanization is attracting new businesses and residents
but also brings with it new demands for services such as cycling infrastructure,
community parks, trails and arts and culture amenities.
Neighbourhoods are also changing, with a greater demand for closer and
connected communities. Citizens are raising the bar in terms of how they would
like to see budget dollars spent.
operations ended the year in deficits. In 2023, the City ended the year with
an operating surplus and is projecting to end 2024 with a surplus as well. The
year-end projections have been included in the Tax Supported Operating Budget
Details by Division as an appendix.
K I T C H E N E R. C A/ B U D G E T
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CITY VERSUS REGIONAL
Services Overview
In addition to federal and provincial services, Kitchener residents and businesses receive services from two levels of
municipal government: the City of Kitchener and the Region of Waterloo.
a
PUBLIC HEALTH AND
SOCIAL SERVICES:
Harm reduction and
affordable housing.
0
REGIONAL POLICING
AND EMERGENCY
RESPONSE:
Paramedic and policing
services.
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY
0
WASTE MANAGEMENT
AND WATER
TREATMENT:
Waste collection,
water treatment
and wastewater
management.
REGIONAL
TRANSPORTATION:
Waterloo Regional
International Airport,
Grand River Transit, ION
and regional roads.
BUDGET BREAKDOWN
The City's portion of the tax bill is
30%, with the Region of Waterloo
and local school board portions
making up the remainder.
• School Boards ...........................12
• City of Kitchener ..................... 30%
• Region of Waterloo.................58%
PARKS
AND GREENSPACE
in mil
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RECREATION AND
COMMUNITY CENTRES:
6A
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TRANSPORTATION AND
TRAFFIC:
Maintenance and plantings Facilities and programming Caring for our roads so
throughout parks. so everyone has a space to residents can travel safely
play.
n
EVENTS FIRE
AND CULTURE: SERVICES:
Celebrating our community Keeping our homes and
with events and festivals. communities safe from fires.
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OVERVIEW OF THE
Tax Supported Operating Budget
The 2025 net tax levy increase is 3.9% and would amount to an additional $49
per year, or $4 per month for the average Kitchener home (assessed at
$326,000). The 2025 budget contemplates an increase of 3.9%, which is in line
the two-year inflation average (3.2%) for Ontario. The slightly higher proposed
increase compared to the benchmark, is due to growth -related pressures that in
2025 exceeds assessment growth, which is lower compared to previous years.
• Base Budget • Revenues
• Growth/Strategic Priorities Assessment Growth
--------------------------
r r
3.9%TAX INCREASE
--------------- ---
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY
One of the main growth pressures in 2025 is the opening of the new southwest
library branch that will service the growing population in southwest Kitchener.
The City's $276 million tax supported operating budget helps to deliver around
50 core services for Kitchener residents. The operating budget expenditures are
made up of the following major components:
• Salaries & Wages ...................59%
• Debt Charges .............................2%
• Materials...................................12%
• Contracted Services................3%
• Boards & Grants ........................
8%
Capital Reserves .......................
7%
Interdivisional Charges ..........
9%
The 2025 budget is all about addressing your priorities. The three priorities are:
delivering city services, investing in infrastructure and advancing strategic priorities
Delivering City Services
Staff have prepared a budget that maintains current service levels while balancing
the need for reasonable rate increases. The base budget which supports the City's
core services make up the majority of the tax rate increase.
• Delivering
City Services ........................ +3.1%
• Advancing Strategic
Priorities/Growth .............. +2.5%
• Assessment
Growth ...................................1.75%
Total
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Adescription of some of the significant base budget items pertaining
to the tax rate increase.
Salaries And Wages:
Total compensation makes up the largest portion of the operating budget
representing 59% of the City's expenses, which is consistent with most
municipalities. To deliver municipal services to approximately 300,000 residents
requires a dedicated workforce committed to serving the community. The City's
full-time and part-time staff help keep the City running and are represented by the
Debt, Capital & Reserves:
Interest on long term debt and capital reserve contributions increased by $252k
and $317k respectively in 2025. This increase will be used to help fund projects in
the City's Capital Budget.
following bargaining groups: The Canadian Union of Public Employees (CUPE 791, Materials, Contracted Services & Other:
CUPE 68 and CUPE 68M), the Kitchener Professional Fire Fighters Association of
Inflationary pressures are beingfelt across all divisions for these budget lines with
Canada (KPFFA), International Alliance of Theatrical Stage Employees (IATSE) and
significant impacts in computer software costs of $266k and contracted services of
the International Brotherhood of Electrical Workers (IBEW). In addition to these
$448k.
bargaining groups the Cityemploys non -unionized staff.
The total wage increase in 2025 reflect the collective bargaining agreements with
most unions. The collective agreements between the City of Kitchener and CUPE
791 and IBEW will expire in 2025, therefore the increases reflect anticipated
budgetary needs.
The City's positive relations with the various bargaining groups have resulted in fair
wages for staff while maintaining reasonable costs for rate payers.
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY
Boards and Grants:
Boards and Grants include the Centre in the Square (CITS) and the Kitchener Public
Library (KPL). As per the City's guideline when establishing 2025 budget targets,
the operating grants for both CITS and KPL increased by 2.6% resulting in an
increase of $54k and $330k respectively. Additionally, the KPL received $1.181M
in growth funding towards the operating costs of the new South -end Branch.
Investing in Infrastructure
The City owns and is responsible for maintaining approximately $9.813 worth of
assets; including hard infrastructure such as roads and bridges; underground
infrastructure related to water, wastewater, and storm water; and community-
based infrastructure such as facilities, parks and open spaces, and urban forest.
Sufficient funding for asset replacement is a challenge for municipalities all
across Canada are faced with. As assets reach their end of life, significant capital
investment is required to replace existing infrastructure.
The City has developed asset management plans (AMPS) which will help identify
the the areas of greatest need and the expected service levels in those areas
to comply with O.Reg 588/17 Asset Management Planning for Municipal
Infrastructure.
Asset Valuation:
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The 2025 Budget continues to make investments in infrastructure a priority.
This builds on previous progress made towards revitalizing assets through
comprehensive programs like the Water Infrastructure Program (WI P) and the
Facilities Infrastructure Program (FIP).
In addition to existing infrastructure, the City must also build new assets for
its growing population. Significant investments in roads, water, and sewer are
being made to ensure new housing stock can be built in Kitchener. As well, new
community amenities like the Kitchener Indoor Recreation Complex (KIRC),
southwest library branch, and Rosenberg Community Centre are being added in
developing areas of the city.
• Water Utility ...........................17
• Gas Utility.................................16
• Sanitary Utility.......................11%
Stormwater Utility................12%
• Roads & Bridges.....................20%
Facilities.....................................20
Other.............................................4
Total Replacement Value ($9.813)
Water Utility .............................. $1.70B
Gas Utility ................................... $1.55B
Facilities ....................................... $1.95B
Sanitary Utility ......................... $1.06B
Roads & Bridges ....................... $1.93B
Stormwater Utility..................$1.20B
Other ........................................... $440M
K I T C H E N E R. C A/ B U D G E T
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Advancing Strategic Priorities
The City is in the second year of implementation of its 2023-2026 Strategic Plan. The 2025 Budget continues to build on investments made through last year's budget
process, advancing actions identified under the five goal areas within the Strategic Plan. The 2025 budget includes $75M of investments as outlined below. In addition
to these investments, an additional $1M in one-time capital funding is available and unallocated to give Council some flexibility, should there be additional priorities
they wish to advance as part of the 2025 Budget.
Building a Connected
City Together
• $42M from the Federal
Housing Accelerator Fund
tosupport the continued
implementation of Housing
for AI I
• $14M from the Provincial
Building Faster Fund to
support the continued
implementation of Housing
for AI I
• $75Oktosupport the official
plan comprehensive update
Cultivating a Green City
Together
• $8.6M towards advancing
actions in the parks
masterplan, including
network improvements,
Upper Canada Park and
McLennan Park
•
$2.3M for energy
efficiency investments in
facilities through HVAC
replacements, supporting
goals of the Corporate
Climate Action Plan 2.0
• $1.3M towards
implementation of the City's
tree canopy plan
• $8OOkfor green fleet
improvements including
the replacement of 3 ice
resurfacers to electric
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY
Creating an
Economically Thriving
City Together
•
$780kin operating and
capital funding to support
the activation of the
Conrad Centre
• $2OOktosupport more
community events
Fostering a Caring City
Together
• $15Okfor expanded hours
at community centres
(additional sites)
• $1OOk to increase spots in
summer camps for youth
• $150kforthedevelopment
of outdoor pool strategy
Stewarding a Better City
Together
•
$2.75M towards the
replacement and
modernization of the City's
HR and payroll system
• $5OOktowards future
proofing the City's digital
services
• $275k for the replacement
of the City's customer
relationship management
software
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Revenues
The city collects revenues through property taxes, user fees and other sources
to pay for the approximately 50 core services and programs it offers to the
residents of Kitchener.
It's very important to know that provincial government legislation in Ontario
states that "municipalities must pass balanced budgets where the money coming
in equals the money going out."
• Taxes
61%
• User Fees..................................11
• Grants...........................................3
Transfers......................................6
• Other Income .............................6
Interdivisional
Recoveries................................13
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY
Property Taxes:
The main source of revenue for Kitchener is through the billing and collection
of property taxes which account for 61% of the city's revenue at approximately
$170M. The Municipal Property Assessment Corporation is responsible for
assessing and classifying properties. The City is responsible for setting tax
rates and collecting property taxes based on the assessed value and class of the
property. Property classes are assigned based on their intended use and different
tax rate is applied based on class. The majority of the City's assessment base is
made up of residential properties, which is in line with the overall assessment mix
of other communities.
User Fees:
User fee charges are one of the principal funding mechanisms for a range of
municipal services. Examples include swimming lessons, site plan approvals, and
business licenses. These fees are an efficient revenue source since they allow the
City to pay for a service by directly charging those who use it. The City's user fee
charges make up 11% of the City's revenues and amount to $30M. The User Fees
Schedule is included as an appendix.
Assessment Growth:
Assessment growth is new property tax revenue caused by changes to the
makeup of the City. This can be from new properties being built, or from existing
properties being redeveloped or expanded.
The additional tax revenue generated through assessment growth helps offset
the costs of providing tax supported services to the community. For 2025
estimated assessment growth is 1.75%, which is not enough to cover all the
growth related costs in the budget.
3.00%
2.50%
2.00%
1.50%
1.00%
0.50%
0.00%
2019 2020 2021 2022 2023 2024 2025
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2025 CITY OF KITCHENER
Enterprise Budget Overview
In addition to tax -supported services, the city also operates seven business lines Building, Water, Sanitary Sewer and Stormwater are not allowed to pay a
(enterprises) that are funded by their own user rates and not from property dividend to the city based on their governing legislation. While each of the
taxes. These services are:
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BUILDING
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enterprises is managed separately as its own business line, one significant
principle is followed by each of the enterprises; financial sustainability. Each
enterprise has its own stabilization reserve fund that is used to manage
P 0fluctuations in financial operating results from year to year. In years that end
0 0
with positive results, the surplus funds are held in reserve and are used to fund
PARKING NATURAL GAS deficits from unexpected circumstances such as the pandemic.
Goo
WATER SANITARYSEWER STORMWATER
Each enterprise charges customers fees or utility rates that fully cover the costs
of providing the service, so no tax dollars are needed to fund these services. In
fact, two of the enterprises (parking and natural gas) pay a dividend to the city
(the enterprise owner), which help offset the need for property tax increases.
K I T C H E N E R. C A/ B U D G E T
Building Enterprise Overview
Operating Model And Philosophy:
The Building enterprise is responsible for the administration and enforcement of the
Building Code Act and Building Code. The Building Enterprise ensures that construction in
Kitchener meets the minimum requirements prescribed in the Building Code
CITY OF KITCHENER 1 2 0 2 5 BUDGET SUMMARY
Services Provided:
The Building Enterprise provides most of its services to external customers,
largely related to building permits and on-site inspections. Building also
administers the final grading approvals for low-rise residential buildings.
The following chart includes the 2025-2029 Building forecast (000's):
� Core Revenue Operating Expenses
� Transfer to Capital • Net Revenue (Expense)
$10,000
$8,000
$6,000
$4,000
$2,000
$-
$(2,000) 2026 60 2027 2028 2029
aw
$(4,000)
$(6,000)
$(8,000)
Note: Detailed Building projections are included in the appendices.
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Recent Challenges:
Higher interest rates have led to higher mortgage rates. This has caused an
overall slow down in the construction and permit sector.
As reported last year, Building staff continue to deal with incomplete and
uncoordinated construction drawings on permit submissions. This leads to
increased complaints and longer processing times. Staff have met with customers
to get a better understanding of the root causes and will continue to monitor.
The pilot project of new software for customers to schedule their own inspections
still needs some work and will be be retested in 2025.
Recent Successes:
To promote communication and information sharing with our external customers,
Building staff have shared 15+ bulletins and notices. One of the industry Bulletins
highlights the new 2024 Building Code, which takes effect January 1, 2025.
Building staff are in the process of learning the 2400+ code changes. Building
staff will provide in-person and virtual presentations of the key code changes.
This will be presented in November 2024 at no cost to the industry. Given the
large number of code changes, two separate presentations are planned: low rise
residential and everything else. Work is also progressing on the Accelerating
Commercial Business Approvals.
K I T C H E N E R. C A/ B U D G E T
Golf Enterprise Overview
Operating Model And Philosophy:
Kitchener Golf manages two golf courses - Doon Valley and Rockway,
offering options for players of every level of the game while providing an
affordable golf experience for all.
CITY OF KITCHENER 1 2 0 2 5 BUDGET SUMMARY
Services Provided:
Kitchener Golf operates its facilities from dawn to dusk, seven days a week
during the golf season (April -November, weather permitting). Kitchener Golf
offers recreational golf, camps, clinics, leagues, tournaments, and events. In the
off-season, the facilities are used for special occasions and winter activities like
walking, snowshoeing, and cross-country skiing.
The following chart includes the 2025-2029 Golf forecast (000's):
� Core Revenue Operating Expense
� Debt Charges Other Revenue
� Transfer to Capital Net Revenue (Expense)
Transfer to Golf Cart Reserve
5000
4000 -
3000
2000
1000
0
2025 2026 2027 2028 2029
-1000
-2000
-3000
-4000
Note: Detailed Golf projections are included in the appendices.
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Recent Challenges:
The expansion of Highway 401 project alongside the Doon Valley Golf Course is
still underway with expected completion in 2025.
Rockway Golf Course has experienced drainage issues primarily due to
inadequate water flow management, which has led to regular closures of holes
4, 5 and 6. Addressing these drainage concerns is crucial for ensuring consistent
playing conditions and maintaining the overall quality of the course.
Recent Successes:
• Introduction of revised membership categories to enhance member
satisfaction and inclusivity.
• Increased interest in memberships and green fee rounds.
• The return of academy programs and summer camps at Doon Valley, fostering
a love for golf and developing future enthusiasts.
This summary highlights Kitchener Golf's commitment to providing accessible
golf experiences while addressing operational challenges and celebrating recent
successes.
K I T C H E N E R. C A/ B U D G E T
Parking Enterprise Overview
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Operating Model And Philosophy:
The Parking Enterprise's goal is to be self-funded and financially sustainable while
providing accessible and convenient parking in the downtown core at a fair price.
This helps the City achieve and balance economic development, compact urban
development and transportation objectives.
CITY OF KITCHENER 1 2 0 2 5 BUDGET SUMMARY
Services Provided:
The Parking Enterprise manages and operates the City's downtown parking
portfolio, which currently consists of five parking garages, 14 surface lots,
on -street meters and free parking spaces (totaling 3,625 spaces). It has direct
responsibility for the operation, maintenance, capital rehabilitation and fiscal
management of the City's public parking infrastructure.
The following chart includes the 2025-2029 Parking forecast (000's):
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Recent Challenges:
Public use of the parking facilities continues to change due to the evolution
of hybrid/virtual working conditions. Parking revenues are down locally and
nationally; in the 20-30% range when compared to pre -pandemic levels.
Kitchener is on the low end (- 20%) of the range given economic recovery
related to recent city building objectives such as reduced parking rates and
downtown intensification.
Recent Successes:
Repairs to the City Hall garage were completed in a timely manner in the
� Core Revenue Operating Expense � Debt Charges
summer of 2024. Staff and customers returned to the garage on August 6, 2024
� Other Revenue Contribution to Capital � Dividend Transfer to City
Net Revenue (Expense) after a duration of five weeks.
$10,000
License Plate Recognition (LPR) technology is a powerful tool that fosters secure
$8,000
and automatic access control, streamlines parking enforcement and provides
$6,000
valuable insights for parking program optimization - all while using a vehicle
$4,000
license plate as a credential. LPR technology has been deployed in gated and
$2,000
non -gated parking facilities bringing forth enhanced customer experiences and
202255 _ _ 2026 2027 2028 2029 more innovative business intelligence. The new system includes a web -based,
$(2,000)
self-service, on-line customer portal and mobile app. Parking customers can
$(4,000)
. . . . . setup and manage their on-line profile, request parking, make on-line parking
$(6,000)
$(8,000) permit purchases, register payment method (Visa/Mastercard credit / Debit
Visa/Mastercard). Monthly Customers will also be able to choose parking
Note: Detailed Parking projections are included in the appendices. products, set up recurring payments, register multiple vehicle license plates,
view parking history, and join a waiting list.
K I T C H E N E R. C A/ B U D G E T
M Utilities Overview
City of Kitchener owns and operates four utilities that comprise the Water
Infrastructure Program (WIP) and Natural Gas. The utilities include:
Water
Sanitary
Stormwater
Gas
The budgets for the Water, Sanitary and Stormwater were the combined subject
of a comprehensive review called the Water Infrastructure Program (WIP).
A WI P review was completed in advance of the 2024 budget and took several
months to complete with collaboration between several divisions within the City,
including Asset Management, Engineering, Kitchener Utilities - Gas and Water
Utilities, Kitchener Utilities - Sanitary and Stormwater Utilities, Operations -
Roads and Traffic, Financial Planning and Reporting and Communications
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY
Rate increases projected from the original WIPan alysis compared to the actual
rates for those years are shown in the table below.
The 2025 combined WIP rate increase is 6.3%. This includes increases to Water
(4.9%) and Sanitary (6.9%) which are driven by infrastructure investments as well
as Regional rate increases to the City for water supply and wastewater treatment.
The Region's rate to provide these services have increased above what was
originally forecasted through the WI P review and will place significant pressure
on the water and sanitary sewer rates going forward. The 2025 WI P rates do
not reflect these increases but adjustments will need to be made in future years.
The proposed increase for Stormwater (7.4%) is required to fund the City's share
of projects being significantly funded ( approximately $50M ) by other levels of
government through the Disaster Mitigation and Adaptation Fund (DMAF).
It is expected that WI utility increases will need to remain higher than
typical CPI inflation to account for construction cost escalation and other cost
pressures. The increases for each utility are summarized in the table below.
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The 2025 rate increase of 6.3% is driven by external factors, such as:
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1950's infrastructure coming to end if its useful life.
Aging infrastructure = higher operating and maintenance costs.
Failing infrastructure = more service disruptions for customer.
All utilities have many regulatory restrictions.
New legislative requirements being added each year.
New resources required to ensure utilities complywith new regulations.
COMMODITYSUPPLY COSTS:
Cost increases in these areas are unavoidable.
Water and sanitary costs from the Region of Waterloo are increasing.
K I T C H E N E R. C A/ B U D G E T
I
Water
$467
$490
$23
4.9%
Sanitary
$595
$636
$41
6.9%
Stormwater
$242
$260
$18
7.4%
TOTAL
$1,304
$1,386
$82
6.3%
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The 2025 rate increase of 6.3% is driven by external factors, such as:
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1950's infrastructure coming to end if its useful life.
Aging infrastructure = higher operating and maintenance costs.
Failing infrastructure = more service disruptions for customer.
All utilities have many regulatory restrictions.
New legislative requirements being added each year.
New resources required to ensure utilities complywith new regulations.
COMMODITYSUPPLY COSTS:
Cost increases in these areas are unavoidable.
Water and sanitary costs from the Region of Waterloo are increasing.
K I T C H E N E R. C A/ B U D G E T
0 Water Utility Overview
Operating Model And Philosophy:
The Water Utility provides customers with quality, dependable, and economical
distribution of water while operating in an environmentally sensitive manner and
promoting conservation.
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY
Services Provided:
Water Distribution: Monitoring, installing, replacing and repairing the network
of water mains, meters and services to ensure a reliable and safe supply of
water.
Conservation: Promoting conservation programs, which help customers reduce
the amount of water used, which saves both money and conserves energy.
The following chart includes the 2025-2029 Water forecast (000's):
Core Revenue Water Purchases Operating Expense
Other Revenue Transfer to Capital •Net Revenue (Expense)
$100,000
$80,000
$60,000
$40,000
$20,000
$ 9
$(20,000) 2025 2026 2027 2028 2029
$(40,000) ■ ■ •
$(60,000)
$(80,000)
Note: Detailed Water projections are included in the appendices
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Recent Challenges: Recent Successes:
• Costs on capital projects continue to be well above pre -pandemic levels, with • 2024 Water Infrastructure Program (WI P) was endorsed by Council in fall
some projects being postponed or delayed. 2023 and built on the foundation of the 2018 WI P. It aims to establish utility
• Costs continue to increase for the Regional supply of water.
• Although the number of watermain breaks in 2023 decreased over previous
years, sediment control and rehabilitation costs associated with watermain
breaks near watercourses continues to be extensive.
Commencing a water distribution related analysis related to the Official Plan
Growth Scenarios, Intensification, and Infrastructure Technical Background
Study.
rates for the water, wastewater and stormwater utilities that will ensure
sustainable service delivery through regulatory compliance, risk mitigation
and customer affordability. The WI P identifies areas of investment needs
including capital, maintenance, customer engagement, etc.
• In addition to regular water valve operating checks, the critical valves along
the Light Rail Transit (LRT) were also operated. The operation required
coordination with the Region and some evening work. The valves are relatively
new but are deemed to be critical due to potential impacts to the LRT.
• Hired additional locating staff and records management support to comply
with Bill 93 "An Act to amend the Building Broadband Faster Act, 2021 and
the Ontario Underground Infrastructure Notification System Act, 2012" as
well as a locates review. The Act identifies strict adherence to a 5 -day locate
completion timeframe with possible fines and loss claims.
• The Drinking Water License was renewed, including council re -endorsement
of the Operational Plan and Financial Plan as well as re -accreditation of the
Operating Authority (Kitchener Utilities).
K I T C H E N E R. C A/ B U D G E T
Sanitary Utility Overview
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Operating Model And Philosophy:
The Sanitary Sewer Utility collects and removes wastewater generated within
Kitchener and neighbouring municipalities in an efficient, cost effective and
environmentally responsible manner. The wastewater is then transferred to the
Region of Waterloo for treatment and disposal in compliance with legislative and
regulatory requirements.
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY
Services Provided:
Nearly every residential, commercial, industrial, and institutional building in the
city generates wastewater. In total, this equates to over 65,000 customers billed
for sanitary service and approximately 300,000 people served. The City's sanitary
network comprises approximately 882km of sanitary mains, approximately 13,200
manholes and 23 pumping stations.
The Sanitary Utility performs a wide range of activities and programs that together
support the provision of safe and reliable collection of raw sewage, including:
Pumping station inspection, maintenance, rehabilitation, and replacement
Supervisory control and data acquisition (SCADA) for pumping stations
• Sewer trunks, mains & lateral inspection, rehabilitation, and replacement
Flow monitoring and hydraulic modeling
Closed circuit television (CCTV) inspection program
Sewer flushing program
Emergency response
Service connection blockage inspection, clearing and removal
Cave -In/ Dye Testing
Hydro Excavation
Update Sanitary System Asset Management Plan, including Proposed Levels
of Service
Sanitary Environmental Compliance Approvals
The following chart includes the 2025-2029 Sanitary forecast (000's):
� Core Revenue Sanitary Processing � Operating Expense
� Other Revenue Transfer to Capital .Net Revenue (Expense)
$150,000
$100,000
$50,000
$-
2025 2026 2027 2028 2029
$(so,000) ■ ■ ■ ■ ■
1(100,000)
Recent Challenges:
In many parts of the City, sanitary assets are nearing the end of their lifecycle
and require increased funding and resources to undertake preventative and
corrective maintenance. Annual sanitary utility rate increases provide critical
funding to address infrastructure needs, helping reduce the risk of system
failures and service interruptions.
Inflation and other economic factors (e.g., supply chain, fuel price increases)
have increased operating and capital costs. These cost increases will impact
current and future budgets as well as capital repair and replacement schedules
over the next several years.
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Recent Successes:
The City of Kitchener has recently transitioned to a Consolidated Linear
Infrastructure Environmental Compliance Approval (CLI -ECA) process for its
Sanitary network, which provides greater oversight for the City to preauthorize
and manage impacts of new infrastructure, retrofits, maintenance, operations and
monitoring of the system. In 2024, the Sanitary Utility completed Kitchener's fi rst
ever Sanitary Master Plan, which highlights key capital and operating priorities to
ensure the sanitary system can provide consistent and reliable services. Over the
next several years, the utility will start undertaking many of the recommendations
from the master plan, including the implementation of inflow and infiltration
reduction programs, enhanced CCTV pipe inspections, flow monitoring, and
capital initiatives to address high risk and poor condition infrastructure.
In 2024/25 the Sanitary Utility will be transitioning from a Wastewater
Class IV licensed facility to a Wastewater Class III licensed facility. A utility's
wastewater classification is defined based on several factors including operational
requirements, system complexity, and risk. Over the last couple of decades, the
City has been replacing aging sanitary sewer pipes, which have helped mitigate
risks in the sanitary network and facilitated this transition to a Class III. This
transitioning from a Class IV to a Class III facility will have no impact on operations,
as all current utility operators will already have the appropriate licensing for the
new system classification. The Class III designation also aligns better with the
utility classification of surrounding area municipalities, offering greater access to
qualified operators if/when needed.
NOTE: Detailed Sanitary projections are included in the appendices.
K I T C H E N E R. C A/ B U D G E T
Stormwater Utility Overview
Operating Model And Philosophy:
The Stormwater utility treats and controls stormwater runoff generated
by impervious surfaces across the city in an efficient, cost effective and
environmentally responsible manner to comply with legislative and regulatory
requirements.
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY
Services Provided:
The utility provides funding to operate, maintain, rehabilitate, replace and build
stormwater infrastructure across the city. There are over 70,000 properties
in the city that are billed for the stormwater management service based on the
amount of their impervious area and the runoff they generate.
The stormwater system is comprised of 26 managed subwatersheds;
approximately 800 kilometers of storm sewer mains; over 27,000 manholes
and catch basins; 125 oil, grit separators; and 116 constructed stormwater
management facilities (SWMFs).
The Utility has developed an Integrated Stormwater Management Master Plan
(ISWM-MP, 2016) that identifies stormwater priorities across the City and helps
inform the City's capital program to 2030. The Utility also carries out recurring
operations and maintenance as well as other programs that include:
Stormwater Management (SWM)
Monitoring Program
Sediment Management Program
Watercourse Improvement Program
SWM Facility Retrofit Program
Drainage Improvement Program
Hydraulic and hydrological modelling
SWM Infrastructure Implementation
Program
Low Impact Development (LID)
Sewer mains, laterals, catchbasin, &
manhole maintenance and repair
Watercourse/Bridge/Culvert
Maintenance and Repair
SWMF Maintenance & Sediment
Removal
Catchbasin Cleaning Program
Spills Response
Stormwater Environmental Compliance
Approvals
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The utility also funds a credit program to incentivize private property owners to stabilize; however, these elevated prices persist and continue to impact current
help manage stormwater on their property, reducing the volume of runoff (rain
and snow melt) that is directed to the City's stormwater system.
The following chart includes the 2025-2029 stormwater forecast (000's):
� Core Revenue Operating Expense Other Revenue
� Transfer to Capital -Net Revenue (Expense)
$50,000
$40,000
$30,000
$20,000
$10,000
$(10,000) 2025 2026 2027 2028 2029
$(20,000) ■
$(30,000)
$(40,000)
Recent Challenges:
and future budget needs for replacement and rehabilitation of infrastructure.
Recent Successes:
The City continues to implement the $125M federal Disaster Mitigation and
Adaptation Fund (DMAF) program, which provides up to a 40% cost -share for the
City's stormwater projects prioritized in the ISWM-MP.
As part of the DMAF program, the City has been actively engaging with
communities to implement a variety of stormwater management infrastructure
(e.g., stormwater ponds) in local parks. These facilities not only enhance the City's
ability to manage stormwater quantity (i.e., flooding) and quality (i.e., pollution)
concerns, but provide an opportunity to enhance green space and park amenities,
creating welcoming community gathering spaces. The City of Kitchener has
recently transitioned to a Consolidated Linear Infrastructure Environmental
Compliance Approval (CLI -ECA) process for its Stormwater network, which
provides greater oversight for the City to preauthorize and manage impacts of
new infrastructure, retrofits, maintenance, operations and monitoring of the
system.
The City recently rehabilitated a section of Montgomery Creek situated close
Storm events are becoming more severe and intense, which has a direct impact to to Wilson Park. This work included repairs to protect critical infrastructure, the
the entire stormwater system by either causing damage or exceeding the capacity re -alignment of an existing trail, creating park seating, installing anew pedestrian
of existing infrastructure in an unpredictable manner.
There is an existing backlog of legacy projects and aging infrastructure identified
in previous stormwater audits that will be completed as funding becomes
available. Focusing on preventative maintenance will maintain and improve
current service levels but will require higher budget allocations to support this
transition.
bridge, relocating a gas pipeline, and planting over 700 native trees and 4000
native shrubs along the creek's banks. The project showcases howflood control,
ecological improvements, and community spaces can work in harmony. By
expanding the floodway, water quantity is managed, while riparian zones improve
water quality by mitigating sediment and pollutant issues. This work has also
created a new fish habitat and a sanctuary for birds.
Construction cost escalations seen over the last couple of years due to inflation NOTE: Detailed Stormwater projections are included in the appendices.
and other economic challenges (e.g., supply chain, fuel costs, etc.) are beginning to K I T C H E N E R. C A/ B U D G E T
Gas Utility Overview
Operating Model And Philosophy:
The Gas Utility provides customers with safe, dependable and economical natural
gas. It also provides prompt, cost effective and professional services related
to rental water heaters while promoting conservation, greenhouse gas (GHG)
reduction and operating in an environmentally sensitive manner.
CITY OF KITCHENER 1 2 0 2 5 BUDGET SUMMARY
Services Provided:
Gas supply: Kitchener Utilities purchases and manages the gas supply to
meet customer requirements.
Gas Distribution: As a natural gas distributor, Kitchener Utilities delivers
natural gas to consumers. Work includes installing and replacing meters,
underground pipe installation and maintenance, providing gas services to
homes and businesses, responding to gas emergencies involving gas line
hits, gas odour, carbon monoxide, and gas utility locates.
Regulatory Affairs: Ensuring compliance with codes, rules and regulations
imposed by government agencies and regulators.
Conservation: Developing and promoting greenhouse gas (GHG) reduction
and conservation programs which help customers save money and
conserve energy.
Water Heater Rentals and Service: Supply and service water heaters on a
rental basis, providing 24/7 service for repair and replacement of tanks.
The adjacent charts include the 2025-2029 Gas Delivery and Supply
forecast (000's):
J
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Delivery -Core Revenue � Delivery -Other Revenue
Delivery -Operating Expense � Other Programs -Core Revenue
Other Programs -Other Revenue Other Programs -Operating Expense
Transfer to Capital Dividend Transfer to City
• Net Revenue (Expense)
$80,000
$60,000
$40,000
$20,000
$-
$(20,000) 2025 2026 2027 2028 2029
$(40,000) ■ ■ _-■ ■ ■
$(60,000)
$(80,000)
Core Revenue Operating Expense -Net Revenue (Expense)
$50,000
$40,000
$30,000
$20,000
$10,000
$ — ---- ---- ----
$(10,000) 2025 2026 2027 2028 2029
$(20,000) M _-
$(30,000)
$(40,000)
$(50,000)
K I T C H E N E R. C A/ B U D G E T
m
Recent Challenges:
Gas revenues are weather -dependent. Warmer winters cause a deficit and colder
winters result in a surplus. The 2023/2024 winter was mild resulting in a deficit
due to reduced revenues. This puts additional pressure on rates heading into the
2025 budget.
Aging infrastructure is increasing the demand for capital replacement projects.
The list of assets to be replaced due to condition or code compliance is growing,
Recent Successes:
Hired additional locating staff and records management support to comply
with Bill 93 "An Act to amend the Building Broadband Faster Act, 2021 and the
Ontario Underground Infrastructure Notification System Act, 2012" as well as a
locates review. The Act identifies strict adherence to a 5 -day locate completion
time -frame with possible fines and loss claims.
Launched a new e -billing solution. The new solution provides Green Button
triggering the need for updating the comprehensive asset management plan and functionalities to all gas customers as required by O. Reg 633/21: Energy data in
increased capital investment. addition to enhanced customer experience.
A new meter protection program is required to address code requirements Completed a $1.21VI project to replace the Graber Regulator Station. The new
related to meters in residential driveways. All meters must be protected against pressure regulating station increases the capacity of the distribution system and
impact due to vehicular traffic. Kitchener Utilities has a program to comply with enhances the system's reliability.
this requirement for most types of meters.
Adopted a flexible gas purchase strategy that allowed Kitchener Utilities to
benefit from historically low gas market prices. The savings in gas deals are
passed directly to customers.
Successfully intervened in Enbridge's rebasing application in front of Ontario
Energy Board (OEB) mitigating the initial rate increases proposed by Enbridge.
The application proposed rate changes over the next 5 years rates that were
significantly higher than the current rate. Kitchener Utilities' participation helped
reduce or defer most of the proposed increases.
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY
J
ILrTci �-,NER
A slowdown in new development projects allowed Kitchener Utilities to redirect to collect further data to assist in the retention of customers and their potential
resources to address existing infrastructure replacement projects. This has transition to higher efficiency and low carbon options.
reduced the backlog of assets to be replaced due to condition or code compliance
Phase 1 of the KU Clean Energy Transition Strategy project; Guiding principles
issues.
was endorsed by council in 2023.
Kitchener Utilities continue to promote the $75 on -bill credit to upgrade existing
Phase 2 of the KU Clean Energy Transition Strategy project kicked off at the
manual or programmable thermostat model to a smart model.
beginning of 2024. Based on diverse engagement, several types of potential
Kitchener Utilities provided 214 energy audit subsidies to Reep Green Solutions. energy business activities have been identified under four main themes, which
The team works together on evaluating programs, new technologies, and are: providing energy products and services; planning for and reporting on our
partnering with local utilities and government to enhance awareness of energy
conservation programs and pilot new technology, and to support the transition to
a low -carbon community.
Awater heater manufacturer provided in-house product training and updates on
combi-boilers and their ability to support dual water heating and space heating.
Completed contractor training including updated expectations through our
new contract. Expected increases in comprehensive service including additional
photos of work completed, service levels with customers, and expanded
communications to expedite installations.
A survey was completed with Kitchener residents to understand their interest
in high efficiency water heaters, water softeners and other low carbon offerings.
47% of the respondents were very or somewhat interested in high -efficiency
options, 46% were interested in heat pumps and 43% were interested in water
softeners. The Customer Relationship Management (CRM) program will be used
gas distribution system; providing the gaseous fuels of tomorrow; and providing
system -scale energy services. Staff sub teams are working to investigate each
business activity, and work to procure consultant support is underway.
Detailed Gas projections are included in the appendices.
K I T C H E N E R. C A/ B U D G E T
m
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2025 CITY OF KITCHENER
Capital Budget Overview
The City's capital budget funds investments in
infrastructure (assets) that offer a long-term benefit • • •
to the community. Examples include parks, roads, and
sanitary sewers. The projects included in the Capital
Budget often take a number of years to complete,
either creating new assets or renewing existing
assets. The term of the budget is 10 years, which
helps establish capital priorities for both the near
future and the medium-term.
ALLOCATION
The 10 year approved budget and forecast for the OF
year 2025-2034 includes over 470 projects at $1.913. FUNDS
The adjacent chart shows the allocation of capital orprojects to city assets: I**
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY
•
Other......................................................................$66M
•
Technology, systems & equipment ............
$77M
•
Arenas, pools & indoor recreation ...........
$107M
Fire..........................................................................
$37M
•
Full road reconstruction ..............................
$562M
Roads, bridges & sidewalks ........................
$158M
Parking......................................................................$9M
City facilities & community centres .........
$137M
•
Fleet vehicles.......................................................
$76M
Water, sanitary & stormwater ...................$404M
•
Natural gas.........................................................$141M
•
Parks, trails&forestry..................................$113M
Setting Capital Budget Priorities:
The Capital Budget reflects the priorities established by Council through many
J
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1
In preparing the Capital Budget each year, staff reviews the previous Capital
different consultation processes, which are shown in the graphic below. Through Budget against new priorities identified throughout the year through these
these processes and then ultimately the budget, Council determines which consultation processes. If new priority projects have been identified, they are
projects are completed first, within various constraints (e.g. funding & staff
availability).
�JS\a�SSQ�p,N MgSTFRp� s
N
F
F
� SOA
� Z
a n
®� PROPOSED A
CAPITAL N
BUDGET o
r
13DQn8 7b11d V3 SnOUN3'ad
discussed by senior staff as part of the comprehensive internal review of the
Capital Budget. Priority is placed on projects related to:
Developed based on asset management plans & condition assessments.
Progress being made through the Water and Infrastructure Program,
(WIP).
Addressing the facility infrastructure gap continues to be a priority.
Preventative maintenance activities are also important.
2022 Development Charge Study reflected in forecast.
Investments in new infrastructure to support new residents.
Maintaining the concept of'Growth pays for growth'.
STRATEGIC ITEMS:
Implementation of items included in the Strategic Plan.
Priorities reflecting corporate and community needs.
K I T C H E N E R. C A/ B U D G E T
The 2025 Budget includes meaningful investments in areas that are
important to the citizens of Kitchener, including:
Kitchener Indoor Recreation Complex ($94M in 2025,$144M
overa 11)
Mill Courtland Community Centre ($2M in 2025,$8.5M overall)
Centreville Chicopee Community Centre ($2M in 2025)
Downtown Fire Hall ($3.7M in 2025,$15M overall)
New Neighbourhood Parks ($2M in 2025,$21.6M overall)
Strasburg Road South & Watermain Extension ($8.7M in 2025,
$18.1M overall)
• Otterbein Sewage Pumping Station Upgrades ($8.2M in 2025, $9.1M
overall)
Full Road Reconstruction Projects ($39M in 2025)
• Middle Strasburg Creek Naturalization ($4.8M in 2025,$14.5M
overall)
Capital forecast details by division as well as related issue papers included in the appendices.
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY
The Capital Budget is funded through various sources:
Enterprises: Funding transferred from the City's seven Enterprises.
Tax Supported Capital Pool: Funding from the operating budget, debt, and the
gas & hydro utility investment reserves to support the tax supported capital
program.
Development Charges: Funding collected from development for growth related
infrastructure.
Reserves: Funding saved up ahead of time by the City.
Canada Community Building (CCB) Fund: Formerly known as Federal Gas Tax
funding.
Grants: Funding from other levels of government and other agencies.
Facilities Infrastructure: Funding from the facilities infrastructure reserve for
City building repairs.
Additional details on the Capital Pool forecast is included in the appendices.
J
KjTC`� ER
The following chart shows the % of each funding source making up the 10 year
capital forecast:
• Enterprises...............................58
• Capital Pool .............................11
• Development Charges ........
16%
Reserves......................................7%
• CCB Fund.....................................4
• Grants...........................................2
Facilities........................................2
Half of the funding comes from enterprises. Asignificant portion of this comes
from the Water Utilities (water, sanitary & storm) and is invested in full road
reconstructions. Other significant funding sources include the capital pool,
development charges, and reserves.
K I T C H E N E R. C A/ B U D G E T
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Debt
Debt is funding the City has borrowed to complete capital projects. The City has had decreasing
debt levels for the past decade, but will see increasing debt in order to fund growth related
infrastructure needed as the city continues to grow.
The chart below shows the total debt outstanding broken into components:
$200,000,000
$180,000,000
$160,000,000
$140,000,000
$120,000,000
$100,000,000
$80,000,000
$60,000,000
$40,000,000
320,000,000
m
2924 2025 2026 2027 2928 2029 2030 2031 2032 2033 2034
■ Tax Enterprise EDIF EDIT 2.0 Development Charges
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY
Tax supported debt, which is issued each year to help fund
the Capital Pool hovers around the $2OM mark
Enterprise debt which will be repaid from non -tax sources.
These include the Golf enterprise, Parking enterprise, the
Kitchener Rangers, and cemetery debt.
• EDIF (Economic Development Investment Fund) debt that
was issued to fund EDIF projects and will be fully paid off in
2027.
EDIF 2.0 debt that was issued in 2022 and be fully paid off
by 2039.
DC debt which is issued for growth related projects
funded by development charges (DCs). This debt will be
fully repaid by future DCs and has no impact on tax/utility
rates. The amount of potential DC debt issued in 2025 will
depend on DC cash flows.
Reserve and Reserve Funds
Reserve funds are raised for a specific purpose or to protect against unanticipated costs. The City has five categories of reserve funds; Corporate Reserves, Capital
Reserves, Obligatory Reserves, Program Specific Reserves, and Stabilization Reserves.
Minimum and maximum balances have been established for these reserve funds based on best practices and benchmarks. These minimum/maximum targets have
been consolidated for each category to show how the City is doing in achieving these targets.
dotal sdbilizanpn Reserves ......
Mlnlmum
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...........
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...........
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...... Mmmum Pmgmm SpetiEc Reserret
� Manmum Pmgmm Specific i
25,000,000
20,000,000
IS,OD6mW
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10.000.000
5.000.006 2025
..._s
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............ 20_
............. 0
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z.zs
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....--Minimum
Cpmprese Reserve •M.nrLnum Lxporea Aeurues
i5 000.000................
S DOO,CCO 1
...........
15,W0,000
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5.000.006 2025
..._s
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............ 20_
............. 0
s .29
�Twl Grpprare Rexrvez
....--Minimum
Cpmprese Reserve •M.nrLnum Lxporea Aeurues
i5 000.000................
S DOO,CCO 1
...........
............ ............
gppp�Thial LapHal Reserves •••• MPnlmum [apHnl Reserves Meyfmvm Wpitel Reserves
100,0.00 G1O
.................x026 ..............3Pa] ...................................
sm,mma6m
.21
K I T C H E N E R. C A/ B U D G E T
2025 BUDGET
Message from the Mayor
On July 1, 2023 the Ontario government provided strong mayor powers to
select municipalities, including Kitchener. While this legislation requires that the
Mayor is responsible for proposing the municipal budget, I have endeavoured
to do so in a manner consistent with the collaborative approach that exists
between Kitchener Council and staff in our work. Based on direction that was
provided earlier this year, City staff prepared a draft budget informed by Council
and community priorities, and in alignment with the City's approved financial
guidelines and policies. The Draft 2025 Budget was presented to Council for
consideration and discussion at Budget Committee meetings held on November
18th and 25th. I want to thank Councillors Scott Davey and Bil loannidis, Chair
and Vice -Chair respectively, for their leadership and support in these meetings
and all of Council for their engagement throughout this process.
Kitchener has demonstrated its commitment to considering affordability when
setting its budget, consistently delivering tax rate increases that are aligned with
the rate of inflation in Ontario. Kitchener's track record speaks for itself when
comes to balancing affordability, service demands, and responding to growth
related pressures. I'm proud of Council and staff's approach to rate setting,
and believe Kitchener is a model of efficient, effective, and sustainable local
government in Ontario.
During the past 10 years, Kitchener's tax rate increases have averaged
2.47%, below Ontario inflation which has averaged 2.64% during that
same timeframe.
J
1',ito TER
As part of the Budget, there was $1M in one-time capital funding unallocated
and available to further advance strategic priorities that are important to the
community. I support the Draft 2025 Budget that was prepared by staff and
presented to Council and propose, based on feedback received from Council and
the public, that the City move forward with the following strategic investment
related to the additional $1M in onetime capital funding:
$1M for a community court investment program that will see 10
basketball or tennis/pickle-ball courts installed or rehabilitated in
various wards across the City. This investment will see the installation of
new courts in under -serviced areas of the City or enhance the condition
of existing courts, recognizing that these types of recreational amenities
serve as an important gathering space for residents of all ages in
neighbourhoods across Kitchener.
The City's 20 -year vision included in the City's 2023-2026 Strategic Plan is
"Building a city for everyone where, together, we take care of the world around us
- and each other". I'm pleased with where we have landed with the 2025 Budget,
for the progressive action that we continue to take as a City to move us closer to
achieving that vision, while still balancing affordability and operational service
delivery needs.
K I T C H E N E R. C A/ B U D G E T
Appendix -A Glossary of Terms:
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY
CITY OF KITCH ENER 2025 BUDGET SUMMARY
Definitions, Abbreviations & Acronyms
Definitions
• Assessment growth refers to property taxes from new and/or expanded homes and/or businesses to pay for the services they receive.
• Base Budget funds programs and services already offered to the public and includes the costs (e.g. staffing, materials, supplies) and
revenues (e.g. user fees, recoveries) to deliver the program/service.
• Boards are separate organizations established by the City to provide programs and services as allowed under the Municipal Act. For
Kitchener, the Boards include Centre in the Square (CITS) and Kitchener Public Library (KPL).
• Brownfield properties are formerly developed sites that are no longer being used for those purposes. In the City context, they are often
former industrial or commercial sites with known or suspected pollution.
• Canada Community -Building fund (formerly Federal Gas Tax) is annual funding provided to the City by the federal government for capital
improvements.
• Capital Budget funds investments in municipal infrastructure (or assets) that provide a long-term benefit to the community. Examples of
capital costs include building or replacing roads, water mains, vehicles, community centres and parks.
• Capital out of Current is a funding transfer from the operating budget to the capital pool.
• Capital Pool is used to fund tax supported capital projects. The capital pool is funded by a) capital out of current, b) debt, c) gas utility
investment reserve, and d) hydro utility investment reserve.
• Corporate Allocations are general expenses like debt charges and contributions to the capital budget.
• Debt is funding the City has borrowed to complete capital projects.
• Debt to Reserve Ratio is the amount of the City's debt divided by the amount the City has in reserves. The target debt to reserve ratio is 1:1;
meaning the City would have one dollar saved in reserves for every dollar of debt it has issued.
• Development Charges are fees imposed on development to fund growth related capital costs.
• Enterprises are self -funding business lines operated by the City and are fully funded by their own user rates, not property taxes. The City's
enterprises are Golf, Building, Parking, Natural Gas, Water, Sanitary Sewer, and Stormwater.
• Existing Capital Balances are capital funding that have already been approved by Council, but have not been spent. Some capital projects
take multiple years to complete (e.g. road reconstruction, building a new community centre), so the funding may accumulate for future
spending.
• Impacts Due to Growth are additional operating costs required to support the expansion of service areas as the city continues to grow.
CITY OF KITCHENER 2025 BUDGET SUMMARY APPENDIX A1
Definitions, Abbreviations & Acronyms
• Interdivision/Internal Charges are costs charged by one City division to another City division for work completed on their behalf. For
instance, the Building enterprise pays other City divisions for financial, technological, and legal support.
• Issue Papers are brief documents (typically 1-2 pages in length) that provide information about budget issues, usually relating to new items
included in the proposed budget.
• Net Tax Levy is the amount of funding required from property taxes. It equals all of the tax supported gross expenditures minus all other
revenues.
• Operating Budget funds the day-to-day costs of the municipality to provide its programs and services. Examples of operating costs include
salaries and wages for city employees; utility costs, such as water and electricity; and operating supplies, such as road salt.
• Reserve/Reserve Funds are used to set aside funding now to be used for a specific purpose in the future. The city maintains reserves for
both operating purposes (e.g. rate stabilization reserve funds), capital purposes (e.g. fleet and equipment reserve fund) and as required by
legislation (e.g. federal gas tax reserve fund).
• Strategic Plan articulates a vision "together we will build an innovative, caring, and vibrant Kitchener" and mission "proudly providing valued
services for our community", for the City. Following each municipal election, this document is updated with Council's new strategic goals
and key activities for the upcoming term.
• Strategic Initiatives are program/service enhancements that help achieve the goals of the City's Strategic Plan.
• Tax Supported programs/services are funded in part or completely by property taxes. Examples include road & sidewalk maintenance, fire
protection, and community centre programming.
• User Fees are charges for programs and services provided by the City, which reduces dependence on property taxes as a funding source.
Typically they are charged for programs/services where customers have a choice on whether or not to use them. Examples of user fees
include swimming lessons and marriage licenses.
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY APPENDIX A 2
Definitions, Abbreviations & Acronyms
Abbreviations & Acronyms
• AIRP —Accelerated Infrastructure Replacement Program
• AMP —Asset Management Plan
• CAO — Chief Administrative Officer's Department
• C/C — Capital out of Current
• CCBF — Canada Community Building Fund
• CITS — Centre in the Square
• COR — Corporate Services Department
• CPI — Consumer Price Index
• CRM — Customer Relationship Management
• CSD —Community Services Department
• CVA — Current Value Assessment
• DC — Development Charges
• DMAF — Disaster Mitigation Adaptation Fund
• DSD — Development Services Department
• DT — Downtown
• ENT -BLDG — Enterprise Building
• ENT-DOON — Enterprise Doon Golf Course
• ENT -GAS — Enterprise Gas
• ENT -PAR — Enterprise Parking
• ENT -ROCK — Enterprise Rockway Golf Course
• ENT -SAN — Enterprise Sanitary Sewer
• ENT -SWM — Enterprise Stormwater
• ENT-WAT — Enterprise Water
• EDIF — Economic Development Investment Fund
• FIN — Financial Services Department
• FTE — Full Time Equivalent
• GHG —Green House Gas
• GIS—Geographic Information System
• INS — Infrastructure Services Department
• KMAC— Kitchener Memorial Auditorium Complex
• KOF — Kitchener Operations Facility
• KPL— Kitchener Public Library
• KU — Kitchener Utilities
• LTFP — Long Term Financial Plan
• MGMT - Management
• MPAC —Municipal Property Assessment Corporation
• MPI — Municipal Price Index
• MTCE — Maintenance
• MTO — Ministry of Transportation
• PIL — Payment in Lieu of Taxes
• PSAB — Public Sector Accounting Board
• RES-AFFHOU — Reserve Affordable Housing
• RES -AU DTIC — Reserve Auditorium Ticket Sales
• RES -BLDG — Reserve Building Enterprise Capital
• RES-DCREC — Reserve Development Charges Recovery
• RES-ECDEV— Reserve Economic Development
• RES -ENG — Reserve Energy Management
• RES -EQUIP — Reserve Equipment
• RES-FACIL— Reserve Facility Infrastructure
• RES-FEDGAS — Reserve Federal Gas Tax (or CCBF)
• RES -GAS — Reserve Gas Utility Capital
• RES -PAR — Reserve Parking Capital
• RES-PRKLD — Reserve Parkland Dedication
• RES -SAN — Reserve Sanitary Capital
• RES -SWM — Reserve Storm Water Utility Capital
• RES-TAXCAP — Reserve Tax Capital
• RES-WAT — Reserve Water Capital
CITY OF KITCHENER 2025 BUDGET SUMMARY APPENDIX A3
Definitions, Abbreviations & Acronyms
• SOGR — State of Good Repair
• SWM — Stormwater Management
• TCA—Tangible Capital Asset
• TIG —Tax Increment Grant
• TSRF —Tax Stabilization Reserve Fund
• VPP — Victoria Park Pavilion
• WIP —Water Infrastructure Program
CITY OF KITCHENER 2025 BUDGET SUMMARY APPENDIX A4
Appendix -B Operating Budget:
K I T C H E N E R. C A/ B U D G E T
Comparative Budget by Division
Budget 2025
CHIEF ADMINISTRATOR'S OFFICE
CAO OFFICE
CHIEF ADMINISTRATOR'S OFFICE TOTAL
COMMUNITY SERVICES DEPARTMENT
COMMUNITY SERVICES ADMINISTRATION
BY-LAW ENFORCEMENT
CORPORATE CUSTOMER SERVICE
FIRE
NEIGHBOURHOOD PROGRAMS & SERVICES
SPORT DIVISION
COMMUNITY SERVICES DEPT TOTAL
FINANCIAL SERVICES DEPARTMENT
FINANCIAL SERVICES ADMINISTRATION
FINANCIAL OPERATIONS
FINANCIAL REPORTING & ERP SOLUTIONS
FINANCIAL PLANNING & ASSET MANAGEMENT
REVENUE
FINANCIAL SERVICES DEPT TOTAL
CORPORATE SERVICES DEPARTMENT
CORPORATE SERVICES ADMINISTRATION
EQUITY, ANTI -RACISM & INDIGENOUS INITIATIVES
MAYOR & COUNCIL
CORPORATE COMMUNICATIONS
HUMAN RESOURCES
2024
2024
2025
$ Change
% Change
Restated
Year -End
Annual
vs. Restated
vs. Restated
Budget
Projection
Budget
Budget
Total Budget
1,253,313 1,269,313 1,356,856 103,543 8.26%
1,253,313 1,269,313 1,356,856 103,543 8.26%
1,036,555
3,222,938
1,199, 347
40,893,826
10,675,218
1,036,555
1,232,256
195,701
18.88%
3,222,938
3,650,212
427,274
13.26%
1,249,347
1,386,129
186,782
15.57%
41,010,826
43,032,645
2,138,819
5.23%
10,810,218
11,792,532
1,117,314
10.47%
2,342,662 2,467,662 2,188,476 (154,186) -6.58%
59,370,546 59,797,546 63,282,250 3,911,704 6.59%
492,530
506,530
533,593
41,063
8.34%
1,748,429
1,692,429
1,920,512
172,083
9.84%
830,157
858,157
877,581
47,424
5.71%
1,294,294
1,281,294
1,387,706
93,412
7.22%
187,344
(5,656)
238,601
51,257
27.36%
4,552,754
4,332,754
4,957,993
405,239
8.90%
553,249
555,249
583,198
29,949
5.41%
838,614
747,614
879,369
40,755
4.86%
1,736,368
1,732,368
1,897,499
161,131
9.28%
1,740,949
1,931,949
2,039,674
298,725
17.16%
3,227,124
3,225,124
3,509,392
282,268
8.75%
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY APPENDIX B 1
Comparative Budget by Division
Budget 2025
TECHNOLOGY INNOVATION & SERVICES
LEGAL
LEGISLATED SERVICES
CORPORATE SERVICES DEPT TOTAL
DEVELOPMENT SERVICES DEPARTMENT
DEVELOPMENT SERVICES ADMINISTRATION
ECONOMIC DEVELOPMENT
ENGINEERING ADMINISTRATION
PLANNING
TRANSPORTATION SERVICES
DEVELOPMENT SERVICES DEPT TOTAL
INFRASTRUCTURE SERVICES DEPARTMENT
INFRASTRUCUTRE SERVICES ADMINISTRATION
FACILITIES MANAGEMENT
PARKS & CEMETERIES
OPERATIONS - ROADS & TRAFFIC
INFRASTRUCTURE SERVICES DEPARTMENT TOTAL
NET DEPARTMENTAL EXPENDITURES
GENERAL EXPENSES
GRANTS & BOARDS
GAPPING
CAPITAL AND RESERVE FINANCING
2024
2024
2025
$ Change
% Change
Restated
Year -End
Annual
vs. Restated
vs. Restated
Budget
Projection
Budget
Budget
Total Budget
6,293,396
6,282,396
7,112,498
819,102
13.02%
1,128,464
11111,464
1,195,122
66,658
5.91%
1,423,245
1,391,245
1,535,344
112,099
7.88%
16,941,409
16,977,409
18,752,096
1,810,687
10.69%
794,443
7,253,688
779,443 865,207
7,410,688 8,168,025
70,764 8.91%
914,337 12.61%
(34,456)
(890,456)
(56,163)
(21,707) 63.00%
2,520,989
21429,989
3,041,846
520,857 20.66%
4,174,903
4,138,903
4,180,095
5,192 0.12%
14,709,567
13,868,567
16,199,010
1,489,443 10.13%
721,605 711,605 764,434 42,829
17,871,408 17,992,408 18,424,389 552,981
21,253,506 211588,506 22,331,859 1,078,353
5.94%
3.09%
5.07%
13,101,325 12,629,325 13,452,411 351,086 2.68%
52,947,844 52,921,844 54,973,093 2,025,249 3.82%
149,775,433 149,167,433 159,521,298 9,745,865 6.51%
17, 308,442 17, 227,442 18, 892, 754
(2,500,000) (3,708,000) (2,500,000)
18, 094,104 18, 094,104 19, 494, 344
1,584,312 9.15%
- 0.00%
1,400,240 7.74%
CITY OF KITCHENER 2025 BUDGET SUMMARY APPENDIX B2
Comparative Budget by Division
Budget 2025
CONTRACT SERVICES
TAX WRITEOFFS & REBATES
OTHER
GENERAL EXPENSES TOTAL
TOTAL NET EXPENSES
GENERAL REVENUES
TAXES
GENERALLEVY
SUPPLEMENTARY TAXES/WRITE-OFFS
PAYMENTS IN LIEU
OTHER REVENUE
INVESTMENT INCOME
PENALTIES AND INTEREST
CONTRIBUTIONS FROM RESERVES AND ENTERPRISES
SUNDRY INCOME
GENERAL REVENUES TOTAL
GRAND TOTAL
2024
2024
2025
$ Change
% Change
Restated
Year -End
Annual
vs. Restated
vs. Restated
Budget
Projection
Budget
Budget
Total Budget
1,177,269
1,453,269
1,504,642
327,373
27.81%
98,050
84,050
98,051
1
0.00%
701,528
701,528
2,751,486
2,049,958
292.21%
34,879,393
33,852,393
40,241,277
5,361,884
15.37%
184,654,826
183,019,826
199,762,575
15,107,749
8.18%
(156,022,861)
(1,050,000)
(4,712,700)
(156,022,861)
(1,050,000)
(4,788,700)
(158,753,206)
(1,250,000)
(5,009,465)
(2,730,345)
(200,000)
(296,765)
1.75%
19.05%
6.30%
(161,785,561)
(161,861,561)
(165,012,671)
(3,227,110)
1.99%
(5,458,000)
(4,704,462)
(12,208,276)
(498,527)
(5,458,000)
(5,704,462)
(12,208,276)
(536,527)
(8,512,241)
(4,888,551)
(14,508,276)
(649,461)
(3,054,241)
(184,089)
(2,300,000)
(150,934)
55.96%
3.91%
18.84%
30.28%
(22,869,265)
(23,907,265)
(28,558,529)
(5,689,264)
24.88%
(184,654,826)
(185,768,826)
(193,571,200)
(8,916,374)
4.83%
-
(2,749,000)
6,191,375
6,191,375
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY APPENDIX B 3
CITY OF KITCHENER
BUILDING ENTERPRISE
5 YEAR OPERATING BUDGET PROJECTION
(000,5)
Budget Projected Budget Budget Budget Budget Budget
2024 2024 2025 2026 2027 2028 2029
Core Revenue
Other Revenue
4,740
80
4,424
135
4,513
45
6,688
135
8,282
177
8,875
157
9,053
155
REVENUE
4,820
4,560
4,558
6,823
8,459
9,032
9,208
Operating Expense
7,073
6,509
7,542
7,693
7,847
8,004
8,186
Transfer to Capital
4
4
24
83
4
27
89
EXPENSE
7,077
6,513
7,566
7,776
7,851
8,031
8,275
Net Revenue (Expense)
(2,257)
(1,953)
(3,008)
(953)
608
1,001
933
*Net Revenue (Expense) amount will be transferred to the stabilization reserve at the end of the year.
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY APPENDIX B 4
CITY OF KITCHENER
GOLF ENTERPRISE
5 YEAR OPERATING BUDGET PROJECTION
(000's)
Budget
2024
Projection
2024
Budget
2025
Budget
2026
Budget
2027
Budget
2028
Budget
2029
Core Revenue
Other Revenue
2,770
68
4,100
64
3,292
80
3,391
81
3,493
82
3,598
82
3,706
83
REVENUE
2,838
4,164
3,372
3,472
3,574
3,680
3,789
Operating Expense
Debt Charges
Transfer to Capital
Transfer to Golf Cart Reserve
2,530
217
191
93
3,300
217
465
100
2,713
217
266
95
2,780
217
276
96
2,850
217
282
98
2,921
217
312
100
2,994
217
337
102
EXPENSE
3,031
4,082
3,290
3,370
3,447
3,551
3,651
Net Revenue (Expense)
(193)
82
82
102
127
129
138
*Net Revenue (Expense) amount will be transferred to the stabilization reserve at the end of the year.
CITY OF KITCHENER 2025 BUDGET SUMMARY APPENDIX B5
CITY OF KITCHENER
PARKING ENTERPRISE
5 YEAR OPERATING BUDGET PROJECTION
(000's) Budget Projected
2024 2024
Budget Budget Budget Budget Budget
2025 2026 2027 2028 2029
Core Revenue
4,341
4,616
5,063
5,270
5,513
5,891
6,119
Economic Development Subsidies
1,397
1,397
1,451
1,473
1,495
1,518
1,540
Other Revenue
670
678
721
739
739
736
755
REVENUE
6,407
6,691
7,236
7,482
7,747
8,145
8,415
Operating Expenses
4,480
4,578
4,513
4,607
4,718
4,807
4,914
Debt Charges
674
674
675
674
677
680
682
Transfers to Capital fund
925
925
1,159
1,094
1,110
1,136
1,163
Dividend Transfer to City
1,400
1,400
1,400
1,400
1,400
1,400
1,400
EXPENSE
7,480
7,578
7,747
7,775
7,905
8,022
8,160
Net Revenue (Expense)*
(1,072)
(887)
(511)
(292)
(158)
123
255
*Net Revenue (Expense) amount will be transferred to the stabilization reserve at the end of the year.
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY APPENDIX B 6
CITY OF KITCHENER
WATER UTILITY
5 YEAR OPERATING BUDGET PROJECTION
(000'S)
Budget
Projected
Budget
Budget
Budget
Budget
Budget
2024
2024
2025
2026
2027
2028
2029
Core Revenue
54,811
59,135
59,849
63,410
67,119
70,341
73,717
Other Revenue
1,607
1,626
1,674
1,708
1,760
1,811
1,863
REVENUE
56,418
60,761
61,523
65,118
68,879
72,152
75,580
Water Purchases
26,905
29,286
29,639
31,123
32,975
34,592
36,287
Operating Expense
13,814
13,577
14,419
15,033
15,569
16,082
16,602
Transfer to Capital
15,840
15,839
17,129
19,838
22,808
23,571
22,815
EXPENSE
56,559
58,702
61,187
65,994
71,352
74,245
75,704
Net Revenue (Expense) (141) 2,059 336 (876) (2,473) (2,093) (124;
* Transfer (to)/from Stabilization Reserve 141 (2,059) (336) 876 2,473 2,093 124
overall Enterprise Result - - - - - - -
CITY OF KITCHENER 2025 BUDGET SUMMARY APPENDIX B7
CITY OF KITCHENER
37,825
38,815
41,062
43,927
46,544
48,829
49,757
SANITARY UTILITY
10,556
9,938
10,909
11,549
11,957
12,374
12,815
5 YEAR OPERATING BUDGET PROJECTION
24,709
24,708
27,230
30,937
34,750
37,845
39,120
(000'S)
Budget
Projected
Budget
Budget
Budget
Budget
Budget
2024
2024
2025
2026
2027
2028
2029
Core Revenue
69,208
74,577
76,890
83,094
89,884
96,175
103,002
Other Revenue
1,478
1,686
1,778
1,898
2,028
2,162
2,361
REVENUE 70,686 76,263 78,668 84,992 91,912 98,337 105,363
Sanitary Processing
37,825
38,815
41,062
43,927
46,544
48,829
49,757
Operating Expense
10,556
9,938
10,909
11,549
11,957
12,374
12,815
Transfer to Capital
24,709
24,708
27,230
30,937
34,750
37,845
39,120
EXPENSE
73,090
73,461
79,201
86,413
93,251
99,048
101,692
Net Revenue (Expense) (2,404) 2,802 (533) (1,421) (1,339) (711) 3,671
* Transfer (to)/from Stabilization Reserve 2,404 (2,802) 533 1,421 1,339 711 (3,671)
Overall Enterprise Result - - - - - - -
CITY OF KITCHENER 2025 BUDGET SUMMARY APPENDIX B8
CITY OF KITCHENER
STORMWATER UTILITY
5 YEAR OPERATING BUDGET PROJECTION
(000's)
Budget
Projected
Budget
Budget
Budget
Budget
Budget
Transfer to Capital
2024
2024
2025
2026
2027
2028
2029
Core Revenue
27,499
28,030
30,108
32,404
34,845
37,468
40,288
Other Revenue
913
819
956
1,014
1,076
1,142
1,213
REVENUE
28,412
28,849
31,064
33,418
35,921
38,610
41,501
Operating Expense
10,273
9,912
10,999
11,677
12,127
12,601
13,120
Transfer to Capital
17,514
17,514
18,341
22,252
23,817
25,544
26,993
EXPENSE
27,787
27,426
29,340
33,929
35,944
38,145
40,113
Net Revenue (Expense) 625 1,423 1,724 (511) (23) 465 1,388
* Transfer (to)/from Stabilization Reserve (625) (1,423) (1,724) 511 23 (465) (1,388)
Overall Enterprise Result - - - -
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY APPENDIX B 9
CITY OF KITCHENER
GAS UTILITY
5 YEAR OPERATING BUDGET PROJECTION
(000's)
GAS DELIVERY
Core Revenue
Other Revenue
Budget
Projected
Budget
Budget
Budget
Budget
Budget
2024
2024
2025
2026
2027
2028
2029
49,226
47,759
49,321
50,228
49,309
50,346
51,345
198
346
221
225
230
234
239
REVENUE
49,424
48,105
49,542
50,453
49,539
50,580
51,584
Operating Expense
Transfer to Capital
Dividend Transfer to City
22,667
14,062
15,847
18,764
14,062
15,847
21,820
15,382
15,847
22,320
16,374
15,847
22,602
15,202
15,847
23,185
16,020
15,847
23,696
16,775
15,847
EXPENSE
52,576
48,673
53,049
54,541
53,651
55,052
56,318
Other Revenue
255
382
360
367
375
382
390
OTHER PROGRAMS
Budget
Projected
Budget
Budget
Budget
Budget
Budget
(Rental Water Heaters and KU Dispatch)
2024
2024
2025
2026
2027
2028
2029
Core Revenue
14,535
15,260
14,843
15,140
15,442
15,751
16,066
Other Revenue
255
382
360
367
375
382
390
REVENUE
14,790
15,642
15,203
15,507
15,817
16,133
16,456
Operating Expense
10,723
11,435
11,088
11,135
11,524
11,588
11,670
EXPENSE
10,723
11,435
11,088
11,135
11,524
11,588
11,670
Net Revenue (Expense) 4,067 4,207 4,115 4,372 4,293 4,545 4,786
* Transfer (to)/from Gas Delivery Stabilization Reserve (4,067) (4,207) (4,115) (4,372) (4,293) (4,545) (4,786)
Overall Program Result -
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY APPENDIX B 10
GAS SUPPLY
Core Revenue
Budget
2024
36,912
Projected
2024
30,301
Budget
2025
33,367
Budget
2026
37,907
Budget
2027
38,125
Budget
2028
39,004
Budget
2029
39,789
REVENUE
36,912
30,301
33,367
37,907
38,125
39,004
39,789
Operating Expense
39,363
33,589
34,837
37,525
38,275
39,041
39,822
EXPENSE
39,363
33,589
34,837
37,525
38,275
39,041
39,822
Net Revenue (Expense) (2,451) (3,288) (1,470) 382 (150) (37) (33)
* Transfer (to)/from Gas Supply Stabilization Reserve 2,451 3,288 1,470 (382) 150 37 33
Overall Program Result - - - - - - -
Gas Rate (Jan
- Mar)
16.70
16.70
14.30
17.87
18.05
18.19
18.71
Gas Rate (Apr
- Jun)
16.70
11.63
15.47
17.93
18.05
18.33
18.81
Gas Rate (Jul -
Sept)
16.70
11.63
16.64
17.99
18.05
18.47
18.91
Gas Rate (Oct
- Dec)
16.70
13.13
17.81
18.05
18.05
18.61
19.01
CITY OF KITCHENER 2025 BUDGET SUMMARY APPENDIX B11
J
I�Tc��R
Appendix -C Capital Budget Details:
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY
City of Kitchener
Capital Forecast 2025 - 2034 by Funding Source
($'000s)
1
hrr<a n�.�I�R
Funding Source 2025 2026 2027 2028 2029 2030 2031 2032 2033 2034 Totals
C/C
16,853
17,833
19,302
17,797
20,273
19,895
22,656
22,170
22,411
25,274
204,464
DC
124,907
35,581
17,096
29,471
22,518
10,734
10,957
16,493
11,364
11,560
290,681
ENT -BLDG
24
83
4
27
89
5
31
96
6
33
398
ENT-DOON
190
139
144
162
174
177
189
202
214
228
1,819
ENT -GAS
15,383
16,376
15,203
16,020
16,777
14,135
15,312
13,819
14,088
14,372
151,485
ENT -PAR
1,157
1,094
1,111
1,136
1,162
1,170
1,199
1,228
1,241
1,287
11,785
ENT -ROCK
74
134
138
150
162
176
178
200
212
226
1,650
ENT -SAN
27,228
30,940
34,752
37,848
39,121
44,451
43,802
47,242
48,953
51,227
405,564
ENT -SWM
18,343
22,250
23,817
25,540
26,996
27,332
29,031
37,654
32,662
38,148
281,773
ENT-WAT
17,130
19,838
22,809
23,575
22,817
22,175
22,592
23,792
26,540
26,430
227,698
GRANT
22,975
-
-
-
-
-
-
-
-
-
22,975
GRANT-DMAF
6,100
12,069
3,385
1,896
-
-
-
-
-
-
23,450
RES-AUDTIC
205
209
213
217
221
226
226
730
235
240
2,722
RES-CCBF
6,377
12,285
6,971
8,131
8,024
5,722
6,270
7,252
6,927
7,501
75,460
RES-DCREC
1,929
2,144
2,126
2,116
2,131
2,146
2,170
-
-
-
14,762
RES -ENERGY
1,400
1,000
1,000
750
750
750
750
750
750
750
8,650
RES -EQUIP
7,261
6,365
4,745
5,943
6,331
6,201
6,017
5,946
6,065
6,065
60,939
RES-FACIL
2,709
3,206
3,678
4,100
4,500
4,600
4,700
4,750
4,845
4,942
42,030
RES-PRKLD
100
100
100
100
100
100
100
100
100
100
1,000
RES -SAN
6,675
2,850
3,871
2,500
-
-
-
-
-
-
15,896
RES -SWM
1,000
900
-
-
-
-
-
-
-
-
1,900
RES-TAXCAP
9,955
1,479
-
-
-
-
-
-
-
-
11,434
RES -TECH
-
400
200
-
-
-
-
-
-
-
600
RES-WAT
2,473
1,200
1,821
2,000
-
-
-
-
-
-
7,494
Total
290,448
188,475
162,486
179,479
172,146
159,995
166,180
182,424
176,613
188,383
1,866,629
CITY OF KITCHENER 2025 BUDGET SUMMARY APPENDIX C1
CITY OF KITCHENER
2024 - 2033 CAPITAL FORECAST
Capital Target
(in '000's of dollars)
Debenture Issue
Capital out of Current
Gas Utility Investment Reserve Fund
Hydro Investment Reserve Fund
Department Requests
Available/(Shortfall)
2025 2026 2027 2028 2029 2030 2031 2032 2033 2034 Total
625
2,578
4,284
4,320
3,554
5,492
6,953
5,057
2,128
8,147
43,138
4,197
4,563
4,951
5,361
5,795
6,255
6,742
7,257
7,801
8,376
61,298
6,520
6,468
6,472
6,478
6,475
6,473
6,460
6,498
6,500
6,156
64,500
5,511
4,224
3,595
1,638
4,449
1,675
2,501
3,358
5,982
2,595
35,528
16,853
17,833
19,302
17,797
20,273
19,895
22,656
22,170
22,411
25,274
204,464
16,853
17,833
19,302
17,797
20,273
19,895
22,656
22,170
22,411
25,274
204,464
CITY OF KITCHENER 2025 BUDGET SUMMARY APPENDIX C2
Department:
CAO OFFICE
Division:
CAO ADMINISTRATION
Division/Section:
CAO ADMINISTRATION
New Project
Parent Project Project Name
Number
Number
City of Kitchener
Capital Forecast Current Capital Budget Year2025 - 2034
Type 2025 2026 2027 2028 2029 2030 2031 2032 2033 2034 Totals
El 150302001 COMPASS KITCHENER COMM ENGAGE 124 - - - 135 - - - 143 - 402
El 170101001 CORPORATE PLAN 45 46 47 48 49 49 50 51 53 54 492
Total CAD ADMINISTRATION
169 46 47 48 184 49 50 51 196 54 894
APPENDIX C 3
Department: COMMUNITY SERVICES
Division: BYLAW ENFORCEMENT
Division/Section: PARKING NOISE
New Project Parent Project Project Name
Number Number
City of Kitchener
Capital Forecast Current Capital Budget Year2025 - 2034
Type 2025 2026 2027 2028 2029 2030 2031 2032 2033 2034 Totals
0 202500009 LICENSE PLATE RECOGNITION 70 - - - - - - - - - 70
TECHNOLOGY
Total PARKING NOISE 70 70
APPENDIX C 4
Department: COMMUNITY SERVICES
Division: CORPORATE CUSTOMER SERVICE
Division/Section: CORPORATE CUSTOMER SERVICE
New Project Parent Project Project Name
Number Number
City of Kitchener
Capital Forecast Current Capital Budget Year2025 - 2034
Type 2025 2026 2027 2028 2029 2030 2031 2032 2033 2034 Totals
El 150101004 CRM SOFTWARE 165 95 25 25 25 25 25 25 25 25 460
El 620702001 ACTIVE NET REGISTRATION SYSTEM 15 16 16 16 17 17 17 18 18 18 168
Total CORPORATE CUSTOMER SERVICE
180 111 41 41 42 42 42 43 43 43 628
APPENDIX C 5
Department:
COMMUNITY SERVICES
Division:
CSD ADMIN
Division/Section:
CSD ADMIN
New Project
Parent Project Project Name
Number
Number
City of Kitchener
Capital Forecast Current Capital Budget Year2025 - 2034
Type 2025 2026 2027 2028 2029 2030 2031 2032 2033 2034 Totals
El 620101004 MASTERPLANS, STUDIES & PROJECTS 73 75 76 78 80 81 83 84 86 88 804
El 620201003 PROVISION FOR ADUL SPACES STUDIES - - - 113 - - - - - - 113
Total CSD ADMIN
73 75 76 191 80 81 83 84 86 88 917
APPENDIX C 6
Department: COMMUNITY SERVICES
Division: FIRE
Division/Section: ADMINISTRATION - FIRE
New Project Parent Project Project Name
Number Number
City of Kitchener
Capital Forecast Current Capital Budget Year2025 - 2034
1Vl(HI-.AI-�
Type 2025 2026 2027 2028 2029 2030 2031 2032 2033 2034 Totals
El
400101000
FIRE VEHICLE MTCE
59
60
61
63
64
65
66
68
69
71
646
El
400101007
FIRE - MAJOR EQUIPMENT/FLEET
2,400
3,380
2,111
1,592
1,624
2,156
2,189
2,223
2,258
2,293
22,226
El
400101009
FIRE EQUIPMENT HALLS
113
115
118
120
122
125
127
130
133
135
1,238
El
400101010
FIRE COMPUTER MTCE
35
36
37
38
38
39
40
41
41
42
387
El
400101019
DEFIBRILLATOR AND MEDICAL EXPENSE
-
83
-
-
-
-
-
-
-
-
83
El
400101022
FIRE RADIO SYSTEM UPGRADE
75
77
78
80
81
83
84
86
88
90
822
El
400201000
AERIAL LADDER TESTING
16
17
-
-
-
-
-
-
-
-
33
El
400402001
HAZARDOUS MATERIALS RESPONSE
18
19
19
20
20
20
21
21
22
22
202
El
621506002
FIRE COMMUNICATIONS EQUIPMENT
119
120
122
124
127
130
132
135
137
140
1,286
El
621506003
400101007 ADDITIONAL FLEET VEHICLE
-
1,504
-
1,920
-
-
-
-
-
-
3,424
El
621506010
ADUL FIRE HALL SPACE &
3,696
-
-
-
-
-
-
-
-
-
3,696
FURNISHINGS
El
700607003
PERSONAL PROTECTIVE EQUIPMENT
621
234
264
266
275
275
255
260
266
271
2,987
Total ADMINISTRATION - FIRE
7,152 5,645 2,810 4,223 2,351 2,893 2,914 2,964 3,014 3,064 37,030
APPENDIX C 7
City of Kitchener
Capital Forecast Current Capital Budget Year2025 - 2034
Department:
COMMUNITY SERVICES
Division:
GOLF
Division/Section:
DOON GOLF
New Project
Parent Project Project Name Type
2025
2026
2027
2028
2029
2030
2031
2032
2033
2034
Totals
Number
Number
El 202400014
MTO HWY WIDENING
91
-
-
-
-
-
-
-
-
-
91
El 680101000
DOON-GENERAL MTCE
37
67
69
75
81
88
94
100
106
113
830
El 680101001
DOON- COURSE IMPROVEMENTS
37
67
69
75
81
88
94
100
106
113
830
Total DOON GOLF
165
134
138
150
162
176
188
200
212
226
1,751
APPENDIX C 8
City of Kitchener
Capital Forecast Current Capital Budget Year2025 - 2034
Department: COMMUNITY SERVICES
Division: GOLF
Division/Section: ROCKWAY GOLF
New Project Parent Project Project Name Type
Number Number
2025 2026 2027 2028 2029 2030 2031 2032 2033 2034 Totals
El 680201000 ROCKWAY- GENERAL MTCE 37 67 69 75 81 88 84 100 106 113 820
El 680201001 ROCKWAY- COURSE IMPROVEMENTS 37 67 69 75 81 88 94 100 106 113 830
Total ROCKWAY GOLF
74 134 138 150 162 176 178 200 212 226 1,650
APPENDIX C 9
City of Kitchener
Capital Forecast Current Capital Budget Year2025 - 2034
Department:
COMMUNITY SERVICES
Division:
NEIGHBOURHOOD PROGRAMS & SERVICES
Division/Section:
COMMUNITY RESOURCE CENTRES
New Project
Parent Project Project Name Type
2025
2026
2027
2028
2029 2030 2031 2032 2033 2034 Totals
Number
Number
0 202500022
CHANDLER MOWAT COMMUNITY
670
-
-
-
- - - - - - 670
CENTRE SPLASH PAD
El 601101010
COMMUNITY CENTRES - GENERAL
158
161
164
167
170 174 177 180 183 187 1,721
PROVISION
El 620304006
MILL COURTLAND CC ADDITION C
2,000
-
-
-
- - - - - - 2,000
El 620304011
ROCKWAY CENTRE REDEVELOPMENT C
-
5,000
-
-
- - - - - - 5,000
El 620304014
FOREST HEIGHTS CC ADDITION
281
148
2,706
2,761
- - - - - - 5,896
Total COMMUNITY RESOURCE CENTRES
3,109
5,309
2,870
2,928
170 174 177 180 183 187 15,287
APPENDIX C 10
City of Kitchener
Capital Forecast Current Capital Budget Year2025 - 2034
Department:
COMMUNITY SERVICES
Division:
NEIGHBOURHOOD PROGRAMS & SERVICES
Division/Section:
NEIGHBOURHOOD DEVELOPMENT & VOLUNTEER
New Project
Parent Project Project Name Type
2025
2026
2027
2028
2029
2030
2031
2032
2033
2034
Totals
Number
Number
El 600101001
COMMUNITIES IN BLOOM
10
10
10
10
11
11
11
11
11
12
107
El 601101011
NEIGHBOURHOOD FESTIVAL DEVELOP
40
40
41
42
43
44
45
46
46
47
434
El 620301004
LOVE MY HOOD IMPLEMENTATION
150
150
150
150
150
150
150
150
150
150
1,500
El 620302002
OUTDOOR WINTER RINKS
75
80
75
-
-
-
-
-
-
-
230
Total NEIGHBOURHOOD DEVELOPMENT & VOLUNTEER
275
280
276
202
204
205
206
207
207
209
2,271
APPENDIX C 11
City of Kitchener
Capital Forecast Current Capital Budget Year2025 - 2034
1Vl(HI-.AI-�
Department:
COMMUNITY SERVICES
Division:
NEIGHBOURHOOD PROGRAMS & SERVICES
Division/Section:
NPS ADMINISTRATION
New Project
Parent Project Project Name Type
2025
2026
2027
2028
2029
2030
2031
2032
2033
2034
Totals
Number
Number
El 700101009
COMMUNITY DEV INFRASTRUCTURE
13
14
14
14
14
15
15
15
16
16
146
PROGRAM
El 70101013
SAFE & HEALTHY ADVISORY
12
12
13
13
13
14
14
14
14
15
134
COMMITTEE
El 70101042
COPORATE ACCESSIBILITY FUND
122
124
127
129
132
134
137
140
143
145
1,333
Total NPS ADMINISTRATION
147
150
154
156
159
163
166
169
173
176
1,613
APPENDIX C 12
City of Kitchener
Capital Forecast Current Capital Budget Year2025 - 2034
Department: COMMUNITY SERVICES
Division: SPORT
Division/Section: AQUATICS AND ATHLETICS
New Project Parent Project Project Name Type
Number Number
2025 2026 2027 2028 2029 2030 2031 2032 2033 2034 Totals
0 202500013
OUTDOOR POOL STRATEGY
150 - - - -
El 600802000
BREITHAUPT CENTRE
29 29 30 30 31
El 600901002
AQUATICS - GENERAL PROVISION
405 56 57 58 59
El 620308001
KIWAN IS PARK GEN PROV
89 91 93 95 96
Total AQUATICS AND ATHLETICS
32 32
33
61 62
63
98 100
102
-
-
150
34
34
314
64
66
951
104
107
975
673 176 180 183 186 191 194 198 202 207 2,390
APPENDIX C 13
City of Kitchener
Capital Forecast Current Capital Budget Year2025 - 2034
Department:
COMMUNITY SERVICES
Division:
SPORT
Division/Section:
ARENAS
New Project
Parent Project
Project Name Type
2025
2026
2027
2028
2029
2030
2031
2032
2033
2034
Totals
Number
Number
0 202500019
ARENA STRATEGY
150
-
-
-
-
-
-
-
-
-
150
El 601302001
ARENAS -GEN RENOV/UPGRADING
317
324
330
337
344
350
357
365
372
379
3,475
El 601302006
CIVIC SQUARE RINK
16
16
17
17
17
18
18
18
19
19
175
El 620202058
COMMUNITY ARENA PAVING
-
-
110
50
-
-
-
-
-
-
160
El 620202072
DOM CARDILO ARENA FLOOR
-
-
-
-
-
-
2,026
-
-
-
2,026
Total ARENAS
483
340
457
404
361
368
2,401
383
391
398
5,986
APPENDIX C 14
City of Kitchener
Capital Forecast Current Capital Budget Year2025 - 2034
Department:
COMMUNITY SERVICES
Division:
SPORT
Division/Section:
KMAC
New Project
Parent Project
Project Name Type
2025
2026
2027
2028
2029
2030
2031
2032
2033
2034
Totals
Number
Number
El 601203001
KMAC- GENERAL PROVISION
279
536
290
296
302
308
314
321
327
334
3,307
El 620202006
CONCESSION UPGRADES/KMAC
63
64
65
67
68
69
71
72
73
75
687
El 620202021
EVENT RECRUITMENT
28
28
29
30
30
31
31
32
32
33
304
El 620202023
PAVING/CURBING -AUD
10
10
10
135
140
10
10
10
10
10
355
El 620202075
VIDEOBOARD
-
-
-
-
-
-
-
500
-
-
500
REPLACEMENTS/UPGRADE
Total KMAC
380
638
394
528
540
418
426
935
442
452
5,153
APPENDIX C 15
Department: COMMUNITY SERVICES
Division: SPORT
Division/Section: SPORT DEVELOPMENT
New Project Parent Project Project Name
Number Number
City of Kitchener
Capital Forecast Current Capital Budget Year2025 - 2034
1
K*TR
Type 2025 2026 2027 2028 2029 2030 2031 2032 2033 2034 Totals
El 620308002 BUDD PARK INDOOR GEN PROVISION 5 5 5 5 5 5 5 5 5 5 50
Total SPORT DEVELOPMENT
5 5 5 5 5 5 5 5 5 5 50
APPENDIX C 16
Department: CORPORATE SERVICES
Division: CORPORATE COMMUNICATIONS
Division/Section: CORPORATE COMMUNICATIONS
New Project Parent Project Project Name
Number Number
City of Kitchener
Capital Forecast Current Capital Budget Year2025 - 2034
Type 2025 2026 2027 2028 2029 2030 2031 2032 2033 2034 Totals
El 150201004 WEBSITE REFRESH - 400 - - - - 30 - - - 430
El 400201001 INTRANET REFRESH - - - - - 30 - - - - 30
Total CORPORATE COMMUNICATIONS
- 400 30 30 460
APPENDIX C 17
City of Kitchener
Capital Forecast Current Capital Budget Year2025 - 2034
Department: CORPORATE SERVICES
Division: EQUITY, ANTI -RACISM & INDIGENOUS
Division/Section: EQUITY, ANTI -RACISM & INDIGENOUS
New Project Parent Project Project Name Type 2025 2026 2027 2028 2029 2030 2031 2032 2033 2034 Totals
Number Number
El 20240016 RECONCILIATION ACTION PARTNERSHIF 55 - - - - - - - - - 55
El 202500017 EDI STRATEGIC PLAN REVIEW 85 - - - - - - - - - 85
El 401401002 RISE 150 - - - - - - - - - 150
Total EQUITY, ANTI -RACISM & INDIGENOUS 290 290
APPENDIX C 18
Department: CORPORATE SERVICES
Division: HUMAN RESOURCES
Division/Section: HUMAN RESOURCES
New Project Parent Project Project Name
Number Number
City of Kitchener
Capital Forecast Current Capital Budget Year2025 - 2034
Type 2025 2026 2027 2028 2029 2030 2031 2032 2033 2034 Totals
El 150401002 MARKET SALARY ANALYSIS - 45 - - 45 - - 45 - - 135
Total HUMAN RESOURCES
- 45 - 45 - 45 - 135
APPENDIX C 19
City of Kitchener
Capital Forecast Current Capital Budget Year2025 - 2034
Department: CORPORATE SERVICES
Division: LEGISLATED SERVICES
Division/Section: MAILROOM
New Project Parent Project Project Name Type
Number Number
1Vl(HI-.AI-�
2025 2026 2027 2028 2029 2030 2031 2032 2033 2034 Totals
El 300501006 MAIL SERVICES EQUIPMENT 81 - - 29 - - 31 - - 33 174
Total MAILROOM
81 - 29 - 31 - 33 174
APPENDIX C 20
Department:
CORPORATE SERVICES
Division:
LEGISLATED SERVICES
Division/Section:
RECORDS
New Project
Parent Project Project Name
Number
Number
City of Kitchener
Capital Forecast Current Capital Budget Year2025 - 2034
Type 2025 2026 2027 2028 2029 2030 2031 2032 2033 2034 Totals
El 500105015 RECORDS MANAGEMENT -GENERAL 9 9 9 10 10 10 10 10 11 11 99
Total RECORDS
9 9 9 10 10 10 10 10 11 11 99
APPENDIX C 21
Department: CORPORATE SERVICES
Division: TECHNOLOGY INNOVATION & SERVICES
Division/Section: INFORMATION TECHNOLOGY
New Project Parent Project Project Name
Number Number
City of Kitchener
Capital Forecast Current Capital Budget Year2025 - 2034
TVI(HI-.v1-�
Type 2025 2026 2027 2028 2029 2030 2031 2032 2033 2034 Totals
El
200201000
SOFTWARE
957
995
1,002
1,062
1,072
1,107
1,117
1,131
1,153
1,177
10,773
El
200201002
COMPUTER INFRASTRUCTURE
648
1,138
1,165
1,192
1,220
1,249
1,278
1,308
1,334
1,361
11,893
PROVISION
El
300701001
WREPNET FIBRE PROJECT
396
404
411
418
425
432
441
450
458
467
4,302
El
70101003
GEOGRAPHIC INFORMATION SYSTEM
304
312
324
332
342
352
363
373
384
391
3,477
Total INFORMATION TECHNOLOGY
2,305 2,849 2,902 3,004 3,059 3,140 3,199 3,262 3,329 3,396 30,445
APPENDIX C 22
Department:
DEVELOPMENT SERVICES
Division:
BUILDING
Division/Section:
BUILDING GENERAL
New Project
Parent Project Project Name
Number
Number
City of Kitchener
Capital Forecast Current Capital Budget Year2025 - 2034
Type 2025 2026 2027 2028 2029 2030 2031 2032 2033 2034 Totals
El 621401003 TECHNOLOGY UPGRADES 20 79 - 22 84 - 25 90 - 27 347
Total BUILDING GENERAL
20 79 - 22 84 - 25 90 - 27 347
APPENDIX C 23
City of Kitchener
Capital Forecast Current Capital Budget Year2025 - 2034
Department:
DEVELOPMENT SERVICES
Division:
ECONOMIC DEVELOPMENT
Division/Section:
ARTS & CULTURE
New Project
Parent Project Project Name Type
2025
2026
2027
2028
2029
2030
2031
2032
2033
2034
Totals
Number
Number
El 202500012
HOMER WATSON HOUSE & GALLERY
300
300
-
-
-
-
-
-
-
-
600
El 600802001
INDUSTRIAL ARTIFACTS
18
19
19
19
20
20
21
21
21
22
200
El 600802002
PUBLIC ART MAINTENANCE
16
17
17
17
18
18
18
19
19
20
179
El 999900005
CONRAD CENTRE
400
50
50
50
50
50
50
50
50
50
850
Total ARTS & CULTURE
734
386
86
86
88
88
89
90
90
92
1,829
APPENDIX C 24
City of Kitchener
Capital Forecast Current Capital Budget Year2025 - 2034
Department: DEVELOPMENT SERVICES
Division: ECONOMIC DEVELOPMENT
Division/Section: ECONOMIC DEVELOPMENT ADMIN
New Project Parent Project Project Name Type
Number Number
2025 2026 2027 2028 2029 2030 2031 2032 2033 2034 Totals
El 700101015 DOWNTOWN IMPROVEMENTS 90 92 94 96 98 99 101 103 106 108 987
El 700101022 DOWNTOWN INCENTIVES FUNDING - 101 103 105 107 109 112 114 116 118 121 1,106
DT
Total ECONOMIC DEVELOPMENT ADM IN
191 195 199 203 207 211 215 219 224 229 2,093
APPENDIX C 25
Department:
DEVELOPMENT SERVICES
Division:
ECONOMIC DEVELOPMENT
Division/Section:
MARKET
New Project
Parent Project Project Name
Number
Number
City of Kitchener
Capital Forecast Current Capital Budget Year2025 - 2034
Type 2025 2026 2027 2028 2029 2030 2031 2032 2033 2034 Totals
El 601201001 KITCHENER MARKET 25 26 26 27 27 28 29 29 30 30 277
Total MARKET
25 26 26 27 27 28 29 29 30 30 277
APPENDIX C 26
Department:
DEVELOPMENT SERVICES
Division:
ECONOMIC DEVELOPMENT
Division/Section:
SPECIAL EVENTS
New Project
Parent Project Project Name
Number
Number
City of Kitchener
Capital Forecast Current Capital Budget Year2025 - 2034
1
K*TR
Type 2025 2026 2027 2028 2029 2030 2031 2032 2033 2034 Totals
11 600803000 CITY HALL/VPP PROGRAMMING 41 42 43 44 45 46 47 47 48 49 452
Total SPECIAL EVENTS
41 42 43 44 45 46 47 47 48 49 452
APPENDIX C 27
City of Kitchener
Capital Forecast Current Capital Budget Year2025 - 2034
1Vl(HI-.AI-�
Department:
DEVELOPMENT SERVICES
Division:
ENGINEERING
Division/Section:
BRIDGE REHABILITATION
New Project
Parent Project Project Name Type
2025
2026 2027 2028
2029
2030 2031
2032
2033 2034
Totals
Number
Number
El 202500015
STIRLING AVENUE SOUTH CN RAIL
2,713
- - -
-
- -
-
- -
2,713
BRIDGE
El 701205023
ROAD BRIDGE REPAIRS
186
- 544 -
566
- 589
601
- 625
3,111
El 800405002
LEGISLATED BRIDGE INSPECTION
47
48 49 50
51
52 53
54
55 56
515
El 801006001
KENT AVENUE CULVERT
-
- 60 -
300
- 312
-
- -
672
El 901006007
WILLIAMSBURG RD CULVERT -837
300
- - -
-
- -
-
- -
300
Total BRIDGE REHABILITATION
3,246
48 653 50
917
52 954
655
55 681
7,311
APPENDIX C 28
City of Kitchener
Capital Forecast Current Capital Budget Year2025 - 2034
Department:
Division:
Division/Section:
New Project
Number
DEVELOPMENT SERVICES
ENGINEERING
FULL RECONSTRUCTION
Parent Project Project Name Type
Number
2025
2026
2027
2028
2029 2030
2031 2032 2033 2034 Totals
El 20240001
BORDEN AVE -WEBER ST TO EAST AVE T
-
98
391
-
2,173 -
- - - - 2,662
El 20240002
FIFTH AVE - WILSON AVE TO KINGSWAY T
300
1,200
-
6,666
- -
- - - - 8,166
DR
El 701205020
AVONDALE/DUNBAR T
169
677
-
3,762
- -
- - - - 4,608
El 701205048
SPADINA- BELMONT TO PATRICIA TS
398
-
2,211
-
42 -
- - - - 2,651
El 701205070
CLAREMONT- WESTMOUNT TO T
225
898
-
4,989
- -
- - - - 6,112
BELMONT
El 701205078
PATRICIA- QUEEN TO HIGHLAND T
35
-
-
-
- -
- - - - 35
El 701205103
MERNER AVE - FREDERICK TO KRUG T
-
1,031
3,093
74
- -
- - - - 4,198
El 701205119
RUSHOLME RD - WESTMOUNT TO T
602
-
3,342
-
49 -
- - - - 3,993
DUNBAR
El 701205123
WOODWARD ST - GUELPH TO T
-
-
-
-
2,293 -
- - - - 2,293
FAIRFIELD
El 701205124
FLOYD ST- GUELPH TO FAIRFIELD T
-
401
-
2,228
- -
- - - - 2,629
El 701205125
GAGE AVE-BELMONT TO WAVERLY TS
-
-
-
192
770 -
- - - - 962
El 701205157
CRESTWOOD ST - GUELPH TO T
-
-
413
-
2,293 -
- - - - 2,706
FAIRFIELD
El 800401024
WIP ROAD RECONSTRUCTION T
(3,342)
126
12,478
(10,652)
582 57,088
60,571 64,265 68,185 72,345 321,646
GENERAL ACCOUNT
El 801004001
ST. GEORGE ST - QUEEN TO BENTON T
-
19
-
-
- -
- - - - 19
El 801004002
KING ST. E - STIRLING TO OTTAWA T
4,918
-
110
-
- -
- - - - 5,028
El 801004003
DEERPARK CRIES - FOREST HILL TO FORE T
-
2,575
-
49
- -
- - - - 2,624
El 801004005
SHADYWOOD CRIES - FOREST HILL DR T
470
-
2,609
-
52 -
- - - - 3,131
TO END
El 801004006
HERBERT ST - PINE TO C OF WATERLOO T
-
-
-
840
- -
- - - - 840
APPENDIX C 29
City of Kitchener
Capital Forecast Current Capital Budget Year2025 - 2034
Department:
Division:
Division/Section:
New Project
Number
DEVELOPMENT SERVICES
ENGINEERING
FULL RECONSTRUCTION
Parent Project Project Name Type
Number
2025
2026
2027
2028
2029
2030 2031 2032 2033 2034 Totals
El 801004007
BECKER- FIFE - ANN TS
-
94
-
-
-
- - - - - 94
El 801004008
MONTROSE - CARLTON - METZLOFF T
1,059
3,176
-
83
-
- - - - - 4,318
El 801004009
LAWRENCE AVE - VICTORIA TO KARN T
-
48
-
-
-
- - - - - 48
El 801004010
SOUTH DR - QUEEN'S BLVD TO TS
146
584
-
3,245
-
- - - - - 3,975
BELMONT
El 801004011
ARDELT AVE - HANSON AVE TS
-
-
579
2,315
-
- - - - - 2,894
El 901003020
JOHNSTON - PATRICK - WELLINGTON TS
5,960
5,960
-
91
-
- - - - - 12,011
El 901003028
SECOND AVE-KINGSWAY TO T
54
-
-
-
-
- - - - - 54
CONNAUGH
El 901003033
FALESY/KRAFT / HAROLD /JEAN T
-
1,619
-
8,994
-
- - - - - 10,613
El 901003034
FIRST AVE-KINGSWAY TO TS
-
-
144
575
-
- - - - - 719
CONNAUGHT
El 901003036
HIGHLAND RD- QUEENS TO SPADINA T
211
-
-
-
-
- - - - - 211
El 901003039
ADM IRAL/MARLBOROUGH/ROXBOROU T
-
182
-
-
-
- - - - - 182
GH
El 901003042
FREDERICK ST - BRUCE TO VICTORIA T
1,702
-
360
-
-
- - - - - 2,062
El 901003044
EAST AVE -FREDERICK TO KRUG T
-
145
-
-
-
- - - - - 145
El 901003047
QUEEN'S BLVD - WESTMOU NT TO T
-
6,456
-
153
-
- - - - - 6,609
BELMO
El 901004011
SHERWOOD- BECKER TO ROSEMOUNT T
196
-
-
-
-
- - - - - 196
El 901004012
ROSS- WILFRED TO FRANKLIN T
-
171
683
-
3,796
- - - - - 4,650
El 901004013
WILSON - NORTH END TO FAIRLAWN TS
2,688
-
241
-
-
- - - - - 2,929
El 901004017
BLUERIDGE - QUEEN TO LAKESIDE T
-
213
854
-
4,742
- - - - - 5,809
El 901004020
MCKENZIE AVE - OTTAWA TO SHELDON T
47
-
-
-
-
- - - - - 47
APPENDIX C 30
City of Kitchener
Capital Forecast Current Capital Budget Year2025 - 2034
TVI(HF.vI iy
Department:
Division:
Division/Section:
New Project
Number
DEVELOPMENT SERVICES
ENGINEERING
FULL RECONSTRUCTION
Parent Project Project Name
Number
Type
2025
2026
2027
2028
2029
2030 2031 2032 2033 2034 Totals
El 901004021
WESTWOOD CRESCENT
T
75
-
-
-
-
- - - - - 75
El 901004023
RAMBLEWOOD WAY-ELMRIDGE TO
T
-
-
190
761
-
- - - - - 951
BROOKSIDE
El 901004026
BIRCH - CLIFTON - ASH
T
-
429
1,715
-
9,529
- - - - - 11,673
El 901004029
BRUCE ST- FIFE TO HEATHER
T
41
-
-
-
-
- - - - - 41
El 901004030
CHAPEL/ MELROSE
T
4,516
-
105
-
-
- - - - - 4,621
El 901004031
RAN DERSON AVE - MCKENZIE TO E.
TS
172
690
-
3,832
-
- - - - - 4,694
END
El 901004035
BROADVIEW AVE - S END TO PROSPECT
TS
2,323
-
43
-
-
- - - - - 2,366
El 901004036
OXFORD ST - ELIZABETH TO N END
TS
189
755
-
4,195
-
- - - - - 5,139
El 901004038
KRUG - BECKER TO SHERWOOD
T
-
-
-
-
308
- - - - - 308
El 901004040
HEATHER-BECKER TO ETON
T
-
-
-
-
193
- - - - - 193
El 901004041
ETON - ROSEMOUNT TO KRUG
T
-
-
-
201
802
- - - - - 1,003
El 901004042
BRUCE ST - FREDERICK TO FIFE
T
-
-
83
332
-
- - - - - 415
El 901004044
OAKWOOD/RIDGEWOOD/PRUETER/EL
T
-
-
272
1,089
-
- - - - - 1,361
MW
El 901004047
ROLAND ST - W END TO DAVID
TS
-
-
90
362
-
- - - - - 452
El 901004049
WILFRED- WEBER TO PROSPECT
TS
-
2,747
-
53
-
- - - - - 2,800
El 901004051
STIRLING AVE-GREENBROOK TO
TS
-
-
184
734
-
- - - - - 918
AVALON
El 901004052
ST LEGER ST. - UNION TO ELMWOOD
T
-
-
126
503
-
- - - - - 629
El 901004053
JACKSON AVE - KING TO WEBER
T
-
-
-
-
87
- - - - - 87
El 901004054
BARWOOD - STRASBURG TO
TS
-
-
127
509
-
- - - - - 636
STRASBURG
APPENDIX C 31
City of Kitchener
Capital Forecast Current Capital Budget Year2025 - 2034
1Vl(HI-.AI-�
Department:
Division:
Division/Section:
New Project
Number
DEVELOPMENT SERVICES
ENGINEERING
FULL RECONSTRUCTION
Parent Project Project Name
Number
Type
2025
2026
2027
2028
2029
2030 2031 2032 2033 2034 Totals
901004056
DIXON / ROCKWAY
TS
-
271
1,084
-
6,023
- - - - - 7,378
901004057
MASSEY AVE- BONIFACE TO VANIER
T
-
-
226
903
-
- - - - - 1,129
El 901004058
CHELSEA RD- SUFFOLK TO BELLEVIEW
T
543
-
3,016
-
59
- - - - - 3,618
El 901004060
EDWIN ST - LEONARD TO NORTH END
TS
-
-
261
1,045
-
- - - - - 1,306
El 901004064
FAIRFIELD AVE - MARGARET TO
T
506
-
2,813
-
56
- - - - - 3,375
RIDGEWOOD
El 901004065
CONWAY DR/ WAYNE DR
T
112
-
-
-
-
- - - - - 112
El 901004066
GUELPH ST- MAPLE TO RIVERBEND
TS
140
558
-
3,100
-
- - - - - 3,798
El 901004068
DUNBAR/BALMORAL/KATHERINE/BRA
T
500
2,000
-
4,445
6,668
- - - - - 13,613
NDO
El 901004071
GAGE AVE-WESTMOUNT TO
TS
-
-
285
1,141
-
- - - - - 1,426
BELMONT
El 901004072
UNION BLVD /GOLFVIEW PL
T
-
186
746
-
4,144
- - - - - 5,076
El 901004079
WESTWOOD DR- GLASGOW TO
T
7,354
7,354
-
262
-
- - - - - 14,970
WESTWO
El 901004085
CONNAUGHT ST - NINTH TO TRAYNOR
T
2,994
-
62
-
-
- - - - - 3,056
El 901004088
BRADLEY/ ASKIN / BRADLEY
T
-
-
376
1,503
-
- - - - - 1,879
El 901004089
OLYMPIC DR - PATTAN DON TO
T
2,916
-
61
-
-
- - - - - 2,977
HOFFMAN
El 901004092
FARRIER NEIGHBOURHOOD
T
-
1,015
3,045
-
79
- - - - - 4,139
El 901004095
HAZELGLEN DR - MARKWOOD TO
T
-
-
314
1,258
-
- - - - - 1,572
VICTORI
El 901004096
OWEN AVE - HALLIWELL TO S BEND
T
-
-
220
879
-
- - - - - 1,099
OWE
El 901004097
CHARLES/SHELDON - OTTAWA TO
T
872
-
4,846
-
104
- - - - - 5,822
PRESTON/CHARLES TO KING
APPENDIX C 32
Total FULL RECONSTRUCTION
City of Kitchener
Capital Forecast Current Capital Budget Year2025 - 2034
1
I*�NER
39,091 41,678 47,798 50,711 44,844 57,088 60,571 64,265 68,185 72,345 546,576
APPENDIX C 33
City of Kitchener
Capital Forecast Current Capital Budget Year2025 - 2034
Department:
DEVELOPMENT SERVICES
Division:
ENGINEERING
Division/Section:
NEW CONSTRUCTION
New Project
Parent Project Project Name Type
Number
Number
i�rir 11F.�rF:
2025 2026 2027 2028 2029 2030 2031 2032 2033 2034 Totals
El
701203021
BORDEN GREEN WAY TRUNK SAN
B 1,040
-
-
-
- - - - - - 1,040
SEWER
El
701203025
FALCONRIDGE SPS CAPACITY
B 1,194
-
-
-
- - - - - - 1,194
UPGRADES
El
701203026
OTTERBEIN SPS CAPACITY UPGRADES
B 8,200
-
-
-
- - - - - - 8,200
El
800401003
CITY SHARE SUBDIVISIONS
972
991
1,011
1,031
1,052 1,073 1,094 1,116 1,138 1,161 10,639
El
800401010
INTENSIFICATION ALLOWANCE
318
325
331
338
345 351 359 366 373 380 3,486
El
801007002
BLAIR CREEK DR ROAD & WM EXT
C 191
5,175
-
-
- - - - - - 5,366
El
801007003
DODGE DR TRUNK SAN SEWER
A -
-
447
10,242
- - - - - - 10,689
El
801007004
DOON SOUTH SPS - FORCEMAIN
C -
124
211
4,590
- - - - - - 4,925
El
901005011
HURON RD IMPROVEMENTS & WM
B 681
12,638
-
-
- - - - - - 13,319
EXT
El
901007006
AMAND DR ROAD & WM EXT
C 213
5,758
-
-
- - - - - - 5,971
El
901007008
STRASBURG ROAD SOUTH & WM EXT
B 8,736
-
-
-
- - - - - - 8,736
Total NEW CONSTRUCTION
21,545 25,011 2,000 16,201 1,397 1,424 1,453 1,482 1,511 1,541 73,565
APPENDIX C 34
City of Kitchener
Capital Forecast Current Capital Budget Year2025 - 2034
Department:
DEVELOPMENT SERVICES
Division:
ENGINEERING
Division/Section:
REGIONAL & CITY FULL RECONSTRUCTION
New Project
Parent Project Project Name Type
2025 2026 2027 2028 2029
2030 2031 2032 2033 2034 Totals
Number
Number
El 701202004
5497 -LANCASTER -UNION TO VICTORIA T
3,368 3,368 - - -
- - - - - 6,736
El 801002005
5703 - BLEAMS RD - STRASBURG TO T
- - - - 5,776
- - - - - 5,776
MANI
El 901002011
5649 -WEBER ST - MONTGOMERY TO T
- - - - 3,187
- - - - - 3,187
OTTAWA
Total REGIONAL & CITY
FULL RECONSTRUCTION
3,368 3,368 8,963
15,699
APPENDIX C 35
City of Kitchener
Capital Forecast Current Capital Budget Year2025 - 2034
k ii -I- rR
Department:
DEVELOPMENT SERVICES
Division:
ENGINEERING
Division/Section:
SANITARY NETWORK REMEDIATION & IMPROVEMENTS
New Project
Parent Project Project Name Type
2025
2026
2027
2028
2029
2030
2031
2032
2033
2034
Totals
Number
Number
701203024
SCADA
928
131
134
136
139
142
145
147
150
153
2,205
El 800403017
TRENCHLESS REHABILITATION
466
476
485
495
505
515
525
536
546
557
5,106
El 800404022
SUMP PUMP CONNECTIONS
89
91
92
94
96
98
100
102
104
106
972
Total SANITARY NETWORK REMEDIATION & IMPROVEMENTS
1,483
698
711
725
740
755
770
785
800
816
8,283
APPENDIX C 36
City of Kitchener
Capital Forecast Current Capital Budget Year2025 - 2034
Department:
DEVELOPMENT SERVICES
Division:
ENGINEERING
Division/Section:
STUDIES
New Project
Parent Project
Project Name Type
2025
2026
2027
2028
2029
2030
2031
2032
2033
2034
Totals
Number
Number
El 701201012
MONITOR/UPDATE FROG - UPPER
119
121
124
126
129
131
134
137
139
142
1,302
BLAIR
El 800401000
MISC LEGAL SURVEYS
6
6
6
6
6
6
6
6
6
6
60
El 800401007
GEN PROV/SMALL PROJECTS &
15
15
16
16
16
16
17
17
17
18
163
EQUIPMENT
El 800401013
ENGINEERING STUDIES
188
192
196
200
204
208
212
216
220
225
2,061
El 901001002
MASTER PLAN/FEASIBILITY STUDIES
76
78
79
81
83
84
86
88
89
91
835
TotaISTUDIES
404
412
421
429
438
445
455
464
471
482
4,421
APPENDIX C 37
City of Kitchener
Capital Forecast Current Capital Budget Year2025 - 2034
Department:
DEVELOPMENT SERVICES
Division:
ENGINEERING
Division/Section:
SURFACE RECONSTRUCTION
New Project
Parent Project Project Name Type
2025
2026
2027
2028
2029
2030
2031
2032
2033
2034
Totals
Number
Number
El 701205059
PAVEMENT SURFACE TREATMENT
150
153
156
159
163
166
169
173
176
180
1,645
El 800405000
RESURFACING CITY STREETS
372
3,147
3,211
3,275
3,340
3,407
3,475
3,545
3,616
3,688
31,076
El 800405048
NEW SIDEWALK INFILL
200
204
208
212
216
221
225
230
234
239
2,189
El 901004003
LANEWAY REHABILITATION PROGRAM
519
529
540
551
562
573
584
596
608
620
5,682
Total SURFACE RECONSTRUCTION
1,241
4,033
4,115
4,197
4,281
4,367
4,453
4,544
4,634
4,727
40,592
APPENDIX C 38
City of Kitchener
Capital Forecast Current Capital Budget Year2025 - 2034
TVI(HI-.v1-1y
Department:
Division:
Division/Section:
New Project
Number
DEVELOPMENT SERVICES
PARKING
PARKING
Parent Project Project Name Type
Number
2025
2026
2027
2028
2029
2030
2031
2032
2033
2034
Totals
El 500201070
CHARLES BENTON PARKING GARAGE
40
41
42
43
44
44
45
46
47
48
440
El 500201080
CIVIC DISTRICT PARKING GARAGE
39
40
41
42
43
44
44
45
46
47
431
El 500203001
DUKE & ON PARKING GAR - MTCE
40
41
42
43
43
44
45
46
47
48
439
El 500203006
CITY HALL PARKING GARAGE - MTCE
58
60
61
62
63
65
66
67
68
70
640
El 701206018
CHARLES & BENTON GARAGE
-
-
14
-
-
14
-
-
15
-
43
MONITORIN
El 701206019
CIVIC DISTRICT GARAGE MONITORING
-
13
-
-
13
-
-
14
-
15
55
El 800501003
DUKE/ONT GARAGE MONITORING - DT
11
-
-
11
-
-
12
-
-
13
47
El 800501006
CITY HALL GARAGE MONITORING
8
-
-
8
-
-
9
-
-
9
34
El 800501008
PARKING LOT RESURFACING - DT
40
20
20
21
21
22
22
23
23
23
235
El 800501026
MARKET GARAGE MONITORING - DT
-
11
-
-
11
-
-
12
-
-
34
El 900303001
STRUCTURAL PROVISION - GARAGES
508
518
528
539
550
561
572
583
595
607
5,561
El 901102005
PARKING EQUIPMENT
100
100
102
104
106
108
110
113
115
117
1,075
Total PARKING
844
844
850
873
894
902
925
949
956
997
9,034
APPENDIX C 39
Department:
DEVELOPMENT SERVICES
Division:
PLANNING
Division/Section:
PLANNING
New Project
Parent Project Project Name
Number
Number
City of Kitchener
Capital Forecast Current Capital Budget Year2025 - 2034
Type 2025 2026 2027 2028 2029 2030 2031 2032 2033 2034 Totals
El
150501001
BROWNFIELD TIG PROGRAM
1,163
1,569
1,201
1,191
1,206
1,221
1,245
1,270
1,295
1,321
12,682
0
202500024
LAND AQUISITION FOR FUTURE
10,000
-
-
-
-
-
-
-
-
-
10,000
HOUSING
El
621301001
PLANNING STUDIES - GROWTH
765
780
796
812
828
845
862
879
896
914
8,377
El
621301002
PLANNING STUDIES - GENERAL
14
14
15
15
15
16
16
16
16
17
154
El
700101002
HERITAGE RESOURCES:
20
21
21
22
22
22
23
23
24
24
222
PLANNING/ASSESSMENT
El
700101013
HERITAGE RESOURCES:
15
15
15
16
16
16
17
17
17
18
162
IMPLEMENTATION
El
700101021
COMMUNITY ENVIRONMENTAL
7
7
7
7
7
8
8
8
8
8
75
IMPROVEMENT GRANTS
El
700101029
HERITAGE PROPERTY GRANT
88
90
92
94
96
97
99
101
103
105
965
PROGRAM
El
700201002
HERITAGE IMPACT ASSESSMENTS
14
14
15
16
16
16
16
17
17
17
158
El
700201003
HERITAGE TAX REFUND PROGRAM
6
6
6
6
7
7
7
7
7
7
66
El
700201005
URBAN DESIGN IMPROVEMENTS
81
82
84
86
88
89
91
93
95
97
886
El
700201014
PLANNING AWARDS
-
16
-
17
-
18
-
18
-
19
88
Total PLANNING
12,173 2,614 2,252 2,282 2,301 2,355 2,384 2,449 2,478 2,547 33,835
APPENDIX C 40
Department: DEVELOPMENT SERVICES
Division: TRANSPORTATION SERVICES
Division/Section: TRANSPORTATION SERVICES
New Project Parent Project Project Name
Number Number
City of Kitchener
Capital Forecast Current Capital Budget Year2025 - 2034
Type 2025 2026 2027 2028 2029 2030 2031 2032 2033 2034 Totals
701206002
TRAFFIC CALMING
433
441
450
459
468
478
487
497
507
517
4,737
701206013
STREET LIGHTING MAINTENANCE
282
287
293
299
305
311
317
323
329
336
3,082
El 701209002
TRANS DEM MGMT INITIATIVES
241
246
251
256
261
266
272
277
283
288
2,641
El 801101001
ACTIVE TRANSPORTATION
707
722
736
751
766
781
797
813
829
845
7,747
INFRASTRUCTURE
El 901101001
SMALL SCALE TRAFFIC CALMING
19
19
19
19
20
20
20
21
21
21
199
El 901101002
LED LIGHTING CONVERSION
115
117
120
122
124
127
129
132
135
137
1,258
Total TRANSPORTATION SERVICES
1,797
1,832
1,869
1,906
1,944
1,983
2,022
2,063
2,104
2,144
19,664
APPENDIX C 41
City of Kitchener
Capital Forecast Current Capital Budget Year2025 - 2034
Department:
FINANCIAL SERVICES
Division:
FINANCIAL PLANNING & ASSET MANAGEMENT
Division/Section:
INFRASTRUCTURE ASSET MANAGEMENT
New Project
Parent Project Project Name Type
2025
2026
2027
2028
2029
2030
2031
2032
2033
2034
Totals
Number
Number
El 300401004
DECISION SUPPORT SOFTWARE
37
37
37
38
39
40
41
42
43
44
398
El 800401004
CONDITION STUDY FOR ROADS/SW
101
232
105
241
109
251
116
263
123
271
1,812
Total INFRASTRUCTURE
ASSET MANAGEMENT
138
269
142
279
148
291
157
305
166
315
2,210
APPENDIX C 42
City of Kitchener
Capital Forecast Current Capital Budget Year2025 - 2034
Department:
FINANCIAL SERVICES
Division:
FINANCIAL REPORTING & ERP SOLUTIONS
Division/Section:
ERP STRATEGY & SUPPORT
New Project
Parent Project Project Name Type
2025
2026
2027
2028
2029
2030
2031
2032
2033
2034
Totals
Number
Number
0 202500002
300501005 SUCCESSFACTORS ORGANIZATIONAL
550
-
-
-
-
-
-
-
-
-
550
DEVELOPMENT
0 202500003
300501005 SUCCESSFACTORS PAYROLL
2,249
50
51
52
53
54
55
56
57
58
2,735
0 202500010
300501005 SAP S/4HANA Upgrade
-
2,500
2,500
5,000
5,000
-
-
-
-
-
15,000
El 300401005
CLEVEST UPGRADE AND GENESIS
316
16
516
18
18
20
22
22
22
22
992
El 300501005
ENHANCEMENTS TO SAP SYSTEM
227
230
233
238
243
248
253
258
263
268
2,461
El 70101052
CITYWORKS SOFTWARE UPGRADE
30
30
30
30
30
30
30
30
30
30
300
Total ERP STRATEGY & SUPPORT
3,372
2,826
3,330
5,338
5,344
352
360
366
372
378
22,038
APPENDIX C 43
Department: FINANCIAL SERVICES
Division: REVENUE
Division/Section: REVENUE (PROPERTY TAXES)
New Project Parent Project Project Name
Number Number
City of Kitchener
Capital Forecast Current Capital Budget Year2025 - 2034
Type 2025 2026 2027 2028 2029 2030 2031 2032 2033 2034 Totals
El 300601003 EQUIPMENT AND SOFTWARE 18 18 18 18 18 18 18 18 18 18 180
UPGRADES
El 300601005 REPLACMENT OF POS - - 200 - - - - - - - 200
Total REVENUE (PROPERTY TAXES)
18 18 218 18 18 18 18 18 18 18 380
APPENDIX C 44
City of Kitchener
Capital Forecast Current Capital Budget Year2025 - 2034
Department: GENERAL EXPENSE
Division: GENERAL EXPENSE
Division/Section: BOARDS
New Project Parent Project Project Name Type
Number Number
T�ri�1 II -NI F
2025 2026 2027 2028 2029 2030 2031 2032 2033 2034 Totals
El
350601000
CITS - GENERAL PROVISION
628
641
654
667
680
694
707
722
736
751
6,880
El
70401000
LIBRARIES- GENERAL PROVISION
108
110
113
115
117
119
122
124
127
129
1,184
El
90102003
LIBRARY TECHNOLOGY UPGRADE
371
379
386
394
402
410
418
427
435
444
4,066
El
90102008
WREPNET FIBRE PROJECT
37
38
39
39
40
41
42
43
44
44
407
El
90102020
CUSTOMER NEEDS SURVEY
-
-
66
-
-
-
72
-
-
-
138
El
90102027
INTEGRATED LIBRARY SYSTEM
-
-
-
61
62
63
65
66
67
69
453
El
90102028
KPL ACCESSIBILITY FUND
32
32
33
33
34
35
36
36
37
38
346
El
90102029
Central Library Capital Campaign
-
-
-
-
-
-
-
-
-
2,200
2,200
El
90102032
RESOURCES, FURNITURE &
62
63
64
65
67
68
69
71
72
74
675
EQUIPMENT
El
90102033
AUTOMATED CHECK IN/SORTER
-
-
350
-
-
-
-
-
-
-
350
REPLACE
El
90102036
PROVISION FOR ADDTNL LIBRARY
-
-
-
-
10,250
-
-
-
-
-
10,250
SPACE
Total BOARDS
1,238 1,263 1,705 1,374 11,652 1,430 1,531 1,489 1,518 3,749 26,949
APPENDIX C 45
City of Kitchener
Capital Forecast Current Capital Budget Year2025 - 2034
i�rir 11F.�rF:
Department:
GENERAL EXPENSE
Division:
GENERAL EXPENSE
Division/Section:
OTHER GENERAL EXPENSE
New Project
Parent Project
Project Name Type
2025
2026
2027
2028
2029
2030
2031
2032
2033
2034
Totals
Number
Number
0 202500023
701201008
BRAMM YARDS ENVIRONMENTAL
1,000
-
-
-
-
-
-
-
-
-
1,000
ASSESSMENT
0 202500026
STRATEGIC ADDITION
1,000
-
-
-
-
-
-
-
-
-
1,000
El 70101000
GENERAL CAPITAL CONTINGENCY
207
211
216
220
224
229
233
238
243
248
2,269
El 701201008
ENVIRONMENTAL REMEDIATION
-
-
1,225
1,250
1,275
1,301
1,327
1,353
1,380
1,408
10,519
El 800401009
DEVELOPMENT CHARGE ACT STUDY
-
269
-
-
-
-
-
-
-
-
269
Total OTHER GENERAL EXPENSE
2,207
480
1,441
1,470
1,499
1,530
1,560
1,591
1,623
1,656
15,057
APPENDIX C 46
Department:
INFRASTRUCTURE SERVICES
Division:
FACILITIES MANAGEMENT
Division/Section:
FM OTHER
New Project
Parent Project Project Name
Number
Number
City of Kitchener
Capital Forecast Current Capital Budget Year2025 - 2034
Type 2025 2026 2027 2028 2029 2030 2031 2032 2033 2034 Totals
El
500201012
CITY HALL RENOS/GENERAL PROVISION
119
118
124
126
129
131
134
136
139
142
1,298
El
500201020
AUDITORIUM - MTCE
212
216
220
225
229
234
239
243
248
253
2,319
El
500201057
CITY HALL SPANDREL GLASS REPLACE C
1,500
-
-
-
-
-
-
-
-
-
1,500
El
500201065
CITY HALL OFFICE FURNITURE
119
118
124
126
129
131
134
136
139
142
1,298
El
500203002
KOF MAINTENANCE
457
466
476
486
495
505
515
526
536
547
5,009
El
500203005
CITY HALL COMPLEX - MTCE
223
228
232
237
241
246
251
256
261
267
2,442
El
500203084
FACILITIES MANAGEMENT TOOLS
20
20
20
20
21
21
22
22
23
23
212
El
600901001
KITCHENER INDOOR RECREATION C
93,600
-
-
-
-
-
-
-
-
-
93,600
COMPLEX (KIRC)
El
900401029
FACILITY INFRASTRUCTURE GAP
5,283
5,870
6,416
7,209
7,689
7,835
8,016
8,133
8,295
8,461
73,207
El
900401030
900401029 CENTREVILLE CHICOPEE-SOGR
2,000
-
-
-
-
-
-
-
-
-
2,000
PROJECTS
El
900401040
900401029 KIT FACILITIES ASSET MGMT PLAN
450
450
450
-
-
-
-
-
-
-
1,350
El
900401041
FACILITIES ASSESSMENT PROGRAM
173
125
127
-
-
-
-
-
-
-
425
Total FM OTHER
104,156 7,611 8,189 8,429 8,933 9,103 9,311 9,452 9,641 9,835 184,660
APPENDIX C 47
Department:
INFRASTRUCTURE SERVICES
Division:
FACILITIES MANAGEMENT
Division/Section:
FM SECURITY
New Project
Parent Project Project Name
Number
Number
City of Kitchener
Capital Forecast Current Capital Budget Year2025 - 2034
Type 2025 2026 2027 2028 2029 2030 2031 2032 2033 2034 Totals
El 500201005 SECURITY/PUNCTURE PROOF VESTS - - - - 38 - - - - - 38
Total FM SECURITY
38 38
APPENDIX C 48
City of Kitchener
Capital Forecast Current Capital Budget Year2025 - 2034
Department:
INFRASTRUCTURE SERVICES
Division:
FLEET
Division/Section:
ADMINISTRATION
New Project
Parent Project Project Name Type
Number
Number
2025 2026 2027 2028 2029 2030 2031 2032 2033 2034 Totals
El 202400001 FLEET SYSTEM UPGRADE 200 - - - - - - - - - 200
0 202500001 SUSTAINABLE FLEET TRANSITION 100 - - - - - - - - - 100
STRATEGY
Total ADMINISTRATION
300 300
APPENDIX C 49
Department:
INFRASTRUCTURE SERVICES
Division:
FLEET
Division/Section:
GENERAL
New Project
Parent Project Project Name
Number
Number
City of Kitchener
Capital Forecast Current Capital Budget Year2O25 - 2034
Type 2025 2026 2027 2028 2029 2030 2031 2032 2033 2034 Totals
El 300801001 REPLACEMENT EQUIPMENT 7,124 6,387 4,768 5,966 6,354 6,225 6,042 5,971 6,091 6,091 61,019
El 500401000 EQUIP ACQUISITIONS & UPGRADES 1,381 1,407 1,435 1,464 1,493 1,523 1,554 1,585 1,616 1,616 15,074
TotaIGENERAL
8,505 7,794 6,203 7,430 7,847 7,748 7,596 7,556 7,707 7,707 76,093
APPENDIX C 50
Department: INFRASTRUCTURE SERVICES
Division: GAS UTILITY
Division/Section: GAS DELIVERY
New Project Parent Project Project Name
Number Number
City of Kitchener
Capital Forecast Current Capital Budget Year2025 - 2034
Type 2025 2026 2027 2028 2029 2030 2031 2032 2033 2034 Totals
El
20240017
BUSINESS STRATEGY IN KU RENTAL
150
150
150
150
-
-
-
-
-
-
600
PROGRAMS
El
870201001
DEMAND SIDE MGMT
300
300
300
300
300
300
300
300
300
300
3,000
El
870203000
GAS PIPELINES
10,228
10,370
9,415
9,563
9,715
9,909
10,107
10,309
10,515
10,726
100,857
El
870204001
NEW TOOLS
132
136
139
142
145
148
151
154
157
160
1,464
El
900702010
REGULATED GATE STATION SECURITY
25
25
25
25
25
25
26
27
27
28
258
MANAGMENT PROGRAM
El
900702024
GAS METER INSTALLATION
2,897
2,937
2,551
2,599
2,648
2,701
2,755
2,810
2,866
2,924
27,688
El
900702025
GAS CAPACITY PROJECTS
861
972
777
486
1,190
841
1,751
-
-
-
6,878
Total GAS DELIVERY
14,593
14,890
13,357
13,265
14,023
13,924
15,090
13,600
13,865
14,138
140,745
APPENDIX C 51
Department:
INFRASTRUCTURE SERVICES
Division:
OPERATIONS - ROADS & TRAFFIC
Division/Section:
CONCRETE MAINTENANCE
New Project
Parent Project Project Name
Number
Number
City of Kitchener
Capital Forecast Current Capital Budget Year2025 - 2034
1
K*TR
Type 2025 2026 2027 2028 2029 2030 2031 2032 2033 2034 Totals
El 800405003 MAJOR SIDEWALK REPAIR/REPLACE 719 791 864 936 1,010 1,030 1,050 1,071 1,093 1,115 9,679
Total CONCRETE MAINTENANCE
719 791 864 936 1,010 1,030 1,050 1,071 1,093 1,115 9,679
APPENDIX C 52
City of Kitchener
Capital Forecast Current Capital Budget Year2025 - 2034
Department:
INFRASTRUCTURE SERVICES
Division:
PARKS & CEMETERIES
Division/Section:
ADMIN SUPPORT - PARKS
New Project
Parent Project Project Name Type
2025
2026
2027
2028
2029
2030 2031 2032 2033 2034 Totals
Number
Number
El 901301001
DOWNTOWN MAINTENANCE
65
65
65
65
65
65 65 66 68 69 658
El 901302001
CITYWIDE PARK MSTRPLN C
-
-
331
-
3,446
- - - - - 3,777
IMPLEMENTATI
El 901302002
VIC PARK MSTRPLN IMPLEMENTATION C
-
1,040
1,040
1,040
-
- - - - - 3,120
El 901303001
INVASIVE SPECIES MGMT PLAN
265
-
-
-
-
- - - - - 265
Total ADMIN SUPPORT - PARKS
330
1,105
1,436
1,105
3,511
65 65 66 68 69 7,820
APPENDIX C 53
City of Kitchener
Capital Forecast Current Capital Budget Year2025 - 2034
Department:
INFRASTRUCTURE SERVICES
Division:
PARKS & CEMETERIES
Division/Section:
CEMETERIES
New Project
Parent Project Project Name Type
2025 2026
2027
2028
2029
2030 2031 2032 2033 2034 Totals
Number
Number
El 601401001
CEMETERIES -MTCE
46 46
87
89
91
93 95 53 54 55 709
El 620205005
LAND ACQUISITION (91 MOORE)
- 265
219
-
-
- - - - - 484
El 901312001
OUTDOOR COLUMBARIUM
- -
-
20
60
- - - - - 80
TotaICEMETERIES
46 311
306
109
151
93 95 53 54 55 1,273
APPENDIX C 54
City of Kitchener
Capital Forecast Current Capital Budget Year2025 - 2034
TVI(HI-.�1-i�
Department:
INFRASTRUCTURE SERVICES
Division:
PARKS & CEMETERIES
Division/Section:
FORESTRY
New Project
Parent Project Project Name Type
2025
2026
2027
2028
2029
2030
2031
2032
2033
2034
Totals
Number
Number
El 901311001
TREE PLANTING
755
803
760
565
600
516
454
489
499
509
5,950
El 901311002
TREE STUMPING
544
501
462
474
486
498
510
523
533
544
5,075
El 901311003
TREE & RISK INSPECTIONS &
29
4
4
4
59
32
4
4
4
4
148
MITIGATION
Total FORESTRY
1,328
1,308
1,226
1,043
1,145
1,046
968
1,016
1,036
1,057
11,173
APPENDIX C 55
Department:
INFRASTRUCTURE SERVICES
Division:
PARKS & CEMETERIES
Division/Section:
SPORTSFIELDS
New Project
Parent Project Project Name
Number
Number
City of Kitchener
Capital Forecast Current Capital Budget Year2025 - 2034
Type 2025 2026 2027 2028 2029 2030 2031 2032 2033 2034 Totals
El 600609001 NEIGHBOURHOOD PARK REHAB 84 - 20 38 957 976 996 1,015 1,036 1,056 6,178
El 901308017 SPORTSFIELDS LIGHTING 2,653 - - - - - - - - - 2,653
Total SPORTSFIELDS 2,737
- 20 38 957 976 996 1,015 1,036 1,056 8,831
APPENDIX C 56
City of Kitchener
Capital Forecast Current Capital Budget Year2025 - 2034
kr I, lII m 1y
Department:
Division:
Division/Section:
New Project
Number
INFRASTRUCTURE SERVICES
PARKS & CEMETERIES
TRAILS, PLAYGROUND & PARK INFRASTRUCTURE
Parent Project Project Name Type
Number
2025
2026
2027
2028
2029
2030
2031
2032
2033
2034
Totals
0 202500018
DOON OLD MILL RUINS
250
-
-
-
-
-
-
-
-
-
250
600609000
COMMUNITY TRAILS GNRL PROVISION
718
1,714
1,856
1,903
3,426
3,495
3,565
3,636
3,709
3,783
27,805
El 620403001
EARTH DAY BEE CITY & NAT AREA
70
72
73
75
76
78
78
79
81
82
764
EVNTS
El 620910004
KITCHENERS NATURAL AREAS
137
141
145
148
150
154
157
160
163
166
1,521
PROGRAM (KNAP)
El 620910009
NATURAL AREA ACQUISITION FUND
100
100
100
100
100
100
100
100
100
100
1,000
El 620912016
RBJ SCHLEGEL PARK C
1,956
-
1,378
-
-
-
-
-
-
-
3,334
El 900616002
NEW NEIGHBOURHOOD PARKS
1,974
2,013
2,054
2,095
2,137
2,179
2,223
2,267
2,313
2,359
21,614
El 901005010
600609000
PARK BRIDGE REPLACEMENTS
120
-
-
-
-
-
-
-
-
-
120
El 901306003
600609000
PED BRIDGES -INSPECT & MTCE
120
72
123
75
126
78
131
134
137
139
1,135
El 901306005
DMAF-WALTER BEAN TRAIL C
300
-
-
-
-
-
-
-
-
-
300
El 901306007
600609000
PED BRIDGE 903 IDLEWD CR TRAIL
138
-
-
-
-
-
-
-
-
-
138
El 901306016
BLOCKLINE TO MANITOU TRAIL
743
758
-
-
-
-
-
-
-
-
1,501
El 901306017
600609000
WALKWAY UPGRADES
200
-
-
-
-
-
-
-
-
-
200
El 901306021
600609000
MILLWOOD PARK & CARLYLE
350
-
-
-
-
-
-
-
-
-
350
El 901306022
600609000
COUNTRY HILLS
150
-
-
-
-
-
-
-
-
-
150
El 901308003
PARKS & SPORTSFIELDS GEN PRV
-
-
83
711
1,543
1,572
1,604
1,636
1,669
1,702
10,520
El 901308013
901308003
COUNTRYSIDE (DMAF)
-
800
-
-
-
-
-
-
-
-
800
El 901308014
901308003
MILLWOOD PARK (DMAF)
800
-
-
-
-
-
-
-
-
-
800
El 901308018
901308003
UPPER CANADA PARK
1,884
-
-
-
-
-
-
-
-
-
1,884
APPENDIX C 57
Department:
Division:
Division/Section:
New Project
Number
City of Kitchener
Capital Forecast Current Capital Budget Year2025 - 2034
INFRASTRUCTURE SERVICES
PARKS & CEMETERIES
TRAILS, PLAYGROUND & PARK INFRASTRUCTURE
Parent Project Project Name Type 2025 2026 2027 2028 2029 2030 2031 2032 2033 2034 Totals
Number
El 901308020
901308003
HIBNER, MAJOR, ARNOLD, ASH,
1,001
1,555
600
-
- - - - - - 3,156
BREITHA
El 901308021
901308003
TIMBERLANE, WESTHEIGHT, TRAILVIEW
-
-
1,700
1,700
- - - - - - 3,400
El 901309002
PARK NATURALIZATION
50
50
-
-
- - - - - - 100
El 901310002
CITYWIDE PARKS GENERAL PROVISION
830
847
864
881
898 916 935 953 973 992 9,089
El 901310004
901310002
MCLENNAN PARK IMPROVEMENTS
261
825
420
950
- - - - - - 2,456
El 901310007
901310002
ROCKWAY GARDENS ANNUAL REPAIRS
11
11
11
11
12 12 12 12 13 13 118
TotaITRAILS, PLAYGROUND & PARK INFRASTRUCTURE
12,163
8,958
9,407
8,649
8,468 8,584 8,805 8,977 9,158 9,336 92,505
APPENDIX C 58
City of Kitchener
Capital Forecast Current Capital Budget Year2025 - 2034
Department:
INFRASTRUCTURE SERVICES
Division:
SANITARY SEWER UTILITY
Division/Section:
SANITARY ADMIN
New Project
Parent Project Project Name
Number
Number
El 20240003
208
MANHOLE/ZOOM INSPECTIONS
El 20240004
220
UTILITY RATE MODEL
El 20240005
232
SANITARY CAPACITY PROJECTS
El 20240006
2,221
SSU MAINTENANCE EQUIPMENT
-
-
(VEHICLES)
El 20240009
-
BRANDING REFRESH
El 20240010
-
ENHANCED COMMUNITY
150
-
ENGAGEMENT
El 20240011
2,256
INFILTRATION/INFLOW REDUCTION
2,347
2,394
AND MITIGATION
El 20240012
2,541
HYDRAULIC MODEL MAINTENANCE
El 20240013
850
FORCEMAIN CONDITION ASSESSMENT
El 20240015
-
SEWER MAIN REHAB
El 701203002
-
SANITARY FLOW MONITORING
El 701203010
850
PUMPING STATION REPLACEMENT
El 800401012
100
CCTV SEWER INSPECTION
El 800403009
-
PUMPING STATIONS GENERAL MTCE
El 801008010
701203010
MOORE SPS
El 801008011
701203010
OXFORDSPS
El 801008012
701203010
MANCHESTER SPS REHAB
El 901401002
114
TRUNK SEWER REHAB
El 901401003
901401002
OTTAWA ST TRUNK SANITARY SEWER
Type 2025 2026 2027 2028 2029 2030 2031 2032 2033 2034 Totals
204
208
212
216
220
224
228
232
236
241
2,221
150
-
-
-
-
-
-
-
-
-
150
-
-
-
2,256
2,301
2,347
2,394
2,442
2,491
2,541
16,772
-
850
-
-
-
-
-
-
-
-
850
-
50
100
-
-
-
-
-
-
-
150
102
104
106
108
110
112
114
116
118
120
1,110
500
510
520
530
541
552
563
574
585
597
5,472
153
156
159
162
165
168
171
174
177
181
1,666
150
-
-
-
-
-
-
-
-
-
150
2,040
2,081
2,123
2,165
2,208
2,252
2,297
2,343
2,390
2,438
22,337
412
421
429
437
446
454
463
473
482
492
4,509
-
-
-
-
439
4,566
2,040
3,508
3,135
3,197
16,885
717
819
927
946
965
985
1,004
1,025
1,046
1,067
9,501
325
331
337
344
350
357
364
371
379
387
3,545
-
-
1,495
-
-
-
-
-
-
-
1,495
2,165
-
-
-
-
-
-
-
-
-
2,165
1,000
1,922
4,042
3,341
-
-
-
-
-
-
10,305
-
4,850
5,000
5,100
5,202
5,306
5,412
5,520
5,630
5,743
47,763
4,300
-
-
-
-
-
-
-
-
-
4,300
APPENDIX C 59
Total SANITARY ADMIN
City of Kitchener
Capital Forecast Current Capital Budget Year2025 - 2034
12,218 12,302 15,450 15,605 12,947 17,323 15,050 16,778 16,669 17,004 151,346
APPENDIX C 60
City of Kitchener
Capital Forecast Current Capital Budget Year2025 - 2034
Department:
Division:
Division/Section:
New Project
Number
INFRASTRUCTURE SERVICES
STORM WATER UTILITY
STORM ADMIN
Parent Project Project Name
Number
Type
2025
2026
2027
2028
2029
2030
2031
2032
2033
2034
Totals
0 202500004
STORM UTILITY LAND ACQUISITION
1,031
1,052
961
-
-
-
-
-
-
-
3,044
0 202500005
SWM POND AND CREEK
-
-
-
-
-
-
-
11,717
11,951
12,190
35,858
INFRASTRUCTURE
El 701204001
SWM MONITORING PROGRAM
270
213
125
130
133
136
138
141
144
147
1,577
El 701204016
MISC. CREEK REHABILITATION
137
140
143
146
149
152
155
158
161
164
1,505
El 701204021
WATERCOURSE IMPRVMT PROGRAM
-
-
435
450
917
468
478
487
497
507
4,239
El 701204022
SWM FACILITY RETROFITS PROGRAM
265
271
276
282
287
293
299
305
311
317
2,906
El 701204025
DRAINAGE IMPRVMT PROGRAM
310
168
175
184
193
197
201
205
209
213
2,055
El 801009001
HIDDEN VALLEY CREEK
C
2,550
-
-
-
-
-
-
-
-
-
2,550
IMPROVEMENTS
El 801009003
SCHNEIDER CREEK WATERCOURSE
C
1,000
-
-
-
-
-
-
10,657
-
-
11,657
El 801009006
DMAF- SCHNEIDER CREEK AT
306
-
-
-
-
-
-
-
-
-
306
MANITOU IMPROVT
El 801009009
DMAF-BORDEN CREEK AT HWY85
-
-
-
850
-
-
-
-
-
-
850
IMPROVEMENT
El 801009010
DMAF-BORDEN CREEK AT CONCORDIA
C
-
-
-
1,409
-
-
-
-
-
-
1,409
IMPROVEMENT
El 801009011
DMAF-LOWER LAUREL CREEK
C
-
-
-
-
4,349
3,939
4,017
-
-
-
12,305
IMPROVEMENTS
El 801009012
DMAF-VOISIN CREEK AT GREENBROOK
C
-
-
-
-
2,319
2,365
-
-
-
-
4,684
DR
El 801009013
DMAF-MIDDLE STRASBURG
C
4,760
9,710
-
-
-
-
-
-
-
-
14,470
NATURALIZATION
El 801009018
SWMF 61 AT BATTLER RETROFIT
C
-
-
-
2,035
-
-
-
1,716
1,716
-
5,467
El 801009019
DMAF-PROSPECT PARK SWM
C
-
-
2,573
2,353
510
-
-
-
-
-
5,436
ENHANCEMENTS
APPENDIX C 61
City of Kitchener
Capital Forecast Current Capital Budget Year2025 - 2034
Department: INFRASTRUCTURE SERVICES
Division: STORM WATER UTILITY
Division/Section: STORM ADMIN
New Project Parent Project Project Name Type
Number Number
2025 2026 2027 2028 2029 2030 2031 2032 2033 2034 Totals
Total STORM ADMIN 18,072 23,714 15,404 14,635 13,515 13,640 14,522 27,615 16,362 20,871 178,350
APPENDIX C 62
801009020
DMAF-SANDROCK HYDRO CORRIDOR
C 3,636
3,710
-
-
-
-
-
- - -
7,346
SWM
El
801009021
DMAF-CHERRY PARK SWM
C -
-
-
1,490
-
-
-
- - -
1,490
ENHANCEMENT
El
801009022
DMAF-COUNTRYSIDE PARK SWM
288
-
-
528
1,397
2,929
-
- - -
5,142
ENHANCEMENT
El
801009023
DMAF-COUNTRY HILL PARK SWM
1,565
884
-
-
-
-
-
- - -
2,449
ENHANCEMENT
El
801009024
DMAF-IDLEWOOD GREENWAY SWM
C 21
-
3,849
1,772
180
-
-
- - -
5,822
ENHANCEMENT
El
801009025
DMAF-MILLWOOD PARK SWM
334
490
2,132
-
-
-
-
- - -
2,956
ENHANCEMENT
El
801009027
BIEHN PARK SWM ENHANCEMENT
C -
-
-
-
-
-
-
- - 5,934
5,934
El
801009029
DMAF-CREEK NATURALIZATION
-
6,820
3,902
2,667
2,736
2,809
2,706
- - -
21,640
El
801009031
REEP DMAF SUPPORT
A 169
173
176
-
-
-
-
- - -
518
El
901009011
SEDIMENT MANAGEMENT PROGRAM
319
-
657
339
345
352
359
366 374 381
3,492
El
901009012
MARKET INCENTIVE PROGRAM
-
-
-
-
-
-
912
966 84 86
2,048
El
901009016
PARK/SWM ENHANCEMENTS
1,030
-
-
-
-
-
5,257
897 915 932
9,031
El
901402003
HYDRAULIC MODELLING
28
29
-
-
-
-
-
- - -
57
El
901402004
LID IMPLEMENTATION
53
54
-
-
-
-
-
- - -
107
Total STORM ADMIN 18,072 23,714 15,404 14,635 13,515 13,640 14,522 27,615 16,362 20,871 178,350
APPENDIX C 62
City of Kitchener
Capital Forecast Current Capital Budget Year2025 - 2034
Department:
INFRASTRUCTURE SERVICES
Division:
WATER UTILITY
Division/Section:
WATER ADMIN
New Project
Parent Project Project Name Type
Number
Number
El 20240007
UNSPECIFIED WATER CAPITAL
1,852
REPLACEMENTS
El 20240008
RAISING WATER AIR RELIEF
2,123
VALVES/CHAMBERS
0 202500006
OTTAWA WATERMAIN LOOPING
0 202500007
WATERMAIN CRITICALITY ANALYSIS
0 202500008
FREDERICK ST WATERMAIN
-
REPLACEMENT
El 701205144
HIGHWAY 7 EXTENSION - SECNDRY C
-
WATE
El 870102001
REPLACEMENT WATER METERS
El 870103000
MINOR EQUIPMENT
El 870103005
LEAD SERVICE REPLACEMENTS
El 870104003
UNCOMMITTED WATER PROJECTS
El 900701025
VICTORIA ST- FREDRICK TO BRUCE C
El 900701041
VALVE REPLACEMENT
El 900701053
DEERIDGE/SPORTSWORLD BACKFEED C
El 900701054
FAIRWAY RD N - BRIARMEADOW - KING C
El 900701055
FISCHER HALLMAN - FOREST HILL C
-
EXPRW
El 900701056
HOWE DRIVE
El 900701058
WESTMOUNT RD OTTAWA TO C
375
GREENBRO
El 900701064
WATER DISTB MASTER PLAN C
2025 2026 2027 2028 2029 2030 2031 2032 2033 2034 Totals
390
903
1,852
2,000
2,040
2,081
2,123
2,165
2,208
2,252
18,014
26
27
28
-
-
-
-
-
-
-
81
800
-
-
-
-
-
-
-
-
-
800
50
-
-
-
-
-
-
-
-
-
50
375
-
-
-
-
-
-
-
-
-
375
-
-
5,022
-
-
-
-
-
-
-
5,022
1,081
1,102
1,124
1,146
1,168
1,192
1,216
1,241
1,265
1,291
11,826
53
54
55
56
57
58
59
60
61
62
575
52
52
52
52
52
52
52
52
52
52
520
67
68
69
70
71
72
74
76
77
79
723
-
-
-
-
-
-
-
-
1,433
-
1,433
675
675
675
675
675
675
675
675
675
675
6,750
-
-
-
2,000
-
-
-
-
-
-
2,000
-
-
-
729
1,868
729
-
-
-
-
3,326
-
-
356
1,687
-
-
-
-
-
-
2,043
-
325
-
-
-
-
-
-
-
-
325
-
-
1,466
1,185
-
-
-
-
-
-
2,651
145
-
-
-
-
-
-
-
-
-
145
APPENDIX C 63
Department: INFRASTRUCTURE SERVICES
Division: WATER UTILITY
Division/Section: WATER ADMIN
New Project Parent Project Project Name
Number Number
City of Kitchener
Capital Forecast Current Capital Budget Year2025 - 2034
1Vl(HI-.AI-�
Type 2025 2026 2027 2028 2029 2030 2031 2032 2033 2034 Totals
El
901501002
HYDRANT & SERVICE REPLACEMENTS
106 108 110
112 114 116 118 120 123 125 1,152
El
901501003
PRESSURE ZONE CHANGES
200 - -
- - - - - - - 200
El
901501004
STIRLING AVE-COURTLAND TO KING C
373 3,908 1,453
- - - - - - - 5,734
WM
El
901501005
EAST AVE -CAMERON -EUGENE GRG C
2,073 - -
- - - - - - - 2,073
WAY
El
901501007
WATER METER SHOP TABLETS
- - -
33 - - - - 36 - 69
Total WATER ADMIN 6,466 7,222 12,262 9,745 6,045 4,975 4,317 4,389 5,930 4,536 65,887
APPENDIX C 64
2025 RESERVE FUNDS BUDGET
B Subtotal Revenues
1,066
142
114
Stabilization Reserve Funds
289
815
(6)
('000's)
1,827
Investment
Weather
Gas Utility
Gas Utility
Water Utility
Golf Enterprise
Parking
Sanitary Sewer
Stormwater
Tax Stab.
Stab.
Events Stab.
(Delivery) Stab.
(Supply) Stab.
Stab.
Stab. I
Enterprise Stab.
Utility Stab.
Utility Stab.
A Opening Balance
17,652
2,625 2,116
5,450
5,346
8,867 (1,510)
(102)
11,179
1,903
Revenues
Transfer to Reserve Fund
304
706
Transfer from Operating
110
- -
607
-
336 82
-
-
1,724
Transfer from Capital
-
-
-
-
-
Transfer from Reserve Fund
1
Other
-
Transfer from Internal Charges
-
- -
-
-
- -
-
-
-
Interest Income
956
142 114
294
289
479 (82)
(6)
604
103
Other
-
- -
1
-
- -
1,467
-
-
B Subtotal Revenues
1,066
142
114
902
289
815
(6)
604
1,827
Expenses
Transfer to Operating
-
-
-
-
1,470
-
511
533
-
Transfer to Capital
-
-
-
-
-
-
Transfer to Reserve Fund
304
706
360
Transfer to Internal Charges
-
-
-
Direct Expenditures
1
Other
-
-
-
-
-
-
C Subtotal Expenses
-
-
-
304
1,470
706
511
534
360
D Net Change (B -C)
1,066
142
114
598
(1,181)
109
(517)
70
1,467
E Ending Balance (A+D)
18,718
2,767
2,230
6,048
4,165
8,976
(1,510) (619)
11,249
3,370
Reserve Fund Target Level
Minimum
8,191
-
1,620
4,954
3,337
5,984
329 724
7,689
3,011
Maximum
24,574
2,500
3,239
7,431
5,005
8,976
494 1,086
11,534
4,516
CITY OF KITCHENER 2025 BUDGET SUMMARY APPENDIX D1
2025 RESERVE FUNDS BUDGET
E Ending Balance (A+D) 28 575 204 7,988 9,134 2,267
Reserve Fund Target Level
Minimum 25 230 65 10,338 10,435 2,580
Maximum 125 345 98 15,506 15,652 3,870
CITY OF KITCHENER 2025 BUDGET SUMMARY APPENDIX D2
Corporate Reserve Funds
('000's)
Learning &
Mediation
Development
Arbitration
WSIB
Sick Leave
Insurance
A Opening Balance
26
573
192
6,862
7,762
1,979
Revenues
Transfer from Operating
351
41
3,763
4,543
-
Transfer from Capital
-
-
-
-
Transfer from Reserve Fund
-
Transfer from Internal Charges
-
-
3,423
Interest Income
1
30
10
371
419
107
Other
1
-
14
-
72
B Subtotal Revenues
2
381
51
4,148
4,962
3,602
Expenses
Transfer to Operating
-
-
-
-
Transfer to Capital
Transfer to Reserve Fund
Transfer to Internal Charges
-
-
-
-
Direct Expenditures
379
39
2,947
2,357
3,314
Other
-
75
1,233
-
C Subtotal Expenses
379
39
3,022
3,590
3,314
D Net Change (B -C)
2
2
12
1,126
1,372
288
E Ending Balance (A+D) 28 575 204 7,988 9,134 2,267
Reserve Fund Target Level
Minimum 25 230 65 10,338 10,435 2,580
Maximum 125 345 98 15,506 15,652 3,870
CITY OF KITCHENER 2025 BUDGET SUMMARY APPENDIX D2
2025 RESERVE FUNDS BUDGET
C Subtotal Expenses 5 1,560 10 1,107 13,036 657 3
D Net Change (B -C) 14 (595) (1) (570) (833) (221) 2 111 10
E Ending Balance (A+D) 364 756 69 2,487 4,907 678 38 185 23
Reserve Fund Target Level
Minimum - - - - - - 15
Maximum 500 400 65 10,000 10,000 1,900 775 50
CITY OF KITCHENER 2025 BUDGET SUMMARY APPENDIX D3
Program Specific Reserve Funds
('000's)
Activa Group
Energy
Economic
Municipal
Affordable
Sportsplex
Retrofit
public Art
Development
EDIF 2.0
Accom. Tax
Housing
Election
Oktoberfest
A Opening Balance
350
1,351
70
3,057
5,740
899 36
74
13
Revenues
-
Transfer from Operating
-
750
386
1,349
-
104
12
Transfer from Capital
-
5
-
-
Transfer from Reserve Fund
5
-
888
Transfer from Internal Charges
-
-
-
-
Interest Income
19
55
4
146
280
41 2
7
1
Other
160
-
9,686
395
B Subtotal Revenues
19
965
9
537
12,203
436 2
111
13
Expenses
Transfer to Operating
-
43
-
100
Transfer to Capital
1,400
110
11,687
250
Transfer to Reserve Fund
-
893
-
-
Transfer to Internal Charges
-
-
Direct Expenditures
5
-
10
61
1,349
-
3
Other
160
-
307
C Subtotal Expenses 5 1,560 10 1,107 13,036 657 3
D Net Change (B -C) 14 (595) (1) (570) (833) (221) 2 111 10
E Ending Balance (A+D) 364 756 69 2,487 4,907 678 38 185 23
Reserve Fund Target Level
Minimum - - - - - - 15
Maximum 500 400 65 10,000 10,000 1,900 775 50
CITY OF KITCHENER 2025 BUDGET SUMMARY APPENDIX D3
2025 RESERVE FUNDS BUDGET
E Ending Balance (A+D) 322 276 75 794 2,268 3,336 4,060 2,381 1,936 2,553
Reserve Fund Target Level
Minimum 750 - 362 - - 815 2,500
Maximum 5,932 5,000 1,808 5,000 5,000 2,445 7,500
3,010 2,500
9,030 7,500
CITY OF KITCHENER 2025 BUDGET SUMMARY APPENDIX D4
Capital Reserve Funds
('000's)
Facility
Auditorium
Land
Business
Technology
Hydro
Gas Utility
Tax Cap.
DC Recovery
Infrastructure
Ticket Sales
Inventory
Parks
Infrastructure
Investment
Equipment
Investment
A Opening Balance
10,732
205
66
647
2,200
3,165
2,941
2,668
3,840
2,550
Revenues
Transfer from Operating
-
-
2,714
419
-
-
400
-
4,691
15,847
Transfer from Capital
-
-
-
-
1,401
-
Transfer from Reserve Fund
1,987
-
-
Transfer from Internal Charges
-
-
-
-
1,755
-
-
-
Interest Income
291
13
4
38
117
171
138
133
207
134
Other
-
-
-
-
-
-
28
8,741
323
-
B Subtotal Revenues
291
2,000
2,718
457
117
171
2,321
8,874
6,622
15,981
Expenses
Transfer to Operating
-
-
-
105
-
-
-
3,650
20
9,458
Transfer to Capital
10,700
1,929
2,709
205
5,511
7,125
6,520
Transfer to Reserve Fund
-
-
-
-
-
-
-
Transfer to Internal Charges
-
Direct Expenditures
1
49
1,149
-
Other
-
-
-
-
53
-
1,381
C Subtotal Expenses
10,701
1,929
2,709
310
49
-
1,202
9,161
8,526
15,978
D Net Change (B -C)
(10,410)
71
9
147
68
171
1,119
(287)
(1,904)
3
E Ending Balance (A+D) 322 276 75 794 2,268 3,336 4,060 2,381 1,936 2,553
Reserve Fund Target Level
Minimum 750 - 362 - - 815 2,500
Maximum 5,932 5,000 1,808 5,000 5,000 2,445 7,500
3,010 2,500
9,030 7,500
CITY OF KITCHENER 2025 BUDGET SUMMARY APPENDIX D4
2025 RESERVE FUNDS BUDGET
('000's)
A Opening Balance
Revenues
Transfer from Operating
Transfer from Capital
Transfer from Reserve Fund
Transfer from Internal Charges
Interest Income
Other
B Subtotal Revenues
Expenses
Transfer to Operating
Transfer to Capital
Transfer to Reserve Fund
Transfer to Internal Charges
Direct Expenditures
Other
C Subtotal Expenses
-
Capital Reserve Funds
-
-
6,676
Obligatory Reserve Funds
131,529
Gas Utility
Water Utility
Golf Enterprise
Parking
Sanitary Sewer
Stormwater
Development
CCBF
Building
Recreational
Cap.
Cap.
Cap.
Enterprise Cap.
Utility Cap.
Utility Cap.
Charges
(274)
Enterprise
Land
1,010
10,454
(352) 814
19,044
1,895
(34,061)
1,029 12,149
16,059
-
-
95 -
-
-
- -
94
304
706
11,471
903
360
20,278
14,144
-
55
431
(17) 44
668
48
(661)
111 656
890
-
-
-
-
-
175,175
8,412 -
850
359
1,137
78 44
668
408
174,514
8,523 656
1,834
-
-
-
-
-
- 3,008
-
2,473
6,675
1,000
124,907
6,377 -
100
-
-
-
1,987
-
-
1
1
4,635
C Subtotal Expenses
-
2,474
-
-
6,676
1,000
131,529
6,377
3,008
100
D Net Change (B -C)
359
(1,337)
78
44
(6,008)
(592)
42,985
2,146
(2,352)
1,734
E Ending Balance (A+D)
1,369
9,117
(274)
858
13,036
1,303
8,924
3,175
9,797
17,793
Reserve Fund Target Level
Minimum
7,147
11,471
903
602
20,278
14,144
-
-
7,582
-
Maximum
21,441
34,413
2,708
1,805
60,833
42,433
5,000
4,207
11,397
5,000
CITY OF KITCHENER 2025 BUDGET SUMMARY APPENDIX D5
(000's)
Stabilization Reserve Funds
Rating Legend
Reserve fund has a positive balance and is at or above the maximum target
Reserve fund has a positive balance and is at or above the minimum target
but below the maximum target
Reserve fund has a positive balance but is below the minimum target
!� Reserve fund has no balance or a negative balance
2024
2024
2025
2026
2027
2028
2029
Budget
1 Projection
1 Budget
1 Budget
1 Budget
1 Budget
1 Budget
Operating Stabilization Reserve Funds
Tax Stabilization 18,752 17,652 18,718 19,692 20,552 21,260 21,988
J 0 0 J 0 0 �J
Investment Stabilization 2,100 2,625 2,767 2,894 3,004 3,091 3,180
Weather Events 2,053 2,116 2,230 2,332 2,421 2,491 2,564
Total Operating Stabilization Reserve Funds
22,905
22,393
23,715
24,918
25,977
26,842
27,732
Minimum Operating Stabilization Reserve Funds
9,421
9,421
9,811
10,220
10,650
11,102
11,576
Maximum Operating Stabilization Reserve Funds
29,142
29,142
30,313
31,541
32,831
34,186
35,608
Enterprise Stabilization Reserve Funds
Gas Utility (Delivery) Stabilization 3,150 5,450 6,048 6,468 6,805 7,039 7,269
01 0 0 C", 01
Gas Utility (Supply) Stabilization 6,313 5,346 4,165 4,738 4,768 4,869 4,978
0 0
Water Utility Stabilization 8,221 8,867 8,976 8,513 6,363 4,455 4,460
Golf Enterprise Stabilization (1,670) (1,510) (1,510) (1,478) (1,407) (1,319) (1,219)
CITY OF KITCHENER 2025 BUDGET SUMMARY APPENDIX D6
(000's)
2024
2024
2025
2026
2027
2028
2029
Budget
I Projection
1 Budget
1 Budget
1 Budget
1 Budget
1 Budget
Enterprise Stabilization Reserve Funds (cont'd)
Parking Enterprise Stabilization (689) (102) (619) (940) (1,133) (1,044) (819)
• ! 0
Sanitary Sewer Utility Stabilization 8,228 11,179 11,249 10,346 9,400 8,962 11,596
0
Storm Water Utility Stabilization 652 1,903 3,370 3,014 3,106 3,661 4,591
0
Total Enterprise Stabilization Reserve Funds
24,205
31,133
31,679
30,661
27,902
26,623
30,856
Minimum Enterprise Stabilization Reserve Funds
24,663
24,963
26,028
27,813
29,074
30,531
32,049
Maximum Enterprise Stabilization Reserve Funds
36,993
37,444
39,041
41,721
43,612
45,796
48,074
Total Stabilization Reserve Funds
47,110
53,526
55,394
55,579
53,879
53,465
58,588
Minimun Stabilization Reserve Funds
34,083
34,384
35,839
38,033
39,725
41,633
43,625
Maximum Stabilization Reserve Funds
66,136
66,586
69,354
73,262
76,444
79,982
83,683
Corporate Reserve Funds
Mediation 27
26
28
30
32
33
35
Learning & Development 497 573 575 522 458 463 477
4 -11'
Arbitration 186 192 204 215 146 154 163
0 0 0 0 • 0.
WSIB 4,416 6,862 7,988 9,067 10,079 10,994 11,889
Sick Leave 6,631 7,762 9,134 10,748 12,432 14,576 16,545
Insurance 2,456 1,979 2,267 2,510 2,701 2,827 2,908
Total Corporate Reserve Funds 14,213 17,394 20,196 23,092 25,848 29,047 32,017
Minimum Corporate Reserve Funds 23,592 23,652 23,672 23,784 24,562 24,652 24,782
Maximum Corporate Reserve Funds 35,475 35,566 35,596 35,763 36,931 37,066 37,261
CITY OF KITCHENER 2025 BUDGET SUMMARY APPENDIX D7
(000's)
2024
2024
2025
2026
2027
2028
2029
Budget
I Projection
1 Budget
1 Budget
1 Budget
1 Budget
1 Budget
Program Specific Reserve Funds
Activa Group Sportsplex 343 350 364 375 385 391 397
J � 0 0 0 0
's. J �.
Energy Retrofit 219 1,351 756 535 301 310 319
0 • • • 0 0
Public Art 70 70 69 67 64 61 58
Economic Development 2,561 3,057 2,487 2,860 3,228 3,578 3,892
EDIF 2.0 6,173 5,740 4,907 15,713 29,954 24,083 32,058
0 0 G'
Municipal Accommodation Tax 746 899 678 696 713 721 731
0
r �1
ti�
Affordable Housing (7) 36 38 40 42 43 44
0 • • 0 0 0.
Election 79 74 185 (526) (394) (251) (101)
Oktoberfest 54 13 23 33 34 45 56
0 0
Total Program Specific Reserve Funds
10,238
11,590
9,507
19,793
34,327
28,981
37,454
Minimum Program Specific Reserve Funds
15
15
15
15
15
15
15
Maximum Program Specific Reserve Funds
23,690
23,690
23,690
23,690
23,690
23,690
23,690
CITY OF KITCHENER 2025 BUDGET SUMMARY APPENDIX D8
(000's)
2024
2024
2025
2026
2027
2028
2029
Budget
I Projection
1 Budget
1 Budget
1 Budget
1 Budget
1 Budget
L,apiiai reserve Funds
Tax Capital 558 10,732 322 (1,176) (1,221) (1,256) (1,292)
DC Recovery 247 205 276 168 115 110 133
r -� r 0 0 0 0
Facility Infrastructure 63
66
•
75
0
58
0
30
•
26
9
45
41
Auditorium Ticket Sales 788
647
795
973
1,156
1,339
1,532
Land Inventory 3,305 2,200 2,268 2,591 2,639 2,665 2,691
rr � ti ,
�� tiJ tJJ
Business Parks 3,178 3,165 3,336 3,490 3,622 3,728 3,836
rr � �
Technology Infrastructure 2,941 2,941 4,060 4,096 4,356 4,783 5,208
0 0 • 0 0 0.
Hydro Investment 2,519 2,668 2,381 1,436 1,234 3,000 1,965
J 1
Equipment 2,621 3,840 1,936 743 1,201 561 (389)
Gas Utility Investment 2,550 2,550 2,553 2,589 2,602 2,587 2,575
Gas Utility Capital 23 1,010 1,369 1,574 1,724 1,811 1,889
Water Utility Capital 7,931 10,454 9,117 8,282 6,706 4,843 4,983
Golf Enterprise Capital (548) (352) (274) (188) (95) 4 (210)
CITY OF KITCHENER 2025 BUDGET SUMMARY APPENDIX D9
(000's)
2024
2024
2025
2026
2027
2028
2029
Budget
I Projection
1 Budget
1 Budget
1 Budget
1 Budget
1 Budget
Capital Reserve Funds (cont'd)
61,879
43,411
36,609
32,479
30,283
31,085
59,332
Parking Enterprise Capital
805
814
858
897
931
958
986
212,849
212,678
212,898
210,665
210,632
Sanitary Sewer Utility Capital 14,162 19,044 13,036 10,655 7,042 4,674 6,106
Stormwater Utility Capital 270 1,895 1,303 421 437 450 1,027
Total Capital Reserve Funds
Minimum Capital Reserve Funds
Maximum Capital Reserve Funds
41,413
61,879
43,411
36,609
32,479
30,283
31,085
59,332
59,390
64,481
64,424
64,498
67,086
67,076
197,501
197,674
212,849
212,678
212,898
210,665
210,632
Obligatory Reserve Funds
Development Charges (3,990) (34,061) 8,924 (2,232) 5,281 (9,527) (7,184)
Canada Community Building Fund 1,013 1,029 3,175 (640) 1,148 1,809 2,597
_) Ca C C i C
Building Enterprise 11,211 12,149 9,797 9,295 10,256 11,554 12,822
0 0 0
Recreational Land 14,751 16,059 17,793 19,474 21,074 22,542 24,051
• • • • • 0.
Total Obligatory Reserve Funds
Minimum Obligatory Reserve Funds
Maximum Obligatory Reserve Funds
Total Reserve Funds
Minimum Total Reserve Funds
Maximum Total Reserve Funds
22,985
(4,824)
39,689
25,897
37,759
26,378
32,286
7,093
6,529
7,582
7,792
7,867
8,047
8,291
24,673
23,827
25,604
25,919
26,200
26,470
26,836
135,959 139,565 168,197 160,970 184,292 168,154 191,430
124,115 123,970 131,589 134,048 136,666 141,433 143,789
347,474 347,343 367,092 371,312 376,163 377,872 382,101
CITY OF KITCHENER 2025 BUDGET SUMMARY APPENDIX D10
J
I�Tc��R
Appendix -E l User Fee Schedule:
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded to the nearest five cents APPENDIX E 1
FEE DESCRIPTION
DEVELOPMENT SERVICES
2024 RATE (EXCL
HST)
2024 RATE
(INCL HST)
HST
APPLIES
LAST REVISED
..MM/DD/YYYY
2025 RATE
2025 RATE
% INC - 2024
EFFECTIVE DATE
COMPARABLE RATES/COMMENTS
1
2
FARMERS' MARKET
3
Refrigeration, inside only, based on 1 foot of cooler (per stand/per
$ 13.52
$ 15.28
Y
04/01/2024
$ 14.33
$ 1.86
$ 16.19
5.99%
04/01/2025
Increase to cover the increasing operational and
week*
maintenance costs for the facility.
4
Dry Table Vendor, inside only, based on 8ft table (per stand/per
$ 10.91
$ 12.33
Y
04/01/2024
$ 11.56
$ 1.50
$ 13.06
5.96%
04/01/2025
Increase to cover the increasing operational and
year)*
maintenance costs for the facility.
5
Covered Area (per stand/per week)*
$ 60.44
$ 68.30
Y
04/01/2024
$ 64.07
$ 8.33
$ 72.40
6.00%
04/01/2025
Increase to cover the increasing operational and
maintenance costs for the facility.
6
Craft Stalls (per Saturday)
$ 51.20
$ 57.86
Y
01/01/2024
$ 54.27
$ 7.06
$ 61.33
5.99%
01/01/2025
There are now 4 rentable spaces at the market. These
rates for each space were developed based on both
7
MARKETPLACE KITCHEN
the cost/sq ft. of the existing rental space as well as
benchmarking from other similar venues in the city as
a euide.
8
Package 1 - Rental space only (per hour)
$ 54.24
$ 61.29
Y
01/01/2024
$ 57.50
$ 7.48
$ 64.98
6.01%
01/01/2025
Increase to cover the increasing operational and
maintenance costs for the facility.
9
Package 2 -Rental space, kitchen facilities/equipment(per hour)
$ 72.35
$ 81.76
Y
01/01/2024
$ 76.69
$ 9.97
$ 86.66
6.00%
01/01/2025
Increase to cover the increasing operational and
maintenance costs for the facility.
Package 3 -Rental space, kitchen facilities/equipment, china,
Increase to cover the increasing operational and
10
flatware, linens, tables and chairs(per hour
$ 102.49
$ 115.81
Y
01/01/2024
$ 108.64
$ 14.12
$ 122.76
6.00%
01/01/2025
maintenance costs for the facility.
There are now 4 rentable spaces at the market. These
rates for each space were developed based on both
11
MARKET PIAZZA
the cost/sq ft. of the existing rental space as well as
benchmarking from other similar venues in the city as
a euide.
12
Package 1 - Rental space only (per hour)
$ 162.24
$ 183.33
Y
01/01/2024
$ 171.97
$ 22.36
$ 194.33
6.00%
01/01/2025
Increase to cover the increasing operational and
maintenance costs for the facility.
13
Package 2 -Rental space, kitchen facilities/equipment(per hour)
$ 178.46
$ 201.66
Y
01/01/2024
$ 189.17
$ 24.59
$ 213.76
6.00%
01/01/2025
Increase to cover the increasing operational and
maintenance costs for the facility.
Package 3 -Rental space, kitchen facilities/equipment, china,
Increase to cover the increasing operational and
14
flatware, linens, tables and chairs(per hour
$ 205.50
$ 232.22
Y
01/01/2024
$ 217.83
$ 28.32
$ 246.15
6.00%
01/01/2025
maintenance costs for the facility.
There are now 4 rentable spaces at the market. These
rates for each space were developed based on both
15
EBY STREET COVERED AREA
the cost/sq ft. of the existing rental space as well as
benchmarking from other similar venues in the city as
a guide.
16
Package 1 - Rental space only (per hour)
$ 108.16
$ 122.22
Y
01/01/2024
$ 114.65
$ 14.90
$ 129.55
6.00%
01/01/2025
Increase to cover the increasing operational and
maintenance costs for the facility.
17
Package 2 -Rental space, kitchen facilities/equipment(per hour)
$ 124.38
$ 140.55
Y
01/01/2024
$ 131.85
$ 17.14
$ 148.99
6.00%
01/01/2025
Increase to cover the increasing operational and
maintenance costs for the facility.
18
Package 3 -Rental space, kitchen facilities/equipment, china,$
151.42
$ 171.10
Y
01/01/2024
$ 160.51
$ 20.87
$ 181.38
6.00%
01/01/2025
Increase to cover the increasing operational and
flatware, linens, tables and chairs(per hour
maintenance costs for the facility.
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded to the nearest five cents APPENDIX E 1
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded to the nearest five cents APPENDIX E 2
FEE DESCRIPTION
2024 RATE (EXCL
HST)
2024 RATE
(INCL HST)
HST
APPLIES
LAST REVISED
..
2025 RATE
2025 RATE
% INC - 2024
EFFECTIVE DATE
..
COMPARABLE RATES/COMMENTS
There are now 4 rentable spaces at the market. These
rates for each space were developed based on both
19
UPPER FLOOR EVENT SPACE
the cost/sq ft. of the existing rental space as well as
benchmarking from other similar venues in the city as
a euide.
20
Package 1 - Rental space only (per hour)
$ 162.24
$ 183.33
Y
01/01/2024
$ 171.97
$ 22.36
$ 194.33
6.00%
01/01/2025
Increase to cover the increasing operational and
maintenance costs for the facility.
21
Package 2-Rental space, kitchen facilities/equipment(per hour)
$ 178.46
$ 201.66
Y
01/01/2024
$ 189.17
$ 24.59
$ 213.76
6.00%
01/01/2025
Increase to cover the increasing operational and
maintenance costs for the facility.
Package 3-Rental space, kitchen facilities/equipment, china,
Increase to cover the increasing operational and
22
flatware, linens, tables and chairs(per hour
$ 205.50
$ 232.22
Y
01/01/2024
$ 217.83
$ 28.32
$ 246.15
6.00%
01/01/2025
maintenance costs for the facility.
23
Licensed Event Fee
$ 160.55
$ 181.42
Y
01/01/2024
$ 170.19
$ 22.12
$ 192.31
6.00%
01/01/2025
Increase to cover the increasing operational and
maintenance costs for the facility.
24
SOCAN
Per SOCAN rate schedule.
25
Insurance Licensed Event
Per Insurance Rate Schedule.
26
Insurance Non-licensed Event
Per Insurance Rate Schedule.
27
Kitchen-Cooking Classes
$ 50.77
$ 57.37
Y
01/01/2024
$ 53.82
$ 7.00
$ 60.82
6.01%
01/01/2025
Increase to cover the increasing operational and
maintenance costs for the facility.
28
Facility Attendant (per hour)
$ 27.21
$ 30.75
Y
01/01/2024
$ 28.84
$ 3.75
$ 32.59
6.01%
01/01/2025
Increase to cover the increasing operational and
maintenance costs for the facility.
29
-MyPick" verified farmers will be offered a 25% discount
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded to the nearest five cents APPENDIX E 2
30
r FEE
SPECIAL EVENTS
2024 RATE (EXCL
HST)
2024 RATE
(INCL HST)
HST
APPLIES
Y/N
LAST REVISED
..MM/DD/YYYY
2025 RATE
2025 RATE
% INC - 2024
EFFECTIVE DATE
COMPARABLE RATES/COMMENTS
31
CITY HALL ROTUNDA AND KITCHENS
32
Level l- up to 100 in attendance + extra fees
$ 404.00
$ 456.52
Y
01/01/2024
$ 420.16 $
54.62
$ 474.78
4.00%
01/01/2025
33
Level 2- up to 200 in attendance + extra fees
$ 514.88
$ 581.81
Y
01/01/2024
$ 535.47 $
69.61
$ 605.08
4.00%
01/01/2025
34
Level 3- up to 300 in attendance + extra fees
$ 609.17
$ 688.36
Y
01/01/2024
$ 633.54 $
82.36
$ 715.90
4.00%
01/01/2025
35
Level 4- 301 or more in attendance + extra fees
$ 717.53
$ 810.81
Y
01/01/2024
$ 746.23 $
97.01
$ 843.24
4.00%
01/01/2025
36
CIVIC SQUARE
37
Level l- up to 100 in attendance + extra fees
$ 205.83
$ 232.59
Y
01/01/2024
$ 214.06 $
27.83
$ 241.89
4.00%
01/01/2025
38
Level 2- up to 200 in attendance + extra fees
$ 308.43
$ 348.53
Y
01/01/2024
$ 320.77 $
41.70
$ 362.47
4.00%
01/01/2025
39
Level 3- up to 300 in attendance + extra fees
$ 408.49
$ 461.59
Y
01/01/2024
$ 424.83 $
55.23
$ 480.06
4.00%
01/01/2025
40
Level 4- 301 or more in attendance + extra fees
$ 516.18
$ 583.28
Y
01/01/2024
$ 536.83 $
69.79
$ 606.62
4.00%
01/01/2025
41
CITY HALL MEETING ROOMS
42
Conestoga Room - first 3 hours + staffing
$ 87.29
$ 98.64
Y
01/01/2024
$ 90.78 $
11.80
$ 102.58
4.00%
01/01/2025
43
Conestoga Room- each additional hour + staffing
$ 23.60
$ 26.67
Y
01/01/2024
$ 24.54 $
3.19
$ 27.73
3.99%
01/01/2025
44
Heritage Room - first 3 hours + staffing
$ 77.76
$ 87.87
Y
01/01/2024
$ 80.87 $
10.51
$ 91.38
4.01%
01/01/2025
45
Heritage Room- each additional hour + staffing
$ 23.60
$ 26.67
Y
01/01/2024
$ 24.54 $
3.19
$ 27.73
3.99%
01/01/2025
46
Council Chambers - first 3 hours
$ 242.17
$ 273.65
Y
01/01/2024
$ 251.86 $
32.74
$ 284.60
4.00%
01/01/2025
47
Council Chambers - each additional hour
$ 57.96
$ 65.49
Y
01/01/2024
$ 60.28 $
7.84
$ 68.12
4.00%
01/01/2025
48
Council Chambers - first 3 hours & AV Equip +staffing
$ 342.85
$ 387.42
Y
01/01/2024
$ 356.57 $
46.35
$ 402.92
4.00%
01/01/2025
49
Council Chambers - each additional hour and AV+staffing
$ 96.26
$ 108.77
Y
01/01/2024
$ 100.11 $
13.01
$ 113.12
4.00%
01/01/2025
50
Schmalz Room - first 3 hours + staffing
$ 77.07
$ 87.09
Y
01/01/2024
$ 80.15 $
10.42
$ 90.57
3.9991.
01/01/2025
51
Schmalz Room- each additional hour + staffing
$ 26.11
$ 29.50
Y
01/01/2024
$ 27.16 $
3.53
$ 30.69
4.01%
01/01/2025
52
Learning Room - first 3 hours + staffing
$ 77.76
$ 87.87
Y
01/01/2024
$ 80.87 $
10.51
$ 91.38
4.01%
01/01/2025
53
Learning Room- each additional hour + staffing
$ 26.11
$ 29.50
Y
01/01/2024
$ 27.16 $
3.53
$ 30.69
4.01%
01/01/2025
54
EXTRA FEES
55
BFI Garbage Disposal Unit
At cost TBD
At cost TBD
Y
01/01/2024
At cost TBD At
cost TBD
At cost TBD
0.00%
01/01/2025
56
Additional Security per hour
At cost TBD
At cost TBD
Y
01/01/2024
At cost TBD At
cost TBD
At cost TBD
0.00%
01/01/2025
57
Display booth only
$ 33.75
$ 38.14
Y
01/01/2024
$ 35.10 $
4.56
$ 39.66
4.01%
01/01/2025
58
Display cabinet removal of goods
$ 17.83
$ 20.15
Y
01/01/2024
$ 18.54 $
2.41
$ 20.95
3.99%
01/01/2025
59
Rotunda Light Adjustments
$ 154.21
$ 174.26
Y
01/01/2024
$ 160.38 $
20.85
$ 181.23
4.00%
01/01/2025
60
Rental Attendant
$ 26.73
$ 30.20
Y
01/01/2024
$ 27.80 $
3.61
$ 31.41
4.00%
01/01/2025
61
Extra day setup
$ 203.93 1
$ 230.44
Y
01/01/2024
1 $ 212.09 $
27.57
$ 239.661
4.00%
01/01/2025
62
Tent 10X10
$ 145.77
$ 164.72
Y
01/01/2024
$ 151.60 $
19.71
$ 171.31
4.00%
01/01/2025
63
Tent 10X20
$ 246.65
$ 278.71
Y
01/01/2024
$ 256.52 $
33.35
$ 289.87
4.00%
01/01/2025
64
Tent lights - clamp
$ 5.60
$ 6.33
Y
01/01/2024
$ 5.83 $
0.76
$ 6.59
4.03%
01/01/2025
65
Chairs- padded folding
$ 2.80
$ 3.16
Y
01/01/2024
$ 2.91 $
0.38
$ 3.29
3.85%
01/01/2025
66
Table -6ft rectangular
$ 7.86
$ 8.88
Y
01/01/2024
$ 8.17 $
1.06
$ 9.23
4.01%
01/01/2025
67
Table - bistro
$ 10.37
$ 11.72
Y
01/01/2024
$ 10.79 $
1.40
$ 12.19
4.05%
01/01/2025
68
Table -5ft round
$ 9.52
$ 10.76
Y
01/01/2024
$ 9.90 $
1.29
$ 11.19
3.98%
01/01/2025
69
Projector
$ 280.29
$ 316.73
Y
01/01/2024
$ 291.50 $
37.90
$ 329.40
4.00%
01/01/2025
70
Screen
$ 44.84
$ 50.67
Y
01/01/2024
$ 46.63 $
6.06
$ 52.69
4.00%
01/01/2025
71
ISound system - small
$ 134.54
$ 152.03
Y
01/01/2024
$ 139.92 $
18.19
$ 158.11
4.00%
01/01/2025
72
Isound system - large
$ 168.18
$ 190.04
Y
01/01/2024
$ 174.90 $
22.74
$ 197.64
4.00%
01/01/2025
73Stanchions
$ 13.46
$ 15.21
Y
01/01/2024
$ 14.00 $
1.82
$ 15.82
4.02%
01/01/2025
74
Extension cords
$ 5.60
$ 6.33
Y
01/01/2024
$ 5.83 $
0.76
$ 6.59
4.03%
01/01/2025
75
ICable mats
$ 7.86
$ 8.88
Y
01/01/2024
$ 8.17 $
1.06
$ 9.23
4.01%
01/01/2025
76
lBarricades
$ 7.86
$ 8.88
Y
01/01/2024
$ 8.17 $
1.06
$ 9.23
4.01%
01/01/2025
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded to the nearest five cents APPENDIX E 3
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded to the nearest five cents APPENDIX E 4
FEE DESCRIPTION
2024
RATE (EXCL
HST)
22.42
2024 RATE
(INCL HST)
$ 25.33
HST
APPLIES
Y
LAST REVISED
..MM/DD/YYYY
01/01/2024
$
2025 RATE
23.31
2025 RATE
% INC - 2024
3.98%
EFFECTIVE DATE
01/01/2025
COMPARABLE RATES/COMMENTS
77 Podium $
$ 3.03
$ 26.34
78
Van - plus staffing
0.44 per km,
$55.50 flat fee
0.50 per km, Y
$62.72 flat fee
01/01/2024
0.46 per km,
$57.72 flat fee
0.06 per
km, $7.50r
flat fee
0.52 per km, 4,00%
$65.23 flat fee
01/01/2025
79
Trailer (per day, when used with Special Events van and staff)
$
56.07
$ 63.36 Y
01/01/2024
$
58.31
$ 7.58
$ 65.89 4.00%
01/01/2025
80
A-frames
$
11.22
$ 12.68 Y
01/01/2024
$
11.67
$ 1.52
$ 13.19 4.01%
01/01/2025
81
Electrical panels
$
28.01
$ 31.65 Y
01/01/2024
$
29.13
$ 3.79
$ 32.92 3.99%
01/01/2025
82
VICTORIA PARK PAVILION
83
IVPP upstairs
$
82.01
$ 92.67 Y
01/01/2024
$
85.29
$ 11.09
$ 96.38 3.99%
01/01/2025
84
VPP licensed event fee
$
303.93
$ 343.44 Y
01/01/2024
$
316.09
$ 41.09
$ 357.18 4.00%
01/01/2025
85
Facility Attendant (per hour)
$
35.15
$ 39.72 Y
01/01/2024
$
36.55
$ 4.75
$ 41.30 3.99%
01/01/2025
86
Insurance VPP - licensed
Per Insurance Rate Schedule.
87
Insurance VPP - Non licensed
Per Insurance Rate Schedule.
88
SOCAN Charges -VPP with dancing
Per SOCAN rate schedule.
89
SOCAN Charges- VPP without dancing
Per SOCAN rate schedule.
90
VPP Wedding Package -weekends (Friday -Sunday) and holidays
(incl. Set up, Staff, Table/Chairs, PA System, SOCAN Licensed rate)
$
5,000.00
$ 5,650.00 y
01/01/2024
$
5,200.00
$ 676.00
$ 5,876.00 4.00%
01/01/2025
91
Water Distribution
$
250.00 1
$ 282.501 Y
1 01/01/2024
1 $
260.00
1 $ 33.80
1 $ 293.80 4.00%
01/01/2025
92
GAUKEL BLOCK
93
Street Electrical
$
175.00 1
$ 197.751 Y
1 01/01/2024
1 $
182.00
1 $ 23.66
1 $ 205.66 4.00%
01/01/2025
94
Lot and Stage Electrical
$
125.00 1
$ 141.251 Y
1 01/01/2024
1 $
130.00
1 $ 16.90
1 $ 146.90 4.00%
01/01/2025
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded to the nearest five cents APPENDIX E 4
MM
95
ENGINEERING
2024
RATE (EXCL
HST)
2024 RATE
(INCL HST)
HST
LAST REVISED
..
2025 RATE
2025 RATE
% INC - 2024
EFFECTIVE DATE
..
96
Municipal Consent Plan Review
$
709.53
$ 709.53
N
01/01/2024
$
737.91 $
$
737.91
4.00%
01/01/2025
97
Lawyers' Requests re: availability of services, unregistered
easements, outstanding frontage charges and contemplated local
improvements
$
137.36
$ 155.22
Y
01/01/2024
$
142.86 $
18.57
$
161.43
4.00%
01/01/2025
98
Engineering admin fee for review of engineering drawings for
subdivisions
4.5%
construction
costs
4.5%
construction
costs
N
01/01/2024
4.5%
construction $
costs
-
4.5%
construction
costs
0.00%
01/01/2025
99
Fourth and subsequent subdivision/site plan review
$
6,348.99
$ 6,348.99
N
01/01/2024
$
6,602.95 $
$
6,602.95
4.00%
01/01/2025
100
Third and subsequent CCTV review
$
3,244.80
$ 3,244.80
N
01/01/2024
$
3,374.59 $
$
3,374.59
4.00%
101
Change of Ownershipfor Stormwater Management Pond
$
127.63
$ 127.63
N
01/01/2024
$
132.73 $
$
132.73
4.00%
01/01/2025
102
Development Manual
$
305.31
$ 345.00
Y
01/01/2024
$
317.52 $
41.28
$
358.80
4.00%
01/01/2025
103
Development Charge Policy
$
92.92
$ 105.00
Y
01/01/2024
$
96.64 $
12.56
$
109.20
4.00%
01/01/2025
104
Application- DC Creditfor Service Agreement
$
6,003.96
$ 6,784.47
Y
01/01/2024
$
6,244.12 $
811.74
$
7,055.86
4.00%
01/01/2025
105
Site Alteration
106
Permit
$
320.00
$ 320.00
N
01/01/2024
$
333.00 $
$
333.00
4.06%
01/01/2025
107
Permit with Revisions
$
198.00
$ 198.00
N
01/01/2024
$
206.00 $
$
206.00
4.04%
01/01/2025
108
Permit Renewal
$
130.00
$ 130.00
N
01/01/2024
$
135.00 $
$
135.00
3.85%
01/01/2025
109
Engineering Prints
110
Per D size sheet of paper
$
7.84
$ 8.86
Y
01/01/2024
$
8.16 $
1.06
$
9.22
4.06%
01/01/2025
111
Damage Deposits
112
Price per meter of frontage
$
142.32 1
$ 142.32
N
01/01/2024
$
148.01 $
$
148.01
4.00%
01/01/2025
113
Damage deposit inspection
$51 per metre
of frontage, to
max of 488
$51 per metre of
frontage, to max
of 488
N
01/01/2024
$53 per metre
of frontage, to $
max of 508
-
$53 per metre of
frontage, to max
of 508
4.10%
01/01/2025 Rounded to the nearest dollar.
114
Engineering and Environmental Assessment Documents
$
234.51
$ 265.00
Y
01/01/2024
$
243.89 $
31.71
$
275.60
4.00%
01/01/2025
115
MISCELLANEOUS FEES:
116
Storm Water Management Fee (per hectare)
$
114,283.80
$ 114,283.80
N
01/01/2024
$
118,855.15 $
$
118,855.15
4.00%
01/01/2025
117
Water connection through reconstruction project (new or upgraded)
$
1,693.46
$ 1,693.46
N
01/01/2024
$
1,761.20 $
-
$
1,761.20
4.00%
01/01/2025
118
Sanitary connection through reconstruction project (new or
upgraded)
$
1,693.46
$ 1,693.46
N
01/01/2024
$
1,761.20 $
-
$
1,761.20
4.00%
01/01/2025
119
Storm/Sump Pump connection through reconstruction project
$
600.00
$ 600.00
N
01/01/2024
$
624.00 $
$
624.00
4.00%
01/01/2025
120
Refund for Storm/Sump Pump connection through reconstruction
o ect
$
475.00
$ 475.00
N
01/01/2024
$
494.00 $
-
$
494.00
4.00%
01/01/2025
121
Site Servicing Permit Review
$
610.00
$ 610.00
N
01/01/2024
$
634.00 $
$
634.00
3.93%
01/01/2025
122
On Site Plumbing Applications (On-site servicing, DND)
$
610.00
$ 610.00
N
01/01/2024
$
634.00 $
$
634.00
3.93%
01/01/2025
123
Driveway Ramp Widening Permit
$
375.00
$ 375.00
N
01/01/2024
$
390.00 $
$
390.00
4.00%
01/01/2025
124
Driveway Ramp Widening Permit - Inspection Refund
$
230.00
$ 230.00
N
01/01/2024
$
239.00 $
$
239.00
3.91%
01/01/2025
125
Driveway Ramp Widening through Site Plan(Deemed Not
Development)
$
733.00
$ 733.00
N
01/01/2024
$
762.00 $
-
$
762.00
3.96%
01/01/2025
126
Driveway Ramp Widening through Site Plan(Deemed Not
Develo ment -Ins ection Refund
$
351.00
$ 351.00
N
01/01/2024
$
365.00 $
-
$
365.00
3.99%
01/01/2025
127Asphalt
Drive way Apron (per m2) 40mm-HL3 and 60mm-HL4
$
171.00
$ 171.00
N
01/01/2024
$
177.84 $
$
177.84
4.00%
01/01/2025
128
Sewer Surcharge Review
$
1,081.17
$ 1,081.17
N
01/01/2024
$
1,124.41 $
$
1,124.41
4.00%
01/01/2025
129
Sewer Capacity Analysis Request
$
628.84
$ 628.84
N
01/01/2024
$
654.00 $
$
654.001
4.00%
1 01/01/2025
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded to the nearest five cents APPENDIX E 5
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded to the nearest five cents APPENDIX E 6
FEE DESCRIPTION
2024
RATE (EXCL
HST)
2024
(INCL
RATE
HST)
HST
APPLIES
LAST REVISED
..MM/DD/YYYY
2025 RATE
2025
RATE
% INC - 2024
EFFECTIVE DATE
COMPARABLE RATES/COMMENTS
130 APPLICATION FEES:
131
Administration Fee (Applies to all application fees)
11% of
application fee
amount
application
11% of
fee N
amount
01/01/2024
11% of
application fee $
amount
- application
11% of
fee
amount
0.00%
01/01/2025
132
Sewer Service Fees:
Fee will either be used to complete the work, or 60%
will be held as a guarantee. Once satisfactory work is
completed, 11% of the fee will be retained to cover
administrative costs with the balance refunded to the
applicant.
133
2 Lane Rd -Fully Serviced (66' ROW)
134
Sanitary-0-3m depth
$
13,299.46
$
13,299.46 N
01/01/2024
$ 13,831.44 $
$
13,831.44
4.00%
01/01/2025
135
Sanitary-3-5m depth
$
21,761.25
$
21,761.25 N
01/01/2024
$ 22,631.70 $
$
22,631.70
4.00%
01/01/2025
136
Storm - near side MH or CB
$
7,855.01
$
7,855.01 N
01/01/2024
$ 8,169.21 $
$
8,169.21
4.00%
01/01/2025
137
Storm - Far side
$
15,649.35
$
15,649.35 N
01/01/2024
$ 16,275.32 $
$
16,275.32
4.00%
01/01/2025
138
2 Lane Rd- No curb, gutter or sidewalk
139
Sanitary-0-3m depth
$
11,594.97
$
11,594.97 N
01/01/2024
$ 12,058.77 $
$
12,058.77
4.00%
01/01/2025
140
Sanitary-3-5m depth
$
18,534.30
$
18,534.30 N
01/01/2024
$ 19,275.67 $
$
19,275.67
4.00%
01/01/2025
141
Storm - near side MH or CB
$
6,084.32
$
6,084.32 N
01/01/2024
$ 6,327.70 $
$
6,327.70
4.00%
01/01/2025
142
Storm -Far side
$
13,873.14
$
13,873.14 N
01/01/2024
$ 14,428.07 $
$
14,428.07
4.00%
01/01/2025
143
4 Lane Rd - Fully Serviced (86'ROW)
144
Sanitary-0-3m depth
$
15,963.77
$
15,963.77 N
01/01/2024
$ 16,602.32 $
$
16,602.32
4.00%
01/01/2025
145
Sanitary-3-5m depth
$
26,190.73
$
26,190.73 N
01/01/2024
$ 27,238.36 $
$
27,238.36
4.00%
01/01/2025
146
Storm - near side MH or CB
$
7,855.01
$
7,855.01 N
01/01/2024
$ 8,169.21 $
$
8,169.21
4.00%
01/01/2025
147
Storm - Far side
$
16,796.71
$
16,796.71 N
01/01/2024
$ 17,468.58 $
$
17,468.58
4.00%
01/01/2025
148
4 Lane Rd - No curb, gutter or sidewalk
149
Sanitary-0-3m depth
$
14,248.24
$
14,248.24 N
01/01/2024
$ 14,818.17 $
$
14,818.17
4.00%
01/01/2025
150
Sanitary-3-5m depth
$
22,914.13
$
22,914.13 N
01/01/2024
$ 23,830.69 $
$
23,830.69
4.00%
01/01/2025
151
Storm - near side MH or CB
$
6,084.32
$
6,084.32 N
01/01/2024
$ 6,327.70 $
$
6,327.70
4.00%
01/01/2025
152
Storm - Far side
$
19,069.37
$
19,069.37 N
01/01/2024
$ 19,832.14 $
$
19,832.14
4.00%
01/01/2025
153
Add structure
154
Sanitary
$
3,806.15
$
3,806.15 N
01/01/2024
$ 3,958.40 $
$
3,958.40
4.00%
01/01/2025
155
Storm
$
3,806.15
$
3,806.15 N
01/01/2024
$ 3,958.40 $
$
3,958.40
4.00%
01/01/2025
156
Catchbasin
$
2,289.21
$
2,289.21 N
1 01/01/2024
$ 2,380.77 $
$
2,380.77
4.00%
01/01/2025
157
Concrete Work
158
Sidewalk-200mm thick/m2
$
126.87
$
126.87 N
01/01/2024
$ 131.95 $
$
131.95
4.00%
01/01/2025
159
Sidewalk or concrete boulevard -125mm thick/m2
$
115.84
$
115.84 N
01/01/2024
$ 120.47 $
$
120.47
4.00%
01/01/2025
160
ICurb and Gutter/m hand placed
$
110.32
$
110.32 N
01/01/2024
$ 114.74 $
1 $
114.741
4.00%
01/01/2025
161
IConcrete Driveway Apron - 200mm thick/m2
$
126.87
$
126.87 N
01/01/2024
$ 131.95 $
1 $
131.951
4.00%
01/01/2025
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded to the nearest five cents APPENDIX E 6
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded to the nearest five cents APPENDIX E 7
FEE DESCRIPTION
2024 RATE (EXCL
HST)
2024 RATE
(INCL HST)
HST
APPLIES
LAST REVISED
..
2025 RATE
2025 RATE
% INC - 2024
EFFECTIVE DATE
..
COMPARABLE RATES/COMMENTS
Fee will either be used to complete the work, or 60%
will be held as a guarantee. Once satisfactory work is
completed, 11% of the fee will be retained to cover
administrative costs with the balance refunded to the
applicant.
162
Water Service Fees:
163
25mm (1") Road:
164
2lanes
$ 9,829.80
$ 9,829.80
N
01/01/2024
$ 10,222.99
$
$ 10,222.99
4.00%
01/01/2025
165
4lanes
$ 12,665.10
$ 12,665.10
N
01/01/2024
$ 13,171.71
$
$ 13,171.71
4.00%
01/01/2025
166
with sewer
$ 2,537.43
$ 2,537.43
N
01/01/2024
$ 2,638.93
$
$ 2,638.931
4.00%
01/01/2025
167
boulevard -no pavement
$ 6,453.91
$ 6,453.91
N
01/01/2024
$ 6,712.06
$
$ 6,712.06
4.00%
01/01/2025
168
40mm (1-1/2"') Road:
169
2lanes
$ 10,265.57
$ 10,265.57
N
01/01/2024
$ 10,676.20
$
$ 10,676.20
4.00%
01/01/2025
170
14 lanes
$ 12,698.20
$ 12,698.20
N
01/01/2024
$ 13,206.13
$
$ 13,206.13
4.00%
01/01/2025
171
with sewer
$ 2,719.47
$ 2,719.47
N
01/01/2024
$ 2,828.25
$
$ 2,828.25
4.00%
01/01/2025
172
boulevard - no pavement
$ 6,928.30
$ 6,928.30
N
01/01/2024
$ 7,205.43
$
$ 7,205.43
4.00%
01/01/2025
173
50mm (2") Road:
174
2lanes
$ 10,756.51
$ 10,756.51
N
01/01/2024
$ 11,186.77
$
$ 11,186.77
4.00%
01/01/2025
175
4 lanes
$ 13,244.30
$ 13,244.30
N
01/01/2024
$ 13,774.07
$
$ 13,774.07
4.00%
01/01/2025
176
with sewer
$ 3,022.86
$ 3,022.86
N
01/01/2024
$ 3,143.77
$
$ 3,143.77
4.00%
01/01/2025
177
boulevard -no pavement
$ 7,821.91
$ 7,821.91
N
01/01/2024
$ 8,134.79
$
$ 8,134.79
4.00%
01/01/2025
178
100mm (4") Road:
179
2lanes
$ 16,669.84
$ 16,669.84
N
01/01/2024
$ 17,336.63
$
$ 17,336.63
4.00%
01/01/2025
180
4lanes
$ 19,301.04
$ 19,301.04
N
01/01/2024
$ 20,073.09
$
$ 20,073.09
4.00%
01/01/2025
181
with sewer
$ 3,022.86
$ 3,022.86
N
01/01/2024
$ 3,143.77
$
$ 3,143.77
4.00%
01/01/2025
182
boulevard - no pavement
$ 9,708.44
$ 9,708.44
N
01/01/2024
$ 10,096.78
$
$ 10,096.78
4.00%
01/01/2025
183
150mm (6") Road:
184
2lanes
$ 18,142.65
$ 18,142.65
N
01/01/2024
$ 18,868.36
$
$ 18,868.36
4.00%
01/01/2025
185
4lanes
$ 20,773.86
$ 20,773.86
N
01/01/2024
$ 21,604.81
$
$ 21,604.81
4.00%
01/01/2025
186
with sewer
$ 6,933.81
$ 6,933.81
N
01/01/2024
$ 7,211.17
$
$ 7,211.17
4.00%
01/01/2025
187
lboulevard - no pavement
$ 11,699.78
$ 11,699.78
N
01/01/2024
$ 12,167.77
$
$ 12,167.77
4.00%
01/01/2025
188
200mm (8") Road:
189
2lanes
$ 20,966.92
$ 20,966.92
N
01/01/2024
$ 21,805.60
$
$ 21,805.60
4.00%
01/01/2025
190
4lanes
$ 21,672.99
$ 21,672.99
N
01/01/2024
$ 22,539.91
$
$ 22,539.91
4.00%
01/01/2025
191
with sewer
$ 8,401.11
$ 8,401.11
N
01/01/2024
$ 8,737.16
$
$ 8,737.16
4.00%
01/01/2025
192
boulevard - no pavement
$ 12,698.20
$ 12,698.20
N
01/01/2024
$ 13,206.13
$
$ 13,206.13
4.00%
01/01/2025
193
300mm (12") Road:
194
2lanes
$ 22,020.51
$ 22,020.51
N
01/01/2024
$ 22,901.33
$
$ 22,901.33
4.00%
01/01/2025
195
14 lanes
$ 23,178.90
$ 23,178.90
N
01/01/2024
$ 24,106.06
$
$ 24,106.06
4.00%
01/01/2025
196
with sewer
$ 9,559.51
$ 9,559.51
N
01/01/2024
$ 9,941.89
$
$ 9,941.89
4.00%
01/01/2025
197
boulevard - no pavement
$ 13,856.59
$ 13,856.59
N
01/01/2024
$ 14,410.86
$
$ 14,410.86
4.00%
01/01/2025
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded to the nearest five cents APPENDIX E 7
198
FEE DESCRIPTION
Fire Hydrants:
2024
RATE (EXCL
HST)
2024 RATE
(INCL HST)
HST
APPLIES
LAST REVISED
..
2025
RATE
2025
RATE
% INC - 2024
EFFECTIVE DATE
..
COMPARABLE RATES/COMMENTS
Fee will either be used to complete the work, or 60%
will be held as a guarantee. Once satisfactory work is
completed, 11% of the fee will be retained to cover
administrative costs with the balance refunded to the
applicant.
199
Removal of hydrant (no new hydrant required)
$
2,956.66
$ 2,956.66
N
01/01/2024
$
3,074.93
$ $
3,074.93
4.00%
01/01/2025
200
Installation of new hydrant by Kitchener Utilities
$
11,363.29
$ 11,363.29
N
01/01/2024
$
11,817.82
$ $
11,817.82
4.00%
01/01/2025
201
Installation of new hydrant by private contractor
$
11,363.29
$ 11,363.29
N
01/01/2024
$
11,817.82
$ $
11,817.82
4.00%
01/01/2025
202
Hydrant relocation <3m (no restoration and re-use hydrant)
$
6,145.00
$ 6,145.00
N
01/01/2024
$
6,390.80
$ $
6,390.801
4.00%
01/01/2025
203
Hydrant relocation >3m and/or restoration required (re-use hydrant)
$
11,815.61
$ 11,815.61
N
01/01/2024
$
12,288.24
$ - $
12,288.24
4.00%
01/01/2025
204
Hydrant relocation >3m and/or restoration required (new hydrant)
$
14,264.79
$ 14,264.79
N
01/01/2024
$
14,835.38
$ - $
14,835.38
4.00%
01/01/2025
205
LRT:
Fee will either be used to complete the work, or 60%
will be held as a guarantee. Once satisfactory work is
completed, 11% of the fee will be retained to cover
administrative costs with the balance refunded to the
applicant.
206
Sanitary or Storm connection along LRT route
207
0-200 mm (same location, upsize one pipe size)
$
9,046.50
$ 9,046.50
N
01/01/2024
$
9,408.36
$ $
9,408.36
4.00%
01/01/2025
208
0-300 mm (different location, upsize more than one pipe size)
$
24,116.65
$ 24,116.65
N
01/01/2024
$
25,081.32
$ $
25,081.32
4.00%
01/01/2025
209
300 mm and over (different location, upsize more than one pipe size)
$
30,145.81
$ 30,145.81
N
01/01/2024
$
31,351.65
$ - $
31,351.65
4.00%
01/01/2025
210
Water connection along LRT route
211
25mm-50mm
$
12,063.84
$ 12,063.84
N
01/01/2024
$
12,546.40
$ $
12,546.40
4.00%
01/01/2025
212
100mm-200mm
$
24,116.65
$ 24,116.65
N
01/01/2024
$
25,081.32
$ $
25,081.32
4.00%
01/01/2025
213
MISCELLANEOUS FEES:
214
Sewer/Storm Inspection Fees:
215
3rd and subsequent engineering inspection fee for site plans
$
601.26
$ 601.26
N
01/01/2024
$
625.31
$ $
625.31
4.00%
01/01/2025
216
3rd and subsequent engineering inspection fee for subdivisions
$
1,704.49
$ 1,704.49
N
01/01/2024
$
1,772.67
$ $
1,772.67
4.00%
01/01/2025
217
Sanitary/Storm pipes/Concrete work (by others)to City pipes
(Engineering inspection)
$
1,974.79
$ 1,974.79
N
01/01/2024
$
2,053.78
$ - $
2,053.78
4.00%
01/01/2025
218
Watermain connection abandonment (by Others)-inspect by City
$
628.84
$ 628.84
N
01/01/2024
$
654.00
$ - $
654.00
4.00%
01/01/2025
219
Watermain tapping/inspection/testing by City -25mm(1")-
75mm 3"
$
628.84
$ 628.84
N
01/01/2024
$
654.00
$ - $
654.00
4.00%
01/01/2025
220
Watermain tapping/inspection by City- 100mm (4") and above
$
2,951.15
$ 2,951.15
N
01/01/2024
$
3,069.19
$ $
3,069.19
4.00%
01/01/2025
221
Watermain inspection daily rate (work by others, inspection by City)
$
612.29
$ 612.29
N
01/01/2024
$
636.79
$ - $
636.79
4.00%
01/01/2025
222
Water Connections- Abandonment (Killing) Fees:
223
25mm (1")to 100mm (4")
$
6,111.91
$ 6,111.91
N
01/01/2024
$
6,356.38
$ $
6,356.38
4.00%
01/01/2025
224
150mm (6") and 200mm (8")
$
8,395.60
$ 8,395.60
N
01/01/2024
$
8,731.42
$ $
8,731.42
4.00%
01/01/2025
225
Frontage Charges (Water):
226
City- per meter
$
90.46
$ 90.46
N
01/01/2024
$
94.08
$ $
94.08
4.00%
01/01/2025
227
City -per foot
$
27.58
$ 27.58
N
01/01/2024
$
28.68
$ $
28.68
3.99%
01/01/2025
228
Future Sidewalks/Trails:
229
Future Multi-Use Trail (per m2)
$
54.06
$ 54.06
N
01/01/2024
$
56.22
$ $
56.22
4.00%
01/01/2025
230
Future Sidewalk- 200mm thick (per m2)
$
142.32
$ 142.32
N
01/01/2024
$
148.01
$ $
148.01
4.00%
01/01/2025
231
Future Sidewalk- 125mm thick (per m2)
$
126.87
$ 126.87
N
01/01/2024
$
131.95
$ $
131.95
4.00%
01/01/2025
232
Project Manager Administration Fee for off-site servicing works on
regional roads. Price per hour.
$
94,64
$ 94.64
N
01/01/2024
$
98.43
$ - $
98.43
4.00%
01/01/2025
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded t0 the nearest five cents APPENDIX E 8
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded to the nearest five cents APPENDIX E 9
234
INEW ............. D N
PLANNING
2024 RATE (EXCL
HST)
2024 RATE
(INCL HST)
HST
APPLIES
LAST REVISED
..MM/DD/YYYY
2025
RATE
2025 RATE
% INC - 2024
EFFECTIVE DATE
COMPARABLE RATES/COMMENTS
235
Demolition Control Application:
236
- First building on site demolished (includes notification sign)
$ 1,108.00
$ 1,108.00
N
01/01/2024
$
1,152.00
$
$ 1,152.00
3.97%
01/01/2025
237
- If application is decided by Kitchener City Council
$ 1,244.00
$ 1,244.00
N
01/01/2024
$
1,294.00
$
$ 1,294.00
4.02%
01/01/2025
238
- Each additional building on site demo'd
$ 553.00
$ 553.00
N
01/01/2024
$
575.00
$
$ 575.00
3.98%
01/01/2025
239
-Exemption
$ 859.00
$ 859.00
N
01/01/2024
$
893.00
$
$ 893.00
3.96%
01/01/2025
240
Fence Variance Application
$ 1,683.00
$ 1,683.00
N
01/01/2024
$
1,136.00
$ -
$ 1,136.00
-32.50%
01/01/2025
Revised to align with similar process for sign variances.
241
Group Home Registration (NEW)
$ 313.00
$ 313.00
N
01/01/2024
$
326.00
$
$ 326.00
4.15%
01/01/2025
242
Group Home Registration (RENEWAL)
$ 78.00
$ 78.00
N
01/01/2024
$
81.00
$
$ 81.00
3.85%
01/01/2025
243
Heritage Grant Application
$ 80.00
$ 80.00
N
01/01/2024
$
83.00
$
$ 83.00
3.75%
01/01/2025
244
Heritage Review Surcharge - heritage review related to an Official
Plan Amendment, Zoning By-law Amendment, orfull Site Plan
Council decision required)
$ 6,656.00
$ 6,656.00
N
01/01/2024
$
6,922.00
$ -
$ 6,922.00
4.00%
01/01/2025
245
Heritage Review Surcharge - heritage review related to an Official
Plan Amendment, Zoning By-law Amendment, orfull Site Plan
dele ated staff approval)
$ 3,245.00
$ 3,245.00
N
01/01/2024
$
3,375.00
$ -
$ 3,375.00
4.01%
01/01/2025
246
Information Letters- Planning/Zoning
$ 322.00
$ 322.00
N
01/01/2024
$
335.00
$
$ 335.00
4.04%
01/01/2025
247
Letters of Compliance:
248
Residential
249
-Regular
$ 362.00
$ 362.00
N
01/01/2024
$
376.00
$
$ 376.00
3.87%
01/01/2025
250
- Regular, up to 4 dwelling units per lot
$ 141.00
$ 141.00
N
01/01/2024
$
147.00
$
$ 147.00
4.26%
01/01/2025
251
- Express
$ 569.00
$ 569.00
N
01/01/2024
$
592.00
$
$ 592.00
4.04%
01/01/2025
252
All Other
253
-Regular
$ 508.00
$ 508.00
N
01/01/2024
$
528.00
$
$ 528.00
3.94%
01/01/2025
254-
Express
$ 769.00
$ 769.00
N
01/01/2024
$
800.00
$
$ 800.00
4.03%
01/01/2025
255
Mapping Services -Address List (240 metre radius, no names)
$ 59.00
$ 59.00
N
01/01/2024
$
61.00
$
$ 61.00
3.39%
01/01/2025
256
Naming of Private Road
$ 1,375.00
$ 1,375.00
N
01/01/2024
$
1,430.00
$
$ 1,430.00
4.00%
01/01/2025
257
Neighbourhood Information Meeting Fee (per meeting, as required)
$ 1,229.00
$ 1,229.00
N
01/01/2024
$
1,278.00
$ -
$ 1,278.00
3.99%
01/01/2025
258
Official Plan Amendment:
$ 33,280.00
$ 33,280.00
N
01/01/2024
$
34,611.00
$
$ 34,611.00
4.00%
01/01/2025
259
- reduced fee if submitted with concurrent ZBA
$ 29,952.00
$ 29,952.00
N
01/01/2024
$
31,150.00
$
$ 31,150.00
4.00%
01/01/2025
260
Official Plan Amendment Recirculation Fee
$ 8,320.00
$ 8,320.00
N
01/01/2024
$
8,653.00
$
$ 8,653.00
4.00%
01/01/2025
261
- total fee if combined with Minor ZBA
$ 11,934.00
$ 11,934.00
N
01/01/2024
$
12,411.00
$
$ 12,411.00
4.00%
01/01/2025
262
-total fee if combined with Major ZBA
$ 13,478.00
$ 13,478.00
N
01/01/2024
$
14,017.00
$
$ 14,017.00
4.00%
01/01/2025
263
Part Lot Control By -Law Renewal
$ 482.00
$ 482.00
N
01/01/2024
$
501.00
$
$ 501.00
3.94%
01/01/2025
264
Photocopies/Printing-black&white, per page
$ 0.18
$ 0.20
Y
01/01/2024
$
0.18
$ 0.02
$ 0.20
0.00%
01/01/2025
Flat fee.
265
Photocopies/Printing - colour, per page
$ 0.66
$ 0.75
Y
01/01/2024
$
0.66
$ 0.09
$ 0.751
0.00%
01/01/2025
Flat fee.
266
Planning Application Signs
$ 265.00
$ 265.00
N
01/01/2024
$
276.00
$
$ 276.001
4.15%
01/01/2025
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded t0 the nearest five cents APPENDIX E 10
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded t0 the nearest five cents APPENDIX E 11
FEE DESCRIPTION
2024
RATE (EXCL
HST)
2024 RATE
(INCL HST)
HST
APPLIES
LAST REVISED
..MM/DD/YYYY
2025 RATE
2025 RATE
% INC - 2024
EFFECTIVE DATE
COMPARABLE RATES/COMMENTS
267 Pre -submission Consultation:
268
Site Plan Approval
$
1,011.00
$ 1,011.00
N
01/01/2024
$ 1,051.00 $
$ 1,051.00
3.96%
01/01/2025
269
- Official Plan Amendment or Zoning By-law Amendment
$
728.00
$ 728.00
N
01/01/2024
$ 757.00 $
$ 757.00
3.98%
01/01/2025
270
-Combined OPA/ZBA
$
1,041.00
$ 1,041.00
N
01/01/2024
$ 1,083.00 $
$ 1,083.00
4.03%
01/01/2025
271
-Condominium (other than vacant land)
$
721.00
$ 721.00
N
01/01/2024
$ 750.00 $
$ 750.00
4.02%
01/01/2025
272
- Plan of Subdivision or Vacant Land Condominium
$
1,460.00
$ 1,460.00
N
01/01/2024
$ 1,518.00 $
$ 1,518.00
3.97%
01/01/2025
273
- Committee of Adjustment
$
260.00
$ 260.00
N
01/01/2024
$ 379.00 $ -
$ 379.00
45.77%
01/01/2025
Adjusted to support cost of staff time to process
increasingly complex ap lications.
274
IPublic Notice Advertisement Fee -Small (per publication)
$
730.00
$ 730.00
N
01/01/2024
$ 759.00 $
$ 759.00
3.97%
01/01/2025
275
Public Notice Advertisement Fee - Large (per publication)
$
1,460.00
$ 1,460.00
N
01/01/2024
$ 1,518.00 $
$ 1,518.00
3.97%
01/01/2025
276
Routine Disclosure Requests (fee per 15 minutes of processing time;
photocopying charges extra
$
7,50
$ 7.50
N
01/01/2024
$ 7.50 $ -
$ 7.50
0.00%
01/01/2025
Flat fee.
277
Sign By-law Amendment
$
3,245.00
$ 3,245.00
N
01/01/2024
$ 3,375.00 $
$ 3,375.00
4.01%
01/01/2025
278
Sign Variance Application
$
1,092.00
$ 1,092.00
N
01/01/2024
$ 1,136.00 $
$ 1,136.00
4.03%
01/01/2025
279
Signs:
280
New Home Development Signs
$
1,248.00
$ 1,248.00
N
01/01/2024
$ 1,298.00 $
$ 1,298.00
4.01%
01/01/2025
281
Permanent Signs
282
- per square metre of sign face
$
37.00
$ 37.00
N
01/01/2024
$ 38.00 $
$ 38.00
2.70%
01/01/2025
Rounding.
283
MINIMUM of
$
265.00
$ 265.00
N
01/01/2024
$ 276.00 $
$ 276.00
4.15%
01/01/2025
284
-Home Business
$
106.00
$ 106.00
N
01/01/2024
$ 110.00 $
$ 110.00
3.77%
01/01/2025
285
- Billboard
$
1,456.00
$ 1,456.00
N
01/01/2024
$ 1,514.00 $
$ 1,514.00
3.98%
01/01/2025
286
Video Projection Sign (per year/sign face)
$
2,036.00
$ 2,036.00
N
01/01/2024
$ 2,117.00 $
$ 2,117.00
3.98%
01/01/2025
287
*Permanent sign fees double if installed before obtaining a sign
permit
288
Portable Signs (including banner & inflatable)
289
-Same business, both sides
$
100.00
$ 100.00
N
01/01/2024
$ 104.00 $
$ 104.00
4.00%
01/01/2025
290
- Different businesses, one per side
$
156.00
$ 156.00
N
01/01/2024
$ 162.00 $
$ 162.00
3.85%
01/01/2025
291
New portable sign location if not shown on Landscape Plan or
already approved, per site
$
177,00
$ 177.00
N
01/01/2024
$ 184.00 $ -
$ 184.00
3.95%
01/01/2025
292
*Portable sign fees double if installed before obtaining a sign permit
293
Site Plan - Miscellaneous
294
- Recirculation fee
$
707.00
$ 707.00
N
01/01/2024
$ 735.00 $
$ 735.001
3.96%
1 01/01/2025
295
Site Plan Confirmation Letter
$
286.00
$ 286.00
N
01/01/2024
$ 297.00 $
$ 297.001
3.85%
1 01/01/2025
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded t0 the nearest five cents APPENDIX E 11
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded t0 the nearest five cents APPENDIX E 12
FEE DESCRIPTION
2024
RATE (EXCL
HST)
2024 RATE
(INCL HST)
HST
APPLIES
LAST REVISED
..MM/DD/YYYY
2025 RATE
2025
RATE
% INC - 2024
EFFECTIVE DATE
COMPARABLE RATES/COMMENTS
296
Subdivisions and Vacant Land Condominium:
297
Subdivision application fee PLUS
$
25,584.00
$ 25,584.00
N
01/01/2024
$ 26,607.00 $
$
26,607.00
4.00%
01/01/2025
298
- Per hectare fee
$
1,768.00
$ 1,768.00
N
01/01/2024
$ 1,839.00 $
$
1,839.00
4.02%
01/01/2025
299
-Maximum
$
88,816.00
$ 88,816.00
N
01/01/2024
$ 92,369.00 $
$
92,369.00
4.00%
01/01/2025
300
Major modification
$
12,792.00
$ 12,792.00
N
01/01/2024
$ 13,304.00 $
$
13,304.00
4.00%
01/01/2025
301
Minor modification
$
6,396.00
$ 6,396.00
N
01/01/2024
$ 6,652.00 $
$
6,652.00
4.00%
01/01/2025
302
Registration of a single stage
$
3,120.00
$ 3,120.00
N
01/01/2024
$ 3,245.00 $
$
3,245.00
4.01%
01/01/2025
303
- Each additional stage
$
302.00
$ 302.00
N
01/01/2024
$ 314.00 $
$
314.00
3.97%
01/01/2025
304
ISecond registration (future phases)
$
6,344.00
$ 6,344.00
N
01/01/2024
$ 6,598.00 $
$
6,598.00
4.00%
01/01/2025
305
Vacant Land Condominium application fee PLUS
$
10,001.00
$ 10,001.00
N
01/01/2024
$ 10,401.00 $
$
10,401.00
4.00%
01/01/2025
306
- Per hectare fee
$
210.00
$ 210.00
N
01/01/2024
$ 218.00 $
$
218.00
3.81%
01/01/2025
307
-Maximum
$
20,233.00
$ 20,233.00
N
01/01/2024
$ 21,042.00 $
$
21,042.00
4.00%
01/01/2025
308
Major modification
$
5,000.00
$ 5,000.00
N
01/01/2024
$ 5,200.00 $
$
5,200.00
4.00%
01/01/2025
309
Minor modification
$
2,500.00
$ 2,500.00
N
01/01/2024
$ 2,600.00 $
$
2,600.00
4.00%
01/01/2025
310
Registration of a single stage
$
3,054.00
$ 3,054.00
N
01/01/2024
$ 3,176.00 $
$
3,176.00
3.9991.
01/01/2025
311
- Each additional stage
$
302.00
$ 302.00
N
01/01/2024
$ 314.00 $
$
314.00
3.97%
01/01/2025
312
Temporary Use By-law(Zoning)- maximum 3years
$
6,029.00
$ 6,029.00
N
01/01/2024
$ 6,270.00 $
$
6,270.001
4.00%
01/01/2025
313
Temporary Use By-law (Zoning) - renewal (maximum 3 years)
$
1,398.00
$ 1,398.00
N
01/01/2024
$ 1,454.00 $
$
1,454.00
4.01%
01/01/2025
314
Zoning By-law Amendment Recirculation Fee (Minor)
$
4,940.00
$ 4,940.00
N
01/01/2024
$ 5,138.00 $
$
5,138.00
4.01%
01/01/2025
315
-total fee if combined with OPA
$
11,934.00
$ 11,934.00
N
01/01/2024
$ 12,411.00 $
$
12,411.00
4.00%
01/01/2025
316
Zoning By-law Amendment Recirculation Fee (Major)
$
6,656.00
$ 6,656.00
N
01/01/2024
$ 6,922.00 $
$
6,922.00
4.00%
01/01/2025
317
-total fee if combined with OPA
$
13,478.00
$ 13,478.00
N
01/01/2024
$ 14,017.00 $
$
14,017.00
4.00%
01/01/2025
318
Zoning (Occupancy) Certificate
$
322.00
$ 322.00
N
01/01/2024
$ 335.00 $
$
335.00
4.04%
01/01/2025
319
for home business only
$
161.00
$ 161.00
N
01/01/2024
$ 167.00 $
$
167.00
3.73%
01/01/2025
320
Zoning (Occupancy) Certificate Amendment
$
161.00
$ 161.00
N
01/01/2024
$ 167.00 $
$
167.00
3.73%
01/02/2025
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded t0 the nearest five cents APPENDIX E 12
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded to the nearest five cents APPENDIX E 13
qFEE
327
DESCRIPTION
PLANNING/ENGINEERING
2024 RATE (EXCL
HST)
2024 RATE
(INCL HST)
HST
APPLIES
LAST REVISED
MM/DD/YYYY..
2025
RATE
HST
2025
RATE
% INC vs 2024
EFFECTIVE DATE
328
Tree Conservation
329
-Permit
$ 141.00
$ 141.00
N
01/01/2024
$
147.00 $
$
147.00
4.26%
01/01/2025
330
- Permit with Revisions
$ 73.00
$ 73.00
N
01/01/2024
$
76.00 $
$
76.00
4.11%
01/01/2025
331
- Permit Renewal
$ 73.00
$ 73.00
N
01/01/2024
$
76.00 $
$
76.00
4.11%
01/01/2025
332
Condominium, other than vacant land:
333
Application fee PLUS
$ 6,367.00
$ 6,367.00
N
01/01/2024
$
6,622.00 $
$
6,622.00
4.01%
01/01/2025
334
Minor Modification
$ 1,592.00
$ 1,592.00
N
01/01/2024
$
1,656.00 $
$
1,656.00
4.02%
01/01/2025
335
Major Modification
$ 3,183.00
$ 3,183.00
N
01/01/2024
$
3,310.00 $
$
3,310.00
3.99%
01/01/2025
336
IRegistration
$ 2,060.00
$ 2,060.00
N
01/01/2024
$
2,142.00 $
$
2,142.00
3.98%
01/01/2025
337
Condominium conversion:
338
Application fee PLUS
$ 8,152.00
$ 8,152.00
N
01/01/2024
$
8,478.00 $
$
8,478.00
4.00%
01/01/2025
339
- per unit fee
$ 124.00
$ 124.00
N
01/01/2024
$
129.00 $
$
129.00
4.03%
01/01/2025
340
Minor site audit reviewfee(under 30 units)
$ 980.00
$ 980.00
N
01/01/2024
$
1,019.00 $
$
1,019.00
3.98%
01/01/2025
341
Major site audit review fee (over 30 units)
$ 1,305.00
$ 1,305.00
N
01/01/2024
$
1,357.00 $
$
1,357.00
3.98%
01/01/2025
342
Minor Modification
$ 2,038.00
$ 2,038.00
N
01/01/2024
$
2,120.00 $
$
2,120.00
4.02%
01/01/2025
343
Major Modification
$ 4,076.00
$ 4,076.00
N
01/01/2024
$
4,239.00 $
$
4,239.00
4.00%
01/01/2025
344
Registration
$ 5,008.00
$ 5,008.00
N
01/01/2024
$
5,208.00 $
$
5,208.00
3.99%
01/01/2025
345
Part Lot Control
346
Per original lot, block or part thereof
$ 3,403.00
$ 3,403.00
N
01/01/2024
$
3,539.00 $
$
3,539.00
4.00%
01/01/2025
347
First easement (e.g. maintenance easement) PLUS
$ 3,403.00
$ 3,403.00
N
01/01/2024
$
3,539.00 $
$
3,539.00
4.0091.
01/01/2025
348
- each subsequent easement required on single detached lots
$ 220.00
$ 220.00
N
01/01/2024
$
229.00 $
$
229.00
4.09%
01/01/2025
349
Site Plan Approval:
350
Full Site Plan - PLUS
$ 6,406.00
$ 6,406.00
N
01/01/2024
$
6,662.00 $
$
6,662.00
4.00%
01/01/2025
351
Per residential unit -AND/OR
$ 106.00
$ 106.00
N
01/01/2024
$
110.00 $
$
110.00
3.77%
01/01/2025
352
Per square metre GFA -AND/OR
353
-non-residential
$ 2.22
$ 2.22
N
01/01/2024
$
2.31 $
$
2.31
4.17%
01/01/2025
354
-renovation
$ 0.51
$ 0.51
N
01/01/2024
$
0.53 $
$
0.53
4.44%
01/01/2025
355
Commercial parking facilities, per vehicular parking space
$ 71.00
$ 71.00
N
01/01/2024
$
74.00 $
$
74.00
4.23%
01/01/2025
356
Stamp Plan A -PLUS
$ 3,640.00
$ 3,640.00
N
01/01/2024
$
3,786.00 $
$
3,786.00
4.01%
01/01/2025
357
Per residential unit -AND/OR
$ 106.00
$ 106.00
N
01/01/2024
$
110.00 $
$
110.00
3.77%
01/01/2025
358
Per square metre GFA -AND/OR
359
-non-residential
$ 2.22
$ 2.22
N
01/01/2024
$
2.31 $
$
2.31
4.17%
01/01/2025
360
- renovation
$ 0.51
$ 0.51
N
01/01/2024
$
0.53 $
$
0.53
4.44%
01/01/2025
361
Commercial parking facilities, per vehicular parking space
$ 71.00
$ 71.00
N
01/01/2024
$
74.00 $
$
74.00
4.23%
01/01/2025
362
Stamp Plan B
$ 707.00
$ 707.00
N
01/01/2024
$
735.00 $
$
735.00
3.96%
01/01/2025
363
Review of Site Development Works Drawings
5% of cost
estimate
5% of cost
estimate
N
01/01/2024
5% of cost $
estimate
-
5% of cost
estimate
0.00%
01/01/2025
364
Letter of Credit Release Additional Inspection Fee
$ 936.00
$ 936.00
N
01/01/2024
$
973.00 $
$
973.00
3.95%
01/01/2025
365
Zoning By-law Amendment
366
M inor application- changes to zon ing regulations(except building
height and Floor Space Ratio or to add one new permitted use.
$ 19760.00
$ 19,760.00
N
01/01/2024
$
20,550.00 $
- $
20,550.00
4.00%
01/01/2025
367
- reduced fee if submitted with concurrent OPA
$ 17,784.00
$ 17,784.00
N
01/01/2024
$
18,495.00 $
$
18,495.00
4.00%
01/01/2025
368
Major application -all applications which are not minor.
$ 26,624.00
$ 26,624.00
N
01/01/2024
$
27,689.00 $
$
27,689.00
4.00%
01/01/2025
369
- reduced fee if submitted with concurrent OPA
$ 23,962.00
$ 23,962.00
N
01/01/2024
$
24,920.00 $
$
24,920.001
4.00%
1 01/01/2025
370
IZoning By-law Amendment for Removal of Holding Provision
$ 1,398.00 1
$ 1,398.00
N
1 01/01/2024
$
1,454.00 1 $
1 $
1,454.001
4.01%
1 01/01/2025
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded t0 the nearest five cents APPENDIX E 14
qHST
FEE
2024 RATE (EXCL
HST)
2024 RATE
(INCL HST)
HST
APPLIES
LAST REVISED
..MM/DD/YYYY
2025
RATE
2025 RATE
% INC - 2024
EFFECTIVE DATE
COMPARABLE RATES/COMMENTS
371
PARKING
Y/N
372
Monthly Parking-Surface Lots (excluding those listed above)
$ 145.97
$ 164.95
Y
01/01/2024
$
150.35 $
19.55
$ 169.90
3.00%
01/01/2025
373
Monthly Parking- Garages
$ 165.75
$ 187.30
Y
01/01/2024
$
170.70 $
22.19
$ 192.89
2.99%
01/01/2025
374
Monthly Parking- D/O (reserved)
$ 184.96
$ 209.00
Y
01/01/2024
$
190.50 $
24.76
$ 215.26
3.00%
01/01/2025
375
Remote Parking Lot Rate - Bramm Street
$ 123.63
$ 139.70
Y
01/01/2024
$
150.35 $
19.55
$ 169.90
21.61%
01/01/2025
Fee increased to align with other downtown lots.
376
Hourly Rates (meter/pay & display)
$ 2.30
$ 2.60
Y
01/01/2024
$
2.39 $
0.31
$ 2.70
3.93%
01/01/2025
Rounding.
377
Hourly Rates (Hospital Lots)
$ 2.67
$ 3.02
Y
01/01/2024
$
2.74 $
0.36
$ 3.10
2.51%
01/01/2025
Rounding.
378
Garage Rates for 2 hours*
$ 3.54
$ 4.00
Y
01/01/2024
$
3.72 $
0.48
$ 4.20
5.08%
01/01/2025
Rounding.
379
Garage Rates per 1/2 hour, after 1st 2 hours
$ 1.59
$ 1.80
Y
01/01/2024
$
1.64 $
0.21
$ 1.85
3.15%
01/01/2025
Rounding.
380
*Market Garage Rate for 1st hour, after that regular garage rates
$ 177
$ 2.00
Y
01/01/2024
$
1.86 $
0.24
$ 2.10
5.08%
01/01/2025
Rounding.
apply; and parking validation with vendor purchase
381
Civic District Garage Rate per 1/2 hour for 1st hour only, after that
$ 1.06
$ 1.20
Y
01/01/2024
$
1.11 $
0.14
$ 1.25
4.66%
01/01/2025
Rounding.
regular garageratesa
382
Garage Rates Daily Maximum
$ 14.34
$ 16.20
Y
01/01/2024
$
14.78 $
1.92
$ 16.70
3.10%
01/01/2025
Rounding.
383
Theatre Rate
$ 8.85
$ 10.00
Y
09/01/2023
$
8.85 $
1.15
$ 10.00
0.00%
09/01/2025
Last increase September 2023. Periodic changes every
3-4 years.
384
Premium Theatre Rate- Lot 14 and Lot 19 (Excluding Valid Accessible
$ 10.62
$ 12.00
Y
09/01/2023
$
10.62 $
1.38
$ 12.00
0.00%
09/01/2025
Last increase September 2023. Periodic changes every
Parking Permit holders)
3-4 years.
385
Meter Bagging/day
$ 29.12
$ 32.91
Y
01/01/2024
$
30.00 $
3.90
$ 33.90
3.02%
01/01/2025
386
Surface lot daily parking daily maximum
$ 11.50
$ 13.00
Y
01/01/2024
$
11.86 $
1.54 1
$ 13.40
3.13%
01/01/2025
387
Surface lot daily parking (Hospital) daily maximum
$ 13.23
$ 14.95
Y
01/01/2024
$
13.63 $
1.77
$ 15.40
3.02%
01/01/2025
388
Commercial Permit
$ 394.11
$ 445.34
Y
01/01/2024
$
405.95 $
52.77
$ 458.72
3.00%
01/01/2025
389
Cash in Lieu of Parking (Downtown Area)
$ 44,742.88
$ 44,742.88
N
01/01/2024
$
46,085.20 $
$ 46,085.20
3.00%
01/01/2025
390
City Business Permit
$ 236.42
$ 267.15
Y
01/01/2024
$
243.50 $
31.65
$ 275.15
3.00%
01/01/2025
391
Sports Storage Fees- Duke & Ontario Garage (per square foot)
$ 2.30
$ 2.60
Y
01/01/2024
$
2.39 $
0.31
$ 2.70
3.89%
01/01/2025
392
Electric Charging Station Rate per hour
$ 0.88
$ 0.99
Y
01/01/2024
$
1.33 $
0.17
$ 1.50
51.14%
01/01/2025
Rate increase to align with market rate.
393
Special Event Rate (Afters pm and/or Saturdays)
$ 5.31
$ 6.00
Y
01/01/2024
$
5.31 $
0.69
$ 6.00
0.02%
01/01/2025
394
Garage- Night Time Rate (4 pm to 9 am Monday- Friday)+Saturdays
$ 63.98
$ 72.30
Y
01/01/2024
$
65.93 $
8.57
$ 74.50
3.05%
01/01/2025
Rounding.
and Sundays - Charles & Benton Garage
395
Saturday Flat Ratefor Market Customers -Charles & Benton Garage
$ 177
$ 2.00
Y
01/01/2024
$
1.86 $
0.24
$ 2.10
5.08%
01/01/2025
Rounding.
with OTR
396
Saturday Flat Rate for Market Vendors and Vendor Staff -Charles &
$ 2.65
$ 3.00
Y
01/01/2024
$
2.74 $
0.36
$ 3.10
3.24%
01/01/2025
Rounding.
Benton Garage
397
City Hall, Charles & Benton, Duke & Ontario Garage Rate - 5 pm to
$ 5.31
$ 6.00
Y
01/01/2024
$
5.31 $
0.69
$ 6.00
0.02%
01/01/2025
5:59 am(Monday to Saturda
398
Meter Bagging/day- duration greaterthan l week but less than 1
$ 15.75
$ 17.80
Y
01/01/2024
$
16.20 $
2.11
$ 18.31
2.86%
01/01/2025
Rounding.
month
399
Meter Bagging/day-greaterthan one month
$ 10.62
$ 12.00
Y
01/01/2024
$
10.95 $
1.42
$ 12.37
3.11%
01/01/2025
Rounding.
400
Electric Charging Station Rate After Fully Charged per hour
$ 2.21 $
2.50
Y
01/01/2024
$
2.65 $
0.35
$ 3.00
19.91%
01/01/2025
Rate increaseto align with market rate.
401
Electric Charging Station Rate per hour - On Street
$ 1.11
$ 1.25
Y
01/01/2024
$
1.77 $
0.23
$ 2.00
59.46%
01/01/2025
Rate increase to align with market rate.
Part-time 3 day a week permit package- Garage facilities only. Does
402
not include reserved areas. No surface lots. A total of 14 coupons
$ 115.75
$ 130.80
Y
01/01/2024
$
145.13 $
18.87
$ 164.00
25.38%
01/01/2025
2024 rate was an internal pilot rate. 2025 rate is
issued per month that expire each month 10% premium
aligned with market rates for the product type.
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded t0 the nearest five cents APPENDIX E 15
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded t0 the nearest five cents APPENDIX E 16
1W FEE
BUILDING
2024 RATE (EXCL
HST)
2024 RATE
(INCL HST)
HST
APPLIES
Y/N
LAST REVISED
..MM/DD/YYYY
2025
RATE
2025
RATE
% INC - 2024
EFFECTIVE DATE
COMPARABLE RATES/COMMENTS
403
404
** Except where specifically noted otherwise, where the fee
calculation is based on a monetary amount per sq ft and the amount
calculated totals less than $95, a fee of $95 shall be paid.
The Building Enterprise is proposing a 0% change to
the 2023 permit fees. Favourable results over the last
few years have allowed the Building Stabilization
reserve fund to reach its target level.
405
BUILDING PERMITS- Fees tied to cost of providing service associated
with re ulato funciton **
406
New Buildings, Additons, Mezzanines
407
-Group A: Assembly(finished)-persq ft.
$ 2.07
$ 2.07
N
01/01/2024
$
2.07 $
$
2.07
0.00%
01/01/2025
408
Assembly(shell)- per sq ft.
$ 1.82
$ 1.82
N
01/01/2024
$
1.82 $
$
1.82
0.00%
01/01/2025
409
Outdoor public pool
$ 711.00
$ 711.00
N
01/01/2024
$
711.00 $
$
711.00
0.00%
01/01/2025
410
-Group B: Institutional(finished)-persq ft.
$ 2.21
$ 2.21
N
01/01/2024
$
2.21 $
$
2.21
0.0091.
01/01/2025
411
Institutional (shell) -per sq ft.
$ 1.94
$ 1.94
N
01/01/2024
$
1.94 $
$
1.94
0.00%
01/01/2025
412
-Group C: Residential:
413
Single family, Semi, Row, Townhouse, Duplex -per sq ft.
$ 1.07
$ 1.07
N
01/01/2024
$
1.07 $
$
1.07
0.00%
01/01/2025
414
Garage/Carport (per bay)
$ 95.00
$ 95.00
N
01/01/2024
$
95.00 $
$
95.00
0.00%
01/01/2025
415
Shed or porch
$ 95.00
$ 95.00
N
01/01/2024
$
95.00 $
$
95.00
0.00%
01/01/2025
416
Deck or pool
$ 95.00
$ 95.00
N
01/01/2024
$
95.00 $
$
95.00
0.00%
01/01/2025
417
Apartment building -per sq ft.
$ 1.07
$ 1.07
N
01/01/2024
$
1.07 $
$
1.07
0.00%
01/01/2025
418
Hotels/Motels-per sq ft.
$ 1.76
$ 1.76
N
01/01/2024
$
1.76 $
$
1.76
0.00%
01/01/2025
419
Residential care facility -per sq ft.
$ 1.24
$ 1.24
N
01/01/2024
$
1.24 $
$
1.24
0.00%
01/01/2025
420
-Group D: Business & personal services:
421
Office buildings (shell) -per sq ft.
$ 1.49
$ 1.49
N
01/01/2024
$
1.49 $
$
1.49
0.00%
01/01/2025
422
Office buildings (finished) -per sq ft.
$ 1.76
$ 1.76
N
01/01/2024
$
1.76 $
$
1.76
0.00%
01/01/2025
423
-Group E: Mercantile:
424
Retail stores (shell) -per sq ft.
$ 0.98
$ 0.98
N
01/01/2024
$
0.98 $
$
0.98
0.00%
01/01/2025
425
Retail stores (finished) -per ft2
$ 1.23
$ 1.23
N
01/01/2024
$
1.23 $
$
1.23
0.00%
01/01/2025
426
-Group F: Industrial:
427
Warehouse, factories (shell) -per sq ft.
$ 0.59
$ 0.59
N
01/01/2024
$
0.59 $
$
0.59
0.00%
01/01/2025
428
Warehouse, factories(finished)-persq ft.
$ 0.70
$ 0.70
N
01/01/2024
$
0.70 $
$
0.70
0.00%
01/01/2025
429
Interior finishing of warehouse or factory areas only- $
er s ft.
0.14
$ 0.14
N
01/01/2024
$
0.14 $
- $
0.14
0.00%
01/01/2025
430
Parking garage -per sq ft.
$ 0.65
$ 0.65
N
01/01/2024
$
0.65 $
$
0.65
0.00%
01/01/2025
431
Farm building -per sq ft.
$ 0.34
$ 0.34
N
01/01/2024
$
0.34 $
$
0.34
0.00%
01/01/2025
432
Foundation
$ 0.14
$ 0.14
N
01/01/2024
$
0.14 $
$
0.14
0.00%
01/01/2025
433
Conditional Permit -per greatest foot print & sq ft. (Min. $711.00)
$ 0.14
$ 0.14
N
01/01/2024
$
0.14 $
$
0.14
0.00%
01/01/2025
434
Interior finishes to previously unfinished area (including finishing of
residential basements and major renovations) -all classifications -per $
sq ft.
0.37
$ 0.37
N
01/01/2024
$
0.37 $
- $
0.37
0.00%
01/01/2025
435
New roof structure -per sq ft.
$ 0.22
$ 0.22
N
01/01/2024
$
0.22 $
$
0.22
0.00%
01/01/2025
436
Parking garage renovations -per sq ft.
$ 0.08
$ 0.08
N
01/01/2024
$
0.08 $
$
0.08
0.00%
01/01/2025
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded t0 the nearest five cents APPENDIX E 16
437
FEE DESCRIPTION
Minor Alterations
2024 RATE (EXCL
HST)
2024 RATE
(INCL HST)
HST
APPLIES
LAST REVISED
..MM/DD/YYYY
2025
RATE
2025
RATE
% INC - 2024
EFFECTIVE DATE
COMPARABLE RATES/COMMENTS
438
Single partitions, washrooms, new entry, new demising wall,
canopies
$ 163.00
$ 163.00
N
01/01/2024
$
163.00
$ - $
163.00 0.00%
01/01/2025
439
Special Categories
440
Air supported structures -per sq ft.
$ 0.40
$ 0.40
N
01/01/2024
$
0.40
$ $
0.40 0.00%
01/01/2025
441
Temporary tents (per site and event)
$ 163.00
$ 163.00
N
01/01/2024
$
163.00
$ $
163.00 0.00%
01/01/2025
442
Temporary stages or demountable support structures (per site per
event
$ 163.00
$ 163.00
N
01/01/2024
$
163.00
$ - $
163.00 0.00%
01/01/2025
443
Temporary buildings
$ 163.00
$ 163.00
N
01/01/2024
$
163.00
$ $
163.001 0.00%
01/01/2025
444
Portables/per site (excluding port-a-pak)
$ 163.00
$ 163.00
N
01/01/2024
$
163.00
$ $
163.00 0.00%
01/01/2025
445
Demolitions (minimum of $163) -per sq ft.
$ 0.03
$ 0.03
N
01/01/2024
$
0.03
$ $
0.03 0.00%
01/01/2025
446
Change of use
$ 163.00
$ 163.00
N
01/01/2024
$
163.00
$ $
163.00 0.00%
01/01/2025
447
Minor demolition (up to SDD)
$ 95.00
$ 95.00
N
01/01/2024
$
95.00
$ $
95.00 0.00%
01/01/2025
448
Miscellaneous
449
Ext. barrier free ramp
$ 64.00
$ 64.00
N
01/01/2024
$
64.00
$ $
64.00 0.00%
01/01/2025
450
Fireplace/woodstove (each)
$ 95.00
$ 95.00
N
01/01/2024
$
95.00
$ $
95.00 0.00%
01/01/2025
451
Retaining wall (per linear foot)
$ 2.74
$ 2.74
N
01/01/2024
$
2.74
$ $
2.74 0.00%
01/01/2025
452
Balcony guard (replace per linear foot)
$ 0.56
$ 0.56
N
01/01/2024
$
0.56
$ $
0.56 0.00%
01/01/2025
453
Balcony repairs/balcony
$ 12.65
$ 12.65
N
01/01/2024
$
12.65
$ $
12.65 0.00%
01/01/2025
454
Shoring& underpinning (per linear foot)
$ 3.04
$ 3.04
N
01/01/2024
$
3.04
$ $
3.04 0.00%
01/01/2025
455
Ceiling (new or replace) -per sq ft.
$ 0.05
$ 0.05
N
01/01/2024
$
0.05
$ $
0.05 0.00%
01/01/2025
456
Fagade improvement
$ 163.00
$ 163.00
N
01/01/2024
$
163.00
$ $
163.00 0.00%
01/01/2025
457
Reclad wall -per sq ft.
$ 0.07
$ 0.07
N
01/01/2024
$
0.07
$ $
0.07 0.00%
01/01/2025
458
All designated structures (except retaining walls, public pools & signs)
$ 291.00
$ 291.00
N
01/01/2024
$
291.00
$ - $
291.00 0.00%
01/01/2025
459
Solar Collector; low rise residential
$ 95.00
$ 95.00
N
01/01/2024
$
95.00
$ $
95.00 0.00%
01/01/2025
460
Solar Collector; all other application types
$ 291.00
$ 291.00
N
01/01/2024
$
291.00
$ $
291.00 0.00%
01/01/2025
461
Elevator/escalator/lift
$ 291.00
$ 291.00
N
01/01/2024
$
291.00
$ $
291.00 0.00%
01/01/2025
462
Fire retrofit (per storey)
$ 95.00
$ 95.00
N
01/01/2024
$
95.00
$ $
95.00 0.00%
01/01/2025
463
Mechanical Work - Work independent of building permit:
464
HVAC Permit (residential per suite)
$ 95.00
$ 95.00
N
01/01/2024
$
95.00
$ $
95.00 0.00%
01/01/2025
465
HVAC Permit (non -residential) -per sq ft.
$ 0.11
$ 0.11
N
01/01/2024
$
0.11
$ $
0.11 0.00%
01/01/2025
466
Sprinkler system (minimum $163) -per sq ft.
$ 0.05
$ 0.05
N
01/01/2024
$
0.05
$ $
0.05 0.00%
01/01/2025
467
Commercial kitchen, spray booth, dust collectors
$ 163.00
$ 163.00
N
01/01/2024
$
163.00
$ $
163.00 0.0091.
01/01/2025
468
Standpipe and hose system (retrofit)
$ 95.00
$ 95.00
N
01/01/2024
$
95.00
$ $
95.00 0.00%
01/01/2025
469
Electrical Work - Work independent of building permit:
470
Fire alarm system & electrical work (min. $163) -per sq ft.
$ 0.05
$ 0.05
N
01/01/2024
$
0.05
$ $
0.05 0.00%
01/01/2025
471
Electromagnetic locks (each) & hold open devices
$ 39.00
$ 39.00
N
01/01/2024
$
39.00
$ $
39.00 0.00%
01/01/2025
472
Emergency lighting (per storey)
$ 95.00
$ 95.00
N
01/01/2024
$
95.00
$ $
95.00 0.00%
01/01/2025
473
Plumbing Work - Work independent of building permit:
474
Plumbing permit (per fixtu re min. fee $95.00)
$ 11.00
$ 11.00
N
01/01/2024
$
11.00
$ $
11.00 0.00%
01/01/2025
475
Disconnect plumbing from septic
$ 95.00
$ 95.00
N
01/01/2024
$
95.00
$ $
95.00 0.00%
01/01/2025
476
Connect to storm or sewer
$ 95.00
$ 95.00
N
01/01/2024
$
95.00
$ $
95.00 0.00%
01/01/2025
477
!Ca hbasins/manholes/roof drains(each)
$ 11.00
$ 11.00
N
01/01/2024
$
11.00
$ $
11.00 0.00%
01/01/2025
478
Building/site services (per linear foot)
$ 0.59
$ 0.59
N
01/01/2024
$
0.59
$ $
0.59 0.00%
01/01/2025
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded to the nearest five cents APPENDIX E 17
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded t0 the nearest five cents APPENDIX E 18
FEE DESCRIPTION
Sewage System
2024 RATE (EXCL
HST)
2024 RATE
(INCL HST)
HST
APPLIES
LAST REVISED
..MM/DD/YYYY
2025
RATE
2025 RATE
% INC - 2024
EFFECTIVE DATE
COMPARABLE RATES/COMMENTS
479
480
Installation of a new sewage system
$ 462.00
$ 462.00 N
01/01/2024
$
462.00 $
$ 462.00
0.00%
01/01/2025
481
Major repair
$ 231.00
$ 231.00 N
01/01/2024
$
231.00 $
$ 231.00
0.00%
01/01/2025
482
Minor repair
$ 95.00
$ 95.00 N
01/01/2024
$
95.00 $
$ 95.00
0.00%
01/01/2025
483
Examine revised plans (minimum $95)-per sq ft.
$ 0.20
$ 0.20 N
01/01/2024
$
0.20 $
$ 0.20
0.00%
01/01/2025
484
Minimum permit fee (unless otherwise noted)
$ 95.00
$ 95.00 N
01/01/2024
$
95.00 $
$ 95.00
0.00%
01/01/2025
485
Transfer permit
$ 95.00
$ 95.00 N
01/01/2024
$
95.00 $
$ 95.00
0.00%
01/01/2025
486
Permit to occupy unfinished building
$ 95.00
$ 95.00 N
01/01/2024
$
95.00 $
$ 95.00
0.00%
01/01/2025
487
ISpecial Inspection Fee per hour (i.e. weeknight, weekend)
$ 184.00
$ 184.00 N
01/01/2024
$
184.00 $
$ 184.00
0.00%
01/01/2025
488
Special Research Request/Written Request per hour
$ 56.00
$ 56.00 N
01/01/2024
$
56.00 $
$ 56.00
0.00%
01/01/2025
489
Extra Fees
490
New construction Single Family, Duplex, Semi-detached, Townhouse
&Tri lex Dwelling Units/ ermit
$ 500.00
$ 500.00 N
01/01/2024
$
500.00 $
-
$ 500.00
0.00%
01/01/2025
491
New construction and additions to Multi-residential, Commercial,
Industrial & Institutional Projects/1,000. CV max. $5,000
$ 10.00
$ 10.00 N
01/01/2024
$
10.00 $
-
$ 10.00
0.00%
01/01/2025
492
Additions/alterations to Single Family, Duplex, Semi-detached,
Townhouse &Triplex Dwelling Units/permit
$ 250.00
$ 250.00 N
01/01/2024
$
250.00 $
-
$ 250.00
0.00%
01/01/2025
493
Alterations/interior finish permits to Multi-residential, Commercial,
Industrial & Institutional Projects/permit
$ 1,000.00
$ 1,000.00 N
01/01/2024
$
1,000.00 $
-
$ 1,000.00
0.00%
01/01/2025
494
Additional Dwelling Unit (ADU) Addressing Sign
$ 208.00
$ 208.00 N
01/01/2024
$
208.00 $
-
$ 208.00
0.00%
01/01/2025
This fee has been transferred from the Planning
Division Fees to Building as a result of Bill 23.
495
Building Reports/Stats Can Reports (per month)
$ 5.13
$ 5.80 Y
01/01/2024
$
5.13 $
0.67
$ 5.80
0.00%
01/01/2025
496
Subscriptions (Building Reports/Stats Can) (Annual)
$ 28.43
$ 32.13 Y
01/01/2024
$
28.43 $
3.70
$ 32.13
0.00%
01/01/2025
497
Property Surveys-Records FOl
$ 12.50
$ 12.50 N
01/01/2024
$
12.50 $
$ 12.50
0.00%
01/01/2025
Legislated fee cannot be changed.
498
Administration Fee
$ 5.00
$ 5.00 N
01/01/2024
$
5.00 $
$ 5.00
0.00%
01/01/2025
Legislated fee cannot be changed.
499
Staff Time/15 min.
$ 7.50
$ 7.50 N
01/01/2024
$
7.50 $
$ 7.501
0.00%
01/01/2025
Legislated fee cannot be changed.
500
File View (street file), cost/severed page
$ 1.00
$ 1.00 N
01/01/2024
$
1.00 $
$ 1.00
0.00%
01/01/2025
Legislated fee cannot be changed.
501
Photocopies (Black & White)- per copy
$ 0.18
$ 0.20 Y
01/01/2024
$
0.18 $
0.02
$ 0.20
0.00%
01/01/2025
Flat fee.
502
Request for Environmental records
$ 181.50
$ 181.50 N
01/01/2024
$
181.50 $
$ 181.50
0.00%
01/01/2025
503
Grading Certificate/Sewage System Maintenance Letter
$ 20.00
$ 20.00 N
01/01/2024
$
20.00 $
$ 20.00
0.00%
01/01/2025
504
Coloured Photocopies - per copy
$ 0.66
$ 0.75 Y
01/01/2024
$
0.66 $
0.09
$ 0.75
0.00%
01/01/2025
Flat fee.
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded t0 the nearest five cents APPENDIX E 18
qFEE
505
DESCRIPTION
COMMUNITY SERVICES
2024 RATE (EXCL
HST)
2024 RATE
(INCL HST)
HST
APPLIES
LAST REVISED
MM/DD/YYYY..
2025 RATE
HST
2025 RATE
% INC - 2024
EFFECTIVE DATE
506
FIRE
507
Fire Prevention Administration
508
Fire Report copies
$ 97.35
$ 97.35
N
01/01/2024
$ 101.25 $
$ 101.25
4.01%
01/01/2025
509
Status Letter- Discretionary/Commercia l Inspection process
$40.50+
$6.30/unit
$40.50+
$6.30/unit
N
01/01/2024
$4250+ $
$6.55/unit
-
$42.50+
$6.55/unit
4,00%
01/01/2025
510
Status Letter- Applies to specific inspection or enforcement results,
not Disc retionar /Commercial Inspections.
$ 41,60
$ 41.60
N
01/01/2024
$ 43.25 $
-
$ 43.25
3.97%
01/01/2025
511
File Search
$ 150.45
$ 170.01
Y
01/01/2024
$ 156.50 $
20.35
$ 176.85
4.02%
01/01/2025
512
Additional Hour Charge
$ 89.25
$ 100.85
Y
01/01/2024
$ 92.85 $
12.07
$ 104.92
4.03%
01/01/2025
513
Fireworks Display Permit
$ 97.35
$ 97.35
N
01/01/2024
$ 101.25 $
$ 101.25
4.01%
01/01/2025
514
Fireworks Vendor - New
$ 623.00
$ 623.00
N
01/01/2024
$ 648.00 $
$ 648.00
4.01%
01/01/2025
515
Fireworks Vendor- Renewal
$ 104.00
$ 104.00
N
01/01/2024
$ 108.50 $
$ 108.50
4.3391.
01/01/2025
516
Open Air Burning Permit
$ 97.35
$ 97.35
N
01/01/2024
$ 101.25 $
$ 101.25
4.01%
01/01/2025
517
Open Burning Response -Subsequent to original response
(consumable materials are additional)
$602.40/unit
first hour,
$301.20/unit per
1/2 hour after
$602.40/unit
first hour,
$301.20/unit per
1/2 hour after
N
01/01/2024
626.50/unit
first hour,
$313.25/unit $
per 1/2 hour
after
-
$626.50/unit
first hour,
$313.25/unit per
1/2 hour after
4.00%
01/01/2025
518
Fire Route - Establishment or Review of existing
$ 239.60
$ 270.75
Y
01/01/2024
$ 249.50 $
32.44
$ 281.94
4.13%
01/01/2025
To align with other fees of similar nature.
519
Fire Route- Additional Hour Charge
$ 89.25
$ 100.85
Y
01/01/2024
$ 93.00 $
12.09
$ 105.09
4.20%
01/01/2025
520
Fire Prevention - Inspections / Activities
521
Fire Safety Plan Review
N
$ 249.50 $
-
$ 249.50
01/01/2025
New fee required to recover staff time associated with
reviewing these plans. This is a service that has
always been provided, ut never charged for.
522
Fire Regulation Compliance Inspection including 1st hour charge
$ 239.60
$ 270.75
Y
01/01/2024
$ 249.50 $
32.44
$ 281.94
4.13%
01/01/2025
To align with other fees of similar nature.
523
lAdditional Hour Charge
$ 89.25 1
$ 100.85
Y
01/01/2024
$ 93.00 $
12.09
$ 105.09
4.20%
01/01/2025
To align with other fees of similar nature.
524
Re-Inspection Fee- Hourly
$ 89.25
$ 100.85
Y
01/01/2024
$ 93.00 $
1209.
$ 105.09
4.2091.
01/01/2025
To align with other fees of similar nature.
525
Retrofit Inspections including 1st hour charge
$ 239.60
$ 270.75
Y
01/01/2024
$ 249.50 $
32.44
$ 281.94
4.13%
01/01/2025
To align with other fees of similar nature.
526
Additional Hour Charge
$ 89.25
$ 100.85
Y
01/01/2024
$ 93.00 $
12.09
$ 105.09
4.20%
01/01/2025
To align with other fees of similar nature.
527
Requested Inspections with a business application including 1st hour
charge
$ 239.60
$ 270.75
Y
01/01/2024
$ 249.50 $
32.44
$ 281.94
4.13%
01/01/2025
To align with other fees of similar nature.
528
Additional Hour Charge
$ 89.25
$ 100.85
Y
01/01/2024
$ 93.00 $
12.09
$ 105.09
4.20%
01/01/2025
To align with other fees of similar nature.
529
Fire Investigations -Townships (Per Hour)
$ 123.00
$ 138.99
Y
01/01/2024
$ 127.95 $
16.63
$ 144.58
4.02%
01/01/2025
Fee is based on salary recovery.
530
Liquor License Inspections including 1st hour charge
$ 270.85
$ 306.06
Y
01/01/2024
$ 282.00 $
36.66
$ 318.66
4.12%
01/01/2025
531
Additional Hour Charge
$ 100.85
$ 113.96
Y
01/01/2024
$ 105.00 $
13.65
$ 118.65
4.12%
01/01/2025
532
Rental 50' Length of Hose - per day
$ 38.30
$ 43.28
Y
01/01/2024
$ 40.00 $
5.20
$ 45.20
4.44%
01/01/2025
533
Rental Allied Equipment -per day
$ 38.30
$ 43.28
Y
01/01/2024
$ 40.00 $
5.20
$ 45.20
4.44%
01/01/2025
534
Air Bottle Recharge
$ 19.15
$ 21.64
Y
01/01/2024
$ 20.00 $
2.60
$ 22.60
4.44%
01/01/2025
535
Fire Prevention - Request Inspections -
Discretionary/Comm ercial Residential
536
Single Family Home
$ 230.35
$ 260.30
Y
01/01/2024
$ 240.00 $
31.20
$ 271.20
4.19%
01/01/2025
537
Duplex 9.8 (Owner to provide proof of use as of July 14, 1994)
$ 345.30
$ 390.19
Y
01/01/2024
$ 360.00 $
46.80
$ 406.80
4.26%
01/01/2025
538
IResidential 3-5 Units
$ 576.30
$ 651.22
Y
01/01/2024
$ 600.00 $
78.00
$ 678.00
4.11%
01/01/2025
539
Residential - More than 5 units - 3 stories or Less.
$ 807.25
$ 912.19
Y
01/01/2024
$ 840.00 $
109.20
$ 949.20
4.06%
01/01/2025
540
Residential-4-6 Sto ries
$ 1,038.15
$ 1,173.11
Y
01/01/2024
$ 1,080.00 $
140.40
$ 1,220.40
4.03%
01/01/2025
541
IResidential-7-11 Stories
$1,269.10
$ 1,434.08
Y
01/01/2024
$ 1,320.00 $
171.60
$ 1,491.60
4.01%
01/01/2025
542
IResidential - 12 - 18 Stories
$ 1,500.10
$ 1,695.11
Y
01/01/2024
$ 1,560.00 $
202.80
$ 1,762.80
3.99%
01/01/2025
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded t0 the nearest five cents APPENDIX E 19
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded t0 the nearest five cents APPENDIX E 20
FEE DESCRIPTION
2024 RATE (EXCL
HST)
$1500.10+
2024 RATE
(INCL HST)
$1695.11+202.80+
HST
APPLIES
LAST REVISED
..MM/DD/YYYY
2025 RATE
$1,560.00 +
2025 RATE
1762.80+
% INC - 2024
EFFECTIVE DATE
COMPARABLE RATES/COMMENTS
543
Residential- More than 18 Stories (base + cost/additional floor)
$56.15/
$63.46/
Y
01/01/2024
$59.00/
7 67/
66.67/additional
3.99%
01/01/2025
additional floor
additional floor
additional
floor
additional
floor
floor
544
Residential -Parking Garage
$ 230.35
$ 260.30
Y
01/01/2024
$
240.00 $
31.20
$ 271.20
4.19%
01/01/2025
545
Residential - Parking Garage with tenant storage permitted in garage.
$ 576.30
$ 651.22
Y
01/01/2024
$
600.00 $
78.00
$ 678.00
4.11%
01/01/2025
Commercial -Single Tenancy -Less than 1500m2- l floor (building
546
only, hourly rate applies after 1st hour for additional processes)
$ 345.30
$ 390.19
Y
01/01/2024
$
360.00 $
46.80
$ 406.80
4.26%
01/01/2025
$46.80+
Commercial- Multiple Tenancy -Less than 1500m2-1 floor-
$345.30+
$390.17+
$360.00+
$406.80+
547
additional charge per unit (building only, hourly rate applies after 1st
$112.00/
$126.56/
Y
01/01/2024
$116.50/
$15.15/
$131.65/
4.26%
01/01/2025
hour for additional processes)
additional unit
additional unit
additional unit
additional
additional unit
unit
Commercial - Single Tenancy- Greater than 1500m2 or less than
548
1500m2 with morethan 1 floor (building only, hourly rate applies
$ 691.70
$ 781.62
Y
01/01/2024
$
720.00 $
93.60
$ 813.60
4.09%
01/01/2025
after lst hourfor additionalprocesses)
$93.60+
Commercial- Multiple Tenancy- Morethan 1500m2 or less than
$691.70+
$781.62+
$720.00+
$813.60+
549
1500m2 with morethan 1 floor -additional charge per unit. (building
$112.00/additio
$126.56/
Y
01/01/2024
$116.50/
$131.65/
4.09%
01/01/2025
only, hourly rate applies after 1st hour for additional processes)
nal unit
additional unit
additional unit
additional
d
additionall
unit
additional unit
550
Fire Alarm Monitoring/Month:
551
1G5 Residential Fire Alarm Monitoring Fee - Monthly
$ 7.15
$ 8.08
Y
01/01/2024
$
7.15 $
0.93
$ 8.08
0.00%
01/01/2025
No increase to residential fee due to the potential loss
of customers.
552
Extra Units/Unit - Monthly
$ 4.50
$ 5.09
Y
01/01/2024
$
4.70 $
0.61
$ 5.31
4.44%
01/01/2025
553
Cellular Alarm Fees - Monthly
$ 6.00
$ 6.78
Y
01/01/2024
$
6.00 $
0.78
$ 6.78
0.00%
01/01/2025
This fee is for cost recovery, therefore no increase.
554
Direct Detect Monthly Residential Maintenance Fee -2 or 3 Smoke
$ 5.70
$ 6.44
Y
01/01/2024
$
6.00 $
0.78
$ 6.78
5.26%
01/01/2025
Alarms
555
Each additional device (smoke alarm, CO detector) - monthly
$ 1.10
$ 1.24
Y
01/01/2024
$
1.15 $
0.15
$ 1.30
4.55%
01/01/2025
556
1G1 Monitor Commercial Non-Required(monthly)- DVAC or AES
$ 35.50
$ 40.12
Y
01/01/2024
$
37.00 $
4.81
$ 41.81
4.23%
01/01/2025
557
1G2 Monitor Commercial Required(monthly) -DVAC or AES
$ 56.80
$ 64.18
Y
01/01/2024
$
59.00 $
7.67
$ 66.67
3.87%
01/01/2025
558
1610 Monitor Dealer Non -Required - Monthly dealer pricing (COK
$ 13.30
$ 15.03
Y
01/01/2024
$
14.00 $
1.82
$ 15.82
5.26%
01/01/2025
bills dealer, dealer bills customer
1G4 Monitor Dealer Required - Monthly dealer pricing (COK bills
559
dealer, dealer bills customer
$ 19,65
$ 22.20
Y
01/01/2024
$
20.50 $
2.67
$ 23.17
4.33%
01/01/2025
1G11 Monitor Small Premise -used for non -required monitoring only
560
(small commercial buildings, churches, 3 story walk ups, student
$ 21.35
$ 24.13
Y
01/01/2024
$
22.25 $
2.89
$ 25.14
4.22%
01/01/2025
housing, schools
561
lIG13 Monitor/DVAC Replacement (monthly)
$ 71.00
$ 80.23
Y
01/01/2024
$
74.00 $
9.62
$ 83.62
4.23%
1 01/01/2025
562
Direct Detect -General Charges
563
Direct Detect Service Calls- During Business Hours - Hourly*
$ 102.00
$ 115.26
Y
01/01/2024
$
106.00 $
13.78
$ 119.78
3.92%
01/01/2025
564
*After Hours (minimum call out time of 3 hours)
565
Response to Provincial Highways/Truck
566
First hour
$ 543.03
$ 543.03
N
01/01/2024
$
559.86 $
-
$ 559.86
3.10%
01/01/2025
Fee is legislated by the Province. Rate is as of
November 2023.
567
Each 1/2 hour thereafter
$ 271.52
$ 271.52
N
01/01/2024
$
279.93 $
-
$ 279.93
3.10%
01/01/2025
Fee is legislated by the Province. Rate is as of
November 2023.
568
Other Fire Services - Charges
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded t0 the nearest five cents APPENDIX E 20
2024 RATE (EXCL 2024 RATE
FEE DESCRIPTION HST) (INCL HST)
HST
APPLIES
LAST REVISED
..MM/DD/YYYY
2025 RATE
2025 RATE
% INC - 2024
EFFECTIVE DATE
COMPARABLE RATES/COMMENTS
$72'78 unit
$517 unit first $584.21/unit$559.86
Fire Response and Investigation Recovery (consumable materials hour, first hour,
unit
first hour,
$632.64 unit first
first hour,
hour,
569 additional) $258.50/unit per $292.11/unit per
y
01/01/2024
$279 93/unit
$36.39/unit
$316.32/unit per
8'29%
01/01/2025
Rate matches MTO Rate.
hour after hour after
%
%
per hour after
peri hour %
hour after
after
$626.50/unit
$602.40/unit $602.40/unit
$8145/unit $707.95/unit
first hour, first hour,
570 Technical Responses (consumable materials additional)
N
01/01/2024
first hour,
$313.25/unit
first hour, first hour,
4.00%
01/01/2025
This is based on MTO rate and salary recovery.
$301.20/unit per $301.20/unit per
$40.72/unit $353.97/unit per
1/2 hour after 1/2 hour after
per 1/2 hour
per 1/2 1/2 hour after
after
hourafter
571 Fire Extinguisher Training (Does not Include Not -for Profit Groups) $ 26.40 $ 29.83
Y
01/01/2024
$ 27.50
$ 3.58 $ 31.08
4.17%
01/01/2025
Training Other Fire Departments & Agencies (hourly rate/trainer)
572 $ 124.45 $ 140.63
Y
01/01/2024
$ 130.00
$ 16.90 $ 146.90
4.46%
01/01/2025
Fee aligned with wage recovery.
(Course materials and expenses extra)
573 Dispatch systems administration and analysis (Per Hour) $ 84.40 $ 95.37
Y
01/01/2024
$ 88.00
$ 11.44 $ 99.44
4.2791.
01/01/2025
Fee aligned with wage recovery.
574 Post Fire Property Security/Safety (Per Hour) $ 180.35 $ 203.80
Y
01/01/2024
$ 188.00
$ 24.44 $ 212.44
4.24%
01/01/2025
575 Rental of Public Education Equipment to Other Municipal Fire $ 110.35 $ 110.35
N
01/01/2024
$ 115.00
$ - $ 115.00
4.21%
01/01/2025
Departments Fixed Fee+ consumable materials
Propane Facility RSMP Review Initial Request for Municipal Data for
576
RSMP
577 Application +lst hour charge $ 246.60 $ 278.66
Y
01/01/2024
$ 256.50
$ 33.35 $ 289.85
4.01%
01/01/2025
578 Additional Hour Charge $ 91.80 $ 103.73
Y
01/01/2024
$ 95.50
$ 12.42 $ 107.92
4.03%
01/01/2025
579 *Plus additional costs for specialist consulting
580 Submission of Propane RSMP and Plan Review
581 Application +lst hour charge $ 246.60 $ 278.66
Y
01/01/2024
$ 256.50
$ 33.35 $ 289.85
4.01%
01/01/2025
582 Additional Hour Charge $ 91.80 $ 103.73
Y
01/01/2024
$ 95.50
$ 12.42 $ 107.92
4.03%
01/01/2025
583 Upon completion of Site Work and Installations
584 Final Site Inspection +lst hour charge $ 246.60 $ 278.66
Y
01/01/2024
$ 256.50
$ 33.35 $ 289.85
4.01%
01/01/2025
585 Additional Hour Charge $ 91.80 $ 103.73
Y
01/01/2024
$ 95.50
$ 12.42 1 $ 107.921
4.03%
01/01/2025
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded t0 the nearest five cents APPENDIX E 21
MM
586
ENFORCEMENT
2024 RATE (EXCL
HST)
2024 RATE
(INCL HST)
HST
LAST REVISED
..
2025 RATE
2025 RATE
% INC - 2024
EFFECTIVE DATE
..
587
Snow Clearing - Admin fee
$ 98.52
$ 98.52
N
01/01/2024
$
102.46
$
$ 102.46
4.00%
01/01/2025
588
Grass/Weed - Admin fee
$ 55.66
$ 55.66
N
01/01/2024
$
57.89
$
$ 57.89
4.01%
01/01/2025
589
Orders to Comply
20% of costs
20% of costs
N
01/01/2024
20% of costs
$
20% of costs
0.00%
01/01/2025
590
Fees for Inspections
$ 95.26
$ 95.26
N
01/01/2024
$
99.07
$
$ 99.07
4.00%
01/01/2025
591
Compliance Letters
$ 86.82
$ 86.82
N
01/01/2024
$
90.29
$
$ 90.29
4.00%
01/01/2025
592
Photocopies/Printing - black &white, per page
$ 0.18
$ 0.20
Y
01/01/2024
$
0.18
$ 0.02
$ 0.20
0.00%
01/01/2025
593
Photocopies/Printing - colour, per page
$ 0.73
$ 0.82
Y
01/01/2024
$
0.76
$ 0.10
$ 0.86
4.11%
01/01/2025
594
Return of Confiscated Signs (small and easily removable)
$ 36.19
$ 36.19
N
01/01/2024
$
37.64
$
$ 37.64
4.01%
01/01/2025
595
Return of Confiscated Signs (Larger)
$ 133.82
$ 133.82
N
01/01/2024
$
139.17
$
$ 139.17
4.00%
01/01/2025
596
Chicken Registration Fee
$ 54.08
$ 54.08
N
01/01/2024
$
56.24
$
$ 56.24
3.99%
01/01/2025
597
DOG LICENSING FEES:*
598
First and Renewal Licenses
599
Sterilized Dogs:
600
After 30 days of first license being required for the dog or after expiry
of previous license
$ 55.45
$ 55.45
N
01/01/2024
$
57.67
$ -
$ 57.67
4.00%
01/01/2025
601
Within 30 days of first license being required for the dog or within 30
days prior to current license expiry
$ 37.36
$ 37.36
N
01/01/2024
$
38.85
$ -
$ 38.85
3.99%
01/01/2025
602
Non -Sterilized Dogs:
603
After 30 days of first license being required for the dog or after expiry
of previous license
$ 110.95
$ 110.95
N
01/01/2024
$
115.39
$ -
$ 115.39
4.00%
01/01/2025
604
Within 30 days of first license being required for the dog or within 30
days prior to current license expiry
$ 73.53
$ 73.53
N
01/01/2024
$
76.47
$ -
$ 76.47
4.00%
01/01/2025
605
Designated Dogs:
606
After 30 days of first license being required for the dog or after expiry
of previous license
$ 147.13
$ 147.13
N
01/01/2024
$
153.02
$ -
$ 153.02
4.00%
01/01/2025
607
Within 30 days of first license being required for the dog or within 30
days prior to current license expiry
$ 98.89
$ 98.89
N
01/01/2024
$
102.85
$ -
$ 102.85
4.00%
01/01/2025
608
Transfer License:
Reduced fee applies to valid licenses from another municipality if
,purchased within 30 days of moving to Kitchener
$ 9.63
$ 9.63
N
01/01/2024
$
10.02
$ -
$ 10.02
4.05%
01/01/2025
609
Animal Boarding fee 1
$ 40.57
$ 40.57
N
01/01/2024
$
42.19
1 $
$ 42.19
3.99%
01/01/2025
610
Impound Fee for 1st day or part thereof, where a dog has been
impounded
$ 49.42
$ 49.42
N
01/01/2024
$
51.40
$ -
$ 51.40
4.01%
01/01/2025
611
Discount for all license purchases by Seniors (upon proof of age 65
or older
$ 6.02
$ 6.02
N
01/01/2024
$
6.26
$ -
$ 6.26
3.99%
01/01/2025
612
Replacement of lost tag
$ 8.45
$ 8.45
N
01/01/2024
$
8.79
$
$ 8.79
4.02%
01/01/2025
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded t0 the nearest five cents APPENDIX E 22
613
NEIGHBOURHOOD PROGRAMS & SERVICES
2024 RATE (EXCL
HST)
2024 RATE
(INCL HST)
HST
APPLIES
LAST REVISED
MM/DD/YYYY
2025
(EXCL
RATE
HST)
HST
2025 RATE
(INCL HST)
% INC - 2024
(EXCL HST)
EFFECTIVE DATE
MM/DD/YYYY
COMPARABLE RATES/COMMENTSq
614
ROOM RENTALS- ALL CENTRES
615
Affiliated sport groups receive a 3% reduction off room rental rates
as listed
616
Administrative Fee for Contract Changes
$ 24.49
$ 27.67
Y
01/01/2024
$
25.47
$ 3.31
$ 28.78
4.00%
01/01/2025
617
Rental Deposit Required (Minimum)
$ 171.91
$ 171.91
N
01/01/2024
$
178.79
$
$ 178.79
4.00%
01/01/2025
618
Community Centre Attendants- Specified Holidays
$ 35.23
$ 39.81
Y
01/01/2024
$
36.64
$ 4.76
$ 41.40
4.00%
01/01/2025
619
ICommunity Centre Attendant
$ 24.82 1
$ 28.05
Y
01/01/2024
1 $
25.81
$ 3.36
$ 29.171
3.99%
01/01/2025
620
Kitchen reheatingflat fee
$ 34.77
$ 39.29
Y
01/01/2024
$
36.16
$ 4.70
$ 40.86
4.00%
01/01/2025
621
Custodial Hourly Fee
$ 21.29
$ 24.06
Y
01/01/2024
$
22.14
$ 2.88
$ 25.02
3.99%
01/01/2025
622
Custodial hourly fee Specified Holiday
$ 31.94
$ 36.09
Y
01/01/2024
$
33.22
$ 4.32
$ 37.54
4.01%
01/01/2025
623
SOCAN
Per SOCAN rate schedule.
624
Resound
Per Resound rate schedule.
625
Damage Deposit
$ 502.46
$ 502.46
N
01/01/2024
$
500.00
$ -
$ 500.00
-0.49%
01/01/2025
Setting fee to a fixed amount that will not be
increased annually.
626
BRIDGEPORT COMMUNITY CENTRE
627
IRoom#1
$ 53.12
$ 60.03
Y
01/01/2024
$
55.24
$ 7.18
$ 62.42
3.99%
01/01/2025
628
Room #2
$ 19.10
$ 21.58
Y
01/01/2024
$
19.86
$ 2.58
$ 22.44
3.98%
01/01/2025
629
Room #3
$ 37.81
$ 42.73
Y
01/01/2024
$
39.32
$ 5.11
$ 44.43
3.99%
01/01/2025
630
Licensed Event Fee - Room #1
$ 86.93
$ 98.23
Y
01/01/2024
$
90.41
$ 11.75
$ 102.16
4.00%
01/01/2025
631
Licensed Event Fee - Room #2
$ 57.95
$ 65.48
Y
01/01/2024
$
60.27
$ 7.83
$ 68.10
4.00%
01/01/2025
632
Licensed Event Fee - Room #3
$ 57.95
$ 65.48
Y
01/01/2024
$
60.27
$ 7.83
$ 68.10
4.00%
01/01/2025
633
Insurance - Licensed Event
Per Insurance Rate Schedule.
634
Insurance Non-licensed Event
Per Insurance Rate Schedule.
635
ICENTREVILLE-CHICOPEE COMMUNITY CENTRE
636
Gym (Single)
$ 53.12
$ 60.03
Y
01/01/2024
$
55.24
$ 7.18
$ 62.42
3.99%
01/01/2025
637
Room#1
$ 19.10
$ 21.58
Y
01/01/2024
$
19.86
$ 2.58
$ 22.44
3.98%
01/01/2025
638
Room #2
$ 27.23
$ 30.77
Y
01/01/2024
$
28.32
$ 3.68
$ 32.00
4.00%
01/01/2025
639
Room #3
$ 27.23
$ 30.77
Y
01/01/2024
$
28.32
$ 3.68
$ 32.00
4.00%
01/01/2025
640
Licensed Event Fee - Gym (Single)
$ 86.93
$ 98.23
Y
01/01/2024
$
90.41
$ 11.75
$ 102.16
4.00%
01/01/2025
641
Licensed Event - Room 2
$ 57.95
$ 65.48
Y
01/01/2024
$
60.27
$ 7.83
$ 68.10
4.00%
01/01/2025
642
Insurance - Non Licensed
Per Insurance Rate Schedule.
643
Insurance - Licensed event
Per Insurance Rate Schedule.
644
CHANDLER MOWAT COMMUNITY CENTRE
645
Room#1
$ 27.23
$ 30.77
Y
01/01/2024
$
28.32
$ 3.68
$ 32.00
4.00%
01/01/2025
646
Room #2
$ 19.10
$ 21.58
Y
01/01/2024
$
19.86
$ 2.58
$ 22.44
3.98%
01/01/2025
647
Room #3
$ 27.23
$ 30.77
Y
01/01/2024
$
28.32
$ 3.68
$ 32.00
4.00%
01/01/2025
648
Room #4
$ 27.23
$ 30.77
Y
01/01/2024
$
28.32
$ 3.68
$ 32.00
4.00%
01/01/2025
649
Multi purpose room/Gym (Single)
$ 59.23
$ 66.93
Y
01/01/2024
$
61.60
$ 8.01
$ 69.61
4.00%
01/01/2025
650
Kitchen (Cooking) per hour
$ 28.98
$ 32.75
Y
01/01/2024
$
30.14
$ 3.92
$ 34.06
4.00%
01/01/2025
651
Licensed event Fee - Multi Purpose Room/Gym (Single)
$ 86.93
$ 98.23
Y
01/01/2024
$
90.41
$ 11.75
$ 102.16
4.00%
01/01/2025
652
Licensed Event Fee - Room 1, 2
$ 57.95
$ 65.48
Y
01/01/2024
$
60.27
$ 7.83
$ 68.10
4.00%
01/01/2025
653
Insurance - Non Licensed
Per Insurance Rate Schedule.
654
Insurance - Licensed event
Per Insurance Rate Schedule.
655
COUNTRY HILLS COMMUNITY CENTRE
656
Room 1
$ 27.23
$ 30.77
Y
01/01/2024
$
28.32
$ 3.68
$ 32.00
4.00%
01/01/2025
657
Room 2
$ 27.23
$ 30.77
Y
01/01/2024
$
28.32
$ 3.68
$ 32.00
4.00%
01/01/2025
658
Room 3
$ 37.81
$ 42.73
Y
01/01/2024
$
39.32
$ 5.11
$ 44.43
3.99%
01/01/2025
659
Room 4
$ 27.23
$ 30.77
Y
01/01/2024
$
28.32
$ 3.68
$ 32.00
4.00%
01/01/2025
660
Multipurpose Room/Gym (double)
$ 75.60 1
$ 85.43
Y
01/01/2024
$
78.62
$ 10.22
$ 88.84
3.99%
01/01/2025
661
1/2 Multipurpose Room/Gym(single)
$ 53.12
$ 60.03
Y
01/01/2024
$
55.24
$ 7.18
$ 62.42
3.99%
01/01/2025
662
Kitchen Only - Cooking per hour
$ 28.98
$ 32.75
Y
01/01/2024
$
30.14
$ 3.92
$ 34.061
4.00%
1 01/01/2025
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded to the nearest five cents APPENDIX E 23
CITY OF KITCHENER 20 25 B U DG ET SUM MARY Note - total fee including applicable taxes will be rounded to the nearest five cents APPENDIX E 24
FEE DESCRIPTION
2024
RATE (EXCL
HST)
86.93
2024 RATE
(INCL HST)
$ 98.23
HST
APPLIES
Y
LAST REVISED
..MM/DD/YYYY
01/01/2024
2025
$
RATE
90.41
2025 RATE
% INC - 2024
EFFECTIVE DATE
01/01/2025
COMPARABLE RATES/COMMENTS
663 Licensed Event Fee - multipurpose Room/Gym (Double) $
$ 11.75 $ 102.16
4.00%
664
Licensed Event Fee - 1/2 multipurpose Room/Gym (Single)
$
86.93
$ 98.23
Y
01/01/2024
$
90.41
$ 11.75
$ 102.16 4.00%
01/01/2025
665
Licensed Event Fee - Room 1, 2 or 3
$
57.95
$ 65.48
Y
01/01/2024
$
60.27
$ 7.83
$ 68.10 4.00%
01/01/2025
666
Insurance - Non Licensed
667
Insurance - Licensed event
668
DOON PIONEER PARK COMMUNITY CENTRE
669
Multipurpose Room/Gym (single)
$
59.23
$ 66.93
Y
01/01/2024
$
61.60
$ 8.01
$ 69.61 4.00%
01/01/2025
670
Room 1
$
37.44
$ 42.31
Y
01/01/2024
$
38.94
$ 5.06
$ 44.00 4.01%
01/01/2025
671
1 Room 2
$
19.09
$ 21.57
Y
01/01/2024
$
19.85
$ 2.58
$ 22.43 3.98%
01/01/2025
672
Room 3
$
37.81
$ 42.71
Y
01/01/2024
$
39.32
$ 5.11
$ 44.43 3.99%
01/01/2025
673
Gymnasium
$
59.23
$ 66.93
Y
01/01/2024
$
61.60
$ 8.01
$ 69.61 4.00%
01/01/2025
674
Licensed Event Fee - multipurpose room/Gym (single)
$
86.93
$ 98.23
Y
01/01/2024
$
90.41
$ 11.75
$ 102.16 4.00%
01/01/2025
675
Licensed Event Fee - Meeting Room
$
57.95
$ 65.48
Y
01/01/2024
$
60.27
$ 7.83
$ 68.10 4.00%
01/01/2025
676
Insurance - Non Licensed
Per Insurance Rate Schedule.
677
Insurance - Licensed event
Per Insurance Rate Schedule.
678
HURON BRIGADOON COMMUNITY CENTRE
679
Multipurpose Room 1
$
27.23
$ 30.77
Y
01/01/2024
$
28.32
$ 3.68
$ 32.00 4.00%
01/01/2025
680
Multipurpose Room 2
$
27.23
$ 30.77
Y
01/01/2024
$
28.32
$ 3.68
$ 32.00 4.00%
01/01/2025
681
Gym (single)
Y
$
55.24
$ 7.18
$ 62.42
01/01/2025
New Rental option for Gym
682
KINGSDALE COMMUNITY CENTRE
683
Room 2
$
27.23
$ 30.77
Y
01/01/2024
$
28.32
$ 3.68
$ 32.00 4.00%
01/01/2025
684
Room 3
$
27.23
$ 30.77
Y
01/01/2024
$
28.32
$ 3.68
$ 32.00 4.00%
01/01/2025
685
Room 4
$
27.23
$ 30.77
Y
01/01/2024
$
28.32
$ 3.68
$ 3200. 4.0091.
01/01/2025
686
Room 5
$
27.23
$ 30.77
Y
01/01/2024
$
28.32
$ 3.68
$ 32.00 4.00%
01/01/2025
687
Room 1
$
37.81
$ 42.73
Y
01/01/2024
$
39.32
$ 5.11
$ 44.43 3.99%
01/01/2025
688
Gym (Single)
$
59.23
$ 66.93
Y
01/01/2024
$
61.60
$ 8.01
$ 69.61 4.00%
01/01/2025
689
Kitchen Only -Cooking per hour
$
28.98
$ 32.75
Y
01/01/2024
$
30.14
$ 3.92
$ 34.06 4.00%
01/01/2025
690
Licensed event fee - Room 2,3,4,5
$
57.95
$ 65.48
Y
01/01/2024
$
60.27
$ 7.83
$ 68.10 4.00%
01/01/2025
691
Licensed event fee - Gym
$
86.93
$ 98.23
Y
01/01/2024
$
90.41
$ 11.75
$ 102.16 4.00%
01/01/2025
692
MILL COURTLAND COMMUNITY CENTRE
693
Room 2 (large multipurpose room)
$
27.23
$ 30.77
Y
01/01/2024
$
28.32
$ 3.68
$ 32.00 4.00%
01/01/2025
694
Room 1 (craft room)
$
19.10
$ 21.58
Y
01/01/2024
$
19.86
$ 2.58
$ 22.44 3.98%
01/01/2025
695
Children's Program Room
$
19.09
$ 21.57
Y
01/01/2024
$
19.85
$ 2.58
$ 22.43 3.98%
01/01/2025
696
Multipurpose Room/Gym (single)
$
53.12
$ 60.03
Y
01/01/2024
$
55.24
$ 7.18
$ 62.42 3.99%
01/01/2025
697
Licensed Event Fee -Multipurpose Room/Gym (single)
$
86.93
$ 98.23
Y
01/01/2024
$
90.41
$ 11.75
$ 102.16 4.00%
01/01/2025
698
Licensed Event Fee - Room 2
$
57.95
$ 65.48
Y
01/01/2024
$
60.27
$ 7.83
$ 68.10 4.00%
01/01/2025
699
Insurance - Non licensed
Per Insurance Rate Schedule.
700
Insurance - Licensed event
Per Insurance Rate Schedule.
701
VICTORIA HILLS COMMUNITY CENTRE
702
Multipurpose Room A(old single gym)
$
53.12
$ 60.03
Y
01/01/2024
$
55.24
$ 7.18
$ 62.42 3.99%
01/01/2025
703
Multipurpose Room B (dance room)
$
37.81
$ 42.73
Y
01/01/2024
$
39.32
$ 5.11
$ 44.43 3.99%
01/01/2025
704
Multipurpose Room C(new single gym)
$
53.12
$ 60.03
Y
01/01/2024
$
55.24
$ 7.18
$ 62.42 3.99%
01/01/2025
705
Multipurpose Room D (new single gym)
$
53.12
$ 60.03
Y
01/01/2024
$
55.24
$ 7.18
$ 62.42 3.99%
01/01/2025
706
Multipurpose Room C&D (Double gym)
$
75.60
$ 85.43
Y
01/01/2024
$
78.62
$ 10.22
$ 88.84 3.99%
01/01/2025
707
Room 1
$
19.10
$ 21.58
Y
01/01/2024
$
19.86
$ 2.58
$ 22.44 3.98%
01/01/2025
708
Room 2
$
19.10
$ 21.58
Y
01/01/2024
$
19.86
$ 2.58
$ 22.44 3.98%
01/01/2025
709
Room 3 and 4
$
27.23
$ 30.77
Y
01/01/2024
$
28.32
$ 3.68
$ 32.00 4.00%
01/01/2025
710
Kt c hen(cooking)fee/hour
$
28.98
$ 32.75
Y
01/01/2024
$
30.14
$ 3.92
$ 34.06 4.00%
01/01/2025
711
Licensed Event fee - MP Room A
$
86.93
$ 98.23
Y
01/01/2024
$
90.41
$ 11.75
$ 102.16 4.00%
01/01/2025
712
ILicensed event fee -Dance Room B
$
57.95 1
$ 65.481
Y
1 01/01/2024
1 $
60.27
1 $ 7.83 1
$ 68.101 4.00%
1 01/01/2025
713
ILicensed event fee - MP Room C
$
86.93 1
$ 98.231
Y
1 01/01/2024
1 $
90.41
1 $ 11.75 1
$ 102.161 4.00%
1 01/01/2025
CITY OF KITCHENER 20 25 B U DG ET SUM MARY Note - total fee including applicable taxes will be rounded to the nearest five cents APPENDIX E 24
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded to the nearest five cents APPENDIX E 25
FEE DESCRIPTION
2024
RATE (EXCL
HST)
86.93
2024 RATE
(INCL HST)
$ 98.23
HST
APPLIES
Y
LAST REVISED
..MM/DD/YYYY
01/01/2024
2025 RATE
$ 90.41
2025 RATE
% INC - 2024
4.00%
EFFECTIVE DATE
01/01/2025
COMPARABLE RATES/COMMENTS
714
Licensed event fee - MP Room D
$
$ 11.75
$ 102.16
715
Licensed event fee - MP Room C & D
$
86.93
$ 98.23
Y
01/01/2024
$ 90.41
$ 11.75
$ 102.16
4.00%
01/01/2025
716
Licensed Event fee - Room 3/4
$
57.95
$ 65.48
Y
01/01/2024
$ 60.27
$ 7.83
$ 68.10
4.00%
01/01/2025
717
Insurance - Non Licensed
Per Insurance Rate Schedule.
718
Insurance - Licensed
Per Insurance Rate Schedule.
719
FOREST HEIGHTS COMMUNITY CENTRE
720
Room 1
$
19.10
$ 21.58
Y
01/01/2024
$ 19.86
$ 2.58
$ 22.44
3.98%
01/01/2025
721
Room 2
$
37.81
$ 42.73
Y
01/01/2024
$ 39.32
$ 5.11
$ 44.43
3.99%
01/01/2025
722
1 Room 3
$
27.23
$ 30.77
Y
01/01/2024
$ 28.32
$ 3.68
$ 32.00
4.00%
01/01/2025
723
Room 4
$
37.81
$ 42.73
Y
01/01/2024
$ 39.32
$ 5.11
$ 44.43
3.99%
01/01/2025
724
Multipurpose Room/Gym (single)
$
59.23
$ 66.93
Y
01/01/2024
$ 61.60
$ 8.01
$ 69.61
4.00%
01/01/2025
725
Kitchen (Cooking) fee/hour
$
28.98
$ 32.75
Y
01/01/2024
$ 30.14
$ 3.92
$ 34.06
4.00%
01/01/2025
726
Licensed Event Fee - Multipurpose Room/Gym (single)
$
86.93
$ 98.23
Y
01/01/2024
$ 90.41
$ 11.75
$ 102.16
4.00%
01/01/2025
727
Licensed Event Fee - Room 1 and/or 2
$
57.95
$ 65.48
Y
01/01/2024
$ 60.27
$ 7.83
$ 68.10
4.00%
01/01/2025
728
Insurance - Non Licensed
Per Insurance Rate Schedule.
729
Insurance - Licensed event
Per Insurance Rate Schedule.
730
STANLEY PARK COMMUNITY CENTRE
731
Meeting Room 1
$
27.23
$ 30.77
Y
01/01/2024
$ 28.32
$ 3.68
$ 32.00
4.00%
01/01/2025
732
Meeting Room 2
$
27.23
$ 30.77
Y
01/01/2024
$ 28.32
$ 3.68
$ 32.00
4.00%
01/01/2025
733
Dance/Meeting Room
$
37.81
$ 42.73
Y
01/01/2024
$ 39.32
$ 5.11
$ 44.43
3.99%
01/01/2025
734
Gym (Triple)
$
91.98
$ 103.94
Y
01/01/2024
$ 95.66
$ 12.44
$ 108.10
4.00%
01/01/2025
735
Gym 2/3 (double)
$
75.60
$ 85.43
Y
01/01/2024
$ 78.62
$ 10.22
$ 88.84
3.99%
01/01/2025
736
Gym 1/3 (single)
$
59.23
$ 66.93
Y
01/01/2024
$ 61.60
$ 8.01
$ 69.61
4.00%
01/01/2025
737
Kitchen (Cooking) fee/hour
$
28.98
$ 32.75
Y
01/01/2024
$ 30.14
$ 3.92
$ 34.06
4.00%
01/01/2025
738
Licensed Event Fee - Gym (triple)
$
91.98
$ 103.94
Y
01/01/2024
$ 95.66
$ 12.44
$ 108.10
4.00%
01/01/2025
739
Licensed Event Fee - 2/3 Gym (double)
$
86.93
$ 98.23
Y
01/01/2024
$ 90.41
$ 11.75
$ 102.16
4.00%
01/01/2025
740
Licensed Event Fee - 1/3 Gym (single)
$
86.93
$ 98.23
Y
01/01/2024
$ 90.41
$ 11.75
$ 102.16
4.00%
01/01/2025
741
Licensed Event Fee - Rooms 1, 2 & Dance/Meeting Room
$
57.95
$ 65.48
Y
01/01/2024
$ 60.27
$ 7.83
$ 68.10
4.00%
01/01/2025
742
Licensed Event Fee - Dance Room Full
$
86.94
$ 98.23
Y
01/01/2024
$ 90.42
$ 11.75
$ 102.17
4.00%
01/01/2025
743
Insurance - Non Licensed
Per Insurance Rate Schedule.
744
Insurance - Licensed event
Per Insurance Rate Schedule.
745
WILLIAMSBURG COMMUNITY CENTRE
746
Room 1
$
27.23
$ 30.77
Y
01/01/2024
$ 28.32
$ 3.68
$ 32.00
4.00%
01/01/2025
747
Room 2
$
27.23
$ 30.77
Y
01/01/2024
$ 28.32
$ 3.68
$ 32.001
4.00%
01/01/2025
748
Room 1 & 2
$
45.28
$ 51.17
Y
01/01/2024
$ 47.09
$ 6.12
$ 53.21
4.00%
01/01/2025
749
ROCKWAY SENIOR CENTRE
750
Workshop
$
19.10
$ 21.58
Y
01/01/2024
$ 19.86
$ 2.58
$ 22.44
3.98%
01/01/2025
751
King Street Room
$
19.10
$ 21.58
Y
01/01/2024
$ 19.86
$ 2.58
$ 22.44
3.98%
01/01/2025
752
Games Room
$
19.10
$ 21.58
Y
01/01/2024
$ 19.86
$ 2.58
$ 22.44
3.98%
01/01/2025
753
Boardroom
$
19.10
$ 21.58
Y
01/01/2024
$ 19.86
$ 2.58
$ 22.44
3.98%
01/01/2025
754
Program Room
$
19.10
$ 21.58
Y
01/01/2024
$ 19.86
$ 2.58
$ 22.44
3.98%
01/01/2025
755
Multipurpose room
$
27.23
$ 30.77
Y
01/01/2024
$ 28.32
$ 3.68
$ 32.00
4.00%
01/01/2025
756
Heritage Room (studio)
$
27.23
$ 30.77
Y
01/01/2024
$ 28.32
$ 3.68
$ 32.00
4.0091.
01/01/2025
757
Meeting Room
$
37.81
$ 42.73
Y
01/01/2024
$ 39.32
$ 5.11
$ 44.43
3.99%
01/01/2025
758
Auditorium
$
59.23
$ 66.93
Y
01/01/2024
$ 61.60
$ 8.01
$ 69.61
4.00%
01/01/2025
759
Patio
$
45.28
$ 51.17
Y
01/01/2024
$ 47.09
$ 6.12
$ 53.21
4.00%
01/01/2025
760
License fee- auditorium
$
86.93
$ 98.23
Y
01/01/2024
$ 90.41
$ 11.75
$ 102.16
4.00%
01/01/2025
761
License fee - meeting room
$
57.95
$ 65.48
Y
01/01/2024
$ 60.27
$ 7.83
$ 68.10
4.00%
01/01/2025
762
License fee- multi-purpose room
$
57.95
$ 65.48
Y
01/01/2024
$ 60.27
$ 7.83
$ 68.10
4.00%
01/01/2025
763Licensed
Event Fee - Patio
$
57.95
$ 65.48
Y
01/01/2024
$ 60.27
$ 7.83
$ 68.10
4.00%
01/01/2025
764
Insurance coverage - non-licensed
Per Insurance Rate Schedule.
765
Insurance coverage - licensed
Per Insurance Rate Schedule.
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded to the nearest five cents APPENDIX E 25
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded to the nearest five cents APPENDIX E 26
FEE DESCRIPTION
2024
RATE (EXCL 2024 RATE
HST) (INCL HST)
HST
APPLIES
LAST REVISED
..MM/DD/YYYY
2025 RATE
2025 RATE
% INC - 2024 EFFECTIVE DATE
COMPARABLE RATES/COMMENTS
766
DOWNTOWN COMMUNITY CENTRE
767
Gym 1 (single)
$ 59.23 $ 66.93
Y
01/01/2024
$ 61.60
$ 8.01
$ 69.61
4.00% 01/01/2025
768
Gym 2 (single)
$ 59.23 $ 66.93
Y
01/01/2024
$ 61.60
$ 8.01
$ 69.61
4.00% 01/01/2025
769
Gym 1 & 2 (double)
$ 75.60 $ 85.43
Y
01/01/2024
$ 78.62
$ 10.22
$ 88.84
3.99% 01/01/2025
770
Workshop
$ 19.10 $ 21.58
Y
01/01/2024
$ 19.86
$ 2.58
$ 22.44
3.98% 01/01/2025
771
Senior Day Program Room 1
$ 27.23 $ 30.77
Y
01/01/2024
$ 28.32
$ 3.68
$ 32.00
4.00% 01/01/2025
772
Charles St Room
$ 27.23 $ 30.77
Y
01/01/2024
$ 28.32
$ 3.68
$ 32.00
4.00% 01/01/2025
773
Vic School Room
$ 19.10 $ 21.58
Y
01/01/2024
$ 19.86
$ 2.58
$ 22.44
3.98% 01/01/2025
774
IMultipurpose Room A
$ 27.23 $ 30.77
Y
01/01/2024
$ 28.32
$ 3.68
$ 32.001
4.00% 01/01/2025
775
Multipurpose Room B
$ 27.23 $ 30.77
Y
01/01/2024
$ 28.32
$ 3.68
$ 32.00
4.00% 01/01/2025
776
Multipurpose Room A & B
$ 45.28 $ 51.17
Y
01/01/2024
$ 47.09
$ 6.12
$ 53.21
4.00% 01/01/2025
777
Upstairs Kitchen (Cooking)-fee/hour
$ 28.98 $ 32.75
Y
01/01/2024
$ 30.14
$ 3.92
$ 34.06
4.00% 01/01/2025
778
Preschool Room
$ 27.23 $ 30.77
Y
01/01/2024
$ 28.32
$ 3.68
$ 32.00
4.00% 01/01/2025
779
Youth room
$ 27.23 $ 30.77
Y
01/01/2024
$ 28.32
$ 3.68
$ 32.00
4.00% 01/01/2025
780
Licensed Event Fee - Gym 1 & 2 (double)
$ 86.93 $ 98.23
Y
01/01/2024
$ 90.41
$ 11.75
$ 102.16
4.0091. 01/01/2025
781
Licensed Event Fee - Gym 1 (single)
$ 86.93 $ 98.23
Y
01/01/2024
$ 90.41
$ 11.75
$ 102.16
4.00% 01/01/2025
782
Licensed Event Fee - Gym 2 (single)
$ 86.93 $ 98.23
Y
01/01/2024
$ 90.41
$ 11.75
$ 102.16
4.00% 01/01/2025
783
ILicensed Event Fee - Other Rooms
$ 57.95 $ 65.48
Y
01/01/2024
$ 60.27
$ 7.83
1 $ 68.101
4.00% 1 01/01/2025
784
Licensed Event Fee - Room A & B
$ 78.00 $ 88.14
Y
01/01/2024
$ 81.12
$ 10.55
$ 91.67
4.00% 01/01/2025
785
Insurance coverage - non-licensed
Per Insurance Rate Schedule.
786
Insurance coverage - licensed
Per Insurance Rate Schedule.
787
ICSD DIRECT PROGRAMS
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded to the nearest five cents APPENDIX E 26
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded to the nearest five cents APPENDIX E 27
FEE DESCRIPTION
2024
RATE (EXCL
HST)
2024 RATE
(INCL HST)
HST
APPLIES
LAST REVISED
..MM/DD/YYYY
2025 RATE
2025 RATE
% INC - 2024
EFFECTIVE DATE
COMPARABLE RATES/COMMENTS
788 KITCHENER GROUP CARD
789
Adult 55+
$
15.69
$ 17.73 Y
01/01/2024
$ 16.32 $
2.12
$ 18.44 4.02%
01/01/2025
790
Adults 18-54
$
19.10
$ 21.58 Y
01/01/2024
$ 19.86 $
2.58
$ 22.44 3.98%
01/01/2025
791
Preschool, Children and Youth
$
15.69
$ 17.73 Y
01/01/2024
$ 16.32 $
2.12
$ 18.44 4.02%
01/01/2025
792
PROGRAMS CATEGORY A(Per Hour)
793
Adult 55+
$
4.40
$ 4.97 Y
01/01/2024
$ 4.58 $
0.59
$ 5.17 4.09%
01/01/2025
794
Adults 18-54 years
$
5.36
$ 6.06 Y
01/01/2024
$ 5.57 $
0.72
$ 6.29 3.92%
01/01/2025
795
Pre-school, Children and Youth
$
4.40
$ 4.40 N
01/01/2024
$ 4.58 $
$ 4.58 4.09%
01/01/2025
796
IPROGRAMS CATEGORY B (PER HOUR)
797
Adult 55+
$
5.24
$ 5.92 Y
01/01/2024
$ 5.45 $
0.71
$ 6.16 4.01%
01/01/2025
798
Adults 18-54 years
$
6.39
$ 7.22 Y
01/01/2024
$ 6.65 $
0.86
$ 7.51 4.07%
01/01/2025
799
Pre-school, Children and Youth
$
5.24
$ 5.24 N
01/01/2024
$ 5.45 $
$ 5.45 4.01%
01/01/2025
800
PROGRAMS CATEGORY C(PER HOUR)
801
Adult 55+
$
5.91
$ 6.68 Y
01/01/2024
$ 6.15 $
0.80
$ 6.95 4.06%
01/01/2025
802
Adults 18-54 years
$
7.20
$ 8.14 Y
01/01/2024
$ 7.49 $
0.97
$ 8.46 4.0391.
01/01/2025
803
Pre-school, Children & Youth
$
5.91
$ 5.91 N
01/01/2024
$ 6.15 $
$ 6.15 4.06%
01/01/2025
804
PROGRAMS CATEGORY D(PER HOUR)
805
Adult 55+
$
8.00
$ 9.04 Y
01/01/2024
$ 8.32 $
1.08
$ 9.40 4.00%
01/01/2025
806
Adults 18-54 years
$
9.76
$ 11.03 Y
01/01/2024
$ 10.15 $
1.32
$ 11.47 4.00%
01/01/2025
807
Pre-school, Children & Youth
$
8.00
$ 8.00 N
01/01/2024
$ 8.32 $
$ 8.32 4.00%
01/01/2025
808
PROGRAMS CATEGORY E(PER HOUR)
809
Adult 55+
$
10.40
$ 11.75 Y
01/01/2024
$ 10.82 $
1.41
$ 12.23 4.04%
01/01/2025
810
Adults 18-54 years
$
12.71
$ 14.36 Y
01/01/2024
$ 13.22 $
1.72
$ 14.94 4.01%
01/01/2025
811
Pre-school, Children & Youth
$
10.30
$ 10.30 N
01/01/2024
$ 10.71 $
$ 10.71 3.98%
01/01/2025
812
PAY AS YOU PLAY
813
Adult 55+ (single ticket)
$
3.78
$ 4.27 Y
01/01/2024
$ 3.93 $
0.51
1 $ 4.44 3.97%
01/01/2025
814
Adult 55+ (book of 10 tickets)
$
34.07
$ 38.50 Y
01/01/2024
$ 35.43 $
4.61
$ 40.04 3.99%
01/01/2025
Aligns with the 10% sayings for a book of 10 purchase.
815
Adult 55+ (book of 20 tickets)
$
60.57
$ 68.44 Y
01/01/2024
$ 62.99 $
8.19
$ 71.18 4.00%
01/01/2025
Aligns with the 20% savings for a book of 20 purchase.
816
Adults-18 to 54 years (single ticket)
$
4.61
$ 5.21 Y
01/01/2024
$ 4.79 $
0.62
$ 5.41 3.90%
01/01/2025
Aligns with Adult 55+ single ticket plus 22% (Adult 55+
discount).
817
Adults-18 to 54 years (book of 10 tickets)
$
41.55
$ 46.95 Y
01/01/2024
$ 43.21 $
5.62
$ 48.83 4.00%
01/01/2025
Aligns with the 10% savings for a book of 10 purchase.
818
Adults - 18 to 54 years (book of 20 tickets)
$
73.86
$ 83.46 Y
01/01/2024
$ 76.81 $
9.99
$ 86.80 3.99%
01/01/2025
Aligns with the 20% savings for a book of 20 purchase.
819
Pre-school, Children & Youth (single ticket)
$
2.21
$ 2.50 Y
01/01/2024
$ 2.30 $
0.30
$ 2.60 4.07%
01/01/2025
820
Pre-school, Children & Youth (book of 10 tickets)
$
20.15
$ 22.77 Y
01/01/2024
$ 20.96 $
2.72
$ 23.68 4.02%
01/01/2025
Aligns with the 10% savings for a book of 10 purchase.
821
Pre-school, Children & Youth (book of 20 tickets)
$
35.82
$ 40.48 Y
01/01/2024
$ 37.25 $
4.84
$ 42.09 3.99%
01/01/2025
822
Family(single ticket)
$
11.46
$ 12.95 Y
01/01/2024
$ 11.92 $
1.55
$ 13.47 4.01%
01/01/2025
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded to the nearest five cents APPENDIX E 27
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded to the nearest five cents APPENDIX E 28
FEE DESCRIPTION
2024
RATE (EXCL
HST)
2024 RATE
(INCL HST)
HST
APPLIES
LAST REVISED
..MM/DD/YYYY
2025
RATE
2025 RATE
% INC - 2024
EFFECTIVE DATE
COMPARABLE RATES/COMMENTS
823 PRIVATE PROGRAMS (PER HOUR)
824
Adult 55+
$
49.82
$ 56.30 Y
01/01/2024
$
51.81
$ 6.74
$ 58.55 3.99%
01/01/2025
825
Adults 18-54 years
$
60.77
$ 68.67 Y
01/01/2024
$
63.20
$ 8.22
$ 71.42 4.00%
01/01/2025
826
Pre-school, Children & Youth
$
49.82
$ 49.82 N
01/01/2024
$
51.81
$
$ 51.81 3.99%
01/01/2025
827
SEMI PRIVATE PROGRAMS (PER HOUR)
828
Adult 55+
$
24.91
$ 28.15 Y
01/01/2024
$
25.91
$ 3.37
$ 29.28 4.01%
01/01/2025
829
Adults 18-54 years
$
30.38
$ 34.33 Y
01/01/2024
$
31.60
$ 4.11
$ 35.71 4.02%
01/01/2025
830
Pre-school, Children & Youth
$
24.91
$ 24.91 N
01/01/2024
$
25.91
$
$ 25.91 4.01%
01/01/2025
831
ISENIOR DAY PROGRAM
832
Day Program
$
17.54
$ 17.54 N
01/01/2024
$
18.24
$
$ 18.24 3.99%
01/01/2025
833
YOUTH PROGRAMS
834
MultiSport Mondays
$
67.53
$ 67.53 N
01/01/2024
$
70.23
$
$ 70.23 4.00%
01/01/2025
835
Youth Camp
$
165.20
$ 165.20 N
01/01/2024
$
171.81
$
$ 171.81 4.00%
01/01/2025
836
BLYD
$
84.42
$ 84.42 N
01/01/2024
$
87.80
$
$ 87.80 4.00%
01/01/2025
837
Neighbourhood Camps
838
Half day camp
$
43.77
$ 43.77 N
01/01/2024
$
45.52
$
$ 45.52 4.00%
01/01/2025
839
Schools Out Camps
$
72.38
$ 72.38 N
01/01/2024
$
98.22
$ -
$ 98.22 35.70%
01/01/2025
The total hours per weekfor this program have been
increased to provide enhance program opportunities
for children and parents and caregivers
840
Full day & full day specialty camp programs
$
118.05
$ 118.05 N
01/01/2024
$
122.77
$
$ 122.774.00%
01/01/2025
841
Before/After Care for Full Day Programs (per week)
$
12.98
$ 12.98 N
01/01/2024
$
13.50
$
$ 13.50 4.01%
01/01/2025
842
DROP IN PROGRAMS
843
Drop-In rate Adult 18-54 (Category A)
Y
$
6.41
$ 0.83
$ 7.24
01/01/2025
New Drop In Fee for our weekly programs, allowing
participants to pay only for the sessions they attend,
rather than the full pro ram cost.
844
Drop-in Program rate-Adult 55+ (Category A)
Y
$
5.26
$ 0.68
$ 5.94
01/01/2025
New Drop In Fee for our weekly programs, allowing
participants to pay only for the sessions they attend,
rather than the full program cost.
845
Drop-in Program rate-Adult 18-54 (Category B)
Y
$
7.65
$ 0.99
$ 8.64
01/01/2025
New Drop In Fee for our weekly programs, allowing
participants to pay only for the sessions they attend,
rather than the full program cost.
846
Drop-in Program rate-Adult 55+ (Category B)
Y
$
6.27
$ 0.82
$ 7.09
_
01/01/2025
New Drop In Fee for our weekly programs, allowing
participants to pay only for the sessions they attend,
rather than the full program cost.
847
Drop-in Program rate-Adult 18-54 (Category C)
Y
$
8.61
$ 1.12
$ 9.73
01/01/2025
New Drop In Fee for our weekly programs, allowing
participants to pay only for the sessions they attend,
rather than the full pro ram cost.
848
Drop-in Program rate-Adult 55+ (Category C)
Y
$
7.07
$ 0.92
$ 7.99
01/01/2025
New Drop In Fee for our weekly programs, allowing
participants to pay only for the sessions they attend,
rather than the full pro ram cost.
849
Drop-in Program rate-Adult 18-54 (Category D)
Y
$
11.67
$ 1.52
$ 13.19
01/01/2025
New Drop In Fee for our weekly programs, allowing
participants to pay only for the sessions they attend,
rather than the full program cost.
850
Drop-in Program rate-Adult 55+ (Category D)
Y
$
9.57
$ 1.24
$ 10.81
01/01/2025
New Drop In Fee for our weekly programs, allowing
participants to pay only for the sessions they attend,
rather than the full program cost.
851
Drop-in Program rate-Adult 18-54 (Category E)
Y
$
15.20
$ 1.98
$ 17.18
01/01/2025
New Drop In Fee for our weekly programs, allowing
participants to pay only for the sessions they attend,
rather than the full program cost.
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded to the nearest five cents APPENDIX E 28
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded to the nearest five cents APPENDIX E 29
854
KITCHENER MEMORIAL AUDITORIUM COMPLEX
KMAC
2024
RATE (EXCL
HST)
2024 RATE
(INCL HST)
HST
APPLIES
LAST
..
.. DATE
/YYYY
COMPARABLE RATES/COMMENTS
855
ROOM RENTALS
856
Banquet Rate
$
521.97
$ 589.83
Y
01/01/2024
$
542.85 $
70.57
$ 613.42
4.00%
01/01/2025
857
Tournament Rate
$
407.34
$ 460.29
Y
01/01/2024
$
423.63 $
55.07
$ 478.70
4.00%
01/01/2025
858
Hall Rental
$
58.46
$ 66.06
Y
01/01/2024
$
60.80 $
7.90
$ 68.70
4.00%
01/01/2025
859
Meeting Room Rental -Group 3
$
37.80
$ 42.71
Y
01/01/2024
$
39.32 $
5.11
$ 44.43
4.01%
01/01/2025
860
IMeeting Room Rental -Group 1
$
19.09
$ 21.57
Y
01/01/2024
$
19.86 $
2.58
$ 22.44
4.01%
01/01/2025
861
ICE RENTALS - Multi Pad
862
Non-prime
$
165.09
$ 186.55
Y
09/01/2024
$
171.69 $
22.32
$ 194.01
4.00%
09/01/2025
863
Non-prime Affiliated Sports- Dom Cardillo Arena
$
161.93
$ 182.98
Y
09/01/2024
$
168.40 $
21.89
$ 190.29
4.00%
09/01/2025
864
Prime time Affiliated Sports- Dom Cardillo Arena
$
163.99
$ 185.31
Y
09/01/2024
$
170.55 $
22.17
$ 192.72
4.00%
09/01/2025
865
Prime time League
$
265.07
$ 299.53
Y
09/01/2024
$
275.68 $
35.84
$ 311.52
4.00%
09/01/2025
866
Casual/Seasonal/Tournament
$
291.19
$ 329.04
Y
09/01/2024
$
302.83 $
39.37
$ 342.20
4.00%
09/01/2025
867
Floor Rental/HR/Tournament
$
81.67
$ 92.29
Y
04/01/2024
$
84.94 $
11.04
$ 95.98
4.00%
04/01/2025
868
ICE RENTALS - SINGLE PAD
869
Non-Prime
$
155.72
$ 175.96
Y
09/01/2024
$
161.95 $
21.05
$ 183.00
4.00%
09/01/2025
870
Non-prime Affiliated Sports
$
143.60
$ 162.27
Y
09/01/2024
$
147.90 $
19.23
$ 167.13
3.00%
09/01/2025
Lower increase to stay with range of the affiliated rate
for neighbouring municipalities.
871
Prime time affiliated Sports
$
143.60
$ 162.27
Y
09/01/2024
$
147.90 $
19.23
$ 167.13
3.00%
09/01/2025
Lower increase to stay with range of the affiliated rate
for neighbouring municipalities.
872
Prime Time League
$
236.91
$ 267.71
Y
09/01/2024
$
246.38 $
32.03
$ 278.41
4.00%
09/01/2025
873
Casual/Seasonal/Tournament
$
265.81
$ 300.37
Y
09/01/2024
$
276.45 $
35.94
$ 312.39
4.00%
09/01/2025
874
Floor Rental/Tournament Floor
$
78.84
$ 89.09
Y
04/01/2024
$
81.99 $
10.66
$ 92.65
4.00%
04/01/2025
875
SKATING PROGRAMS
876
Shinny - Non-prime
$
8.37
$ 9.46
Y
09/01/2024
$
8.71 $
1.13
$ 9.84
4.04%
09/01/2025
877
Shinny -Prime
$
14.35
$ 16.22
Y
09/01/2024
$
14.93 $
1.94
$ 16.87
4.02%
09/01/2025
878
ADMISSIONS
879
Children 17 and under/session
$
3.90
$ 4.41
Y
09/01/2024
$
4.06 $
0.53
$ 4.59
3.98%
09/01/2025
880
Adult/session
$
5.72
$ 6.46
Y
09/01/2024
$
5.95 $
0.77
$ 6.72
4.02%
09/01/2025
881
Family/session
$
13.26
$ 14.98
Y
09/01/2024
$
13.79 $
1.79
$ 15.58
4.00%
09/01/2025
882
Seniors/session
$
3.90
$ 4.41
Y
09/01/2024
$
4.06 $
0.53
$ 4.59
3.98%
09/01/2025
883
CENTENNIAL STADIUM
884
Centennial Field - minor
$
48.35
$ 54.64
Y
04/01/2024
$
50.28 $
6.54
$ 56.82
4.00%
04/01/2025
885
Centennial Field-adult
$
72.66
$ 82.11
Y
04/01/2024
$
75.57 $
9.82
$ 85.39
4.00%
04/01/2025
886
Lights-Centennial
$
69.48
$ 78.51
Y
04/01/2024
$
72.26 $
9.39
$ 81.65
4.00%
04/01/2025
887
Lights-Jack Couch
$
64.08
$ 72.41
Y
04/01/2024
$
66.64 $
8.66
$ 75.30
4.00%
04/01/2025
888
JACK COUCH BALL PARK
889
Sr. Panthers Practice and Game
$
100.44
$ 113.50
Y
04/01/2024
$
104.46 $
13.58
$ 118.04
4.00%
04/01/2025
890
Jr. Panthers Practice and Game
$
96.27
$ 108.78
Y
04/01/2024
$
100.12 $
13.02
$ 113.14
4.00%
04/01/2025
891
Affiliated Jack Couch Park
$
40.11
$ 45.32
Y
04/01/2024
$
41.72 $
5.42
$ 47.14
4.00%
04/01/2025
892
Non-affiliated Jack Couch Park
$
62.11
$ 70.181
Y
1 04/01/2024
1 $
64.60 1 $
8.40 1
$ 73.001
4.01%
1 04/01/2025
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded to the nearest five cents APPENDIX E 30
2024 RATE (EXCL
HST)
2024 RATE
(INCL HST)
HST
APPLIESqHST
LAST REVISED
MM/DD/YYYY..
2025
RATE
2025 RATE
% INC - 2024
EFFECTIVE DATE
893
SPORT DEVELOPMENT
894
FIELD UNIT PRICES/HOUR
895
Budd Park Indoor
896
Budd Indoor Field Non-Affiliated
$ 146.94
$ 166.04
Y
07/01/2024
$
152.82 $
19.87
$ 172.69
4.00%
07/01/2025
897
Budd Indoor field Affiliated
$ 124.98
$ 141.23
Y
07/01/2024
$
127.48 $
16.57
$ 144.05
2.00%
07/01/2025
Lower increase to maintain affordability and keep
comparable with neigh ourinmunicipalities.
898
Budd Indoor field non prime
$ 66.87
$ 75.56
Y
07/01/2024
$
69.54 $
9.04
$ 78.58
3.99%
07/01/2025
899
Budd Park- Lounge Rental
$ 48.39
$ 54.68
Y
01/01/2024
$
50.33 $
6.54
$ 56.87
4.01%
01/01/2025
900
SPORTS FIELDS
901
Field Unit Prices/hour
902
Diamonds
903
A1-Non-Affiliated
$ 63.36
$ 71.60
Y
01/01/2024
$
65.89 $
8.57
$ 74.46
3.99%
01/01/2025
904
A1-Affiliated
$ 38.60
$ 43.62
Y
01/01/2024
$
39.37 $
5.12
$ 44.49
1.99%
01/01/2025
Lower increase to maintain affordability and keep
comparable with neighbouring municipalities.
905
A2-Non-Affiliated
$ 56.84
$ 64.23
Y
01/01/2024
$
59.11 $
7.68
$ 66.79
3.9991.
01/01/2025
906
A2-Affiliated
$ 34.71
$ 39.22
Y
01/01/2024
$
35.40 $
4.60
$ 40.00
1.99%
01/01/2025
Lower increase to maintain affordability and keep
comparable with neighbouring municipalities.
907
Practice rate- affiliated minor groups
$ 23.75
$ 26.84
Y
01/01/2024
$
24.70 $
3.21
$ 27.91
4.00%
01/01/2025
908
B -Non-Affiliated
$ 20.55
$ 23.22
Y
01/01/2024
$
21.37 $
2.78
$ 24.15
3.99%
01/01/2025
909
B-Affiliated
$ 12.66
$ 14.31
Y
01/01/2024
$
12.91 $
1.68
$ 14.59
1.97%
01/01/2025
Lower increase to maintain affordability and keep
comparable with neigh ourinmunicipalities.
910
S- Non-Affiliated
$ 16.22
$ 18.33
Y
01/01/2024
$
16.87 $
2.19
$ 19.06
4.01%
01/01/2025
911
S- Affiliated
$ 10.44
$ 11.80
Y
01/01/2024
$
10.86 $
1.41
$ 12.27
4.02%
01/01/2025
912
Soccer/Football
913
A1-Non-Affiliated
$ 72.66
$ 82.11
Y
01/01/2024
$
75.57 $
9.82
$ 85.39
4.00%
01/01/2025
914
A1-Affiliated
$ 45.59
$ 51.52
Y
01/01/2024
$
46.50 $
6.05
$ 52.55
2.00%
01/01/2025
Lower increase to maintain affordability and keep
comparable with neighbouring municipalities.
915
A2-Non-Affiliated
$ 38.69
$ 43.72
Y
01/01/2024
$
40.24 $
5.23
$ 45.47
4.01%
01/01/2025
916
A2-Affiliated
$ 23.90
$ 27.01
Y
01/01/2024
$
24.38 $
3.17
$ 27.55
2.01%
01/01/2025
Lower increase to maintain affordability and keep
comparable with neighbouring municipalities.
917
B1-Non-Affiliated
$ 16.66
$ 18.83
Y
01/01/2024
$
17.33 $
2.25
$ 1958.
4.0291.
01/01/2025
918
B1-Affiliated
$ 10.24
$ 11.57
Y
01/01/2024
$
10.44 $
1.36
$ 11.80
1.95%
01/01/2025
Lower increase to maintain affordability and keep
comparable with neigh ourinmunicipalities.
919
Synthetic Turf - Non-Affiliated
$ 115.66
$ 130.70
Y
01/01/2024
$
120.29 $
15.64
$ 135.93
4.00%
01/01/2025
920
Synthetic Turf- Affiliated
$ 62.74
$ 70.90
Y
01/01/2024
$
63.99 $
8.32
$ 72.31
1.99%
01/01/2025
Lower increase to maintain affordability and keep
comparable with neighbouring municipalities.
921
Synthetic Turf - Non-Prime Time
$ 48.87
$ 55.22
Y
01/01/2024
$
50.82 $
6.61
$ 57.43
3.99%
01/01/2025
922
Other Charges
923
Admin fee per group per season (Ball B, S, Football B, S2)
$ 106.15
$ 119.95
Y
01/01/2024
$
110.40 $
14.35
$ 124.75
4.00%
01/01/2025
924
Cricket
925
Adult League Fee
$ 22.97
$ 25.96
Y
01/01/2022
$
23.43 $
3.05
$ 26.48
2.00%
01/01/2025
Lower increase to maintain affordability and keep
comparable with neighbouring municipalities.
926
Adult league flat rate max 6 hour booking
$ 120.05
$ 135.66
Y
01/01/2022
$
122.45 $
15.92
$ 138.37
2.00%
01/01/2025
Lower increase to maintain affordability and keep
comparable with neighbouring municipalities.
927
Youth and Neighborhood fee
$ 15.40
$ 17.40
Y
01/01/2022
$
15.71 $
2.04
$ 17.75
2.01%
01/01/2025
Lower increase to maintain affordability and keep
1
comparable with neighbouring municipalities.
928
Volleyball
929
Beach Courts
$ 30.52
$ 34.49
Y
01/01/2024
$
31.74 $
4.13
$ 35.87
4.00%
01/01/2025
This rate applies to Kiwanis Park and MacLennan
Park's beach courts.
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded to the nearest five cents APPENDIX E 31
930
............ D N
AQUATICS PROGRAMS
2024 RATE (EXCL
HST)
2024 RATE
(INCL HST)
HST
APPLIES
LAST REVISED
..MM/DD/YYYY
2025
RATE
2025 RATE
% INC - 2024
EFFECTIVE DATE
COMPARABLE RATES/COMMENTS
931
RECREATION SWIMS
932
Children 17 and under and Seniors swim admission
$ 3.91
$ 4.42
Y
01/01/2024
$
4.07 $
0.53
$ 4.60
4.09%
01/01/2025
933
Book of 5 tickets
$ 18.55
$ 20.96
Y
01/01/2024
$
19.29 $
2.51
$ 21.80
3.99%
01/01/2025
934
Book of 20 tickets
$ 70.28
$ 79.42
Y
01/01/2024
$
73.09 $
9.50
$ 82.59
4.00%
01/01/2025
935
Book of 60 tickets
$ 187.42
$ 211.78
Y
01/01/2024
$
194.92 $
25.34
$ 220.26
4.00%
01/01/2025
936
Adult 18 and over admission
$ 5.86
$ 6.62
Y
01/01/2024
$
6.09 $
0.79
$ 6.88
3.92%
01/01/2025
Smaller fee increase as City of Kitchener is at the high
end regionally.
937
Book of 5 tickets
$ 27.85
$ 31.47
Y
01/01/2024
$
28.96 $
3.77
$ 32.73
3.99%
01/01/2025
938
1 Book of 20 tickets
$ 105.52 1
$ 119.24
Y
01/01/2024
1 $
109.74 $
14.27
$ 124.01
4.00%
01/01/2025
939
Book of 60 tickets
$ 281.39
$ 317.97
Y
01/01/2024
$
292.65 $
38.04
$ 330.69
4.00%
01/01/2025
940
Family admission
$ 13.33
$ 15.06
Y
01/01/2024
$
13.86 $
1.80
$ 15.66
3.98%
01/01/2025
941
Family book of 5 tickets
$ 59.96
$ 67.75
Y
01/01/2024
$
62.36 $
8.11
$ 70.47
4.00%
01/01/2025
942
Daily Rate -Child, Senior
$ 6.03
$ 6.81
Y
01/01/2024
$
6.27 $
0.82
$ 7.09
3.98%
01/01/2025
943
Daily Rate - Adult
$ 9.40
$ 10.62
Y
01/01/2024
$
9.78 $
1.27
$ 11.05
4.04%
01/01/2025
944
Daily Rate - Family
$ 21.37
$ 24.15
Y
01/01/2024
$
22.22 $
2.89
$ 25.11
3.98%
01/01/2025
945
Kiwanis No Swim Entry Fee
Y
$
2.03 $
0.26
$ 2.29
01/01/2025
To increase participation and maximize usage of
Kiwanis Park without affecting batherloads and
lifeguard staffing needs.
946
3 MONTH PASS - Swim Pass
947
Child and Senior
$ 120.38
$ 136.03
Y
01/01/2024
$
125.20 $
16.28
$ 141.48
4.00%
01/01/2025
948
Adult
$ 189.13
$ 213.72
Y
01/01/2024
$
196.70 $
25.57
$ 222.27
4.00%
01/01/2025
949
Family
$ 278.40
$ 314.59
Y
01/01/2024
$
289.54 $
37.64
$ 327.18
4.00%
01/01/2025
950
SUMMER SPLASH PASS (access to public swims while outdoor pools
are open)
951
Child/Senior
$ 32.00
$ 36.16
Y
01/01/2024
$
33.28 $
4.33
$ 37.61
4.00%
01/01/2025
952
Adult
$ 45.00
$ 50.85
Y
01/01/2024
$
46.80 $
6.08
$ 52.88
4.00%
01/01/2025
953
KITCHENER CARD
954
14 years and under
$ 37.21
$ 37.21
N
01/01/2024
$
38.70 $
$ 38.70
4.00%
01/01/2025
955
15 years and over
$ 76.40
$ 86.33
Y
01/01/2024
$
79.46 $
10.33
$ 89.79
4.01%
01/01/2025
956
REGISTRATION FEE -BASIC RATE 1 LESSONS
957
Lessons -Adults 18 and over
$ 9.72
$ 10.98
Y
01/01/2024
$
9.72 $
1.26
$ 10.98
0.00%
01/01/2025
No increase to fee as Kitchener is most expensive in
the Region.
958
Teen lessons; Adapted Aquatics; Level tots, super tots, B, C, D, E, F
and Intro
$ 10.22
$ 10.22
N
01/01/2024
$
10.22 $
-
$ 10.22
0.00%
01/01/2025
No increase to fee as Kitchener is most expensive in
the Region.
959
Level water babies, A, Adult & tots advanced, G, H, I, J, K
$ 9.85
$ 9.85
N
01/01/2024
$
9.85 $
-
$ 9.85
0.00%
01/01/2025
No increase to fee as Kitchener is most expensive in
the Region.
960
Parent and baby fit Swim
$ 10.57
$ 11.94
Y
01/01/2024
$
10.57 $
1.37
$ 11.94
0.00%
01/01/2025
No increase to fee as Kitchener is most expensive in
the Region.
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded to the nearest five cents APPENDIX E 32
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded to the nearest five cents APPENDIX E 33
FEE DESCRIPTION
2024
RATE (EXCL
HST)
2024 RATE
(INCL HST)
HST
APPLIES
LAST REVISED
..MM/DD/YYYY
2025
RATE
2025 RATE
% INC - 2024
EFFECTIVE DATE
COMPARABLE RATES/COMMENTS
961 LIFESAVING COURSES - exam fee and materials not included
962
Bronze Star+Basic First Aid +CPRA
$
62.36
$ 62.36 N
01/01/2024
$
64.85
$
$ 64.85 3.99%
01/01/2025
963
Bronze medallion/Emergency First Aid/CPR-B or Bronze Cross alone
$
85.75
$ 96.90 Y
01/01/2024
$
85.75
$ 11.15
$ 96.90 0.00%
01/01/2025
To keep lifeguard certifications attainable for hiring for
new staff.
964
Bronze cross with Standard First Aid/CPR-C
$
132.52
$ 149.75 Y
01/01/2024
$
132.52
$ 17.23
$ 149.75 0.00%
01/01/2025
To keep lifeguard certifications attainable for hiring for
new staff.
965
Emergency First Aid
$
45.68
$ 51.62 Y
01/01/2024
$
45.68
$ 5.94
$ 51.62 0.00%
01/01/2025
To keep lifeguard certifications attainable for hiring for
new staff.
966
CPR-C
$
34.02
$ 38.44 Y
01/01/2024
$
34.02
$ 4.42
$ 38.44 0.00%
01/01/2025
To keep lifeguard certifications attainable for hiring for
new staff.
967
Bronze Challenge
$43.92
$ 49.63 Y
01/01/2024
$43.92
$ 5.71
$ 49.63 0.00%
01/01/2025
To keep lifeguard certifications attainable for hiring for
new staff.
968
LEADERSHIP- exam fee and materials not included
969
Lifesaving Society Assistant Inst.
$
103.93
$ 117.44 Y
01/01/2024
$
103.93
$ 13.51
$ 117.44 0.00%
01/01/2025
To keep lifeguard certifications attainable for hiring for
new staff.
970
Lifesaving Society swim Instructors
$
119.52
$ 135.06 Y
01/01/2024
$
119.52
$ 15.54
$ 135.06 0.00%
01/01/2025
To keep lifeguard certifications attainable for hiring for
new staff.
971
National lifeguard
$
254.63
$ 287.73 Y
01/01/2024
$
254.63
$ 33.10
$ 287.73 0.00%
01/01/2025
To keep lifeguard certifications attainable for hiringfor
new staff.
972
Lifesaving Society Instructors
$
119.52
$ 135.06 Y
01/01/2024
$
119.52
$ 15.54
$ 135.06 0.00%
01/01/2025
To keep lifeguard certifications attainable for hiring for
new staff.
973
Standard First Aid/CPR-C
$
83.15
$ 93.96 Y
01/01/2024
$
83.15
$ 10.81
$ 93.96 0.00%
01/01/2025
To keep lifeguard certifications attainable for hiring for
new staff.
974
Summer Leadership Bundle (BRM/BRC/NL/SW/SFA)
$
499.20
$ 564.10 Y
01/01/2024
$
499.20
$ 64.90
$ 564.10 0.00%
01/01/2025
To keep lifeguard certifications attainable for hiring for
new staff.
975
Standard first aid instructors
Y
$137.88
$ 17.92
$ 155.80
01/01/2025
New Leadership Course offered.
976
National lifeguard instructors
Y
$137.88
$ 17.92
$ 155.80
01/01/2025
New Leadership Course offered.
977
Instructor trainer course
Y
$137.88
$ 17.92
$ 155.80
01/01/2025
New Leadership Course offered.
978
Pooloperator course
Y
$61.28
$ 7.97
$ 69.25
01/01/2025
New Leadership Course offered.
979
ADVANCED LEADERSHIP-exam fee and materials not included
980
Advanced leadership per hour rate
$
7.66
$ 8.66 Y
01/01/2024
$
7.66
$ 1.00
$ 8.66 0.00%
01/01/2025
To keep lifeguard certifications attainable for hiring for
new staff.
981
Examiners Courses
$
68.92
$ 77.88 Y
01/01/2024
$
68.92
$ 8.96
$ 77.88 0.00%
01/01/2025
To keep lifeguard certifications attainable for hiring for
new staff.
982
Aquatic Supervisor
$
91.89
$ 103.84 Y
01/01/2024
$
91.89
$ 11.95
$ 103.84 0.00%
01/01/2025
To keep lifeguard certifications attainable for hiring for
new staff.
983
Re-certification Fees
984
Bronze Cross recert
$
23.94
$ 27.05 Y
01/01/2024
$
23.94
$ 3.11
$ 27.05 0.00%
01/01/2025
To keep lifeguard certifications attainable for hiring for
new staff.
985
National lifeguard Recertifications
$
30.64
$ 34.62 Y
01/01/2024
$
30.64
$ 3.98
$ 34.62 0.00%
01/01/2025
To keep lifeguard certifications attainable for hiring for
new staff.
986
Standard First Aid/CPR-C recertificat ions
$
45.68
$ 51.62 Y
01/01/2024
$
45.68
$ 5.94
$ 51.62 0.00%
01/01/2025
To keep lifeguard certifications attainable for hiring for
new staff.
987
In person recertification
$
34.62
$ 39.12 Y
01/01/2024
$
34.62
$ 4.50
$ 39.12 0.00%
01/01/2025
To keep lifeguard certifications attainable for hiring for
new staff.
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded to the nearest five cents APPENDIX E 33
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded to the nearest five cents APPENDIX E 34
FEE DESCRIPTION
r24
RATE (EXCL
HST)
2024 RATE
(INCL HST)
HST
APPLIES
LAST REVISED
..MM/DD/YYYY
2025r25
RATE
% INC - 2024
EFFECTIVE DATE
COMPARABLE RATES/COMMENTS
988 PRIVATE LESSONS (30 mins)
989
Private lessons for 14 and under
$
35.30
$ 35.30 N
01/01/2024
$
36.71 $
$ 36.71 3.99%
01/01/2025
990
Private lessons for 15 and over
$
35.30
$ 39.89 Y
01/01/2024
$
36.71 $
4.77
$ 41.48 3.99%
01/01/2025
991
Semi -private lessons for 14 and under
$
18.75
$ 18.75 N
01/01/2024
$
19.50 $
$ 19.50 4.00%
01/01/2025
992
Semi private for 15 and over
$
19.62
$ 22.17 Y
01/01/2024
$
20.40 $
2.65
$ 23.05 3.98%
01/01/2025
993
SPECIALTY PROGRAMS per hour
994
Specialty Fitness Program
$
17.08
$ 19.30 Y
01/01/2024
$
17.76 $
2.31
$ 20.07 3.98%
01/01/2025
995
Masters Swimming Club
$
6.69
$ 7.56 Y
01/01/2024
$
6.96 $
0.90
$ 7.86 4.04%
01/01/2025
996
lBoot Camp Triathlon/Cross training
$
11.72
$ 13.24 Y
01/01/2024
$
12.19 $
1.58
$ 13.77 4.01%
01/01/2025
997
Kayaking-
$
11.72
$ 13.24 Y
01/01/2024
$
12.19 $
1.58
$ 13.77 4.01%
01/01/2025
998
Specialty Aquafit-Adult
$
11.72
$ 13.24 Y
01/01/2024
$
12.19 $
1.58
$ 13.77 4.01%
01/01/2025
999
Specialty program -Child
$
6.02
$ 6.02 N
01/01/2024
$
6.26 $
$ 6.26 3.99%
01/01/2025
1000
POOL RENTALS - Breithaupt, Forest Heights, Cameron Heights,
Wilson Idlewood ALL RATES ARE PER HOUR
1001
0-50 prime time
$
170.15
$ 192.27 Y
01/01/2024
$
176.96 $
23.00
$ 199.96 4.00%
01/01/2025
1002
51-100 prime time
$
195.04
$ 220.40 Y
01/01/2024
$
202.84 $
26.37
$ 229.21 4.00%
01/01/2025
1003
1101-200 prime time
$
258.00
$ 291.54 Y
01/01/2024
$
268.32 $
34.88
$ 303.20 4.00%
01/01/2025
1004
201-250 prime time
$
285.77
$ 322.92 Y
01/01/2024
$
297.20 $
38.64
$ 335.84 4.00%
01/01/2025
1005
Non prime time - 20% off Prime Time Rates
1006
statutory holiday rate per hour= 1.5 X rate.
1007
EXERCISE POOL RENTALS (PER HOUR)
1008
Exclusive - Breithaupt and F.H.P.(0-20 bathers)
$
106.40
$ 120.23 Y
01/01/2024
$
110.66 $
14.39
$ 125.05 4.00%
01/01/2025
1009
Exclusive - FHP (21-50 bather)
$
170.15
$ 192.27 Y
01/01/2024
$
176.96 $
23.00
$ 199.96 4.00%
01/01/2025
1010
AQUATIC SPORTS CLUB RENTAL
1011
0-50 prime time
$
125.25
$ 141.53 Y
01/01/2024
$
130.26 $
16.93
$ 147.19 4.00%
01/01/2025
1012
51-100 prime time
$
147.56
$ 166.74 Y
01/01/2024
$
153.46 $
19.95
$ 173.41 4.00%
01/01/2025
1013
Tournament rate ( 4 hours plus)
$
83.51
$ 94.37 Y
01/01/2024
$
86.85 $
11.29
$ 98.14 4.00%
01/01/2025
1014
Non prime time - 20% off Prime Time Rates
1015
SCHOOLBOARD/INSTRUCTIONAL PROGRAMS (youth 0-14 years)
1016
Extra Instructor per hour
$
25.13
$ 25.13 N
01/01/2024
$
28.10 $
$ 28.10 11.82%
01/01/2025
Aligned fee for wage recovery.
1017
RENTAL GROUP ENTRY FOR PUBLIC SWIM (full swim)
1018
0-10 entries
$
25.13
$ 28.40 Y
01/01/2024
$
26.14 $
3.40
$ 29.541 4.02%
01/01/2025
1019
0-30 Entries
$
50.26
$ 56.79 Y
01/01/2024
$
52.27 $
6.80
$ 59.07 4.00%
01/01/2025
1020
31-125 Entries
$
75.39
$ 85.19 Y
01/01/2024
$
78.41 $
10.19
$ 88.60 4.01%
01/01/2025
1021
Kiwanis, GRRC, HCCP RENTAL RATES (PER HOUR)
1022
0-50 prime time
$
195.04
$ 220.40 Y
01/01/2024
$
202.84 $
26.37
$ 229.21 4.0091.
01/01/2025
1023
51-100 prime time
$
257.79
$ 291.30 Y
01/01/2024
$
268.10 $
34.85
$ 302.95 4.00%
01/01/2025
1024
101-200 prime time
$
285.77
$ 322.92 Y
01/01/2024
$
297.20 $
38.64
$ 335.84 4.00%
01/01/2025
1025
201-300 prime time
$
379.49
$ 428.82 Y
01/01/2024
$
394.67 $
51.31
$ 445.98 4.00%
01/01/2025
1026
300+ add onto rate
$
35.42
$ 40.02 Y
01/01/2024
$
36.84 $
4.79
$ 41.63 4.01%
1 01/01/2025
1027
Non prime time - 20% off Prime Time Rates
1028
Slide (2 staff/$
73.39
$ 82.93 Y
01/01/2024
$
56.20 $
7.31
$ 63.51 -23.42%
01/01/2025
Aligned fee for wage recovery.
1029
Lifeguard per hour
$
25.13
$ 28.40 Y
01/01/2024
$
28.10 $
3.65
$ 31.75 11.82%
01/01/2025
Aligned fee for wage recovery.
1030
After hours staffing cost -(clerk)
$
42.66
$ 48.21 Y
01/01/2024
$
44.37 $
5.77
$ 50.141 4.01%
01/01/2025
1031
After hours rental rate - Specified holidays
$
59.11
$ 66.79 Y
01/01/2024
$
61.47 $
7.99
$ 69.461 3.99%
01/01/2025
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded to the nearest five cents APPENDIX E 34
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded to the nearest five cents APPENDIX E 35
FEE DESCRIPTION
2024
RATE (EXCL 2024 RATE
HST) (INCL HST)
HST
APPLIES
LAST REVISED
..MM/DD/YYYY
2025 RATE
2025 RATE
% INC - 2024
EFFECTIVE DATE
COMPARABLE RATES/COMMENTS
1032
AQUATIC FACILITY ROOM RENTALS (per hour)
1033
Tier 1 (Rooms 103,201,202,205, (BRC)
$ 19.09 $ 21.57
Y
01/01/2024
$ 19.85
$ 2.58
$ 22.43
3.98%
01/01/2025
1034
Tier 2 (Room 206 (BRC), Tim Horton's Shelter (Kiwanis)) Meeting
Room GRRC
$ 27.23 $ 30.77
Y
01/01/2024
$ 28.32
$ 3.68
$ 32.00
4.00%
01/01/2025 GRRC Meeting Room moved from Tier 1 to Tier 2 to
better align room ca ac ities.
1035
Tier 3 (Room 109 (BRC))
$ 37.80 $ 42.71
Y
01/01/2024
$ 39.31
$ 5.11
$ 44.42
3.99%
01/01/2025
1036
Tier 4 (Room 207 (BRC), Oktoberfest Lions Hall (GRRC), Beachside
Shelter Kiwanis
$ 53.12 $ 60.03
Y
01/01/2024
$ 55.24
$ 7.18
$ 62.42
3.99%
01/01/2025
1037
Tier 5 (Gymnasium (BRC))
$ 75.61 $ 85.44
Y
01/01/2024
$ 78.63
$ 10.22
$ 88.85
3.99%
01/01/2025
1038
Kitchen
$ 34.78 $ 39.30
Y
01/01/2024
$ 36.17
$ 4.70
$ 40.871
4.00%
01/01/2025
1039
IKIWANIS RENTAL GROUP ADMISSIONS PER HOUR
1040
1-60Guests
$ 50.26 $ 56.79
Y
01/01/2024
$ 52.27
$ 6.80
$ 59.07
4.00%
01/01/2025
1041
61 - 125 Guests
$ 75.39 $ 85.19
Y
01/01/2024
$ 78.41
$ 10.19
$ 88.60
4.01%
01/01/2025
1042
126-250 Guests
$ 100.52 $ 113.59
Y
01/01/2024
$ 104.54
$ 13.59
$ 118.13
4.00%
01/01/2025
1043
251-400 Guests
$ 125.65 $ 141.98
Y
01/01/2024
$ 130.68
$ 16.99
$ 147.67
4.00%
01/01/2025
1044
401-550 Guests
$ 150.78 $ 170.38
Y
01/01/2024
$ 156.81
$ 20.39
$ 177.20
4.00%
01/01/2025
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded to the nearest five cents APPENDIX E 35
1o45
FEE DESCRIPTION
GOLF
2024 RATE (EXCL
HST)
2024 RATE
(INCL HST)
HST
APPLIES
LAST REVISED
..MM/DD/YYYY
2025
RATE
2025 RATE
% INC - 2024
EFFECTIVE DATE
COMPARABLE RATES/COMMENTS
1046
MEMBERSHIPS
1047
Junior
$ 455.89
$ 515.16
Y
01/01/2024
$
465.01 $
60.45
$ 525.46
2.00%
01/01/2025
Lower increase to maintain affordability.
1048
Adult full
$ 1,856.04
$ 2,097.33
Y
01/01/2024
$
2,004.52 $
260.59
$ 2,265.11
8.00%
01/01/2025
Higher increase to align with competitors.
1049
Adult Full Couple
$ 3,530.77
$ 3,989.77
Y
01/01/2024
$
3,813.23 $
495.72
$ 4,308.95
8.00%
01/01/2025
Higher increase to align with competitors.
1050
55+ Restricted
$ 969.74
$ 1,095.81
Y
01/01/2024
$
1,047.32 $
136.15
$ 1,183.47
8.00%
01/01/2025
Higher increase to align with competitors.
1051
55+ Restricted Couple
$ 1,833.52
$ 2,071.88
Y
01/01/2024
$
1,980.20 $
257.43
$ 2,237.63
8.00%
01/01/2025
Higher increase to align with competitors.
1052
Classic 9 Doon - 7days
$ 809.28
$ 914.49
Y
01/01/2024
$
874.02 $
113.62
$ 987.64
8.00%
01/01/2025
Higher increase to align with competitors.
1053
Classic 9 Doon -4days
$ 573.45
$ 648.00
Y
01/01/2024
$
619.33 $
80.51
$ 699.84
8.00%
01/01/2025
Higher increase to align with competitors.
1054
Intermediate Full (19-30)
$ 1,317.65
$ 1,488.94
Y
01/01/2024
$
1,423.06 $
185.00 1
$ 1,608.06
8.00%
01/01/2025
Higher increase to align with competitors.
1055
Pitch n' Putt
$ 112.41
$ 127.02
Y
01/01/2024
$
116.91 $
15.20
$ 132.11
4.00%
01/01/2025
1056
Pitch n' Putt Family
$ 248.76
$ 281.10
Y
01/01/2024
$
258.71 $
33.63
$ 292.34
4.00%
01/01/2025
1057
GREEN FEES
1058
9 hole course- 9 holes - 7 days/week
$ 26.14
$ 29.54
Y
01/01/2024
$
27.19 $
3.53
$ 30.72
4.02%
01/01/2025
1059
9 hole course-18 holes - 7 days/week
$ 37.09
$ 41.91
Y
01/01/2024
$
38.57 $
5.01
$ 43.58
3.99%
01/01/2025
1060
18 hole fee for Juniors & Member
$ 28.77
$ 32.51
Y
01/01/2024
$
29.35 $
3.81
$ 33.16
2.02%
01/01/2025
Lower increase to maintain affordability.
1061
League-9 holes
$ 24.39
$ 27.56
Y
01/01/2024
$
25.37 $
3.30
$ 28.67
4.02%
01/01/2025
1062
1 League-18 holes
1063
Daily Rate- Monday to Thursday
$ 42.52
$ 48.05
Y
01/01/2024
$
44.43 $
5.78
$ 50.21
4.49%
01/01/2025
Higher increase to align with competitors.
1064
Friday Rate
$ 45.65
$ 51.58
Y
01/01/2024
$
47.70 $
6.20
$ 53.90
4.49%
01/01/2025
Higher increase to align with competitors.
1065
Weekend Prime Rate -Saturdays & Sundays including Statutory
Holidays
$ 49.15
$ 55.54
Y
01/01/2024
$
51.36 $
6.68
$ 58.04
4.50%
01/01/2025
Higher increase to align with competitors.
1066
Twilight -4pm to close
$ 27.89
$ 31.52
Y
01/01/2024
$
29.56 $
3.84
$ 33.40
5.99%
01/01/2025
Higher increase to align with competitors.
1067
PITCH N PUTT - 9 Hole
1068
Adult
$ 9.76
$ 11.03
Y
01/01/2024
$
10.15 $
1.32
$ 11.47
4.00%
01/01/2025
1069
Child
$ 6.41
$ 7.24
Y
01/01/2024
$
6.67 $
0.87
$ 7.54
4.06%
01/01/2025
1070
ISenior
$ 7.54
$ 8.52
Y
01/01/2024
$
7.84 $
1.02
$ 8.86
3.98%
01/01/2025
1071
Family (4)
$ 24.14
$ 27.28
Y
01/01/2024
$
25.11 $
3.26
$ 28.37
4.02%
01/01/2025
1072
DRIVING RANGE
1073
Small Bucket
$ 5.32
$ 6.01
Y
01/01/2024
$
5.53 $
0.72
$ 6.25
3.95%
01/01/2025
1074
Medium Bucket
$ 7.54
$ 8.52
Y
01/01/2024
$
7.84 $
1.02
$ 8.86
3.98%
01/01/2025
1075
Large Bucket
$ 11.76
$ 13.29
Y
01/01/2024
$
12.23 $
1.59
$ 13.82
4.00%
01/01/2025
1076
POWER CART RENTALS
1077
18 holes per person
$ 18.60
$ 21.02
Y
01/01/2024
$
19.53 $
2.54
$ 22.07
5.00%
01/01/2025
Higher increase to align with competitors.
1078
Twilight / 9 holes per person
$ 11.75
$ 13.28
Y
01/01/2024
$
12.81 $
1.66
$ 14.47
9.02%
01/01/2025
Higher increase to align with competitors.
1079
Full Cart Membership
$ 838.05
$ 947.00
Y
01/01/2024
$
888.33 $
115.48
$ 1,003.81
6.00%
01/01/2025
Higher increase to align with competitors.
1080
4-day Cart Membership (Mon-Thu)
$ 464.49
$ 524.87
Y
01/01/2024
$
501.65 $
65.21
$ 566.86
8.00%
01/01/2025
Higher fee increase to remain competitive; similar
value to full member.
1081
Cart Membership
$ 112.40
$ 127.01
Y
01/01/2024
$
116.90 $
15.20
$ 132.10
4.00%
01/01/2025
1082
Power Cart member fee-18 hole
$ 12.00
$ 13.56
Y
01/01/2024
$
12.48 $
1.62
$ 14.10
4.00%
01/01/2025
1083
Power Cart member fee-9 hole
$ 6.44
$ 7.28
Y
01/01/2024
$
6.70 $
0.87
$ 7.57
4.04%
01/01/2025
1084
ROOM RENTALS
1085
Capacity 20 or under 1/2 day
$ 108.85
$ 123.00
Y
01/01/2024
$
113.20 $
14.72
$ 127.92
4.0091.
01/01/2025
1086
Capacity 20 or Full day
$ 178.76
$ 202.00
Y
01/01/2024
$
185.91 $
24.17
$ 210.08
4.00%
01/01/2025
1087
Capacity 120 1/2 day
$
$ 615.03
Y
01/01/2024
$
566.04 $
73.59
$ 639.63
4.00%
01/01/2025
1088
Capacity 120 Full Day
$
$ 935.00
Y
01/01/2024
$
860.53 $
111.87
$ 972.40
4.00%
01/01/2025
1089
Discounts offered on room rental for multiple booking dates & non-
rimetimes.
�2743
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded to the nearest five cents APPENDIX E 36
qFEE
DESCRIPTION
INFRASTRUCTURE SERVICES
2024 RATE (EXCL
HST)
2024 RATE
(INCL HST)
HST
APPLIES
LAST REVISED
MM/DD/YYYY..
2025 RATE
HST
2025 RATE
% INC - 2024
EFFECTIVE DATE
1090
lo9i
OPERATIONS - ROADS & TRAFFIC
1092
TRAFFIC/SIGN MANUFACTURING
1093
Sign Manufacturing (internal)
Actual Cost
Actual Cost
N
01/01/2024
Actual Cost
$
Actual Cost
0.00%
01/01/2025
1094
Sign Manufacturing Custom (external)
Actual Cost+
Actual Cost+
Y
01/01/2024
Actual Cost+
$ -
Actual Cost+
0.00%
01/01/2025
60% overhead
60% overhead
60% overhead
60% overhead
1095
Sign Manufacturing Inventoried (external)
Actual Cost+
Actual Cost+
Y
01/01/2024
Actual Cost+
$
Actual Cost+
0.00%
01/01/2025
15% overhead
15% overhead
5% overhead
15% overhead
Rental Fee
Rental Fee
Rental Fee
Rental Fee
1096
Barricade Rentals Installation
$2.31/day to
$2.31/day to
N
01/01/2024
$2.40/day to
$ -
$2.40/day to
3.90%
01/01/2025
(labour, equipment, 15% overhead +applicable rental fee/day)
max. 9117.47 1
max. 9117.47
1
max. 9122.17
1
max. $122.17
Rental Fee
Rental Fee
Rental Fee
Rental Fee
1097
Fencing Rentals Installation
$2.31/day to
$2.31/day to
N
01/01/2024
$2.40/day to
$ -
$2.40/day to
3.90%
01/01/2025
(labour, equipment, 15% overhead +applicable rental fee/day)
max. $489.01
max. $489.01
max. $508.57
max. $508.57
Delineator Rentals Installation (Labour, Equip, 15%Overhead +
Rental Fee
Rental Fee
Rental Fee
Rental Fee
1098
$2.31/day to
$2.31/day to
N
01/01/2024
$2.40/day to
$ -
$2.40/day to
3.90%
01/01/2025
Rental Fee/day)
max. $117.47
max. $117.47
max. $122.17
max. $122.17
Construction Signage Installation(Labour, Equip, 15%Overhead +
$7.28/day to
$7.28/day to
$7.57/day to
$7.57/day to
1099
Rental Fee/Da
max. $249.60
max. $249.60
N
01/01/2024
max. $259.58
$
max. $259.58
4.00%
01/01/2025
1100
Bollard Relocations
Actual Cost+
Actual Cost+
N
01/01/2024
Actual Cost+
$
Actual Cost+
0.00%
01/01/2025
15% overhead
15% overhead
15% overhead
15% overhead
1101
Utility Cuts
1102
Curb/Gutter/lineal meter
$ 203.37
$ 229.81
Y
01/01/2024
$ 211.50
$ 27.50
$ 239.00
4.00%
01/01/2025
1103
Sidewalk Flat Rate (for <= 7.5 sq meter)
$ 1,363.59
$ 1,540.86
Y
01/01/2024
$ 1,418.14
$ 184.36
$ 1,602.50
4.00%
01/01/2025
1104
Sidewalk/sq meter (for > 7.5 sq meter)
$ 184.44
$ 208.42
Y
01/01/2024
$ 191.82
$ 24.94
$ 216.76
4.00%
01/01/2025
$13.60/m2
$108.84/m2+
$113.70/m2+
$113.19/m2+
+$31.48
$118.25/m2+
1105
Roadway- greater than 20 sq meter
$251.89
$263.14
Y
01/01/2024
$261.97
$273.67
4.00%
01/01/2025
mobilization fee
mobilization fee
mobilization fee
mobilizatio
mobilization fee
n fee
$17.95/m2
$143.58/m2+
$150.01/m2+
$149.32/m2+
+$31.48
$156.01/m2+
1106
Roadway - less than 20 sq meter
$251.87
$263.14
Y
01/01/2024
$261.94
$273.67
4.00%
01/01/2025
mobilization fee
mobilization fee
mobilization fee
mobilizatio
mobilization fee
n fee
1107
Asphalt -Driveway Ramps/sq meter
$ 86.73
$ 98.00
Y
01/01/2024
$ 90.19
$ 11.73
$ 101.92
4.00%
01/01/2025
1108
Roads Misc.
1109
Grading Lots,
Labour, Material
Labour, Material
N
01/01/2024
Labour,
Material &
$
Labour, Material
0.00%
01/01/2025
of etc.
& Equipment
& Equipment
_
& Equipment
E ui ment
1110
Accident Clean-up
Labour, Material
Labour, Material
N
01/01/2024
Labour,
Material &
$ _
Labour, Material
0.00%
01/01/2025
& Equipment
& Equipment
Equipment
& Equipment
1111
Concrete
1112
Mudjacking/sq meter
$ 27.30 1
$
1 01/01/2024
$ 28.40
$ 3.69
$ 32.09
4.01%
01/01/2025
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded t0 the nearest five cents APPENDIX E 37
qFEE
1113
DESCRIPTION
PARKS & CEMETERIES
2024
RATE (EXCL
HST)
2024 RATE
(INCL HST)
HST
APPLIES
LAST REVISED
MM/DD/YYYY..
2025
RATE
HST
2025 RATE
% INC - 2024
EFFECTIVE DATE
1114
PARKS
1115
Sidewalk Snow Clearing (per linear meter)
1116
Downtown
$
30.07
$ 30.07
N
01/01/2024
$
31.28 $
$ 31.28
4.01%
01/01/2025
1117
Standard Sidewalks
$
9.13
$ 9.13
N
01/01/2024
$
9.50 $
$ 9.50
4.00%
01/01/2025
1118
FORESTRY
1119
Street Tree (non urban)
Y
$
1,200.00 $
156.00
$ 1,356.00
01/01/2025
New fee charged to developers responsible for
replacing trees. Fulsome review of rate will occur in 5
ears to ensure it is still accurate.
1120
CEMETERIES
1121
INTERMENT CHARGES
1122
Provincial License Fee
$
30.00
$ 31.62
Y
01/01/2024
$
30.00 $
3.90
$ 33.900.00%
01/01/2025
This fee is legislated.
1123
Adult, standard depth
$
1,352.00
$ 1,527.76
Y
01/01/2024
$
1,406.00 $
182.78
$ 1,588.78
3.99%
01/01/2025
1124
Adult, extra deep
$
1,875.00
$ 2,118.36
Y
01/01/2024
$
1,950.00 $
253.50
$ 2,203.50
4.00%
01/01/2025
1125
Child
$
403.00
$ 455.46
Y
01/01/2024
$
419.00 $
54.47
$ 473.47
3.97%
01/01/2025
1126
Infant
No Charge
No Charge
01/01/2024
No
Charge
No Charge
0.00%
01/01/2025
1127
Opening/sealing of crypt (end opening)
$
1,040.00
$ 1,175.20
Y
01/01/2024
$
1,082.00 $
140.66
$ 1,222.66
4.04%
01/01/2025
1128
Non -Municipal Cemetery -cremation
$
89.00
$ 100.49
Y
01/01/2024
$
92.00 $
11.96
$ 103.96
3.37%
01/01/2025
Minimal increase for religious cemeteries.
1129
Non -Municipal Cemetery -adult
$
145.00
$ 163.79
Y
01/01/2024
$
150.00 $
19.50
$ 169.50
3.45%
01/01/2025
Minimal increase for religious cemeteries.
1130
Saturday Committal Services arriving after 3 p.m. per 1/2 hour
$
142.00
$ 160.39
Y
01/01/2024
$
155.00 $
20.15
$ 175.15
9.15%
01/01/2025
Cost recovery.
1131
weekday Funerals arriving after 3:00 pm per 1/2 hour
$
142.00
$ 160.39
Y
01/01/2024
$
155.00 $
20.15
$ 175.15
9.15%
01/01/2025
Cost recovery.
1132
CREMATION INTERMENT CHARGES
1133
Cremated remains -includes: recording, documentation, staffing
$
502.00
$ 567.17
Y
01/01/2024
$
522.00 $
67.86
$ 589.86
3.98%
01/01/2025
1134
Research Processing Charge
$
182.00
$ 205.66
Y
01/01/2024
$
190.00 $
24.70
$ 214.70
4.40%
01/01/2025
Cost recovery.
1135
Use of cremation Urn Vault -Manager's Permission Only
$
730.00
$ 824.64
Y
01/01/2024
$
759.00 $
98.67
$ 857.67
3.97%
01/01/2025
1136
Additional Interment (same grave)
$
182.00
$ 205.66
Y
01/01/2024
$
190.00 $
24.70
$ 214.70
4.40%
01/01/2025
Cost recovery.
1137
Scattering of cremated remains
$
300.00
$ 339.21
Y
01/01/2024
$
312.00 $
40.56
$ 352.56
4.00%
01/01/2025
1138
Ossuary
$
250.00
$ 282.45
Y
01/01/2024
$
260.00 $
33.80
$ 293.80
4.00%
01/01/2025
1139
LOT PRICES
1140
Single adult, premium grave lot allowing flush marker only
$
3,276.00
$ 3,701.88
y
01/01/2024
$
3,407.00 $
442.91
$ 3,849.91
4.00%
01/01/2025
1141
Single adult grave lot allowing flush marker only
$
2,288.00
$ 2,585.44
Y
01/01/2024
$
2,380.00 $
309.40
$ 2,689.40
4.02%
01/01/2025
1142
Adult, preferred single, allowing upright marker
$
3,432.00
$ 3,878.16
Y
01/01/2024
$
3,570.00 $
464.10
$ 4,034.10
4.02%
01/01/2025
1143
Adult, premium preferred single, allowing upright marker
$
4,472.00
$ 5,053.36
Y
01/01/2024
$
4,650.00 $
604.50
$ 5,254.50
3.98%
01/01/2025
1144
2 grave adult lot allowing upright marker
$
5,720.00
$ 6,463.60
Y
01/01/2024
$
5,950.00 $
773.50
$ 6,723.50
4.02%
01/01/2025
1145
2 grave premium lot allowing upright marker
$
6,760.00
$ 7,638.80
Y
01/01/2024
$
7,030.00 $
913.90
$ 7,943.90
3.99%
01/01/2025
1146
3 grave adult lot allowing upright marker
$
7,696.00
$ 8,696.48
Y
01/01/2024
$
8,005.00 $ 1,040.65
$ 9,045.65
4.02%
01/01/2025
1147
3 grave premium lot allowing upright marker
$
8,736.00
$ 9,871.68
Y
01/01/2024
$
9,085.00 $ 1,181.05
$ 10,266.05
3.99%
01/01/2025
1148
4 grave lot allowing upright marker
$
9,776.00
$ 11,046.88
Y
01/01/2024
$
10,170.00 $ 1,322.10
$ 11,492.10
4.03%
01/01/2025
1149
War Veterans Lot, flush marker 3'x 10'
$
941.00
$ 1,063.36
Y
01/01/2024
$
975.00 $
126.75
$ 1,101.75
3.61%
01/01/2025
Minimal increase for Veteran lots
1150
lYouth lot, flush marker
$
793.00
$ 896.16
Y
01/01/2024
$
820.00 $
106.60
$ 926.60
3.40%
01/01/2025
Minimal increase for infant/children lots
1151
IChild lot, flush marker 2'x4.5'
$
373.00
$ 421.54
Y
01/01/2024
$
384.00 $
49.92
$ 433.92
2.95%
01/01/2025
IMinimal increase for infant/children lots
1152
Infant lot, flush marker 1'x3'
$
257.00
$ 290.53
Y
01/01/2024
$
265.00 $
34.45
$ 299.45
3.11%
01/01/2025
Minimal increase for infant/children lots
1153
Child lot, allowing upright marker 5'x3'
$
782.00
$ 883.67
Y
01/01/2024
$
810.00 $
105.30
$ 915.30
3.58%
01/01/2025
Minimal increase for infant/children lots
1154
IChild lot, allowing flush marker 5'x 3'
$
446.00
$ 504.00
Y
01/01/2024
$
460.00 $
59.80
$ 519.80
3.14%
01/01/2025
Minimal increase for infant/children lots
1155
Infant lot, allowing flush marker 3'x1.5'
$
257.00
$ 290.53
Y
01/01/2024
$
265.00 $
34.45
$ 299.45
3.11%
01/01/2025
Minimal increase for infant/children lots
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded t0 the nearest five cents APPENDIX E 38
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded to the nearest five cents APPENDIX E 39
FEE DESCRIPTION
2024
RATE (EXCL
HST)
2024 RATE
(INCL HST)
HST
APPLIES
LAST REVISED
..MM/DD/YYYY
2025
RATE
2025 RATE
% INC - 2024
EFFECTIVE DATE
COMPARABLE RATES/COMMENTS
1156 PROMONTORY POINT/ MC, MJ, 2K, 2S, 2V LOT PRICES
1157
2 grave Adult Lot, allowing upright marker (6'x 10' or equivalent)
$
6,760.00
$ 7,638.80 Y
01/01/2024
$
7,030.00 $
913.90
$ 7,943.90 3.99%
01/01/2025
1158
Adult, preferred single, allowing upright marker (4'x 10')
$
4,472.00
$ 5,053.36 Y
01/01/2024
$
4,650.00 $
604.50
$ 5,254.50 3.98%
01/01/2025
1159
Green Burial - Sanctuary Wood lots(8'x12') includes trees
$
8,840.00
$ 9,989.20 Y
01/01/2024
$
9,195.00 $ 1,195.35
$ 10,390.35 4.02%
01/01/2025
1160
CREMATION LOT PRICES
1161
Ossuary/ includes documentation, recording, staffing
$
250.00
$ 282.45 Y
01/01/2024
$
260.00 $
33.80
$ 293.80 4.00%
01/01/2025
1162
Bronze Memorial Plaque
$
845.00
$ 954.65 Y
01/01/2024
$
940.00 $
122.20
$ 1,062.201 11.24%
01/01/2025
Cost recovery.
1163
Bronze Plaque Installation
$
158.00
$ 178.55 Y
01/01/2024
$
165.00 $
21.45
$ 186.45 4.43%
01/01/2025
Fees increased greater than 4% to be more in line with
market prices.
1164
CREMATION LOT PRICES
1165
Cremation Lot, flush marker (1' x 3') (P & 2M)
$
532.00
$ 601.09 Y
01/01/2024
$
625.00 $
81.25
$ 706.25 17.48%
01/01/2025
Limited Supply.
1166
Cremation Lot, flush marker (2'x 45)
$
950.00
$ 1,073.57 Y
01/01/2024
$
988.00 $
128.44
$ 1,116.44 4.0091.
01/01/2025
Resale price only.
1167
Cremation Lot, flush marker (3'x 3')
$
950.00
$ 1,073.57 Y
01/01/2024
$
988.00 $
128.44
$ 1,116.44 4.00%
01/01/2025
Resale price only.
1168
Cremation Lot, flush -estates (4'x 45) allows 14" x 30"mrkr
$
1,697.00
$ 1,917.65 Y
01/01/2024
$
1,765.00 $
229.45
$ 1,994.45 4.01%
01/01/2025
Resale price only.
1169
Cremation Lot, upright marker -Section 2S/2V (5'x6') Ceremonial
$
3,785.00
$ 4,277.13 Y
01/01/2024
$
3,938.00 $
511.94
$ 4,449.94 4.04%
01/01/2025
1170
War Veterans Cremation Lot, flush marker (3'x 3')
$
757.00
$ 855.43 Y
01/01/2024
$
787.00 $
102.31
$ 889.31 3.96%
01/01/2025
1171
Flush Marker Lots (Willows, 2D, 2J & Acacia Gardens)
$
1,297.00
$ 1,465.73 Y
01/01/2024
$
1,349.00 $
175.37
$ 1,524.37 4.01%
01/01/2025
1172
jUpright Marker Lots (3'x 5') (Willows)
$
2,085.00
$ 2,355.94 Y
01/01/2024
$
2,168.00 $
281.84
$ 2,449.84 3.98%
01/01/2025
1173
PROMONTORY POINT LOT PRICES
1174
Reflection Stones, Cremation Lots
$
8,174.00
$ 9,236.67 Y
01/01/2024
$
8,500.00 $ 1,105.00
$ 9,605.00 3.99%
01/01/2025
1175
Bronze Memorial Plaque
$
1,622.00
$ 1,832.91 Y
01/01/2024
$
1,800.00 $
234.00
$ 2,034.00 10.97%
01/01/2025
Cost recovery.
1176
Bronze Plaque Installation
$
158.00
$ 178.55 Y
01/01/2024
$
165.00 $
21.45
$ 186.45 4.43%
01/01/2025
Fees increased greater than 4% to be more in line with
market prices.
1177
Cremation Lot, upright marker (3'x 6')
$
3,590.00
$ 4,056.71 Y
01/01/2024
$
3,735.00 $
485.55
$ 4,220.55 4.04%
01/01/2025
1178
Cremation Lot, flush marker (3'x 3')
$
2,704.00
$ 3,055.52 Y
01/01/2024
$
2,812.00 $
365.56
$ 3,177.56 3.99%
01/01/2025
1179
STONEY RIDGE & MEADOW LARK COMMONS LOT PRICES
1180
Reflection Stones
$
8,174.00
$ 9,236.67 Y
01/01/2024
$
8,500.00 $ 1,105.00
$ 9,605.00 3.99%
01/01/2025
1181
Wall Cremation Lots
$
7,138.00
$ 8,066.01 Y
01/01/2024
$
7,425.00 $
965.25
$ 8,390.25 4.02%
01/01/2025
1182
Bronze Memorial Plaque 16" x 10"
$
1,622.00
$ 1,832.91 Y
01/01/2024
$
1,800.00 $
234.00
$ 2,034.00 10.97%
01/01/2025
Cost recovery.
1183
Bronze Memorial Plaque 16" x 24" unique product/bronze costs
$
2,271.00
$ 2,566.28 Y
01/01/2024
$
2,500.00 $
325.00
$ 2,825.00 10.08%
01/01/2025
Cost recovery.
1184
Bronze Memorial Plaque 18" x 24" unique product/bronze costs
$
2,595.00
$ 2,932.46 Y
01/01/2024
$
2,800.00 $
364.00
$ 3,164.00 7.90%
01/01/2025
Cost recovery.
1185
Bronze Memorial Plaque 24" x 30" unique product/bronze costs
$
4,867.00
$ 5,499.74 Y
01/01/2024
$
5,400.00 $
702.00
$ 6,102.00 10.95%
01/01/2025
Cost recovery.
1186
Installation of Bronze Plaque
$
158.00
$ 178.55 Y
01/01/2024
$
165.00 $
21.45
$ 186.45 4.43%
01/01/2025
Fees increased greater than 4% to be more in line with
market prices.
1187
Cremation Lot, upright marker (3'x 5')
$
2,947.00
$ 3,330.16 Y
01/01/2024
$
3,065.00 $
398.45
$ 3,463.45 4.00%
01/01/2025
1188
Foundation cost
$
630.00
$ 711.80 Y
01/01/2024
$
655.00 $
85.15
$ 740.15 3.97%
01/01/2025
1189
Cremation Lot, premium flush marker (3'x 3')
$
2,433.00
$ 2,749.37 Y
01/01/2024
$
2,530.00 $
328.90
$ 2,858.90 3.99%
01/01/2025
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded to the nearest five cents APPENDIX E 39
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded to the nearest five cents APPENDIX E 40
FEE DESCRIPTION
2024
RATE (EXCL
HST)
2024 RATE
(INCL HST)
HST
APPLIES
LAST REVISED
..MM/DD/YYYY
2025
RATE
2025 RATE
% INC - 2024
EFFECTIVE DATE
COMPARABLE RATES/COMMENTS
1190 SCATTERING GARDENS
1191
Bronze Dedication Plaque
$
840.00
$ 949.65 Y
01/01/2024
$
940.00 $ 122.20
$ 1,062.20
11.90%
01/01/2025
Cost recovery.
1192
Plaque Installation
$
158.00
$ 178.55 Y
01/01/2024
$
165.00 $ 21.45
$ 186.45
4.43%
01/01/2025
Fees increased greaterthan 4%to be more in line with
market prices.
1193
Garden Lot - Flush Marker lot (Acacia Gardens)
$
762.00
$ 861.10 Y
01/01/2024
$
792.00 $ 102.96
$ 894.96
3.94%
01/01/2025
1194
Columbarium UNITS
1195
Garden of Hope Niche Wall, Exterior Niche 3
$
642.00
$ 725.55 Y
01/01/2024
$
668.00 $ 86.84
$ 754.84
4.05%
01/01/2025
Resale price only.
1196
Willows
$
1,952.00
$ 2,205.77 Y
01/01/2024
$
2,030.00 $ 263.90
$ 2,293.90
4.00%
01/01/2025
Resale price only.
1197
lEstate Columbarium, 2 niche front/accommodates 4 urns
$
7,302.00
$ 8,251.37 Y
01/01/2024
$
7,595.00 $ 987.35
$ 8,582.351
4.01%
01/01/2025
Resale price only.
1198
Estate Columbarium, 3 niche front/accommodates 6 urns
$
8,610.00
$ 9,729.32 Y
01/01/2024
$
8,950.00 $ 1,163.50
$ 10,113.50
3.95%
01/01/2025
Resale price only.
1199
Estate Columbarium, 4 niche front/accommodates 8 urns
$
9,917.00
$ 11,206.27 Y
01/01/2024
$
10,315.00 $ 1,340.95
$ 11,655.95
4.01%
01/01/2025
Resale price only.
1200
Renaissance estate tower
$
4,909.00
$ 5,547.28 Y
01/01/2024
$
5,110.00 $ 664.30
$ 5,774.30
4.09%
01/01/2025
Resale price only.
1201
Exterior Niche 4 & Niche 5; Doves in Flight; Meadow Lark
$
3,828.00
$ 4,325.67 Y
01/01/2024
$
3,980.00 $ 517.40
$ 4,497.40
3.97%
01/01/2025
1202
Catholic Priest Niche Fee (Renaissance towers)
$
2,500.00
$ 2,825.00 Y
01/01/2024
$
2,600.00 $ 338.00
$ 2,938.00
4.00%
01/01/2025
1203
Arbor Tree
$
9,500.00
$ 10,737.35 Y
01/01/2024
$
9,880.00 $ 1,284.40
$ 11,164.40
4.00%
01/01/2025
1204
PROMONTORY POINT NICHE PRICES
1205
Bottom and top Rows of peaked unit
$
3,307.00
$ 3,736.94 Y
01/01/2024
$
3,440.00 $ 447.20
$ 3,887.20
4.02%
01/01/2025
Resale price only.
1206
All others in unit
$
3,828.00
$ 4,325.67 Y
01/01/2024
$
3,981.00 $ 517.53
$ 4,498.53
4.00%
01/01/2025
Resale price only.
1207
Bronze Wreath for Outdoor Columbarium Units
$
970.00
$ 1,095.74 Y
01/01/2024
$
1,075.00 $ 139.75
$ 1,214.75
10.82%
01/01/2025
Cost recovery.
1208
Plaque installation fee
$
158.00
$ 178.55 Y
01/01/2024
$
165.00 $ 21.45
$ 186.45
4.43%
01/01/2025
Fees increased greater than 4% to be more in line with
market prices.
1209
Niche replacement door
$
633.00
$ 715.34 Y
01/01/2024
$
750.00 $ 97.50
$ 847.50
18.48%
01/01/2025
Cost Recovery.
1210
DEDICATION CENTRE NICHES
1211
Unit A-8, B-15, 21, 29, 35, C-36, 42, 50, 56 D-57, 63
$
3,763.00
$ 4,252.29 Y
01/01/2024
$
3,915.00 $ 508.95
$ 4,423.95
4.04%
01/01/2025
1212
Unit A-9, 13, B-16, 20, 30, 34, C-37, 41, C-51, 55, D-58, 62 Glass
$
3,763.00
$ 4,252.29 Y
01/01/2024
$
3,915.00 $ 508.95
$ 4,423.95
4.04%
01/01/2025
1213
Unit A-10,11,12B-17,18,19B-31,21,33,C-38,39,40,52,53,54,D-59,60,61
$
4,353.00
$ 4,918.95 Y
01/01/2024
$
4,527.00 $ 588.51
$ 5,115.51
4.00%
01/01/2025
1214
Unit A-1,7,B-22,28,C-43,49,D-64,70
$
6,204.00
$ 7,010.60 Y
01/01/2024
$
6,452.00 $ 838.76
$ 7,290.76
4.00%
01/01/2025
1215
Unit A-2,6,B-23,27,C-44,48,D-65,69
$
6,204.00
$ 7,010.60 Y
01/01/2024
$
6,452.00 $ 838.76
$ 7,290.76
4.00%
01/01/2025
1216
Unit A-3,4,56-24,25,26,C-45,46,47,D-66,67,68
$
6,807.00
$ 7,692.02 Y
01/01/2024
$
7,080.00 $ 920.40
$ 8,000.40
4.01%
01/01/2025
1217
Glass Fronted Units
1218
Memorialization with Photoceramic
$
655.00
$ 740.18 Y
01/01/2024
$
681.00 $ 88.53
$ 769.53
3.97%
01/01/2025
1219
Memorialization with Plaque Only
$
147.00
$ 166.20 Y
01/01/2024
$
153.00 $ 19.89
$ 172.891
4.08%
01/01/2025
Cost recovery.
1220
MAUSOLEUM UNITS/GARDEN OF HOPE
1221
EXTERIOR SINGLES
1222
Rows A and E
$
10,149.00
$ 11,468.42 Y
01/01/2024
$
10,555.00 $ 1,372.15
$ 11,927.15
4.00%
01/01/2025
Resale price only.
1223
Rows B, C, and D
$
10,149.00
$ 11,468.42 Y
01/01/2024
$
10,555.00 1 $ 1,372.15
$ 11,927.15
4.00%
01/01/2025
1 Resale price only.
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded to the nearest five cents APPENDIX E 40
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded to the nearest five cents APPENDIX E 41
FEE DESCRIPTION
2024
RATE (EXCL
HST)
2024 RATE
(INCL HST)
HST
APPLIES
LAST REVISED
..MM/DD/YYYY
2025
RATE
2025 RATE
% INC - 2024
EFFECTIVE DATE
COMPARABLE RATES/COMMENTS
1224 INTERIOR SINGLES
1225
Rows A and E
$
12,686.00
$ 14,335.30
Y
01/01/2024
$
13,194.00
$ 1,715.22
$ 14,909.22 4.00%
01/01/2025
Resale price only.
1226
Rows B,C and D
$
12,686.00
$ 14,335.30
Y
01/01/2024
$
13,194.00
$ 1,715.22
$ 14,909.22 4.00%
01/01/2025
Resale price only.
1227
Interior Tandem
$
19,085.00
$ 21,566.06
Y
01/01/2024
$
19,848.00
$ 2,580.24
$ 22,428.24 4.00%
01/01/2025
Resale price only.
1228
Replacement of vase/light unit
$
859.00
$ 970.68
Y
01/01/2024
$
893.00
$ 116.09
$ 1,009.09 3.96%
01/01/2025
1229
Replacement of vase unit
$
517.00
$ 584.33
Y
01/01/2024
$
540.00
$ 70.20
$ 610.20 4.45%
01/01/2025
Cost recovery.
1230
One time electricity charge for light
$
501.00
$ 566.17
Y
01/01/2024
$
521.00
$ 67.73
$ 588.73 3.99%
01/01/2025
1231
Mausoleum Interior single crypts
$
1,286.00
$ 1,453.24
Y
01/01/2024
$
1,338.00
$ 173.94
$ 1,511.94 4.04%
01/01/2025
Resale price only.
1232
IMausoleum Niches
$
643.00 1
$ 726.69
Y
01/01/2024
$
669.00
$ 86.97
$ 755.971 4.04%
01/01/2025
Resale price only.
1233
Spruce Grove Wall Niches
$
643.00
$ 726.69
Y
01/01/2024
$
669.00
$ 86.97
$ 755.97 4.04%
01/01/2025
Resale price only.
1234
Exterior Niche #1 and #2
$
643.00
$ 726.69
Y
01/01/2024
$
669.00
$ 86.97
$ 755.97 4.04%
01/01/2025
Resale price only.
1235
PHOTOGRAPHIC IMAGES
1236
Colour images with frame
$
671.00
$ 758.34
Y
01/01/2024
$
698.00
$ 90.74
$ 788.74 4.02%
01/01/2025
1237
Decorative Crypt Vase Lens
$
118.00
$ 133.41
Y
01/01/2024
$
123.00
$ 15.99
$ 138.99 4.24%
01/01/2025
Cost recovery.
1238
DISINTERMENT OF BODIES OR REMAINS does not include cost of
rave o enin ata new location
1239
Adult, standard depth with an outer case
$
2,925.00
$ 3,304.64
Y
01/01/2024
$
3,042.00
$ 395.46
$ 3,437.46 4.00%
01/01/2025
1240
lAdult, standard depth with NO outer case
$
4,225.00
$ 4,773.37
Y
01/01/2024
$
4,395.00
$ 571.35
$ 4,966.35 4.02%
01/01/2025
1241
Child
$
870.00
$ 983.16
Y
01/01/2024
$
905.00
$ 117.65
$ 1,022.65 4.02%
01/01/2025
1242
Infant
$
428.00
$ 483.70
Y
01/01/2024
$
445.00
$ 57.85
$ 502.85 3.97%
01/01/2025
1243
Cremated remains
$
448.00
$ 506.14
Y
01/01/2024
$
466.00
$ 60.58
$ 526.58 4.02%
01/01/2025
1244
Cremated remains -common ground
$
276.00
$ 311.83
Y
01/01/2024
$
287.00
$ 37.31
$ 324.31 3.99%
01/01/2025
1245
Additional charge if urn vault was used
$
357.00
$ 403.51
Y
01/01/2024
$
380.00
$ 49.40
$ 429.40 6.44%
01/01/2025
Cost recovery.
1246
UPRIGHT MARKER CHARGES
1247
Charge for concrete (per cubic foot) includes installation fee
$
31.00
$ 35.06
Y
01/01/2024
$
31.00
$ 4.03
$ 35.03 0.00%
01/01/2025
Fee is increased every few years.
1248
Memorial surcharge 1
$
200.00
$ 227.04
Y
01/01/2024
$
200.00
$ 26.00
$ 226.00 0.00%
01/01/2025
This fee is legislated.
1249
Memorial surcharge 2
$
400.00
$ 454.08
Y
01/01/2024
$
400.00
$ 52.00
$ 452.00 0.00%
01/01/2025
This fee is legislated.
1250
Removal of existing foundation
$
451.00
$ 509.68
Y
01/01/2024
$
469.00
$ 60.97
$ 529.97 3.99%
01/01/2025
1251
Inspection fee
$
242.00
$ 273.50
Y
01/01/2024
$
242.00
$ 31.46
$ 273.46 0.00%
01/01/2025
This fee is legislated.
1252
SETTING OF MARKERS
1253
Flush markers less than 173 square inches
$
158.00
$ 178.55
Y
01/01/2024
$
165.00
$ 21.45
$ 186.45 4.43%
01/01/2025
Fees increased greater than 4% to be more in line with
market prices
1254
Flush markers 173 square inches but, 288 square inches
$
225.00
$ 254.34
Y
01/01/2024
$
234.00
$ 30.42
$ 264.42 4.00%
01/01/2025
1255
ICare& Maintenance
$
100.00
$ 113.52
Y
01/01/2024
$
100.00
$ 13.00
$ 113.00 0.00%
01/01/2025
This fee is legislated.
1256
Flush markers> 288 square inches
$
263.00
$ 297.21
Y
01/01/2024
$
275.00
$ 35.75
$ 310.75 4.56%
01/01/2025
Fees increased greater than 4% to be more in line with
market prices.
1257
Care & Maintenance
$
100.00
$ 113.52
Y
01/01/2024
$
100.00
$ 13.00
$ 113.00 0.00%
01/01/2025
This fee is legislated.
1258
Flower Containers supplied by owner
$
86.00
$ 97.22
Y
01/01/2024
$
90.00
$ 11.70
$ 101.70 4.6591.
01/01/2025
Cost recovery.
1259
Galvanized flower containers - supplied/installed by cemetery
$
100.00
$ 113.11
Y
01/01/2024
$
104.00
$ 13.52
$ 117.52 4.00%
01/01/2025
1260
Die cast flower containers-supplied/installed by cemetery
$
220.00
$ 248.66
Y
01/01/2024
$
229.00
$ 29.77
$ 258.77 4.09%
01/01/2025
Cost recovery.
1261
Crypt Door Removal
$
125.00
$ 141.22
Y
01/01/2024
$
130.00
$ 16.90
$ 146.90 4.00%
01/01/2025
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded to the nearest five cents APPENDIX E 41
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded to the nearest five cents APPENDIX E 42
FEE DESCRIPTION
2024
RATE (EXCL
HST)
2024 RATE
(INCL HST)
HST
APPLIES
LAST REVISED
..MM/DD/YYYY
2025 RATE
2025 RATE
% INC - 2024
EFFECTIVE DATE
COMPARABLE RATES/COMMENTS
1262 FLOWER BEDS
1263
Installation of a new flowerbed by cemetery
1264
Prepare for planting
$
35.00
$ 39.60
Y
01/01/2024
$ 38.00 $
4.94
$ 42.94
8.57%
01/01/2025
Cost recovery.
1265
Water & Fertilizing
$
81.00
$ 91.55
Y
01/01/2024
$ 85.00 $
11.05
$ 96.05
4.94%
01/01/2025
Cost recovery.
1266
Supply annuals, plant and maintain (/year)
$
172.00
$ 194.44
Y
01/01/2024
$ 180.00 $
23.40
$ 203.40
4.65%
01/01/2025
Cost recovery.
1267
EVERGREENS/SHRUBS
1268
Planting cost (per plant)
$
21.00
$ 23.70
Y
01/01/2024
$ 22.00 $
2.86
$ 24.86
4.76%
01/01/2025
Cost recovery.
1269
HOLIDAY CHARGES
1270
ICasket interment charge
$
675.00
$ 762.34
Y
01/01/2024
$ 702.00 $
91.26
$ 793.26
4.00%
01/01/2025
1271
Non -Municipal Cemeteries
$
940.00
$ 1,062.49
Y
01/01/2024
$ 978.00 $
127.14
$ 1,105.14
4.04%
01/01/2025
1272
Infant/cremation burial requiring one staff
$
340.00
$ 384.08
Y
01/01/2024
$ 353.00 $
45.89
$ 398.89
3.82%
01/01/2025
1273
Additional charge for cremation/retort
$
355.00
$ 46.24
Y
01/01/2024
$ 369.00 $
47.97
$ 416.97
3.94%
01/01/2025
1274
MISCELLANEOUS CHARGES
1275
Replacement Card or Key
$
27.00
$ 30.52
Y
01/01/2024
$ 29.00 $
3.77
$ 32.77
7.41%
01/01/2025
Cost recovery.
1276
Concrete and/or Metal Vault/Liner surcharge
$
40.00
$ 45.14
Y
01/01/2024
$ 40.00 $
5.20
$ 45.20
0.0091.
01/01/2025
Only increases every couple of years.
1277
Cremated remains -common ground
$
364.00
$ 411.32
Y
01/01/2024
$ 380.00 $
49.40
$ 429.40
4.40%
01/01/2025
Cost recovery.
1278
Regional Services -Adult flush marker
$
853.00
$ 853.00
N
01/01/2024
$ 711.00 $
-
$ 711.00
-16.65%
01/01/2025
This is a set price by the Region of Waterloo based on
their funding.
1279
Use of Mortuary (per month)
$
120.00
$ 132.44
Y
01/01/2024
$ 125.00 $
16.25
$ 141.25
4.17%
01/01/2025
Cost recovery.
1280
ADMINISTRATIVE CHARGES
1281
Refund of Interment Rights Administrative Fee
$
350.00
$ 397.32
Y
01/01/2024
$ 350.00 $
45.50
$ 395.50
0.00%
01/01/2025
This fee is legislated.
1282
Transfer of interment rights Deed Rights
$
343.00
$ 387.62
Y
01/01/2024
$ 350.00 $
45.50
$ 395.50
2.04%
01/01/2025
This fee is legislated.
1283
Application for Reservation by Rights Holder
1284
Application for Reservation - Rights Holder Deceased
$
110.00
$ 124.20
Y
01/01/2024
$ 115.00 $
14.95
$ 129.95
4.55%
01/01/2025
Cost recovery.
1285
Service Fee -duplicate deed
$
60.00
$ 67.71
Y
01/01/2024
$ 63.00 $
8.19
$ 71.19
5.00%
01/01/2025
Cost recovery.
1286
Administrative Fee -Refund lesser of 10%or$350.00
Per Act
Per Act
Y
01/01/2024
Per Act
Per Act
Per Act
0.00%
01/01/2025
This fee is legislated.
1287
Genealogical Research
$
41.00
$ 46.27
Y
01/01/2024
$ 43.00 $
5.59
$ 48.59
4.88%
01/01/2025
Cost recovery.
1288
Removal/Transfer remains to FH (from Niche)
$
92.00
$ 104.03
Y
01/01/2024
$ 96.00 $
12.48
$ 108.48
4.35%
01/01/2025
Cost recovery.
1289
CARE AND MAINTENANCE OF LOTS SOLD PRIOR TO 1955
$
208.00
$ 235.04
Y
01/01/2024
$ 200.00 $
26.00
$ 226.00
-3.85%
01/01/2025
This fee is legislated.
1290
WILLIAMSBURG DEDICATION CENTRE
1291
Monday to Friday Memorial Service, 1 hour/No Room set-up
$
145.00
$ 163.79
Y
01/01/2024
$ 152.00 $
19.76
$ 171.76
4.83%
01/01/2025
Cost recovery.
1292
Monday to Saturday Services (room set-up incl. up to 3 hours)
$
540.00
$ 610.17
Y
01/01/2024
$ 562.00 $
73.06
$ 635.06
4.07%
01/01/2025
Cost recovery.
1293
ISunday Services (room set-up incl. up to 3 hours)
I $
784.00
$ 885.81
Y
01/01/2024
$ 815.00 $
105.95
$ 920.951
3.95%
1 01/01/2025
1294
Saturday Memorial Service 1 hour, no set up
$
198.00
$ 223.69
Y
01/01/2024
$ 206.00 $
26.78
$ 232.78
4.04%
01/01/2025
1295
Weddings -flat fee -including rehearsal
$
580.00
$ 655.31
Y
01/01/2024
$ 603.00 $
78.39
$ 681.39
3.97%
01/01/2025
2025 pricing.
1296
Weddings -flat fee -including rehearsal
$
590.00
$ 666.66
y
01/01/2024
$ 614.00 $
79.82
$ 693.82
4.07%
01/01/2025
2026 Pricing.
1297
Facility Attendant Conversion
$
205.00
$ 231.63
y
01/01/2024
$ 214.00 $
27.82 1
$ 241.821
4.39%
1 01/01/2025
1 Cost recovery.
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded to the nearest five cents APPENDIX E 42
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded to the nearest five cents APPENDIX E 43
FEE DESCRIPTION
2024
RATE (EXCL
HST)
2024 RATE
(INCL HST)
HST
APPLIES
LAST REVISED
..MM/DD/YYYY
2025 RATE
2025 RATE
% INC - 2024
EFFECTIVE DATE
COMPARABLE RATES/COMMENTS
1298 MEMORIAL PROGRAM
1299
Memorial tree, including granite mounted bronze plaque
$
1,780.00
$ 2,011.46
Y
01/01/2024
$ 1,950.00
$ 253.50
$ 2,203.50
9.55%
01/01/2025
Cost recovery.
1300
Larger rock for additional plaque (memorial tree option)
$
716.00
$ 809.15
Y
01/01/2024
$ 780.00
$ 101.40
$ 881.40
8.94%
01/01/2025
Cost recovery.
1301
Temporary Remembrance Markers
$
177.00
$ 199.98
Y
01/01/2024
$ 184.00
$ 23.92
$ 207.92
3.95%
01/01/2025
1302
Memorial Leaf with Plaque
$
877.00
$ 991.11
Y
01/01/2024
$ 970.00
$ 126.10
$ 1,096.10
10.60%
01/01/2025
Cost recovery.
1303
Plaque installation fee
$
158.00
$ 178.55
Y
01/01/2024
$ 165.00
$ 21.45
$ 186.45
4.43%
01/01/2025
Cost recovery.
1304
Memorial Bridge Railing (small)
$
2,034.00
$ 2,298.45
Y
01/01/2024
$ 2,250.00
$ 292.50
$ 2,542.50
10.62%
01/01/2025
Cost recovery.
1305
Memorial Bridge Railing (large)
$
2,708.00
$ 3,060.06
Y
01/01/2024
$ 2,950.00
$ 383.50
$ 3,333.50
8.94%
01/01/2025
Cost recovery.
1306
IRailing installation
$
200.00 1
$ 226.09
Y
01/01/2024
$ 208.00
$ 27.04
$ 235.041
4.00%
01/01/2025
1307
Memorial Benches, including bronze plaque
$
3,065.00
$ 3,463.57
Y
01/01/2024
$ 3,400.00
$ 442.00
$ 3,842.00
10.93%
01/01/2025
Cost recovery.
1308
AWORK OFART
1309
Butterfly plaque
$
255.00
$ 288.12
Y
01/01/2024
$ 265.00
$ 34.45
$ 299.45
3.92%
01/01/2025
1310
LEGISLATED CHANGES:
1311
Mt. Hope Cemetery
1312
Single grave adult lot
$
758.00
$ 856.56
Y
01/01/2024
$ 788.00
$ 102.44
$ 890.44
3.9691.
01/01/2025
Resale price only.
1313
Preferred single upright lot
$
758.00
$ 856.56
Y
01/01/2024
$ 788.00
$ 102.44
$ 890.44
3.96%
01/01/2025
Resale price only.
1314
2 grave adult lot, upright
$
1,008.00
$ 1,139.14
Y
01/01/2024
$ 1,048.00
$ 136.24
$ 1,184.24
3.97%
01/01/2025
Resale price only.
1315
6 grave adult lot, upright
$
1,261.00
$ 1,425.00
Y
01/01/2024
$ 1,311.00
$ 170.43
$ 1,481.43
3.97%
01/01/2025
Resale price only.
1316
10 grave adult lot, upright
$
2,530.00
$ 2,858.94
Y
01/01/2024
$ 2,631.00
$ 342.03
$ 2,973.03
3.99%
01/01/2025
Resale price only.
1317
Infant lot flush marker 2'x 4'
$
364.00
$ 411.32
Y
01/01/2024
$ 378.00
$ 49.14
$ 427.14
3.85%
01/01/2025
Rounding.
1318
Cremation lot, flush 2'x 4'
$
950.00
$ 1,073.57
Y
01/01/2024
$ 988.00
$ 128.44
$ 1,116.44
4.00%
01/01/2025
1319
Bridgeport Cemetery
1320
Infant/cremation lot, flush 2'x 4'
$
365.00
$ 412.46
Y
01/01/2024
$ 379.00
$ 49.27
$ 428.27
3.84%
01/01/2025
Resale price only.
1321
Cremation lot, flush 2'x 4'
$
950.00
$ 1,073.57
Y
01/01/2024
$ 988.00
$ 128.44
$ 1,116.44
4.00%
01/01/2025
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded to the nearest five cents APPENDIX E 43
1322
FEE DESCRIPTION
UTILITIES
2024 RATE (EXCL
HST)
2024 RATE
(INCL HST)
HST
APPLIES
LAST REVISED
..MM/DD/YYYY
2025 RATE
2025 RATE
% INC - 2024
EFFECTIVE DATE
COMPARABLE RATES/COMMENTS
1323
GAS
1324
Gas Meter Set- Residential (Retrofit)
$ 191.59
$ 216.50
Y
01/01/2024
$ 199.25 $
25.90
$ 225.15
4.00%
01/01/2025
1325
Gas Meter Set - Residential (New Housing)
$ 191.59
$ 216.50
Y
01/01/2024
$ 199.25 $
25.90
$ 225.15
4.00%
01/01/2025
1326
Gas Meter Set - Commercial/Industrial
$ 709.83
$ 802.11
Y
01/01/2024
$ 738.22 $
95.97
$ 834.19
4.00%
01/01/2025
1327
Gas meter disputes
$ 242.39
$ 273.90
Y
01/01/2024
$ 252.09 $
32.77
$ 284.86
4.00%
01/01/2025
1328
Multi Meter Manifold
$ 562.65
$ 627.65
Y
01/01/2024
$ 585.16 $
76.07
$ 661.23
4.00%
01/01/2025
1329
5 PSI Meter Set (if load between 1,000 & 3,500 cfh)
$ 6,177.98
$ 6,981.12
Y
01/01/2024
$ 6,425.10 $
835.26
$ 7,260.36
4.00%
01/01/2025
1330
Meter Set Upgrade
y
Cost of meter set upgrade. The amount will vary
depending on usage, and is determined based on a
payback calculation of the meter costs plus
installation.
1331
Cage for 5 PSI Meter Set
$ 3,312.40
$ 3,743.01
Y
01/01/2024
$ 3,444.90 $
447.84
$ 3,892.74
4.0091.
01/01/2025
1332
Gas Service Abandonment - Steel
$ 2,163.20
$ 2,444.42
Y
01/01/2024
$ 2,249.73 $
292.46
$ 2,542.19
4.00%
01/01/2025
1333
Gas Service Abandonment - Plastic
$ 1,622.40
$ 1,833.31
Y
01/01/2024
$ 1,687.30 $
219.35
$ 1,906.65
4.00%
01/01/2025
1334
Impact Post (100mm diameter) for Meter Set Protection
$ 683.97
$ 772.89
Y
01/01/2024
$ 711.33 $
92.47
$ 803.80
4.00%
01/01/2025
1335
Impact Post (150mm diameter) for Meter Set Protection
$ 1,076.05
$ 1,215.94
Y
01/01/2024
$ 1,119.09 $
145.48
$ 1,264.57
4.00%
01/01/2025
1336
Gas Design Fee per km of natural gas main
(Subdivision or Multi -residential Development with Multiple
Buildings)
$ 1,125.30
$ 1,271.59
Y
01/01/2024
$ 1,170.31 $
152.14
$ 1,322.45
4.00%
01/01/2025
1337
Gas Design Fee
Sin le Service requiring a design)
$ 562.65
$ 635.79
Y
01/01/2024
$ 585.16 $
76.07
$ 661.23
4.00%
01/01/2025
1338
Gas Redesign Fee
50% of original
delin fee
50% of original
design fee
Y
01/01/2024
50% of original
desi n fee
50% of original
design fee
0.00%
01/01/2025
1339
Residential OPCO Regulator (Over Pressure Cut Off)
$ 161.41
$ 182.39
Y
01/01/2024
$ 167.87 $
21.82
$ 189.69
4.00%
01/01/2025
1340
Site Not Ready Fee
$ 562.65
$ 635.79
Y
01/01/2024
$ 585.16 $
76.07
$ 661.23
4.00%
01/01/2025
1341
An Aid to Construction may apply based on actual gas service costs.
Y
Customers applying for a gas service for a new or
revised gas service, may be required to pay a portion
of the cost based on payback calculation.
1342
Gas Loss from damages (fee varies based on size, material and time)
M1 Rate m3
of gas lost + 15%
ad min fees
M1 Rate m3 of
gas lost + 15%
admin fees
Y
01/01/2024
M1 Rate m3
of gas lost+ 15%
admin fees
M1 Rate m3 of
gas lost+ 15%
admin fees
0.00%
01/01/2025
1343Broken,
buried value box repair
$ 2,341.52
$ 2,645.92
Y
01/01/2024
$ 2,435.18 $
316.57
$ 2,751.75
4.00%
01/01/2025
1344
Gas Service - New Construction (Excavation Charge)
$ 234.15
$ 264.59
Y
01/01/2024
$ 243.52 $
31.66
$ 275.18
4.00%
01/01/2025
1345
IGas Service - Built Up
$ 1,000.00
$ 1,130.00
Y
01/01/2024
$ 1,040.00 $
135.20
$ 1,175.20
4.00%
01/01/2025
1346
IGas Service Relocation (Plastic - up to 5m)
$ 1,560.00
$ 1,762.80
Y
01/01/2024
$ 1,622.40 $
210.91
$ 1,833.31
4.00%
01/01/2025
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded t0 the nearest five cents APPENDIX E 44
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded t0 the nearest five cents APPENDIX E 45
FEE DESCRIPTION
2024
RATE (EXCL
HST)
161.20
2024 RATE
(INCL HST)
$ 182.16
HST
APPLIES
Y
LAST REVISED
..MM/DD/YYYY
01/01/2024
2025 RATE
$ 167.65 $
21.79
2025 RATE
$ 189.44
% INC - 2024
4.00%
EFFECTIVE DATE
01/01/2025
COMPARABLE RATES/COMMENTS
1347 Gas Meter Removal - Change in Fuel Source
$
1348
Frost Charges for Winter Excavation per Meter
$
63.24
$ 71.46 Y
01/01/2024
$ 65.77 $
8.55
$ 74.32 4.00%
01/01/2025
Inches Delivery Pressure- Light Gas Usage Reduced Clearance
1349
Regulator
$
195.97
$ 221.45
Y
01/01/2024
$ 203.81 $
26.50
$ 230.31
4.00%
01/01/2025
Inches Delivery Pressure - Large Gas Usage Reduced Clearance
1350
Regulator
$
1,850.78
$ 2,091.38
Y
01/01/2024
$ 1,924.81 $
250.23
$ 2,175.04
4.00%
01/01/2025
1351
5 Pounds Delivery Pressure - Light Gas Usage Reduced Clearance
$
1,276.70
$ 1,442.67 Y
01/01/2024
$ 1,327.77 $
172.61
$ 1,500.38 4.00%
01/01/2025
Regulator
5 Pounds Delivery Pressure - Large Gas Usage Reduced Clearance
1352
Re ulator
$
2,154.15
$ 2,434.19
Y
01/01/2024
$ 2,240.32 $
291.24
$ 2,531.56
4.00%
01/01/2025
Provide Pulse Output (Customer to supply pulse output enclosure
1353
with positive barrier
$
19212
$ 217.10
Y
01/01/2024
$ 199.80 $
25.97
$ 225.77
4.00%
01/01/2025
1354
Large Meter Set Rebuild/Relocation Fee
$
530.40
$ 599.35 Y
01/01/2024
$ 551.62 $
71.71
$ 623.33 4.00%
01/01/2025
1355
Initial Third Party Sub -Metering Admin Fee (per sub -meter)
$
156.00
$ 176.28 Y
01/01/2024
$ 162.24 $
21.09
$ 183.33 4.00%
01/01/2025
1356
Installation of Emergency Generator Valve on Meter Set
$
3,130.40
$ 3,537.35 Y
01/01/2024
$ 3,255.62 $
423.23
$ 3,678.85 4.00%
01/01/2025
1357
RENTAL GAS WATER HEATER RATES - YEARLY
1358
CONVENTIONAL
Due to significant increases in
2024, a smaller increase
1359
40-R
$
194.40
$ 219.67 Y
01/01/2024
$ 198.29 $
25.78
$ 224.07 2.00%
01/01/2025
will be required for 2025.
Due to significant increases in
2024, a smaller increase
1360
50-R
$
207.60
$ 234.59 Y
01/01/2024
$ 211.75 $
27.53
$ 239.28 2.00%
01/01/2025
will be required for 2025.
1361
60-R
$
220.80
$ 249.50 Y
01/01/2024
$ 225.22 $
29.28
$ 254.50 2.00%
01/01/2025
Due to significant increases in
2024, a smaller increase
will be required for 2025.
Due to significant increases in
2024, a smaller increase
1362
75-R
$
288.00
$ 325.44 Y
01/01/2024
$ 293.76 $
38.19
$ 331.95 2.00%
01/01/2025
will be required for 2025.
Due to significant increases in
2024, a smaller increase
1363
40 -R -FV
$
237.60
$ 268.49 Y
01/01/2024
$ 242.35 $
31.51
$ 273.86 2.00%
01/01/2025
will be required for 2025.
1364
50 -R -FV
$
241.20
$ 272.56 Y
01/01/2024
$ 246.02 $
31.98
$ 278.00 2.00%
01/01/2025
Due to significant increases in
2024, a smaller increase
will be required for 2025.
Due to significant increases in
2024, a smaller increase
1365
60 -R -FV
$
248.40
$ 280.69 Y
01/01/2024
$ 253.37 $
32.94
$ 286.31 2.00%
01/01/2025
will be required for 2025.
Due to significant increases in
2024, a smaller increase
1366
75 -R -FV
$
297.00
$ 335.61 Y
01/01/2024
$ 302.94 $
39.38
$ 342.32 2.00%
01/01/2025
will be re uired for 2025.
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded t0 the nearest five cents APPENDIX E 45
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded to the nearest five cents APPENDIX E 46
FEE DESCRIPTION
2024
RATE (EXCL
HST)
2024 RATE
(INCL HST)
HST
APPLIES
LAST REVISED
..MM/DD/YYYY
2025
RATE
2025 RATE
% INC - 2024
EFFECTIVE DATE
COMPARABLE RATES/COMMENTS
1367 POWERVENTED
Due to significant increases in
2024, a smaller increase
1368
40 -PV
$
311.88
$ 352.42 Y
01/01/2024
$
318.12 $
41.36
$ 359.48 2.00%
01/01/2025
will be required for 2025.
Due to significant increases in
2024, a smaller increase
1369
50 -PV
$
318.96
$ 360.42 Y
01/01/2024
$
325.34 $
42.29
$ 367.63 2.00%
01/01/2025
will be required for 2025.
Due to significant increases in
2024, a smaller increase
1370
60 -PV
$
352.32
$ 398.12 Y
01/01/2024
$
359.37 $
46.72
$ 406.09 2.00%
01/01/2025
will be required for 2025.
Due to significant increases in
2024, a smaller increase
1371
75 -PV
$
391.08
$ 441.92 Y
01/01/2024
$
398.90 $
51.86
$ 450.76 2.00%
01/01/2025
will be required for 2025.
Due to significant increases in
2024, a smaller increase
1372
40 -PV -FV
$
311.88
$ 352.42 Y
01/01/2024
$
318.12 $
41.36
$ 359.48 2.00%
01/01/2025
will be required for 2025.
Due to significant increases in
2024, a smaller increase
1373
50 -PV -FV
$
318.96
$ 360.42 Y
01/01/2024
$
325.34 $
42.29
$ 367.63 2.00%
01/01/2025
will be required for 2025.
Due to significant increases in
2024, a smaller increase
1374
60 -PV -FV
$
370.80
$ 419.00 Y
01/01/2024
$
378.22 $
49.17
$ 427.39 2.00%
01/01/2025
will be required for 2025.
Due to significant increases in
2024, a smaller increase
1375
75 -PV-FV
$
391.08
$ 441.92 Y
01/01/2024
$
398.90 $
51.86
$ 450.76 2.00%
01/01/2025
will be required for 2025.
1376
DIRECT VENT
Due to significant increases in
2024, a smaller increase
1377
50 -DV
$
267.84
$ 302.66 Y
01/01/2024
$
273.20 $
35.52
$ 308.72 2.00%
01/01/2025
will be required for 2025.
Due to significant increases in
2024, a smaller increase
1378
50 -DV -FV
$
298.68
$ 337.51 Y
01/01/2024
$
304.65 $
39.60
$ 344.25 2.00%
01/01/2025
will be required for 2025.
Due to significant increases in
2024, a smaller increase
1379
50 -PV -DV
$
349.68
$ 395.14 Y
01/01/2024
$
356.67 $
46.37
$ 403.04 2.00%
01/01/2025
will be re uired for 2025.
Due to significant increases in
2024, a smaller increase
1380
50 -PV -DV -H
$
377.88
$ 427.00 Y
01/01/2024
$
385.44 $
50.11
$ 435.55 2.00%
01/01/2025
will be required for 2025.
1381
COMBO HEATING TANKS
Due to significant increases in
2024, a smaller increase
1382
GSW 50 -PV
$
349.68
$ 395.14 Y
01/01/2024
$
356.67 $
46.37
$ 403.04 2.00%
01/01/2025
will be required for 2025.
1383
50 -PV -FV -H
$
349.56
$ 395.00 Y
01/01/2024
$
356.55 $
46.35
$ 402.90 2.00%
01/01/2025
Due to significant increases in
2024,a smaller increase
will be required for 2025.
Due to significant increases in
2024, a smaller increase
1384
APOLLO 50 -PV
$
349.68
$ 395.14 Y
01/01/2024
$
356.67 $
46.37
$ 403.04 2.00%
01/01/2025
will be required for 2025.
Due to significant increases in
2024, a smaller increase
1385
APOLLO 50 -DV
$
318.96
$ 360.42 Y
01/01/2024
$
325.34 $
42.29
$ 367.63 2.00%
01/01/2025
will be required for 2025.
Due to significant increases in
2024, a smaller increase
1386
75 -PV -FV -ES
$
411.00
$ 464.43 Y
01/01/2024
$
419.22 $
54.50
$ 473.72 2.00%
01/01/2025
will be required for 2025.
Due to significant increases in
2024, a smaller increase
1387
POLARIS PR -34
$
707.64
$ 799.63 Y
01/01/2024
$
721.79 $
93.83
$ 815.62 2.00%
01/01/2025
will be required for 2025.
Due to significant increases in
2024, a smaller increase
1388
ENVIROSENSE
$
619.08
$ 699.56 Y
01/01/2024
$
631.46 $
82.09
$ 713.55 2.00%
01/01/2025
will be required for 2025.
Due to significant increases in
2024, a smaller increase
1389
AIR HANDLER
$
304.20
$ 343.75 Y
01/01/2024
$
310.28 $
40.34
$ 350.62 2.00%
01/01/2025
will be required for 2025.
Due to significant increases in
2024, a smaller increase
1390
180-DVLN
$
700.20
$ 791.23 Y
01/01/2024
$
714.20 $
92.85
$ 807.05 2.00%
01/01/2025
will be re uired for 2025.
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded to the nearest five cents APPENDIX E 46
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded to the nearest five cents APPENDIX E 47
FEE DESCRIPTION
2024
RATE (EXCL
HST)
2024 RATE
(INCL HST)
HST
APPLIES
LAST REVISED
..MM/DD/YYYY
2025 RATE
2025 RATE
% INC - 2024
EFFECTIVE DATE
COMPARABLE RATES/COMMENTS
1391 TANKLESS/ON DEMAND HEATERS
1392
53-DVN
$
458.40
$ 517.99 Y
01/01/2024
$ 467.57 $
60.78
$ 528.35 2.00%
01/01/2025
Due to significant increases in
will be required for 2025.
2024, a smaller increase
1393
66-DVN
$
480.48
$ 542.94 Y
01/01/2024
$ 490.09 $
63.71
$ 553.80 2.00%
01/01/2025
Due to significant increases in
will be required for 2025.
2024, a smaller increase
1394
74-DVN
$
502.44
$ 567.76 Y
01/01/2024
$ 512.49 $
66.62
$ 579.11 2.00%
01/01/2025
Due to significant increases in
will be required for 2025.
2024, a smaller increase
1395
95-DVN
$
480.48
$ 542.94 Y
01/01/2024
$ 490.09 $
63.71
$ 553.80 2.00%
01/01/2025
Due to significant increases in
will be required for 2025.
2024, a smaller increase
1396
ELECTRIC
1397
40-ELEC
$
189.00
$ 213.57 Y
01/01/2024
$ 192.78 $
25.06
$ 217.84 2.00%
01/01/2025
Due to significant increases in
will be required for 2025.
2024, a smaller increase
1398
60-ELEC
$
207.00
$ 233.91 Y
01/01/2024
$ 211.14 $
27.45
$ 238.59 2.00%
01/01/2025
Due to significant increases in
will be required for 2025.
2024, a smaller increase
1399
ANTI-SCALD VALVE RENTAL
$
15.00
$ 16.95 Y
01/01/2024
$ 15.60 $
2.03
$ 17.63 4.00%
01/01/2025
1400
SERVICE PRICING -ALL TYPES
1401
08:00 to 17:00
1402
First 45 minutes & Minimum Charge
$
132.39
$ 149.60 Y
01/01/2024
$ 137.69 $
17.90
$ 155.59 4.00%
01/01/2025
1403
Additional Hours
1404
15 min
$
33.09
$ 37.39 Y
01/01/2024
$ 34.41 $
4.47
$ 38.88 3.99%
01/01/2025
1405
30 min
$
66.20
$ 74.81 Y
01/01/2024
$ 68.85 $
8.95
$ 77.80 4.00%
01/01/2025
1406
45 min
$
99.29
$ 112.20 Y
01/01/2024
$ 103.26 $
13.42
$ 116.68 4.00%
01/01/2025
1407
60 min
$
132.39
$ 149.60 Y
01/01/2024
$ 137.69 $
17.90
$ 155.59 4.00%
01/01/2025
1408
Stat Holidays - Persons working
$
171.00
$ 193.23 Y
01/01/2024
$ 177.84 $
23.12
$ 200.96 4.00%
01/01/2025
1409
Stat Holidays -On-call
$
215.13
$ 243.10 Y
01/01/2024
$ 223.74 $
29.09
$ 252.83 4.00%
01/01/2025
1410
17:00 to 24:00 & Weekends
1411
First 45 minutes & Minimum Charge
$
171.00
$ 193.23 Y
01/01/2024
$ 177.84 $
23.12
$ 200.96 4.00%
01/01/2025
1412
Additional Hours
1413
15 min
$
43.02
$ 48.61 Y
01/01/2024
$ 44.74 $
5.82
$ 50.56 4.00%
01/01/2025
1414
30 min
$
84.95
$ 95.99 Y
01/01/2024
$ 88.35 $
11.49
$ 99.84 4.00%
01/01/2025
1415
45 min
$
127.97
$ 144.61 Y
01/01/2024
$ 133.09 $
17.30
$ 150.39 4.00%
01/01/2025
1416
60 min
$
171.00
$ 193.23 Y
01/01/2024
$ 177.84 $
23.12
$ 200.96 4.00%
01/01/2025
1417
Natural Gas Appliance Safety Check
$
212.92
$ 240.60 Y
01/01/2024
$ 221.44 $
28.79
$ 250.23 4.00%
01/01/2025
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded to the nearest five cents APPENDIX E 47
qFEE
DESCRIPTION
Direct PurchaseBilling
2024 RATE (EXCL
HST)
2024 RATE
(INCL HST)
HST
APPLIES
LAST REVISED
MM/DD/YYYY..
2025 RATE
HST
2025 RATE
% INC - 2024
EFFECTIVE DATE
1418
This fee is intended to recover the costs incurred for
1419
Direct Purchase Administration Charge Fixed Monthly
$ 57.00
$ 95.31
Y
01/01/2024
$ 121.50
$ 15.53
$ 137.63
40.00%
01/01/2025
administrative activities related to the set up and
-
ongoing facilitation of Direct Purchase Contracts. The
fee has been increased to match Enbridge fees.
Distributor Consolidated Billing Charge - per retail residential
Tis ee is inten a to recover costs incurre to a ow
1420
customer monthly
$ 1.27
$ 1.43
Y
01/01/2024
$ 2.23
$ 0.29
$ 2.52
75.59%
01/01/2025
Kitchener Utilities the ability to charge their customers
1421
Distributor Consolidated Billing Charge- per retail commercial
$ 2.32
$ 2.62
Y
01/01/2024
$ 2.23
$ 0.29
$ 2.52
-3.88%
01/01/2025
commodity and transportation on the customer's gas
customer monthly
bill. This fee is only charged when Kitchener Utilities
Distributor Consolidated Billing Charge -per retail industrial
bills for commodity and transportation on behalf of
1422
$ 5.74
$ 6.49
Y
01/01/2024
$ 2.23
$ 0.29
$ 2.52
-61.15%
01/01/2025
the gas supplier. These fees have been adjusted to
customer monthly
match Enbrid efees.
is ee is inten a to recover costs i ncu rred tor
Kitchener Utilities to charge gas supplier adjustment
amounts on the customer's gas bill. This fee is only
Greater of $1.55
Greater of $1.55
Greater of
Greater of $1.55
charged when KU bills for commodity and
1423
Invoice Vendor Adjustments
or.65%
or .65%
Y
01/01/2024
$1.85 or.65%
or.65%
0.00%
01/01/2025
transportation on behalf of the gas supplier and the
gas supplier submits a related credit or debit
adjustment amount to be applied to the customer's
kill
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded to the nearest five cents APPENDIX E 48
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded to the nearest five cents APPENDIX E 49
FEE DESCRIPTION
2024 RATE (EXCL
HST)
2024 RATE
(INCL HST)
HST
APPLIES
LAST REVISED
..MM/DD/YYYY
2025 RATE
2025 RATE
% INC - 2024
EFFECTIVE DATE
COMPARABLE RATES/COMMENTS
1424 WATER
User rates for water consumption will be approved as part of the
1425
annual budget process
1426
QMS Form 1 Review Fee
$ 1,597.21 $
1,597.21
N
01/01/2024
$
1,661.10
$ $ 1,661.10
4.00%
01/01/2025
1427
Frozen Water Service Customer Side investigation Weekdays
$ 199.66 $
199.66
N
01/01/2024
$
207.65
$ $ 207.65
4.00%
01/01/2025
1428
Frozen Water Service Customer Side investigation Weekends
$ 399.28 $
399.28
N
01/01/2024
$
415.25
$ $ 415.25
4.00%
01/01/2025
Published Cost
Published Cost
Published Cost
Published Cost
1429
Bulk Water Fill Rate
of Water per M3 of
Water per M3
N
01/01/2024
of
Water per M3
$ - of Water per M3
0.00%
01/01/2025
plus 15%admin plus
15%admin
plus 15% admin
plus 15% admin
1430
Backflow Prevention Device Permit (Per Device)
$ 92.32 $
104.32
Y
01/01/2024
$
96.01
$ 12.48 $ 108.49
4.00%
01/01/2025
$290.43 plus
$290.43 plus
Fee has been increased to cover the cost of removal,
$splus cost
$500 plus cost of
1431
Backflow Prevention Device (Borrow)
cost of water cost of water Per
N
01/01/2024
of
water Per M3
$ -
water Per M3
72.16%
01/01/2025
as the device is installed and tested but also removed
Per M3
M3
at the end of the season.
1432
Seasonal Meter Install/Remove
$ 111.78 $
111.78
N
01/01/2024
$
116.25
$ $ 116.25
4.00%
01/01/2025
1433
Confined space entry for meter in chambers
$ 258.36 $
258.36
N
01/01/2024
$
268.69
$ $ 268.69
4.00%
01/01/2025
1434
Subdivision Inspection- first 2 are free, charge for third
$ 765.28 $
765.28
N
01/01/2024
$
795.89
$ $ 795.89
4.00%
01/01/2025
$193.90 to
$193.90 to
$201.66 to
$201.66 to
1435
Internal Issues (e.g. poor pressure/no water)
$397.95
$397.95
N
01/01/2024
$413 87
$
- $413 87
4.00%
01/01/2025
1436
Frozen Water service thaw -Customer Side
$ 791.74 $
791.74
N
01/01/2024
$
823.41
$ $ 823.41
4.00%
01/01/2025
1437
Water resampling due to adverse conditions- Temporary Watermain
$ 426.32 $
426.32
N
01/01/2024
$
443.37
$ - $ 443.37
4.00%
01/01/2025
1438
Fire flow charge
$ 272.83 $
308.30
Y
01/01/2024
$
283.74
$ 36.89 $ 320.63
4.00%
01/01/2025
1439
Water meter disputes
$ 242.39 $
242.39
N
01/01/2024
$
252.09
$ $ 252.09
4.00%
01/01/2025
1440
Water Meter- Builder non compliance, fee is for first offence with
$ 281,32 $
281.32
N
01/01/2024
$
292.57
$ - $ 292.57
4.00%
01/01/2025
increasing increments for follow-up non-com fiance
New water meter fee -5/8" (flanges and adaptors are additional, if
1441
e uired
$ 197,00 $
197.00
N
01/01/2024
$
204.88
$ - $ 204.88
4.00%
1 01/01/2025
New water meter fee -I" (flanges and adaptors are additional, if
1442
required)
$ 416.00 $
416.00
N
01/01/2024
$
432.64
$ - $ 432.64
4.00%
01/01/2025
New water meter fee - 11/2" (flanges and adaptors are additional, if
1443
required)
$ 847,60 $
847.60
N
01/01/2024
$
881.50
$ - $ 881.50
4.00%
01/01/2025
New water meter fee -2"(flanges and adaptors are additional, if
1444
required)
$ 1,066.00 $
1,066.00
N
01/01/2024
$
1,108.64
$ - $ 1,108.64
4.00%
01/01/2025
cost of meter
cost of meter
cost of meter
cost of meter
1445
New water meter fee -3",4"
and flanges plus and
flanges plus
N
01/01/2024
and
flanges plus
$ - and flanges plus
4.00%
01/01/2025
146
146
$151.84
$151.84
1446
Turn water on after hours
$ 221.12 $
221.12
N
01/01/2024
$
229.96
$ $ 229.96
4.00%
01/01/2025
1447
Damaged/Neglect/Theft Water Meter Fee
$ 256.34 $
256.34
N
01/01/2024
$
266.59
$ $ 266.59
4.00%
01/01/2025
Rate has been kept flat and rounded to the nearest
1448
Water Meter Water Shut off Fee for Denied Access
$ 140.61 $
140.61
N
01/01/2024
$
140.00
$ - $ 140.00
-0.43%
01/01/2025
dollar for ease of administration.
1449
Damaged Water Hydrant Fee
$ 12,654.72 $
12,654.72
N
01/01/2024
$
13,160.91
$ $ 13,160.91
4.00%
01/01/2025
Water meter related fee -1"- 11/2" Adaptor (does not include
1450
$ 261.97 $
261.97
N
01/01/2024
$
272.45
$ - $ 272.45
4.00%
01/01/2025
meter
1451
Water meter related fee -1" to 2" Adaptor (does not include meter)
$ 276.13 $
276.13
N
01/01/2024
$
287.18
$ - $ 287.18
4.00%
01/01/2025
Water meter related fee -1 1/2" to 2" Adaptor (does not include
1452
$ 397.32 $
397.32
N
01/01/2024
$
413.21
$ - $ 413.21
4.00%
01/01/2025
meter
Water meter related fee -5/8" to 1" Adaptor (does not include
1453
$ 38.22 $
38.22
N
01/01/2024
$
39.75
$ - $ 39.75
4.00%
01/01/2025
meter
1454
Account Set Up Fee - Bulk Water Station
$ 27.04 $
27.04
N
01/01/2024
$
28.12
$ $ 28.12
3.99%
01/01/2025
1455
Water Meter Flange Set 11/2"
$ 167.00 $
167.00
N
01/01/2024
$
372.00
$ $ 372.00
122.75%
01/01/2025
Increased fee based on updated costing.
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded to the nearest five cents APPENDIX E 49
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded to the nearest five cents APPENDIX E 50
FEE DESCRIPTION
2024
RATE (EXCL
HST)
2024 RATE
(INCL HST)
$ 177.00
HST
APPLIES
N
LAST REVISED
..MM/DD/YYYY
01/01/2024
2025 RATE
$ 507.00
2025 RATE
% INC - 2024
EFFECTIVE DATE
01/01/2025
COMPARABLE RATES/COMMENTS
1456
Water Meter Flange Set 2"
$
177.00
$
$ 507.00
186.44%
Increased fee based on updated costing.
1457
Cast Iron Flange Set 3"
$ 100.00
$ 100.00
N
01/01/2024
$ 507.00
$
$ 507.00
407.00%
01/01/2025
Increased fee based on updated costing.
1458
Cast Iron Flange Set 4"
$ 130.00
$ 130.00
N
01/01/2024
$ 507.00
$
$ 507.00
290.00%
01/01/2025
Increased fee based on updated costing.
Minimum fee is to cover water sampling costs, water
loss, emergency flushing response, sample
1459
Unauthorized Water Usage/Theft/Connection - minimum fee
$ 500.00
$ 500.00
N
01/01/2024
$ 520.00
$ -
$ 520.00
4.00%
01/01/2025
review/response, construction and maintenance time
associated with emergency response for unauthorized
hydrant or service connection. The fee does not
replace any potential charges under the By-law.
Tappingfees are collected by the Engineering
Department. Due to potentially severe traffic issues on
some streets, the contractor may request an
exemption from part of the commissioning process
under the Disinfection Procedure. As part of the
1460
Greater than 6m Connection Fee -daily rate
$ 1,000.00
$ 1,000.00
N
01/01/2024
$ 1,040.00
$ -
$ 1,040.00
4.00%
01/01/2025
exemption, Kitchener Utilities staff must stay on site
and witness the installation and swabbing ofthe main.
They must also return to the site twice to turn on/off
the water. These costs are in addition to the tapping
and are site specific and cover full time KU inspection
for 1 day, visits to the site to turn on/off and
bacteriological analysis (Regional lab(.
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded to the nearest five cents APPENDIX E 50
qFEE
DESCRIPTION
2024 RATE (EXCL
HST)
2024 RATE
(INCL HST)
HST
APPLIES
LAST REVISED
MM/DD/YYYY..
2025
RATE
HST
2025 RATE
% INC vs 2024
EFFECTIVE DATE
1461 SANITARY AND STORMWATER UTILITIES
User rates for sanitary sewer usage will be approved as part of the
1462
annual budget process
User rates for monthly stormwater system usage will be approved as
1463
art of the annual bud et rocess
1464
Sewer Blockades
1465
Regular hours - flat rate
$ 318.48
$ 318.48
N
01/01/2024
$
331.22
$
$ 331.22
4.00%
01/01/2025
1466
Overtime hours - flat rate
$ 484.84
$ 484.84
N
01/01/2024
$
504.23
$
$ 504.23
4.00%
01/01/2025
1467
Sewer Cleaning
Regular hours - min. 2 hour charge, after 2hrs = labour, material &
1468
$ 422.25
$ 422.25
N
01/01/2024
$
439.14
$ -
$ 439.14
4.00%
01/01/2025
,equipment
1469
Overtime hours - min. 2 hour charge, after 2hrs= labour, material&
$ 533.36
$ 533.36
N
01/01/2024
$
554.69
$ -
$ 554.69
4.00%
01/01/2025
equipment
Double-time hours - min. 2 hour charge, after 2hrs= labour, material
1470
& e ui ment
$ 637.57
$ 637.57
N
01/01/2024
$
663.07
$ -
$ 663.07
4.00%
01/01/2025
1471
Catchbasin Cleaning
$
1472
Regular hours - min. 2 hour charge, after 2hrs = labour, material &
$ 422.25
$ 422.25
N
01/01/2024
$
439.14
$ -
$ 439.14
4.00%
01/01/2025
equipment
Overtime hours - min. 2 hour charge, after 2hrs= labour, material&
1473
$ 533.36
$ 533.36
N
01/01/2024
$
554.69
$ -
$ 554.69
4.00%
01/01/2025
e ui ment
Double-time hours - min. 2 hour charge, after 2hrs= labour, material
1474
& equipment
$ 637.57
$ 637.57
N
01/01/2024
$
663.07
$ -
$ 663.07
4.00%
01/01/2025
1475
Material Disposal Fee for Sewer Cleaning and
$ 42225
$ 422.25
N
01/01/2024
$
439.14
$ -
$ 439.14
4.00%
01/01/2025
Catchbasin Clea nin - if required -flat rate
1476
Street Sweeping
$
1477
Regular hours -minimum charge
$ 325.64
$ 325.64N
01/01/2024
$
338.67
$
$ 338.67
4.00%
01/01/2025
1478
Overtime hours - minimum charge
$ 387.99
$ 387.99
N
01/01/2024
$
403.51
$
$ 403.51
4.00%
01/01/2025
1479
Double-time hours -minimum charge
$ 457.20
$ 457.20
N
01/01/2024
$
475.49
$
$ 475.49
4.00%
01/01/2025
Consolidated Linear Infrastructure Environmental Compliance
1480
Approvals CLI -ECA
CLI -ECA Application Amendment for M ECP Review; required for
1481
activities that are not reauthorized in Schedule D of CLI -ECA
$ 1,040.00
$ 1,040.00
N
01/01/2024
$
1,081.60
$ -
$ 1,081.60
4.00%
01/01/2025
1482
CLI -ECA Municipal Sewage Collection System
1483
Submission fee for Sanitary Sewers, includes adding, modifying,
$ 3,120.00
$ 3,120.00
N
01/01/2024
$
3,244.80
$ -
$ 3,244.80
4.00%
01/01/2025
re placingor extendin
Fee per Sanitary Sewer Appurtenance (e.g. odour and corrosion
1484
control etc. includes addin , modi in , re lacin or extendin
$ 3,120.00
$ 3,120.00
N
01/01/2024
$
3,244.80
$ -
$ 3,244.80
4.00%
01/01/2025
1485
Fee per Sewage Pumping Station or Forcema in, includes adding,
$ 6,240.00
$ 6,240.00
N
01/01/2024
$
6,489.60
$ -
$ 6,489.60
4.00%
01/01/2025
modi in , re lacin or extendin
50% of total
13% of
50% of total
1486
CLI -ECA Expedited Review (available based on staff capacity)
50% of total
submission plus
Y
01/01/2024
50%
of total
expedited
submission plus
0.00%
01/01/2025
submission
HST
submission
fee
HST
1487
CLI -ECA Municipal Stormwater Management System
1488
Submission fee for Storm Sewers, includes adding, modifying,
$ 3,120.00
$ 3,120.00
N
01/01/2024
$
3,244.80
$ -
$ 3,244.80
4.00%
01/01/2025
re lacin or extendin
Fee per Storm Appurtenance (e.g. low impact development (LID), oil
1489
grit separators, flow control, exfiltration piping etc.) includes adding,
$ 3,120.00
$ 3,120.00
N
01/01/2024
$
3,244.80
$ -
$ 3,244.80
4.00%
01/01/2025
modi in re lacin or extendin
Fee per StorMtier Management Facility (e.g. dry/wet ponds,
1490
engineer wetlands, etc.), includes adding, modifying, replacing or
$ 6,240.00
$ 6,240.00
N
01/01/2024
$
6,489.60
$ -
$ 6,489.60
4.0091.
01/01/2025
extendin
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded t0 the nearest five cents APPENDIX E 51
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded to the nearest five cents APPENDIX E 52
M111ML-_=11
2024 RATE (EXCL
HST)
2024 RATE
(INCL HST)
HST
APPLIES
LAST REVISED
MM/DD/YYYY
2025 RATE
(EXCL HST)
HST
2025 RATE
(INCL HST)
% INC - 2024
(EXCL HST)
EFFECTIVE DATE
1492
CORPORATE SERVICES
1493
TECHNOLOGY INNOVATION & SERVICES
1494
Kitchener Atlas Book
$ 137.17
$ 155.00
Y
01/01/2024
$ 141.59 $
18.41
$ 160.00
3.22%
01/01/2025 Rounding Only
1495
Custom Mapping Services per hour
$ 75.22
$ 85.00
Y
01/01/2024
$ 78.23 $
10.17
$ 88.40
4.00%
01/01/2025
1496
Standard Map - Ward, Planning Community, etc.
$ 7.52
$ 8.50
Y
01/01/2024
$ 7.83 $
1.02
$ 8.85
4.12%
01/01/2025
1497
Zoning Map
$ 15.93
$ 18.00
Y
01/01/2024
$ 16.59 $
2.16
$ 18.75
4.14%
01/01/2025
1498
LEGAL
$1,340.60 to
$1,514.88 to
$1,394.22 to $18125
to
to
$1,575.47 to
1499
Subdivision/Condominium Agreements
$2,651.47 plus
$2,996.16 plus
Y
01/01/2024
$2,757.53 plus
$3,116.01 plus
4.00%
01/01/2025
disbursements
disbursements
disbursements
$358
disbursements
Amendmentto Subdivision, Condominium agree ments/other
$486.21 to
$549.42 to
$505.66 to
$571.40 to
1500
development related agreements (i.e.. agreements under the
$1,765.24 plus
$1,994.72 plus
Y
01/01/2024
$1,835.85 plus
$65.74 to
$2,074.51 plus
4.00%
01/01/2025
Development Charge Act or Building Code Act, etc.) + disbursements
disbursements
disbursements
disbursements
$238.66
disbursements
1501
Environmental Agreements(borehole/access, etc.)
$ 287.20
$ 324.54
Y
01/01/2024
$ 298.69 $
38.83
$ 337.52
4.00%
01/01/2025
$187.71 to
$212.11 to
$195.22 to
$220.60 to
1502
Subdivision Plan Clearance/Transfersnd easement
$88rse plus
plus
Y
01/01/2024
1 plus
$920.disbursements
$25.38 to
plus
4.00%
01/01/2025
registrations/Draft document review and approval
disbursements
disbursements
disbursements
disbursements
$119 68
disbursements
disbursements
$630.82 plus
$712.83 plus
$656.05 plus
$741.34 plus
1503
Site Plan Agreements and amendments
disbursements
disbursements
Y
01/01/2024
$
disbursements
85.29
disbursements
4,00%
01/01/2025
1504
Deed/Easement acquired under Planning Authority
disbursements
disbursements
01/01/2024
disbursements
disbursements
0.00%
01/01/2025
$280.02 to
$316.42 to
$291.22 to
$329.08 to
$37.86 to
1505
Committee of Adjustment Agreements (preparation &review)
$1,322.15 plus
$1,494.03 plus
Y
01/01/2024
$1,375.00 plus
$178 75
$1,553.75 plus
4.00%
01/01/2025
disbursements
disbursements
disbursements
disbursements
$316.95 plus
$358.15 plus
$329.63 plus
$372.48 plus
1506
Off -Site Parking Agreements
disbursements
disbursements
Y
01/01/2024
$
disbursements
42 85
disbursements
4,00%
01/01/2025
$316.95 plus
$358.15 plus
$329.63 plus
$372.48 plus
1507
Garden Suite
disbursements
disbursements
Y
01/01/2024
$
disbursements
42.85
disbursements
4,00%
01/01/2025
Other Agreements/Misc.Services, Misc. agreements (e.g., Municipal
$246.17 to
$278.17 to
$256.02 to
$33.28 to
$289.30 to
1508
Access, Heritage easements, leases, licenses, air rights & misc. real
$1,233.93 plus
$1,394.34 plus
Y
01/01/2024
$1,283.30 plus
$166.83
$1,450.10 plus
4.00%
01/01/2025
estate documents (e.g., Deeds Quit Claims
disbursements
disbursements
disbursements
disbursements
$145.64 plus
$164.57 plus
$151.47 plus$
$171.16 plus
1509
Easements prepared at the request of and conveyed to other Utilities
disbursements
disbursements
Y
01/01/2024
disbursements
19.69
disbursements
4,00%
01/01/2025
$266.68 plus
$301.35 plus
$277.35 plus$
$313.41 plus
1510
Part Lot Control By-laws
disbursements
disbursements
Y
01/01/2024
disbursements
36.06
disbursements
4,00%
01/01/2025
$266.68 plus
$301.35 plus
$277.35 plus
$313.41 plus
1511
Part Lot Control Extension By-laws
disbursements
disbursements
Y
01/01/2024
$
disbursements
36.06
disbursements
4,00%
01/01/2025
1512
Releases/Letters of Compliance for Registered Agreements
$ 145.65
$ 164.58
Y
01/01/2024
$ 151.47 $
19.69 1
$ 171.16
4.00%
01/01/2025
Street/Lane Closings, Note: fee will be charged to each person,
$272.84 to
$308.31 to
$283.75 to
$36.89 to
$320.64 to
1513
receiving a conveyance of a portion of a closed road/lane.
$1,499.61 plus
$1,694.56 plus
Y
01/01/2024
$1,559.60 plus
$1,762.35 plus
4.00%
01/01/2025
Disbursements are pro -rated.
disbursements
disbursements
disbursements
$202.75
disbursements
1514
Industrial Restrictive Covenants - Consents
$ 196.93
$ 222.53
Y
01/01/2024
$ 204.81 $
26.63
$ 231.44
4.00%
01/01/2025
1515
Tieback Agreements -Initial Fee
$ 1,103.23
$ 1,246.65
Y
01/01/2024
$ 1,147.36 $
149.16
$ 1,296.52
4.00%
01/01/2025
1516
Tieback Agreements- resubmission Fee
$ 551.62
$ 623.33
Y
01/01/2024
$ 573.68 $
74.58
$ 648.26
4.00%
01/01/2025
1517
Tieback Agreements - Processing Fee
$ 551.62
$ 623.33
Y
01/01/2024
$ 573.68 $
74.58
$ 648.26
4.00%
01/01/2025
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded t0 the nearest five cents APPENDIX E 53
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded to the nearest five cents APPENDIX E 54
FEE DESCRIPTION
r24
RATE (EXCL 2024 RATE
HST) (INCL HST)
HST
APPLIES
LAST REVISED
..MM/DD/YYYY
2025r25
RATE
% INC - 2024
EFFECTIVE DATE
COMPARABLE RATES/COMMENTS
1518
Encroachment Agreements:
1519
(Building, Porches and other structures)
1520
Application
$ 287.21 $ 324.55
Y 01/01/2024
$ 298.70
$ 38.83
$ 337.53
4.00%
01/01/2025
$241.03 plus $272.36 plus
$250.67 plus
$283.25 plus
1521
Processing Fee
disbursements disbursements
y 01/01/2024
disbursements
$ 32.58
disbursements
4,00%
01/01/2025
Market Value of
Market Value of
Market Value of
Land x Area of
Market Value of
Land x Area of
1522
Annual Fee
Land xArea of Land x 10%
Y 01/01/2024
Land xArea of
minimum
Land x 10%
4.00%
01/01/2025
Land 10% (min
Land 10% (min
of $43.27
(minimum
$320.03)
$332.53)
(minimum
1523
(Patio Encroachment Agreements)
1524
First Time Application(also require building permit fee - found in
$ 28715 $ 324.48
Y 01/01/2024
$ 298.64
$ 38.82
$ 337.46
4.00%
01/01/2025
building user fees
1525
Annual patio renewal fee (for patios with 12 or fewer seats)
$ 143.57 $ 162.23
Y 01/01/2024
$ 149.31
$ 19.41
$ 168.72
4.00%
01/01/2025
1526
Annual patio renewal fee (for patios with 13 or more sears)
$ 287.15 $ 324.48
Y 01/01/2024
$ 298.64
$ 38.82
$ 337.46
4.00%
01/01/2025
1527
Amendment to existing patio agreement
$ 143.57 $ 162.23
Y 01/01/2024
$ 149.31
$ 19.41
$ 168.72
4.00%
01/01/2025
$96.43 to $108.97 to
$100.29 to
$13.04 to
$113.33 to
1528
Miscellaneous Letters
$259.50 $293.24
y 01/01/2024
$269.88
$35.08
$304.96
4.00%
01/01/2025
$316.95 plus $358.15 plus
$329.63 plus
$372.48 plus
1529
Highway establishment and opening By-laws
disbursements disbursementsl
y 01/01/2024
disbursements
$ 42.85
disbursements
4,00%
01/01/2025
$187.71 to $212.11 to
$195.22 to
$25.38 to
$220.60 to
1530
Miscellaneous By-laws (0.3 m reserve, street name change, etc.)
$611.32 plus $690.79 plus
Y 01/01/2024
$635.17 plus
$718.42 plus
4.00%
01/01/2025
disbursements disbursements
disbursements
$82 65
disbursements
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded to the nearest five cents APPENDIX E 54
qFEE
DESCRIPTION
2024 RATE (EXCL
HST)
2024 RATE
(INCL HST)
HST
APPLIES
LAST REVISED
MM/DD/YYYY..
2025 RATE
HST
2025 RATE
% INC - 2024
EFFECTIVE DATE
1531 LEGISLATED SERVICES
1532
COUNCIL MINUTES
1533
Individual Sets/page
$ 0.36
$ 0.41
Y
01/01/2024
$ 0.37
$ 0.05
$ 0.42
2.78%
01/01/2025
Rounded Fees to the nearest cent.
1534
STANDING COMMITTEE MINUTES
1535
Individual Sets/page
$ 0.36
$ 0.41
Y
01/01/2024
$ 0.37
$ 0.05
$ 0.42
2.78%
01/01/2025
Rounded Fees to the nearest cent.
1536
COMMITTEE OF ADJUSTMENT
1537
Minor Variance (4 dwelling units or less, or 465 sq. m. or less non-
$ 1,665.00
$ 1,665.00
N
01/01/2024
$ 1,732.00
$ -
$ 1,732.00
4.02%
01/01/2025
Rounded to the nearest dollar.
residential GFA per lot
1538
Minor Variance (5 dwelling units or more, or 466 sq. m. or more non-
$ 2,871.00
$ 2,871.00
N
01/01/2024
$ 2,986.00
$ -
$ 2,986.00
4.01%
01/01/2025
Rounded to the nearest dollar.
residential GFA per lot
1539
Consent/ Validation of Title
$ 2,871.00
$ 2,871.00
N
01/01/2024
$ 2,986.00
$
$ 2,986.00
4.01%
01/01/2025
Rounded to the nearest dollar.
1540
Certificate of Official
$ 300.00
$ 300.00
N
01/01/2024
$ 315.00
$
$ 315.00
5.00%
01/01/2025
Rounded to the nearest dollar.
1541
Application to Change Conditions
$ 1,975.00
$ 1,975.00
N
01/01/2024
$ 2,054.00
$
$ 2,054.00
4.00%
01/01/2025
Rounded to the nearest dollar.
1542
Deferral Fee K20
$ 470.00
$ 470.00
N
01/01/2024
$ 490.00
$
$ 490.00
4.26%
01/01/2025
Rounded to the nearest dollar.
1543
Commissioning of Non-City Related Documents
$ 17.70
$ 20.00
Y
01/01/2024
$ 17.70
$ 2.30
$ 20.00
0.00%
01/01/2025
Holdingthe fee from 2024. Same as other
neighbouring municipalities.
1.73 for
$13.27 for first
$15.00 for first
$13.27 for first
first
$15.00 for first
This fee needs to be $15.00 (including HST( for first
document,
document,
document,
document,
document,
document, $5.00 (Including HST(/additional document
1544
Commissioning of Domestic &Foreign Pension Documents
y
01/01/2024
0.00%
01/01/2025
$4.42/additional
$5.00/additional
$4.42/additional
$0.58/additi
$5.00/additional
Holdingthe fee from 2024.
document
document
document
onal
document
1545
INFORMATION ACCESS REQUEST
1546
Administration Fee
$ 5.00
$ 5.00
N
01/01/2024
$ 5.00
$
$ 5.00
0.00%
01/01/2025
Legislated fee, cannot be changed.
1547
Staff Time/15 min.
$ 7.50
$ 7.50
N
01/01/2024
$ 7.50
$
$ 7.50
0.00%
01/01/2025
Legislated fee, cannot be changed.
1548
Photocopies/page
$ 0.20
$ 0.20
N
01/01/2024
$ 0.20
$
$ 0.20
0.00%
01/01/2025
Legislated fee, cannot be changed.
1549
Assessment View/Page
$ 1.60
$ 1.60
N
01/01/2024
$ 1.66
$
$ 1.65
3.75%
01/01/2025
1550
Marriage License
$ 166.00
$ 166.00
N
01/01/2024
$ 172.64
$
$ 172.65
4.00%
01/01/2025
135.20 for
135.20 for
135.20 for
135.20 for
Bingo Licenses,
Bingo Licenses,
Bingo Licenses,
Bingo Licenses,
1551
Lottery/Bingo License
3% of prize value
3% of prize value
N
01/01/2024
3% of prize
$ -
3% of prize value
0.00%
01/01/2025
Legislated fee, cannot be changed.
for all otherl
for all other
value for all
for all other
lotteriesl
lotteries
other lotteries
I
I lotteries
Increasing the fee to$30to be inline with the City of
1552
Death Registration
$ 30.00
$ 30.00
N
01/01/2024
$ 30.00
$ -
$ 30.00
0.00%
01/01/2025
Waterloo.
1553
Municipal Information Forms
$ 18.58
$ 21.00
Y
01/01/2024
$ 19.47
$ 2.53
$ 22.00
4.79%
01/01/2025
Reviewing, Stampingforms for Liquor License
Applications.
1554
Property Standards Appeals
$ 245.00
$ 245.00
N
01/01/2024
$ 255.00
$
$ 255.00
4.08%
01/01/2025
Rounded to the nearest dollar.
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded to the nearest five cents APPENDIX E 55
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded t0 the nearest five cents APPENDIX E 56
FEE DESCRIPTION
2024 RATE (EXCL
HST)
2024 RATE
(INCL HST)
HST
APPLIES
LAST REVISED
..MM/DD/YYYY
2025 RATE
2025 RATE
% INC - 2024
EFFECTIVE DATE
COMPARABLE RATES/COMMENTS
1555
LICENSING
1556
Adult Entertainment Parlours -Annual:
1557
Class A - New
$ 496.00
$ 496.00
N
01/01/2024
$ 515.84 $
$ 515.84
4.00%
01/01/2025
1558
Class A- Renewal
$ 112.00
$ 112.00
N
01/01/2024
$ 116.48 $
$ 116.48
4.00%
01/01/2025
1559
Class A - Late
$ 273.00
$ 273.00
N
01/01/2024
$ 283.92 $
$ 283.92
4.00%
01/01/2025
1560
Class B - New
$ 905.00
$ 905.00
N
01/01/2024
$ 941.20 $
$ 941.20
4.00%
01/01/2025
1561
Class B- Renewal
$ 112.00
$ 112.00
N
01/01/2024
$ 116.48 $
$ 116.48
4.00%
01/01/2025
1562
Class B - Late
$ 273.00
$ 273.00
N
01/01/2024
$ 283.92 $
$ 283.92
4.00%
01/01/2025
1563
Class C - New
$ 935.00
$ 935.00
N
01/01/2024
$ 972.40 $
$ 972.40
4.00%
01/01/2025
1564
IClass C- Renewal
$ 125.00
$ 125.00
N
01/01/2024
$ 130.00 $
$ 130.00
4.00%
01/01/2025
1565
Class C - Late
$ 290.00
$ 290.00
N
01/01/2024
$ 301.60 $
$ 301.60
4.00%
01/01/2025
1566
Class D - Operator- New
$ 5,615.00
$ 5,615.00
N
01/01/2024
$ 5,839.60 $
$ 5,839.60
4.00%
01/01/2025
1567
Class D - Operator- Renewal
$ 5,506.00
$ 5,506.00
N
01/01/2024
$ 5,726.24 $
$ 5,726.24
4.00%
01/01/2025
1568
Class D - Operator -Late
$ 5,682.00
$ 5,682.00
N
01/01/2024
$ 5,909.28 $
$ 5,909.28
4.00%
01/01/2025
1569
Class D-Attendant - New
$ 136.00
$ 136.00
N
01/01/2024
$ 141.44 $
$ 141.44
4.00%
01/01/2025
1570
Class D- Attendant - Renewal
$ 136.00
$ 136.00
N
01/01/2024
$ 141.44 $
$ 141.44
4.00%
01/01/2025
1571
Class D -Attendant - Late
$ 136.00
$ 136.00
N
01/01/2024
$ 141.44 $
$ 141.44
4.00%
01/01/2025
1572
Class E- New
$ 6,743.00
$ 6,743.00
N
01/01/2024
$ 7,012.72 $
$ 7,012.72
4.00%
01/01/2025
1573
Class E- Renewal
$ 6,743.00
$ 6,743.00
N
01/01/2024
$ 7,012.72 $
$ 7,012.72
4.00%
01/01/2025
1574
Class E -Late
$ 6,743.00
$ 6,743.00
N
01/01/2024
$ 7,012.72 $
$ 7,012.72
4.00%
01/01/2025
1575
Alternative Massage Centres - New
$ 460.00
$ 460.00
N
01/01/2024
$ 478.40 $
$ 478.40
4.00%
01/01/2025
1576
Alternative Massage Centres- Renewal
$ 163.00
$ 163.00
N
01/01/2024
$ 169.52 $
$ 169.52
4.00%
01/01/2025
1577
Alternative Massage Centres -Late
$ 338.00
$ 338.00
N
01/01/2024
$ 351.52 $
$ 351.52
4.00%
01/01/2025
1578
Auctioneer - New
$ 110.00
$ 110.00
N
01/01/2024
$ 114.40 $
$ 114.40
4.00%
01/01/2025
1579
Auctioneer-Renewal
$ 83.00
$ 83.00
N
01/01/2024
$ 86.32 $
$ 86.32
4.00%
01/01/2025
1580
Auctioneer -Late
$ 110.00
$ 110.00
N
01/01/2024
$ 114.40 $
$ 114.40
4.00%
01/01/2025
1581
Beauty Salon - New
$ 238.00
$ 238.00
N
01/01/2024
$ 247.52 $
$ 247.52
4.00%
01/01/2025
1582
Beauty Salon - Renewal
$ 138.00
$ 138.00
N
01/01/2024
$ 143.52 $
$ 143.52
4.00%
01/01/2025
1583
Beauty Salon - Late
$ 182.00
$ 182.00
N
01/01/2024
$ 189.28 $
$ 189.28
4.00%
01/01/2025
1584
Busker - New
$ 60.00
$ 60.00
N
01/01/2024
$ 62.40 $
$ 62.40
4.00%
01/01/2025
1585
Busker-Renewal
$ 60.00
$ 60.00
N
01/01/2024
$ 62.40 $
$ 62.40
4.00%
01/01/2025
1586
Busker -Late
$ 60.00
$ 60.00
N
01/01/2024
$ 62.40 $
$ 62.40
4.00%
01/01/2025
1587
Commercial Kitchen - Class A - New
$ 342.00
$ 342.00
N
01/01/2024
$ 355.68 $
$ 355.68
4.00%
01/01/2025
1588
Commercial Kitchen - Class A- Renewal
$ 220.00
$ 220.00
N
01/01/2024
$ 228.80 $
$ 228.80
4.00%
01/01/2025
1589
Commercial Kitchen - Class A -Late
$ 265.00
$ 265.00
N
01/01/2024
$ 275.60 $
$ 275.60
4.00%
01/01/2025
1590
Commercial Kitchen - Class B - New
$ 135.00
$ 135.00
N
01/01/2024
$ 140.40 $
$ 140.40
4.00%
01/01/2025
1591
Commercial Kitchen - Class B- Renewal
$ 135.00
$ 135.00
N
01/01/2024
$ 140.40 $
$ 140.40
4.00%
01/01/2025
1592
Commercial Kitchen - Class B -Late
$ 135.00
$ 135.00
N
01/01/2024
$ 140.40 $
$ 140.40
4.00%
01/01/2025
1593
Contractors - New
$ 138.00
$ 138.00
N
01/01/2024
$ 143.52 $
$ 143.52
4.00%
01/01/2025
1594
Contractors-Renewal
$ 83.00
$ 83.00
N
01/01/2024
$ 86.32 $
$ 86.32
4.00%
01/01/2025
1595
Contractors -Late
$ 127.00
$ 127.00
N
01/01/2024
$ 132.08 $
$ 132.081
4.00%
01/01/2025
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded t0 the nearest five cents APPENDIX E 56
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded to the nearest five cents APPENDIX E 57
FEE DESCRIPTION
2024
RATE (EXCL
HST)
237.00
2024 RATE
(INCL HST)
$ 237.00
HST
APPLIES
N
LAST REVISED
..MM/DD/YYYY
01/01/2024
2025 RATE
$ 246.48 $
2025
$
RATE
246.48
% INC - 2024
EFFECTIVE DATE
01/01/2025
COMPARABLE RATES/COMMENTS
1596 Convenience Store - New $
4.00%
1597
Convenience Store- Renewal
$
138.00
$ 138.00 N
01/01/2024
$ 143.52 $
$
143.52
4.00%
01/01/2025
1598
Convenience Store - Late
$
187.00
$ 187.00 N
01/01/2024
$ 194.48 $
$
194.48
4.00%
01/01/2025
1599
Driving School -New
$
149.00
$ 149.00 N
01/01/2024
$ 154.96 $
$
154.96
4.00%
01/01/2025
1600
Driving School - Renewal
$
83.00
$ 83.00 N
01/01/2024
$ 86.32 $
$
86.32
4.00%
01/01/2025
1601
Driving School -Late
$
110.00
$ 110.00 N
01/01/2024
$ 114.40 $
$
114.40
4.00%
01/01/2025
1602
Farmers'Market- ClassA - New
$
248.00
$ 248.00 N
01/01/2024
$ 257.92 $
$
257.92
4.00%
01/01/2025
1603
Farmers'Market - Class A- Renewal
$
193.00
$ 193.00 N
01/01/2024
$ 200.72 $
$
200.72
4.00%
01/01/2025
1604
Farmers'Market- ClassA -Late
$
232.00
$ 232.00 N
01/01/2024
$ 241.28 $
$
241.28
4.00%
01/01/2025
1605
Farmers' Market - Class B - New
$
81.00
$ 81.00 N
01/01/2024
$ 135.00 $
$
135.00
66.67%
01/01/2025
Fee increase due to error in 2024 schedule.
1606
Farmers'Market - Class B- Renewal
$
81.00
$ 81.00 N
01/01/2024
$ 81.00 $
$
81.00
0.00%
01/01/2025
Flat fee.
1607
Farmers'Market - Class B -Late
$
135.00
$ 135.00 N
01/01/2024
$ 101.00 $
$
101.00
-25.19%
01/01/2025
Fee decrease due to error in 2024 schedule.
1608
Farmers'Market - Class C - New
$
54.00
$ 54.00 N
01/01/2024
$ 56.16 $
$
56.16
4.00%
01/01/2025
1609
Farmers'Market - Class D- Pop-up Market
$
138.00
$ 138.00 N
01/01/2024
$ 143.52 $
$
143.52
4.00%
01/01/2025
1610
Food Shop with Liquor License - New
$
342.00
$ 342.00 N
01/01/2024
$ 355.68 $
$
355.68
4.00%
01/01/2025
1611
Food Shop with Liquor License - Renewal
$
220.00
$ 220.00 N
01/01/2024
$ 228.80 $
$
228.80
4.00%
01/01/2025
1612
Food Shop with Liquor License - Late
$
265.00
$ 265.00 N
01/01/2024
$ 275.60 $
$
275.60
4.00%
01/01/2025
1613
Food Shop without Liquor License - New
$
303.00
$ 303.00 N
01/01/2024
$ 315.12 $
$
315.12
4.00%
01/01/2025
1614
Food Shop without Liquor License - Renewal
$
205.00
$ 205.00 N
01/01/2024
$ 213.20 $
$
213.20
4.00%
01/01/2025
1615
Food Shop without Liquor License - Late
$
255.00
$ 255.00 N
01/01/2024
$ 265.20 $
$
265.20
4.00%
01/01/2025
1616
Food Truck - New
$
248.00
$ 248.00 N
01/01/2024
$ 257.92 $
$
257.92
4.00%
01/01/2025
1617
Food Truck- Renewal
$
138.00
$ 138.00 N
01/01/2024
$ 143.52 $
$
143.52
4.00%
01/01/2025
1618
Food Truck- Late
$
182.00
$ 182.00 N
01/01/2024
$ 189.28 $
$
189.28
4.00%
01/01/2025
1619
Launderette - New
$
248.00
$ 248.00 N
01/01/2024
$ 257.92 $
$
257.92
4.00%
01/01/2025
1620
Launderette-Renewal
$
138.00
$ 138.00 N
01/01/2024
$ 143.52 $
$
143.52
4.00%
01/01/2025
1621
Launderette -Late
$
182.00
$ 182.00 N
01/01/2024
$ 189.28 $
$
189.28
4.00%
01/01/2025
1622
Lodging/Boarding Houses - New
$
1,213.00
$ 1,213.00 N
01/01/2024
$ 750.00 $
- $
750.00
-38.17%
01/01/2025
Adjusted to reflect new Lodging Home By-lawfees
approved by Committee.
1623
Lodging/Boarding Houses - Renewal
$
984.00
$ 984.00 N
01/01/2024
$ 525.00 $
- $
525.00
-46.65%
01/01/2025
Adjusted to reflect new Lodging Home By-lawfees
approved by Committee.
1624
Lodging/Boarding Houses - Late
$
1,114.00
$ 1,114.00 N
01/01/2024
$ 655.00 $
- $
655.00
-41.20%
01/01/2025
Adjusted to reflect new Lodging Home By-lawfees
approved by Committee.
1625
Mobile Business - New
$
249.00
$ 249.001 N
1 01/01/2024
$ 258.96 $
$
258.96
4.00%
1 01/01/2025
1626
Mobile Business - Renewal
$
138.00
$ 138.00 N
01/01/2024
$ 143.52 $
$
143.52
4.00%
01/01/2025
1627
Mobile Business -Late
$
182.00
$ 182.00 N
01/01/2024
$ 189.28 $
$
189.28
4.00%
01/01/2025
1628
Motor Vehicle Facility - New
$
249.00
$ 249.00 N
01/01/2024
$ 258.96 $
$
258.96
4.00%
01/01/2025
1629
Motor Vehicle Facility- Renewal
$
138.00
$ 138.00 N
01/01/2024
$ 143.52 $
$
143.52
4.00%
01/01/2025
1630
Motor Vehicle Facility -Late
$
182.00
$ 182.00 N
01/01/2024
$ 189.28 $
$
189.28
4.00%
01/01/2025
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded to the nearest five cents APPENDIX E 57
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded t0 the nearest five cents APPENDIX E 58
FEE DESCRIPTION
2024
RATE (EXCL
HST)
320.00
2024 RATE
(INCL HST)
$ 320.00
HST
APPLIES
N
LAST REVISED
..MM/DD/YYYY
01/01/2024
2025
$
RATE
332.80
2025 RATE
% INC - 2024
EFFECTIVE DATE
01/01/2025
COMPARABLE RATES/COMMENTS
1631 Nightclub - New $
$
$ 332.80
4.00%
1632
Nightclub-Renewal
$
205.00
$ 205.00
N
01/01/2024
$
213.20
$
$ 213.20 4.00%
01/01/2025
1633
Nightclub -Late
$
255.00
$ 255.00
N
01/01/2024
$
265.20
$
$ 265.20 4.00%
01/01/2025
1634
Old Gold - New
$
149.00
$ 149.00
N
01/01/2024
$
154.96
$
$ 154.96 4.00%
01/01/2025
1635
Old Gold - Renewal
$
83.00
$ 83.00
N
01/01/2024
$
86.32
$
$ 86.32 4.00%
01/01/2025
1636
Old Gold -Late
$
110.00
$ 110.00
N
01/01/2024
$
114.40
$
$ 114.40 4.00%
01/01/2025
1637
Payday Loan Establishments - New
$
635.00
$ 635.00
N
01/01/2024
$
660.40
$
$ 660.40 4.00%
01/01/2025
1638
Payday Loan Establishments- Renewal
$
414.00
$ 414.00
N
01/01/2024
$
430.56
$
$ 430.56 4.00%
01/01/2025
1639
IPayday Loan Establishments -Late
$
496.00 1
$ 496.00
N
01/01/2024
$
515.84
$
$ 515.84 4.00%
01/01/2025
1640
Permanent Vendor
$
138.00
$ 138.00
N
01/01/2024
$
143.52
$
$ 143.52 4.00%
01/01/2025
1641
Pet Care Establishment - New
$
144.00
$ 144.00
N
01/01/2024
$
149.76
$
$ 149.76 4.00%
01/01/2025
1642
Pet Care Establishment - Renewal
$
83.00
$ 83.00
N
01/01/2024
$
86.32
$
$ 86.32 4.00%
01/01/2025
1643
Pet Care Establishment - Late
$
110.00
$ 110.00
N
01/01/2024
$
114.40
$
$ 114.40 4.00%
01/01/2025
1644
Pet Shop - New
$
144.00
$ 144.00
N
01/01/2024
$
149.76
$
$ 149.76 4.00%
01/01/2025
1645
Pet Shop- Renewal
$
83.00
$ 83.00
N
01/01/2024
$
86.32
$
$ 86.32 4.0091.
01/01/2025
1646
Pet Shop -Late
$
110.00
$ 110.00
N
01/01/2024
$
114.40
$
$ 114.40 4.00%
01/01/2025
1647
Places of Amusement - New
$
198.00
$ 198.00
N
01/01/2024
$
205.92
$
$ 205.92 4.00%
01/01/2025
1648
IPlaces of Amusement - Renewal
$
149.00
$ 149.00
N
01/01/2024
$
154.96
$
$ 154.96 4.00%
01/01/2025
1649
Places of Amusement - Late
$
193.00
$ 193.00
N
01/01/2024
$
200.72
$
$ 200.72 4.00%
01/01/2025
1650
Pop-up Shop )1-7 days)
$
81.00
$ 81.00
N
01/01/2024
$
84.24
$
$ 84.24 4.00%
01/01/2025
1651
Pop-up Shop )8 - 250 days)
$
138.00
$ 138.00
N
01/01/2024
$
143.52
$
$ 143.52 4.00%
01/01/2025
1652
Public Hall - New
$
342.00
$ 342.00
N
01/01/2024
$
355.68
$
$ 355.68 4.00%
01/01/2025
1653
Public Hall- Renewal
$
220.00
$ 220.00
N
01/01/2024
$
228.80
$
$ 228.80 4.00%
01/01/2025
1654
Public Hall -Late
$
265.00
$ 265.00
N
01/01/2024
$
275.60
$
$ 275.60 4.00%
01/01/2025
1655
Refreshment Vehicle - Class A - New
$
248.00
$ 248.00
N
01/01/2024
$
257.92
$
$ 257.92 4.00%
01/01/2025
1656
Refreshment Vehicle - Class A- Renewal
$
193.00
$ 193.00
N
01/01/2024
$
200.72
$
$ 200.72 4.00%
01/01/2025
1657
IRefreshment Vehicle - Class A -Late
$
232.00
$ 232.00
N
01/01/2024
$
241.28
$
$ 241.28 4.00%
01/01/2025
1658
Refreshment Vehicle - Class B - New
$
182.00
$ 182.00
N
01/01/2024
$
189.28
$
$ 189.28 4.00%
01/01/2025
1659
Refreshment Vehicle - Class B- Renewal
$
138.00
$ 138.00
N
01/01/2024
$
143.52
$
$ 143.52 4.00%
01/01/2025
1660
Refreshment Vehicle - Class B -Late
$
182.00
$ 182.00
N
01/01/2024
$
189.28
$
$ 189.28 4.00%
01/01/2025
1661
Refreshment Vehicle - Class C - New
$
205.00
$ 205.00
N
01/01/2024
$
213.20
$
$ 213.20 4.00%
01/01/2025
1662
Refreshment Vehicle - Class C- Renewal
$
149.00
$ 149.00
N
01/01/2024
$
154.96
$
$ 154.96 4.00%
01/01/2025
1663
Refreshment Vehicle - Class C -Late
$
193.00
$ 193.00
N
01/01/2024
$
200.72
$
$ 200.72 4.00%
01/01/2025
1664
Special Events
$
248.00
$ 248.00
N
01/01/2024
$
257.92
$
$ 257.92 4.00%
01/01/2025
1665
Street Vendors - New
$
138.00
$ 138.00
N
01/01/2024
$
143.52
$
$ 143.52 4.00%
01/01/2025
1666
Street Vendors -Rene al
$
138.00
$ 138.00
N
01/01/2024
$
143.52
$
$ 143.52 4.00%
01/01/2025
1667
Street Vendors - Late
$
138.00
$ 138.00
N
01/01/2024
$
143.52
$
$ 143.52 4.00%
01/01/2025
1668
Temporary Vendor (up to 3 consecutive days)
$
110.00
$ 110.00
N
01/01/2024
$
114.40
$
$ 114.40 4.00%
01/01/2025
1669
Theatre - New
$
303.00
$ 303.00
N
01/01/2024
$
315.12
$
$ 315.12 4.00%
01/01/2025
1670
Theatre-Renewal
$
205.00
$ 205.00
N
01/01/2024
$
213.20
$
$ 213.20 4.00%
01/01/2025
1671
Theatre -Late
$
255.00
$ 255.00
N
01/01/2024
$
265.20
$
$ 265.201 4.00%
01/01/2025
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded t0 the nearest five cents APPENDIX E 58
1672 1 FINANCIAL SERVICES
1673
REVENUE
Comparable to other municipalities. Cambridge $64,
1674
Tax Certificate
$ 85.00
$
85.00
N
01/01/2016
$ 88.50 $
-
$ 88.50
4.12%
01/01/2025
Waterloo $85 Guel h $70.
1675
Utility Certificate
$ 85.00
$
85.00
N
01/01/2023
$ 88.50 $
-
$ 88.50
4.12%
01/01/2025
Comparable to other municipalities. Cambridge $64,
Waterloo $85.
1676
Various Requests (detailed Tax Statement, Utility Receipt)
$ 25.00
$
25.00
N
01/01/2013
$ 25.00 $
$ 25.00
0.00%
01/01/2025
Flat fee.
1677
Reprinting multiple bills (more than 2)
$ 5.00
$
5.65
Y
01/01/2015
$ 5.00 $
0.65
$ 5.65
0.00%
01/01/2025
Flat fee.
1678
Utility account administration fee
$ 41.00
$
46.33
Y
01/01/2015
$ 42.75 $
5.56
$ 48.31
4.27%
01/01/2025
Cambridge $25, Waterloo $41.
1679
Property Ownership Changes
$ 41.00
$
41.00
N
01/01/2015
$ 42.75 $
$ 42.75
4.27%
01/01/2025
1680
Mortgage Company Information Request
$ 16.00
$
18.08
Y
01/01/2022
$ 16.75 $
2.18
$ 18.93
4.69%
01/01/2025
1681
Collections notice delivery fee
$ 15.61
$
17.64
Y
01/01/2023
$ 16.25 $
2.11
$ 18.36
4.10%
01/01/2025
1682
Disconnection Fee
$ 57.41
$
64.87
Y
01/01/2023
$ 59.75 $
7.77
$ 67.52
4.0891.
01/01/2025
1683
NSF Cheque Charge
$ 35.00
$
35.00
N
01/01/2011
$ 36.50 $
$ 36.50
4.29%
01/01/2025
1684
Tampered Meter Cost Recovery
Overhead Cost
Overhead Cost
01/01/2022
Overhead Cost
Overhead Cost
0.00%
01/01/2025
Recovery
Recovery
Recover
Overhead Cost
Overhead Cost
Overhead Cost
Overhead Cost
1685
No Meter Read Access Fee
01/01/2022
0.00%
01/01/2025
Recovery
Recover
Recove
Recover
1686
Remove meter for arrears
$ 107.49
$
121.46
Y
01/01/2023
$ 111.79 $
14.53
$ 126.32
4.00%
01/01/2025
1687
Tenant deposit residential - water
$50 or $150
$50 or $150
N
01/01/2011
$50 or $150 $
$50 or $150
0.00%
01/01/2025
1688
Tenant deposit residential - gas
$ 150.00
$
150.00
N
01/01/2011
$ 150.00 $
$ 150.00
0.00%
01/01/2025
Flat fee.
varies based on
varies
based on
varies based on
varies based on
1689
Tenant deposit commercial - water
business type
business
type
N
01/01/2022
business type $
business type
0.00%
01/01/2025
and size of
and size of
and size of
and size of
building
building
building
building
varies based on
varies
based on
varies based on
varies based on
1690
Tenant deposit commercial - gas
business type
business
type
N
01/01/2022
business type $
business type
0.00%
01/01/2025
and size of
and size of
and size of
and size of
building
building
building
building
1691
ITransfer of utility arrears to a property tax account
$ 36.40
$
41.13
Y
01/01/2024
$ 37.86 $
4.92
$ 42.78
4.01%
01/01/2025
Cambridge $52, Waterloo $36. Guelph $50
Transfer or refund of Payment made in error- (First transfer/refund
1692
free
$ 15.00
$
16.95
Y
01/01/2024
$ 15.60 $
2.03
$ 17.63
4.00%
01/01/2025
1693
Collection reminder notices
$ 5.00
$
5.00
N
01/01/2020
$ 5.00 $
-
$ 5.00
0.00%
01/01/2025
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY Note - total fee including applicable taxes will be rounded to the nearest five cents APPENDIX E 59
J
I�Tc��R
Appendix -G Issue Papers:
CITY OF KITCHENER 2 0 2 5 BUDGET SUMMARY
Issue Paper Summary
Issue Paper
Department
Division
Op 01 - Strategic Additions
GENERAL EXPENSE
GENERAL EXPENSE
Preparer Ryan Hagey, Director of Financial Planning & Asset Management
Background
J
hri � i ii �i K
The City's strategic plan is the community's shared vision for the future of Kitchener. After significant public consultation, in August 2023, Council approved the
2023-2026 strategic goals, goal statements, and actions.
Rationale/ Analysis
Since its adoption in the summer of 2023, significant funding has been allocated to priority areas identified in Kitchener's 2023-2026 Strategic Plan. In addition to
these investments, one-time funding of $1 M has been earmarked and is available in the 2025 capital budget for direction to continue advancing important priorities
to Council and the community. Council will have an opportunity to discuss potential options prior to the Mayor proposing the budget in early December. Options
which are not advanced as part of the 2025 budget will have an opportunity to be discussed in a future budget year.
Staff have identified three areas for potential investment based on recent work completed to develop Asset Management Plans, the Places & Spaces Strategy, and
the Corporate Climate Action Plan. Each of the areas is discussed below.
1) City Facilities
In 2024 the City prepared asset management plans (AMPS) for a number of assets including its facilities. The AMPS showed the total replacement value of all City
facilities was over $1.9 billion. The facilities include community -oriented buildings like community centres, pools, and arenas as well as more internally focused
buildings like fire halls, City Hall, and the Kitchener Operations Facility. All of the buildings require regular investments to their seen and unseen components and
systems to keep them in a state of good repair. Examples of projects that are important but unfunded include skylight repairs at the Kitchener Market which would
reduce water infiltration issues impacting some vendors and elevator modernization at the Kitchener Auditorium which would improve accessibility and meet current
building and fire code regulations.
2) Outdoor Recreation
From 2021-2024 the City received feedback on its outdoor recreation facilities through a masterplan update called Places & Spaces. This update includes reviewing
the total amount of park space within Kitchener, as well as the quality of the amenities provided. Data from the 2024 asset management plan (AMP) shows the City
owns and operates parks, trails, and open spaces with a combined replacement value of nearly $100 million. Examples of projects that are important but unfunded
include additional playground replacements that will rejuvenate neighbourhood play spaces and make them more accessible, additional conversion of trails from
paved to unpaved that will improve year-round use and accessibility, and the rehabilitation of outdoor sport courts that will improve the end user experience of these
facilities.
3) Corporate Climate Action Plan (CorCAP)
In May 2024 Council endorsed an updated CorCAP with the goal of being net -zero emissions by 2050. The plan focuses on reducing greenhouse gas (GHG)
emissions in the City's facilities and fleet & equipment which offer the greatest opportunity for impact. The financial implications of the City achieving net -zero are
CITY OF KITCHENER 2025 BUDGET SUMMARY APPENDIX G1
Issue Paper Summary
J
K *61NER
roughly estimated at $250 million in additional capital funding over the next 25 years. Examples of projects that are important but unfunded include additional
HVAC replacements at City facilities that will improve energy use, and continued electrification of City's vehicles & equipment.
$1 M has been added to the Strategic Addition capital account in General Expense to be allocated as part of the 2025 budget process.
For direction.
CITY OF KITCHENER 2025 BUDGET SUMMARY APPENDIX G2
Issue Paper Summary
Issue Paper
Department
Division
Preparer
Op 02 - Strategic Spending Included in 2025 Budget
GENERAL EXPENSE
GENERAL EXPENSE
Ryan Hagey, Director of Financial Planning & Asset Management
BackgroundI
The City's strategic plan is the community's shared vision for the future of Kitchener. After significant public consultation, in August 2023, Council approved the
2023-2026 strategic goals, goal statements, and actions.
Rationale/ Analysis I
Approximately $75M of funding has already been allocated to advance strategic priorities as part of the 2025 budget. A brief description of these investments is
provided below under the five strategic plan goal areas.
BUILDING A CONNECTED CITY TOGETHER
Housing Accelerator Fund - HAF ($42M)
The Federal government has pledged significant funding through HAF in support of the continued implementation of Kitchener's Housing For All strategy. HAF will
help to fast-track the construction of 1,216 new homes by early 2027 to help address housing affordability and the increasing demand for housing in our community.
In 2025 HAF will be used to continue implementing approved initiatives like the development of the Growing Together East strategy as well as a $10,000 grant per
unit for qualifying affordable housing units.
Building Faster Fund - BFF ($14M)
The Provincial government has provided a first instalment of BFF to Kitchener for exceeding its 2023 housing targets. The fund rewards municipalities that make
significant progress against their targets by providing funding for housing -enabling and community -enabling infrastructure. Kitchener is using its BFF to conduct
environmental assessment work on a property prior to redevelopment, completing stormwater work that will mitigate flooding and improve water quality, and
acquiring land for future housing development.
Official Plan Update ($750k)
Kitchener's Official Plan (OP) is 10 years old and needs updating. The OP is concerned with land use and the physical development of the city, but it also aims to
balance the social, economic, and environmental interests of the community. Funding in 2025 will be used to create an OP which will guide growth and shape the
way that neighbourhoods evolve and change as the city grows to a population of up to 450,000 by 2051.
CULTIVATING A GREEN CITY TOGETHER
Places and Spaces Parks Masterplan Implementation ($8.6M)
Places and Spaces is an update to the existing Parks Strategic Plan adopted by City Council in 2010. This updated parks masterplan is the overarching guide for the
quantity of park space in the city, as well as the quality of those places. The 2025 budget includes significant investments in parks such as advancing park network
improvements; accessible sportsfield improvements and amenities; repairs to McLennan Park; and enhancements to Upper Canada Park.
CITY OF KITCHENER 2025 BUDGET SUMMARY APPENDIX G3
Issue Paper Summary
HVAC Upgrades at City Facilities ($2.3M)
City facilities contribute the largest portion of corporate greenhouse gas (GHG) emissions. Updating the heating and cooling units at City facilities in 2025 is one of
the ways the City is optimizing energy performance and reducing its GHG emissions in support of the goals in the Corporate Climate Action Plan 2.0 (CorCAP 2.0).
Growing the City's Tree Canopy ($1.3M)
In January, 2022, Council approved an ambitious urban canopy target for the City of 30% canopy cover in each ward by 2050, and a city-wide average
canopy of 33% by 2070 through Kitchener's Sustainable Urban Forest Strategy (SUFS). Funding in 2025 will support the Forestry team in advancing work under the
four key action areas in the SUFS: Plan, Engage, Maintain and Plant; as well as exploring grant and partnership opportunities to expand the urban forest.
Green Fleet Improvements ($800k)
Kitchener has made progress towards electrifying its vehicles and equipment. As of 2023, 50% of the passenger car fleet has been electrified resulting in a notable
75% reduction in maintenance and fuel costs compared to internal combustion engine (ICE) vehicles. For 2025, Kitchener will continue to strategically upgrade
vehicles and equipment such as cars, pickup trucks, ice resurfacers and forklifts from internal combustion engines to Battery Electric, Hybrid Electric and/or Plug -In
Hybrid Electric.
CREATING AN ECONOMICALLY THRIVING CITY TOGETHER
Conrad Centre for the Performing Arts Investments ($780k)
The Conrad Centre for the Performing Arts (CCPA) is a 300 seat venue located in downtown Kitchener. The City acquired the CCPA in 2021 with a mandate
to significantly increase community usage. In October 2023 the City assumed full operations of the CCPA following the bankruptcy of the KW Symphony and in
October 2024 Council approved new direction in operating the CCPA. Funding has been included in the 2025 budget to properly staff the venue based on the new
operating model and make investments in updated equipment.
Support for Community Events ($200k)
The City of Kitchener currently facilitates an extensive portfolio of festivals including long -beloved events like Oktoberfest and Christkindl, as well as more recent
additions like Endless Summer and Caribana. The City also supports a number of corporate and community events like new park and facility openings, funding
announcements, and neighbourhood -led special events. New funding has been included to ensure adequate resources are available to properly support the diverse
event offerings at the City.
FOSTERING A CARING CITY TOGETHER
Expanded Community Centre Hours ($150k)
In 2023, Council approved report CSD -2023-123 to modernize the City's community centre operating model. A key recommendation of that report directed staff to
explore expanding hours of operation at select Community Centres through a phased, multi-year approach. During the 2024 budget process, Council approved the
first year of this initiative which included extending weekend hours for six centres: Country Hills, Victoria Hills, Forest Heights, Centreville Chicopee, Stanley Park, and
Huron Community Centre. In the second year of this multiyear initiative, staff are proposing four additional community centre sites for expanded weekend hours
starting in 2025: Kingsdale, Doon Pioneer Park, Bridgeport, and Chandler Mowat Community Centres.
Increased Offerings for Summer Camps ($100k)
The City currently offers approximately 2500 spots for children's day camps over the summer at City of Kitchener facilities. These day camps are very much in
CITY OF KITCHENER 2025 BUDGET SUMMARY APPENDIX G4
Issue Paper Summary
J
��
demand, spots fill up immediately, and have an average waitlist of 280 kids every week. Through funding added to the 2025 budget, existing camps will be
expanded and new sites will be added which will result in an additional 200 spots per week being available for the summer camp schedule.
Developing an Outdoor Pool Strategy ($150k)
Kitchener currently operates four outdoor pools (Kiwanis, Harry Class, Idlewood, Wilson). These pools provide residents with relief from the heat in a safe and
supervised environment during the summer months. With the increasing impacts of climate change and an increase in days with high temperatures and humidity, the
City's outdoor pools will play an even more vital role in reducing heat -related illnesses and safety risks to the residents of the City of Kitchener. Funding will be used
to assess the condition of current pools and establish a plan ensuring continued operations servicing community needs as well as identify communities that could
benefit from an outdoor pool.
STEWARDING A BETTER CITY TOGETHER
Modernizing Human Resource Systems ($2.75M)
Kitchener's main human resources and payroll system is reaching end of life with limited investment being made by the current vendor to modernize processes and
functionality needed to support an efficient workforce. In addition, the City has relied on separate and disjointed sub -systems to help support its human resource
needs (e.g. recruiting, time & attendance). Funding in the 2025 budget will be used to consolidate into a full -suite human capital management system fully
integrated within the City's SAP enterprise application environment, which will support management in talent acquisition & development, provide better tracking &
reporting in areas such as time & attendance, and support efficient and effective processes related to human resource management and payroll.
Future -Proofing City Digital Services ($500k)
Kitchener is building a smart city that is connected, on -demand, inclusive, and innovative. To advance these objectives, the City continues to invest in technology
infrastructure, processes, and initiatives that support its goals. Funding in 2025 will be used to maintain positive momentum towards achieving the City's technology
goals and ensure online City services are reliable and secure for all customers.
Improving Customer Service ($275k)
The implementation of improved customer service software will enable customers new access to more online self -serve opportunities, including the ability to both
initiate service requests and see the status of their service requests — online. Closing the loop with customers on their service requests will now be possible for staff
from both the office and the field with customers having the ability to be notified when their service request is complete. New and more robust real-time data
reporting and analytics will drive more informed service improvements and efficiencies, and staff from across many divisions (eg. Bylaw, Revenue, Office of Mayor &
Council, Kitchener Utilities etc.) — notjust the city's corporate contact centre — will be able to more easily and quickly track, monitor and respond to customer
requests for service and information from a single interface that integrates many corporate systems.
The total cost of all the items noted above is approximately $75M and includes funding from operating budgets, capital budgets, and reserves. $56M of the funding
for these items comes from provincial/federal grants.
Recommendation
For information.
CITY OF KITCHENER 2025 BUDGET SUMMARY APPENDIX G5
Issue Paper Summary
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Issue Paper
Department
Division
Op 03 - 2025 User Fees
FINANCIAL SERVICES
FINANCIAL PLANNING & ASSET MANAGEMENT
Preparer Brad Palmer, Corporate Financial Advisor
Fees and charges are used by municipalities as an alternative to fully funding various programs and services through property taxes. Fees and charges are often used for
programs and services where customers have a choice whether to use them and, for this reason, the use of fees and charges tend to be favoured over property taxes
alone.
Approval of the user fee schedule as detailed in Appendix E will coincide with the adoption of the 2025 budget. This also includes direction to Legal Services to prepare
the necessary by-laws to amend The City of Kitchener Municipal Code Chapters for fees and charges pertaining to licensing, planning applications, building permits and
Committee of Adjustment applications.
When setting individual rates, departments consider a range of factors including cost recovery, legislation, rates of other municipalities and market conditions. For 2025,
departments were provided with a guideline to increase fees and charges by 4%.
The 2025 user fees will make up approximately 11 % of all tax supported revenues which is consistent with the previous year. Failure to adjust user fees would shift
program costs to the property tax base and necessitate property tax increases above the rate of inflation. In general, fees are increasing by the guideline amount, or
something close to it. Some fee increases differ from the guideline in order to come to a rounded amount (e.g. nearest $0.25, $1, or $5). Fee changes that differ from the
inflationary guideline are highlighted below.
Economic Development Fees (Fees 2 — 94 on the detailed fee schedule)
- Farmers Market Fees (Fees 2 - 29) - These fees increased by 6% to cover the increasing operational and maintenance costs of the facility.
Engineering Fees (Fees 95 — 233 on the detailed fee schedule)
- Engineering fees increased by 4% with some exceptions for rounding.
Planning Fees (Fees 234 — 320 on the detailed fee schedule)
- Planning fees increased by 4%, with the exception of rounding as well as changes to the following fees:
- Fence Variance Application (Fee 240) - Revised to align with similar process for sign variances.
- Photocopies/Printing (Fees 264-265) - These fees are held flat.
- Pre -submission Consultation — Committee of Adjustment (Fee 273) - Adjusted to support cost of staff time to process increasingly complex
applications
- Routine disclosure Requests (Fee 276) - This fee is held flat.
CITY OF KITCHENER 2025 BUDGET SUMMARY APPENDIX G6
Issue Paper Summary
Transportation Fees (Fees 321-326 on the detailed fee schedule)
- Transportation fees increased by 4%. With the following exception:
- Bike FOB Fee (Fee 325) - This fee is held flat.
Planning/Engineering (Fees 327-370 on detailed fee schedule)
- Planning/Engineering fees increased by 4%, with the exception of rounding.
Parking (Fees 371 —402 on the detailed fee schedule)
- The Parking Enterprise increased fees by 3% to remain competitive with other parking providers with the exception of rounding and changes to the following fees:
- Remote Parking Lot Rate - Bramm (Fee 375) - Rate increased greater than the 3% standard to be aligned with other surface lots.
- Theatre Rate (383 — 384) - This rate changes periodically with the last increase in September 2023.
- Electric Charging Station Rate per hour (Fee 392, 400-401) - Rate increased greater than the 4% to align with market rates.
- Special Event Rate (After 5 pm and/or Saturdays) (Fee 393) - This fee is held flat.
- City Hall Garage Rate - 5 pm to midnight (Monday to Saturday) (Fee 397) - This fee is held flat.
- Part-time 3 Day A Week Permit Package (Fee 402) - The 2024 rate was an internal pilot rate. The 2025 rate is aligned with market rates for the product type.
- Monthly Motorcycle Parking (Spring to Fall) - This fee has been removed from the schedule.
Building (Fees 403 — 504 on detailed fee schedule)
- The Building Enterprise is proposing no change to the 2025 permit fees. Favourable results over the last few years have allowed the Building Stabilization
reserve fund to reach its target level.
Fire (Fees 506 — 585 on the detailed fee schedule)
- Fire Safety Plan Review Fee (Fee 521): A new fee is being proposed to help offset the cost of reviewing Fire Safety Plans. With the number of increased requests due to
development in the City, a fee is proposed to ensure these reviews are a priority. Each review takes a great deal of time and the City has never charged for this time-
consuming review in the past.
- Fire Alarm Monitoring Residential (Fee 551): This fee is not increased due to the potential loss of customers.
- Fire Cellular Alarm Fee Monthly (fee 553): This fee is for cost recovery and does not require an increase.
- Fire Response and Investigation Recovery (Fee 569): This fee increase is proposed at higher than 4% to match the MTO rate.
Neighbourhood Programs & Services (Fees 613 — 853 on the detailed schedule)
- Huron Brigadoon Community Centre (Fee 681): A new rental fee for the Gym is proposed to provide an additional rental option for the community.
- Schools Out Camps (Fee 839): A higher fee increase is proposed for the Schools Out Camps to align with the length of the camps. The number of hours per week for
this camp has been increased to provide enhanced program opportunities for children, parents, and caregivers.
- Drop-in Programs (Fees 842 - 852): Ten new drop-in rates are proposed to provide another option for participants. This drop-in fee will allow participants to pay only
for the sessions they attend, rather than the full program.
Kitchener Memorial Auditorium Complex (KMAC) (Fees 854 — 892 on the detailed schedule)
- Affiliated Sports fees (fee 870, 871): These fees are only increasing by 3% to stay within range of the affiliated rate for neighbouring municipalities.
CITY OF KITCHENER 2025 BUDGET SUMMARY APPENDIX G7
Issue Paper Summary
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Sport Development (Fees 893 - 929 on the detailed fee schedule)
- Affiliated Rates (Fees 897, 904, 906, 909, 914, 916, 918, 920): These fees are only increasing by 2% to maintain affordability and keep in line with other municipalities.
- Cricket Fees (Fee 924-927): Lower fee increase proposed to maintain affordability and to keep fees comparable with neighbouring municipalities.
Aquatic Programs (Fee 930 - 1044 on the detailed fee schedule)
- Kiwanis No Swim Entry Fee (Fee 945): New fee being introduced to increase participation and maximize usage of Kiwanis Park without affecting bather loads and
lifeguard staffing needs.
- Registration Fees - Basic Rate 1 Lesson (Fees 956 - 960): No increase proposed on these fees as Kitchener is the most expensive in the Region.
- Lifesaving Courses and Leadership Exams (Fees 961 - 974): No fee increase is being proposed to keep lifeguard certifications affordable to aide in hiring new staff.
- New Leadership Courses (Fees 975 - 978): Four new leadership courses are being offered as options for lifeguard certifications.
- Schoolboard Extra Instructor per hour (Fee 1016): Fee increased at higher rate to align fee with wage recovery.
- Slide staff and lifeguard per hour fee (Fee 1028 - 1029): Fee increase differs from recommended increase to align fee with wage recovery.
Golf Fees (Fee 1045 - 1089 on the detailed fee schedule)
A full review of fees has been completed and many of the fees have a larger proposed rate increase to align our fees to similar neighbouring courses as well as some fees
are increasing by only 2% to maintain affordability.
Forestry (Fee 1119 on the detailed fee schedule)
- Street Tree (non -urban) (Fee 1119): New fee charged to developers responsible for replacing trees. Fulsome review of rate will occur in 5 years to ensure it is still
accurate.
Cemetery Fees (Fee 1120 - 1321 on the detailed fee schedule)
- Several fees in cemetery are legislated and will change at a rate different than the City's guideline amount (Fees 1122, 1248, 1249, 1251, 1255, 1257, 1281,
1282, 1286, 1289)
- Minimal increases are applied to fees related to religious cemeteries, Veteran lots and infant/children lots (Fees 1128, 1129, 1149-1155)
- Several fees are being increased beyond 4% for cost recovery of the service being provided or to be more in line with market prices (Fees 1130, 1131, 1134,
1136, 1192, 1208, 1219, 1229, 1237, 1245, 1253, 1256, 1258, 1260, 1264-1268, 1275, 1277, 1279, 1284, 1285, 1287, 1288, 1291, 1292, 1297, 1299,
1300, 1302-1305, 1307)
- Cost recovery for all fees associated with bronze plaques increased at a higher rate due to increased costs from the supplier (Fees 1162, 1163, 1175, 1176,
1182-1186, 1191, 1207, 1299, 1307)
- Cremation Lot, flush marker (1'x 3') (P & 2M) - small cremation lots at Woodland cemetery are limited in supply and increasing beyond 4% (Fee 1165)
- Niche replacement door - inventory is depleted and now requires custom order therefore increasing beyond 4% (Fee 1209)
- Regional Services - Adult flush marker (Fee 1278): This is a set price by the Region of Waterloo based on their funding.
CITY OF KITCHENER 2025 BUDGET SUMMARY APPENDIX G8
Issue Paper Summary
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Gas Utility (Fees 1323-1423 on the detailed schedule)
- Rental Gas Water Heater Rates - Yearly (Fees 1357-1398): There were significant increases to the rental rates in 2024, therefore it was determined that the 2025 rates
would be increased by only 2%.
- Direct Purchase Billing (Fees 1418-1422): These fees were adjusted to be in line with Enbridge fees.
Water Utility (Fees 1424-1460 on the detailed schedule)
- Backflow Prevention Device (Borrow) (Fee 1431): This fee increase is to cover the cost of device removal. These devices are installed, tested and then removed at the
end of the season.
- Water Meter Water Shut Off Fee for Denied Access (Fee 1448): This fee was kept flat and rounded to the nearest dollar, for ease of administration.
- Water Meter Flange Set 1 1/2"-4" (Fees 1455-1458): These fees have been increased based on revised costing as received through the 2024 tendering process.
Technology Innovation & Services (Fees 1493-1497 on the detailed schedule)
- TIS fees followed the 4% guideline and differs only due to rounding.
Legal (Fees 1498-1530 on the detailed schedule)
- Legal fees followed the 4% guideline and differs only due to rounding.
Legislated Services Fees (Fees 1531 — 1671 on the detailed schedule)
- Legislative Services fees increased by 4%, with the exception of rounding as well as changes to the following fees:
- Commissioning of Non -City Related Documents (Fee 1543) - Holding the fee from 2024 to align with neighbouring municipalities.
- Commissioning of Domestic & Foreign Pension Documents (Fee 1544) - This fee needs to be $15.00 (Including HST) for first document, $5.00
(Including HST)/additional document. Holding the fee from 2024.
- Information Access Request (Fee 1546-1548) - Legislated fee that cannot be changed.
- Lottery/Bingo License (Feel 551) - Legislated fee that cannot be changed.
- Farmers' Market — Class B (Fee 1604-1606) - Fixing fees from prior year error. New, renewal and late fees were mixed up in 2024.
- Lodging/Boarding Houses (Fees 1622-1624) - Adjusted to reflect new Lodging Home By-law fees approved by Committee.
Revenue (Fees 1673-1693)
- Most fees are increasing according to the 4% guideline with some difference due to rounding.
- Some fees are being held at 0% as they are a flat fee, recover overhead costs, or vary based on the type and size of a building.
User fees make up approximately 11% of the revenues used to fund the tax supported operating budget. The proposed 2025 tax supported budget includes increases to
fees and charges by 4% in most instances.
For information.
CITY OF KITCHENER 2025 BUDGET SUMMARY APPENDIX G9
Issue Paper Summary
Issue Paper
Department
Division
Op 04 - Staff Additions for Tax Supported Services
GENERAL EXPENSE
GENERAL EXPENSE
Preparer Ryan Hagey, Director of Financial Planning & Asset Management
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The long-standing practice at the City has been for Council to approve any net additional staff resources (known as full time equivalents or FTEs) to Council for
approval. In preparing the budget, staff have identified a small number of high priority staffing resources requiring approval. All of the positions requested are fully
funded in the budget and have no additional impact on rates, all that is being requested is approval of the FTE. The positions being requested are noted below with
the number of FTEs shown in brackets.
Rationale/ Analysis
Identifying More Grant Funding (1 FTE)
In 2023 Council directed a review of revenue generating opportunities. This review showed opportunities within the City's grant process that cannot be addressed
within existing staff resources. An additional staff resource is required to assist with identifying additional grant opportunities, connecting and liaising with external
funders, leading internal grant strategy discussion collaborating across departments and divisions, directly supporting the grant writing function, coordinating all
aspects of the grant application process, and fulfilling contractual obligations required from funders when grant funding is approved. It is anticipated that the cost of
this position will be fully offset by the additional revenue generated from pursuing additional grant opportunities.
Supporting Payroll Services (1 FTE)
The City administers payroll functions for almost 3,000 employees (including arm's lengths organizations). As the number of staff that support services across the
City has grown no additional resources have been added to the Payroll section in more than a decade. At the same time there has also been more volatility/turnover
in the core staffing complement in the last 10 years with an increase of 55% in payroll tasks required due to hires/rehires, transfers, retirements, and employee exits.
An additional staff resource is required to stabilize workload amongst the Payroll team and ensure all payment processing can be maintained.
Processing Payments in a Timely Manner (0.5 FTE — conversion from temporary to permanent)
The City receives payments in-person, online, and through the mail. Based on the ongoing needs of the City, a temporary part-time payment processing position is
being converted to be permanent. This will establish ongoing backup coverage in this area which will provide continuity and stability. Further it will ensure customer
payments received through the mail and the of billing miscellaneous receivables happens in a timely basis.
Improving Efficiency and Operations (1 FTE)
Kitchener has a culture of continuous improvement, with a strong focus on lean process reviews that enhance program efficiency and effectiveness by adding value
to the customer experience. Within the corporate services department, the type and volume of service review requests has grown significantly, as teams within the
department work to deliver excellent customer service within existing resources. These reviews assess and enhance core services and drive both incremental and
transformational change. An additional staff resource is required to deliver on these large improvement initiatives, such as the Community Engagement Review, while
also ensuring the changes are embedded and sustained in the long term.
CITY OF KITCHENER 2025 BUDGET SUMMARY APPENDIX G10
Issue Paper Summary
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Supporting Licensing Requirements for Businesses (1 FTE - conversion from temporary to permanent)
The City's licensing team provides valuable front line customer service to businesses, helping them through the license application process, and then advising and
assisting businesses through their annual renewal process. With more than 3,000 licensed businesses in Kitchener, the demand on this small team has grown
significantly, requiring an additional resource to ensure that staff can manage both the licensing application and renewal needs of businesses while also providing
enough coverage to complete on-site inspections and ensure that businesses are operating safely and within applicable legislation.
Supporting Community Events (2 FTES)
The City of Kitchener has historically facilitated an extensive portfolio of festivals including long -beloved events like Oktoberfest and Christkindl. The events portfolio
continues to grow with additions like Endless Summer and Caribana. Additionally, corporate and community events like new park and facility openings, funding
announcements, and ward -specific events continue to grow as the city grows. Additional staff resources are needed to plan for and bring these events to life,
connecting community in a multitude of ways.
Enhanced In -Person Customer Service at City Hall (1 FTE — two part-time staff)
Since opening its door in January, the City Hall Service Centre has already served more than 28,000 customer interactions. By all accounts, the new centre has been a
significant success and is a leader amongst Canadian municipalities. A key component of the centre is the new, highly visible "Information Desk" which is prominently
located in the Rotunda and serves as the first point of contact for a majority of customers who come to City Hall for service. Staff located at the "Information Desk"
greet customers as they arrive, respond to basic service/information questions where possible, assess the customer's service needs, help check them into the service
centre using a mobile tablet, and then direct them to the appropriate place for assistance. This level of support has been a frequent source of positive feedback from
customers.
Improved User Experience & Promotion of Events at The Aud (1 FTE — conversion from temporary to permanent)
The Aud is the City's premier sports and entertainment venue, playing host to a wide variety of concerts, special events and other community gatherings — attracting
tens of thousands of residents and visitors every year. For several years The Aud has benefited from a full-time, temporary position dedicated to marketing Aud
events and concerts and improving the customer experience at the facility. This position has three main functions: (1) identify and lead projects that improve the
customer experience at The Aud, (2) lead the design, development and production of print and digital marketing materials promoting Aud events, and (3) fulfills
sponsorship agreements within the facility. Given the ongoing need for these supports at The Aud, and in order to support staff effort to increase the number of
events being held at the facility, this temporary position should be converted to permanent.
Expanding Downtown Ambassador Program to 7 -Days a Week, Year -Round (4 FTEs)
Downtown Ambassadors engage with all members of the community on a daily basis (5 days a week) from May to November. These ambassadors take a
relationship -building, human -first approach to their work which has made the program very successful. The addition of these FTEs would make the program
permanent and allow it to operate 7 days a week with 4 team members during the peak season of April through November, and 5 days a week with 2 staff for the
remainder of the year. This enhancement to the program will ensure the City provides consistent, non -enforcement safety services and supports in the downtown,
and adapts to shifting needs throughout the year while also maintaining vital relationships with many members of the community — including visitors, businesses,
employees and members of vulnerable populations.
CITY OF KITCHENER 2025 BUDGET SUMMARY APPENDIX G11
Issue Paper Summary
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New Williamsburg Community Centre (2 FTEs)
The Williamsburg Community Centre is a new 17,000 square foot facility being constructed in partnership with the Waterloo Region Catholic District School Board. In
order to meet the needs of this fast growing part of the city, this new, larger centre (which will replace the existing 3,000 square foot rented facility) will include four
large program rooms, a spacious lobby and after-hours access to the school's double gymnasium. The addition of these two staff is required to operate the much
larger facility and is in-line with staffing models at other similar sized community centres.
Rehabilitating City Facilities (2 FTEs - conversion from temporary to permanent)
The City owns a number of facilities with a replacement value of nearly $213. These facilities require regular operating and maintenance activities (e.g. cleaning) as
well as periodic rehabilitation activities (e.g. roof replacement). Funding towards state of good repair (SOGR) rehabilitation projects has been permanently increased
starting in 2019 and requires additional permanent staff resources to complete planned projects going forward.
Meeting Increased Service Needs in Roads and Parks (1 FTE)
There is an increased legislated need to collect, record, analyze and monitor data and costs associated with above ground assets in Roads and Parks. Growth in
population as well as expanding services (e.g. Sidewalk Winter Maintenance Assisted Services Program) requires analysis and administrative support. An additional
staff resource will provide program analysis and recommendations to support improved core service delivery, improve response times for customer inquiries, and
ensure compliance with applicable legislation.
plications
None. All staff costs are built into the budget.
For information.
CITY OF KITCHENER 2025 BUDGET SUMMARY APPENDIX G12
Issue Paper Summary
Issue Paper
Department
Division
Preparer
Op 05 - Additional Support for Environmental Requirements
INFRASTRUCTURE SERVICES
SANITARY SEWER UTILITY
Bu Lam, Director, Sanitary and Stormwater Utilities
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The City encounters environmental requirements regularly in its day-to-day operations. Examples include managing unexpected spills, investigations regarding the
purchase of land with potential contamination, and Provincial regulatory changes regarding excess soils management. Staff have identified a resourcing and
expertise gap at the City to properly manage these ongoing needs. Currently contracted services are often used to manage these requirements which is not cost
effective and does not grow this expertise within the City.
In discussion with several divisions across the corporation, there is broad support for a dedicated, in-house staff resource with the necessary expertise to navigate
and support needs related to environmental spills, excess soils, contaminated sites, and other environmental liabilities at the City.
Rationale/ Analysis moor
The environmental constraints the City operates under are becoming more restrictive and more complex. Divisions across the City must interpret changing
regulatory requirements as they come into effect and often rely heavily on consultants to address environmental issues as they arise. The City lacks a dedicated in-
house resources to manage environmental requirements and develop standardized policies, plans, and processes.
While this expertise is required by several divisions across the City, no division requires this resource in a dedicated manner (only as needed when environmental
situations arise). As such, the recommendation is to hire one full time equivalent (FTE) that can provide this service level to multiple divisions across the City as
needed. This new FTE will be an Environmental Engineer and will:
- Review environmental, hydrogeological, excess soil reports to reduce the cost of peer review and frequent consultation with engineering firms and contractors. This
includes report reviews for a Record of Site Condition (RSC) filing on contaminated site developments related to planning and development applications. These costs
can be offset by a user fee for the service.
- Draft and/or review spills response and closure reports, which can reduce the cost of consultation with engineering firms. In the past three years consulting fees for
emergency spills response from broken watermains have totaled over $177,000.
- Scope pre -design work and review reports for City projects and contaminated sites. This will reduce costs for peer reviews and for consulting with engineers and
contractors.
- Review reports for legal purposes (e.g., land transfer), which can save money for the City rather than hiring consultants.
- Strategize excess soil and sediment management and reuse, which has the potential to create opportunities to divert excavated soils from landfills, resulting in
substantial cost savings and comply with new regulations.
- Develop cost -estimates for liabilities associated with contaminated sites to support annual reporting, which otherwise would require consultants to complete.
- Contact local and provincial regulators directly. This can reduce the need to hire consultants for City projects.
- Engage with the public and other external agencies like local, provincial, and federal regulators, other municipalities, and funding agencies.
The Environmental Engineer will report into the Sanitary and Stormwater Utility (SSU) which has several workplan items related to this FTE (e.g. excess soils,
contaminated sites, spills response).
CITY OF KITCHENER 2025 BUDGET SUMMARY APPENDIX G13
Issue Paper Summary
The costs of this position are included in the 2025 budget.
That one Environmental Engineer position be approved.
CITY OF KITCHENER 2025 BUDGET SUMMARY APPENDIX G14
Issue Paper Summary
Issue Paper
Department
Division
Preparer
Cap 01 - Stirling Avenue Rail Bridge Retaining Wall
DEVELOPMENT SERVICES
ENGINEERING
Chris Spere, Director Engineering Services
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The City has received an engineer's report recommending the replacement of a retaining wall/bridge abutment due to its poor condition. The retaining wall is part
of the roadway approach for the Stirling Avenue South CN Rail overpass. This retaining wall condition assessment was not previously included in the bi-annual OSIM
(legislated bridge condition inspections) as it is considered to be part of the roadway.
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The existing retaining wall is constructed of concrete bags. The concrete is deteriorating and the wall has been compromised by vegetation growth. The engineer's
report has declared the wall to be in poor condition and in need of immediate replacement and that repair of the existing wall is not feasible. This retaining wall is
part of the overall bridge structure and supports the approach of Stirling Avenue to the bridge.
Financial Implications I
Given the priority nature of the replacement, funding of $2.7M has been reallocated from the annual Road Resurfacing program (leaving $372k for 2025). The City's
pavement quality index (PQI) is better than the target, so reducing the program for one year is a viable solution.
For information.
CITY OF KITCHENER 2025 BUDGET SUMMARY APPENDIX G15
Issue Paper Summary
Issue Paper
Department
Division
Preparer
Cap 02 - Road Reconstruction Timing Changes
FINANCIAL SERVICES
FINANCIAL PLANNING & ASSET MANAGEMENT
Ryan Hagey, Director of Financial Planning & Asset Management
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The City reconstructs roads when the aboveground and underground infrastructure (watermains and sewers) approach the end of their useful lives. Each year staff
updates its reconstruction replacement listing based on new information which can cause a change in timing of specific projects. It is common for projects to move
forward or backward based on different factors such as impacts from other projects (both City projects and from other municipalities), changes in project pricing, and
updated condition information. Because of the uncertainty in timing around this type of work, specific projects are only identified for the first five years of the capital
forecast.
It should also be noted that there can be significant cost difference between specific projects (e.g. one project may cost over $10M, while a much smaller project
could cost closer to $1 M). Staff attempt to maximize the available funding each year to complete the maximum number of projects possible within the funding
constraints.
The following changes have been made to the construction timing of the full reconstruction program:
1) Floyd Street: moved from later year to 2028 due to Water utility issues
2) Fifth Avenue: moved from later year to 2028 due to Water utility issues
3) Randerson Avenue: moved from later year to 2028 due to Gas utility issues
4) South Drive: moved from later year to 2028 due to Regional need
5) Avondale/Dunbar Neighbourhood: moved from later year to 2028 due to overall asset conditions
6) Falesy/Kraft/Harold/Jean Neighbourhood: moved from later year to 2028 due to overall asset conditions
7) Blueridge Drive: moved from 2028 to 2029 based on priority needs of other projects
8) Ramblewood Way: moved from 2029 to later year based on priority needs of other projects
None. All projects are funded through the full reconstruction budget within Engineering.
For information.
CITY OF KITCHENER 1 2025 BUDGET SUMMARY APPENDIX G16
Issue Paper Summary
Issue Paper
Department
Division
Preparer
Cap 03 - SAP S/4HANA Upgrade
FINANCIAL SERVICES
FINANCIAL REPORTING & ERP SOLUTIONS
Katie Fischer, Director of Financial Reporting & ERP Solutions
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SAP was implemented as the City's core financial ERP system in 2008 (general ledger, finance and accounting, bank reconciliation, inventory management,
procurement, and accounts payable). It was expanded to include billing and collections for property taxes as well as utilities (water, sewer, storm, gas and rental water
heaters). SAP has indicated they are planning to sunset maintenance support for the version of their software being used at the City at the end of 2027, but this may
be extended somewhat for the City while it is working through its upgrade. The City needs to migrate to a newer version (S/4HANA) which is SAP's biggest update to
its ERP platform in decades. It represents a major upgrade not only from a technical end but also from the user experience side with SAP Fiori, a front -facing design
system that applies modern concepts for an intuitive user experience that works on desktops, tablets and smartphones. At the same time, SAP - as with many
technology software providers - is moving towards a software -as -a -service (SAAS) model, where the software is moved to a cloud -based solution hosted directly by
SAP.
The City's current version of SAP ECC was last released by SAP in 2016, making it a dated platform particularly from the user experience perspective. Given this, it
tends to be a core set of users who interact with SAP on a regular basis, such as those positions in Finance, Revenue, Procurement, and Kitchener Utilities. Managers
throughout the organization tend to rely on excel or other reports provided to them by the Finance team in order to monitor their budgetary spending. There is also
a strong reliance on Crystal reports outside of SAP to support data analytics needs. With the latest technology enhancements however, SAP S/4HANA brings the
capability for improved reporting and analytics to better support the needs of staff and management throughout the City.
Taking advantage of emerging and innovative technologies to support the City's goals is in-line with the Digital Kitchener strategy. SAP is investing heavily in
technological advancements, including artificial intelligence (AI) through partnership with Microsoft Copilot. As the City upgrades its existing SAP platforms and
expands into further SAP solutions such as SuccessFactors, these tools will become available to leverage in improving user experience, proactively identify issues, and
surface new insights into the City's data and processes. Similarly, moving to the cloud also supports the Digital Kitchener strategy, in supporting the security and
minimizing downtime and support needs for the City's evolving list of applications.
Planning for the project will commence towards the end of 2024 and take most of 2025 to complete. The upgrade will be completed in stages starting in 2026.
The estimated costs of the project are $15M and are included in the budget in 2026-2029.
For information.
CITY OF KITCHENER 2025 BUDGET SUMMARY APPENDIX G17
Issue Paper Summary
Issue Paper
Department
Division
Cap 04 - Additional Investments in City Facilities
INFRASTRUCTURE SERVICES
FACILITIES MANAGEMENT
Preparer Darren Becks, Director of Facilities Management
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The Facilities Management (FM) Division is responsible for the acquisition, operation, maintenance, renewal and disposal of all the buildings owned by the City of
Kitchener. The portfolio of buildings is valued at nearly $213 and is diverse in its composition which includes both public and non-public facing facilities like
community centres, arenas, pools, park washrooms, arts and culture buildings, City Hall, fire stations, and the Kitchener Operations Facility (KOF).
Many City facilities are aging and require investments to improve functionality and extend the life of the building. Lifecycle planning of facilities is challenging due to
the complexity and interdependency of building components, the condition of some aging infrastructure, and the service delivery needs of different City divisions.
Through condition assessments, audits, studies, and client engagement, FM continues it's understanding of the work required in the short-term to ensure facilities
will continue function and deliver the services to the public and City staff while working to develop strategies for long-term capital planning. There is strong
competition for facility capital funding to meet competing goals such as completing deferred maintenance, reducing greenhouse gas emission, complying with
legislative/code standards, and meeting programming pressures of client groups.
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Funding has been added in 2025 to address three short-term capital projects that have already completed their design stage and are ready for or are currently in the
construction stage. This funding is required in addition to the regular State of Good Repair (SOGR) funding amount, which for 2025 is approximately $5.3M. The three
priority projects are noted below.
1) Centerville Chicopee Community Centre - The project aims to upgrade community facilities, including the splash pad, basketball court, playground, parking lot,
and multipurpose area. The goal is to complete the project by early summer 2025. Through a geotechnical study there was the discovery of peat, which is not an
acceptable fill material. Peat is unstable and could lead to the uneven settling of the site surface which would lead to the damage of the newly constructed assets. To
avoid this issue, the peat will be removed and replaced with a more suitable fill material for long term stability.
2) Mill Courtland Community Centre (MCCC) - Alongside the expansion of the MCCC, significant rehabilitation work is underway. This will include deferred
maintenance items, accessibility improvements, and energy efficiency upgrades. Completing the expansion and rehabilitation work concurrently will minimize
disruptions to the users of the MCCC. The expansion components of the project will be funded by development charges while the rehabilitation components of the
project will be funded by City sources.
3) City Hall Spandrel Glass Replacement - Kitchener City Hall serves as a prominent symbol of municipal governance. Being built in 1994, it is now 30 years old and is
the workplace for a significant number of City staff while offering many public facing services. City Hall's structural integrity relies heavily on its envelope systems,
which include double -glazed curtain walls, red sandstone cladding, aluminum panel systems, and granite cladding. Based on an engineered structural assessment of
the envelope system these systems have reached the end of their useful life and there is an immediate need to replace. This project is also a critical first step in
CITY OF KITCHENER 2025 BUDGET SUMMARY APPENDIX G18
Issue Paper Summary
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addressing greenhouse gas emissions and energy efficiency pathways for City Hall. This project will focus on the renewal of the 10 -story administrative tower
exterior which will be tendered for construction in the winter of 2024/2025 and construction will commence in the spring of 2025.
Additional funding of $5.5M has been added to 2025 to address the three priority projects noted above.
For information.
CITY OF KITCHENER 2025 BUDGET SUMMARY APPENDIX G19