HomeMy WebLinkAboutFND-015-19Clarftwn
Finance Department
Report
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Report To: General Government Committee
Date of Meeting: May 27, 2019
Report Number: FND-015-19 Resolution: GG -362-19
File Number: By-law Number:
Report Subject: Annual Statement for the Development Charges Reserve Funds for
the Year Ended December 31, 2018
Recommendations:
1. That Report FND-015-19 be received; and
2. That a copy of this report be posted on the Municipality's website.
Municipality of Clarington
Report FND-015-19
Report Overview
Page 2
This report complies with the reporting requirements of Section 43 of the Development
Charges Act, 1997 to disclose the annual activity in the Development Charges Reserve
Funds for 2018.
1. Background
1.1 In accordance with the Development Charges Act, 1997, Schedule "A" attached shows
the activity in the Development Charges Reserve Funds for the year ended December
31, 2018, including opening and closing balances.
1.2 Schedule "B" attached shows capital projects which were funded during the year ended
December 31, 2018 with development charges. The table shows the total expenses,
development charge financing and non -development charge financing.
1.3 Schedule "C" attached shows operating expenses which were funded during the year
ended December 31, 2018 with development charges. The table shows the total
expenses, development charge financing and non -development charge financing.
1.4 Schedule "D" attached shows projects which have been previously approved by Council
through resolution or prior years' budgets. The amount committed relates solely to the
development charges portion. Finance staff will be working with departments to
determine if any of these projects should be removed from the committed list in 2019.
1.5 This statement is compliant with Section 59.1(1) of the Development Charges Act.
2. Additional Information
2.1 For the year ended December 31, 2018, a total of 1,138 residential building permits
were issued of various types. Approximately 786 units were anticipated for 2018 in the
2015 Development Charges Background Study. A total of 43 capital fund and 15
revenue fund projects have been financed by development charges.
2.2 On May 2, 2019 the Province of Ontario announced Bill 108 which has implications for
several areas of legislation including the Development Charges Act, 1997. Under the
proposed changes, several services will be removed from the eligible list of services for
development charges and allowed under the Planning Act as a Community Benefit
Charge. At the date of writing, the financial implications are unknown due to several
key factors in the legislation (transitional provisions, the prescribed rate for the
community benefits charge) are not publicly known.
Municipality of Clarington
Resort FND-015-19
Page 3
2.3 As identified in Schedule "A", the Indoor Recreation DC Reserve Fund has a $0 balance
at December 31, 2018 with a remaining interim financing balance of $127,904 and a
2019 debenture payment of $1,730,544. Provided that at least $1,858,448 of indoor
recreation development charges are collected, there will be an available balance at
December 31, 2019.
3. Concurrence
3.1 Not Applicable
4. Conclusion
4.1 It is respectfully recommended that the Annual Statement for the Development Charges
Reserve Funds be received for information and made available to the public by posting
on the Municipality's website.
5. Strategic Plan Application
Not applicable.
Submitted by:
revor Pinn, B.Com, /CPA, C
Director of Finance/Treasurer
Reviewe by:
Andrew C. Allison, B. Comm, LL.B
CAO
Staff Contact: Paul Creamer, CPA, CMA, Deputy Treasurer, 905-623-3379 ext. 2604 or
pereamer@clarington.net
Attachments:
Schedule "A" — Development Charges Reserve Funds Statement
Schedule "B" — Capital Expenses
Schedule "C" — Revenue Fund Expenses
Schedule "D" — Committed Amounts from Prior Years' Budgets / Council Approvals
There are no interested parties to be notified of Council's decision.
Municipality of Clarington
Development Charges Reserve Funds Statement
For the 2018 Year
Schedule A
to Report FND-015-19
* See Schedule B
** See Schedule C
*** See Schedule D
**** 2019 Budget (includes 2019 debenture payments)
Note: brackets = funds available, no brackets = shortfall
Total Development Charges collected on behalf of the Region in Dec 2017/2018 $ 16,380,179.81
Less: amounts paid to the Region 2018 16,109,242.81
Total Development Charges due to the Region at December 31, 2018 $ 270,937.00
580
581
582
583
584
585
586
587
General
Library
Fire Protection
Indoor
Park Dev. &
Operations
Roads and
Parking
Total
Government
Services
Services
Recreation
Related Facilities
Related
Balance as of December 31, 2017
$ 1,539,738
$ 1,033,840
$ 4,307,475
$ -
$ 2,472,543
$ 3,217,820
$ 20,219,913
$ 398,751
$ 33,190,081
Plus:
Development Charge Proceeds
(346,233)
(567,821)
(735,453)
(3,652,373)
(1,161,285)
(713,835)
(6,217,891)
(36,758)
(13,431,649)
Accrued Interest Apportionment
(56,617)
(42,037)
(162,114)
(99,599)
(123,907)
(788,378)
(14,228)
(1,286,879)
Transfer from Revenue Fund
-
Transfer from Capital Fund
-
Subtotal
402,849
609,858
897,567
3,652,373
1,260,883
837,743
7,006,269
50,986
14,718,528
Less:
Amount Transferred to Capital Fund *
27,000
-
-
845,508
58,179
1,599,877
2,530,563
Amount Transferred to Revenue Fund**
199,736
496,847
-
1,731,403
641
-
538,773
2,967,401
Re a ment of Interim Financing from Reserve Funds
-
-
1,920,970
-
-
-
-
1,920,970
Subtotal
226,736
496,847
3,652,373
846,149
58,179
2,138,650
-
7,418,934
Closing Balance as of December 31, 2018
1,715,851
1,146,851
5,205,042
-
2,887,278
3,997,385
25,087,532
449,737
40,489,675
Committed Amounts from Prior Years ***
1,151,326
251,018
-
749,173
1,565,958
13,176,375
19,800
16,913,649
Available at December 31, 2018564,525
895,833
5,205,042
-
I f2.138,105)F2,431,426
11,911,158
429,937
23,576,026
Committed Amounts from 2019 Budget ****
216,000
205,735
-
1,730,544
992,193
652,500
7,487,970
-
11,284,942
Balance remaining of Interim Financing from Reserve Funds
-
-
-
127,904
-
-
-
-
127,904
Balance Available for Future Needs
$ 348,525
$ 690,098
$5,205,042
$ 1,858,448
$ 1,145,912
$ 1,778,926
$ 4,423,188
$ 429,937
$ 12,163,180
* See Schedule B
** See Schedule C
*** See Schedule D
**** 2019 Budget (includes 2019 debenture payments)
Note: brackets = funds available, no brackets = shortfall
Total Development Charges collected on behalf of the Region in Dec 2017/2018 $ 16,380,179.81
Less: amounts paid to the Region 2018 16,109,242.81
Total Development Charges due to the Region at December 31, 2018 $ 270,937.00
Schedule B
to Report FND-015-19
Municipality of Clarington
Development Charges Reserve Funds Statement
For the 2018 Year
Total Expenses
D/C R/F
Non D/C
Capital Expenses
For 2018
Financing
Financing
Description
D/C - General Government
Encode Plus LLC ( Zoning Software)
$
30,000
$
27,000
$
3,000
Reserves - Consulting/Prof Fees
$ 30,000
$ 27,000
$ 3,000
D/C - Park Development & Related Facilities
Bowmanville Valley Trail
$
165,234
$
148,711
$
16,523
Mun Cap Works R/F
Soper Creek Park Trail
163,975
147,577
16,397
Eng Park Cap R/F
Farewell Creek Park Trail
436,218
392,596
43,622
Mun Cap Works R/F
Courtice Leash Free Dog Park
25,609
23,048
2,561
Mun Cap Works R/F
Enniskillen Park
334,998
129,433
71,907
Eng Park Cap R/F
-
-
86,289
Mun Cap Works R/F
-
-
47,369
Hydro One Grant
Aspen Spring Parkette
4,602
4,142
460
Eng Park Cap R/F
$ 1,130,636
$ 845,508
$ 285,128
D/C - Operations
New Equip Purch - 2017 Fleet
$
38,382
$
34,544
$
3,838
Mun Cap Works R/F
New Equip Purch - 2017 Roads
20,000
18,000
2,000
Mun Cap Works R/F
New Equip Purch - 2018 Roads
2,532
2,279
253
Mun Cap Works R/F
Hampton Office Expansion
3,728
3,356
373
Tax Levy
$ 64,643
$ 58,179
$ 6,464
D/C - Roads And Related
Grady Drive EA Completion
$
6,608
$
6,608
$
-
Baseline Rd ( Lambs to Bennett)
32,832
32,832
-
Darlington Blvd (South Limit to Hwy 2)
16,420
13,136
3,284
Mun Cap Works R/F
Longworth Ave Extension EA (Green Rd to Holt Rd)
25,431
25,431
-
Longworth Ave Oversizing
2,316
1,482
834
Mun Cap Works R/F
Port Darlington Subdivision Rd 2016
309,217
309,217
-
Holt Rd Reconstruction ( Hwy 401 to Hwy #2)
3,085
2,623
463
Mun Cap Works R/F
George Reynolds Dr
41,668
41,668
-
Lambs Rd (Baseline to 275m N of Baseline Rd)
87,815
79,033
8,781
Mun Cap Works R/F
Lake Rd Extension (Bennett Rd to 310m west)
12,003
10,682
1,320
Mun Cap Works R/F
Lambs Rd (Hwy 2 to Conc St E)
22,007
19,807
2,201
Mun Cap Works R/F
Middle Rd Reconstruction ( Conc Rd 3 to Urban Limit)
13,818
11,469
2,349
Mun Cap Works R/F
Green Rd ( Harvey Jones to Longworth)
58,942
50,100
8,841
Mun Cap Works R/F
Street Lighting - Concession Road 3
25,075
21,897
3,178
Mun Cap Works R/F
Schedule B
to Report FND-015-19
Municipality of Clarington
Development Charges Reserve Funds Statement
For the 2018 Year
Total Expenses
D/C R/F
Non D/C
Capital Expenses
For 2018
Financing
Financing
Description
Street Lighting - Courtice Rd ( South of Holyrod Dr)
3,638
3,638
-
Sidewalk - RR 34 / Courtice Rd ( Nash Rd - North Urban Limit)
8,304
8,304
-
Various Erosion Protection Works
203,996
136,004
67,992
Mun Cap Works R/F
Sidewalk - Region Rd 57 East Side ( Concession Rd 3 to North Urban Limit)
1,470
1,470
-
Lambs Rd Interchange @ Hwy 401
11,681
11,681
-
Concession Rd 3 (Middle to Liberty St)
221,272
190,294
30,978
Mun Cap Works R/F
RR17 Sidewalk (Mill St - CPR)
6,894
6,894
-
Scugog St. Intersection Improvements
2,076
372
1,703
Mun Cap Works R/F
Longworth Ave. Intersection Improvements
10,147
6,464
3,683
Mun Cap Works R/F
King St. Intersection Improvements
4,338
1,913
2,425
Mun Cap Works R/F
Green Rd Traffic Signal @ Stevens Rd
496,130
496,130
-
Scugog St / Middle Rd ( Bons Ave to Conc Rd 3)
51,210
37,383
13,827
Mun Cap Works R/F
Sidewalk Hwy 2 ( Rudell Rd to Given Rd) North Side
42,873
42,873
-
Street Lighting - Hwy 2 (Haines St to Bennett Rd)
5,814
5,814
-
Port Darlington Waterfront Park East Beach Phase 1
606
606
-
Street Lighting - Baseline Rd ( Green Rd to West Side Dr)
30
28
2
Mun Cap Works R/F
Soper Creek Crossing Pedestrian Link to Camp 30
23,718
23,718
-
Green Rd Traffic Signal @ Stevens Rd
305
305
-
$ 1,751,738
$ 1,599,877
$ 151,862
Total Capital Expenses
$ 2,977,018
$ 2,530,563
$ 446,454
Summary of Financing:
$ -
$ 27,000
$ -
D/C - Emergency Services
-
845,508
-
D/C - Park Dev/Related Facilities R/F
-
58,179
-
D/C - Operations R/F
-
1,599,877
-
D/C - Roads and Related R/F
-
-
306,948
Municipal Capital Works R/F
-
-
88,765
Engineering Parks Capital R/F
-
-
47,369
Hydro One Grant
-
-
3,000
Consulting/Prof Fees Reserves
-
-
373
Tax Lev
Total Financing $ 2,977,018
$ 2,530,563
$ 446,454
Schedule C
to Report FND-015-19
Municipality of Clarington
Development Charges Reserve Funds Statement
For the 2018 Year
Total Expenses
D/C R/F
Non D/C R/F
REVENUE FUND EXPENSES
For 2018
Financing
Financing
Description
D/C - General Government
Jury Lands Master Plan
$
35,593
$
32,034
$
3,559
Prof Fees
Planning - Zoning Bylaw
7,836
7,052
784
Prof Fees
Legal - DCA
24,534
22,080
2,453
Prof Fees
Secondary Plan - Bowmanville West Urban Centre
52,031
44,873
4,986
Prof Fees
-
-
2,172
Tax Levy
Secondary Plan - Bowmanville East
21,655
17,864
1,985
Prof Fees
-
-
1,806
Tax Levy
Secondary Plan - Energy Park
34,479
31,000
3,445
Prof Fees
-
-
34
Tax Levy
Secondary Plan - Tooley Robinson
49,733
44,759
4,973
Prof Fees
Planning - Official Plan Review
81
73
8
Prof Fees
$ 225,940
$ 199,736
$ 26,204
D/C - Library Services
Contribution towards Debenture Debt -Courtice Library
$
78,905
$
78,905
$
-
Contribution towards Debenture Debt - Newcastle Library
553,468
309,942
243,526
Tax Levy
2018 Library Collections Capital Funds to Library
108,000
108,000
-
740,373
496,847
243,526
D/C - Indoor Recreation
Contribution towards Debenture Debt- Newcastle District Recreation Ctr
$
1,759,688
$
1,583,719
$
175,969
Tax Levy
Contribution towards Debenture Debt- Bowmanville Indoor Soccer
164,094
147,684
16,409
Debt Retirement RF
$ 1,923,781
$ 1,731,403
$ 192,378
D/C - Park Development & Related Facilities
Parks Development - Consulting
$
712
$
641
$
71
Tax Levy
$ 712
$ 641
$ 71
D/C - Roads and Related
Contribution towards Debenture Debt- Green Road
$
538,773
$
538,773
$
-
$
538,773
$
538,773
$
-
Total Revenue Fund Expenses
$
3,429,580
$
2,967,401
$
462,179
Summary of Financing:
$
-
$
199,736
$
-
D/C - General Goverment
Schedule C
to Report FND-015-19
Municipality of Clarington
Development Charges Reserve Funds Statement
For the 2018 Year
Total Expenses
D/C R/F
Non D/C R/F
REVENUE FUND EXPENSES
For 2018
Financing
Financing
Description
-
496,847
-
D/C- Library Services
-
1,731,403
-
D/C-Indoor Recreation
-
641
-
D/C-Park Dev/Related Facilities
-
538,773
-
D/C - Roads and Related
-
-
16,409
Debt Retirement R/F
-
-
423,577
Tax Levy
-
-
1 22,193
jProfessional Fees Reserve
TOTAL FINANCING $ 3,429,580
$ 2,967,401
1 $ 462,179
Schedule D to
Report FND-015-19
Municipality of Clarington
Development Charges
Reserve Funds Statement
For the 2018 Year
Committed Amounts From Prior Years' Budgets and Council Approvals
Year
Project Description
Amount
Committed
Reserve Fund:
D/C - General Government
2011 Operating
Planning studies - zoning bylaw
$
23,166
2011 Operating
Plan - OP review commercial policy review
14,588
2011 Operating
Plan - Op review miscellaneous / contingency
25,419
2011 Operating
Secondary Plan - Bowmanville East
136
2012 Operating
Planning studies - Technology & Planning/Review project
27,686
2012 Operating
Secondary Plan - Bowmanville East
18,000
2015 Unexpended
Planning studies - zoning bylaw review - 90% DC [10% Prof fees Res]
108,639
2016 Operating
Operations -needs study [10% Prof fees Res]
90,000
2016 Operating
Plan studies - waterfront vision implementation plan [10% Prof fees Res]
90,000
2017 Council
Secondary Plans Agreement template [10% tax levy]
18,000
2017 Operating
Secondary Plan - Tooley Robinson Subwatershed Study
135,241
2017 Operating
Secondary Plan - Bowmanville East Town Centre
135,000
2017 Operating
Secondary Plan - Bowmanville West
32,634
2017 Operating
Secondary Plan - Bowmanville West
3,009
2017 Operating
Secondary Plan - Bowmanville West
80,805
2017 Operating
Secondary Plan - Bowmanville West
22,693
2017 Operating
Secondary Plan - Courtice Employment Lands
135,000
2017 Operating
Secondary Plan - Energy Business Park Update
14,000
2018 Operating
OP Appea Legal Costs
67,920
2018
Secondary Plan - Bowmanville East
90,491
2018
Secondary Plan - Bowmanville West
14,400
2018
Secondary Plan - Energy Business Park Update
4,500
Total Committed: $
1,151,326
Reserve Fund:
D/C - Library Services
2015 Capital
Library Collection - purchase of additional resources in all formats
$
26,697
2016 Capital
Library Collection - purchase of additional resources in all formats
77,143
2017 Capital
Library Collection - purchase of additional resources in all formats
127,589
2018 Capital
Library Collection - purchase of additional resources in all formats
19,589
Total Committed: $
251,018
Reserve Fund:
D/C - Indoor Recreation
2014
Balance remaining of Interim Financing from Reserve Funds
$
127,904
Total Committed: $
127,904
Page 6 of 9
Schedule D to
Report FND-015-19
Municipality of Clarington
Development Charges Reserve Funds Statement
For the 2018 Year
Committed Amounts From Prior Years' Budgets and Council Approvals
Year
Project Description
Amount
Committed
Reserve Fund:
D/C - Park Development & Related Facilities
2017 Capital
Farewell Creek Park Trail - Phase 1
$
35,977
2017 Capital
Courtice Dog Park
13,916
2017 Capital
Enniskillen Park
5,567
2017 Capital
Waterfront Trail Realignment - Energy Dr to Waverley Rd
36,000
2017 Capital
Waterfront Trail Realignment - Bennet Rd Easterly to existing trail
4,500
2018 Capital
Bowmanville Valley Trail (Baseline to Waterfront)
382,289
2018 Capital
Soper Creek Park Trail - Phase 2
257,423
2018 Operating
Consulting - Parks Design (10% tax levy)
13,500
Total Committed: $
749,173
Reserve Fund:
D/C - Operations
2013 Capital
Depot 42 Operations Centre - Construction of Pole Barn/Quonset Hut
$
257,728
2015 Capital
Hampton office expansion
6,627
2016 Capital
Depot 42 Operations Centre - Construction of Pole Barn/Quonset Hut
675,000
2017 Capital
Bowmanville Cemetery expansion - design
22,500
2018 - GGC Report
Tandem Diesel Dump Truck(s) w/Plow - Add'I funding was required
16,882
2018 Capital
Fleet New - Roads
519,721
2018 Capital
Operations Depot Improvements
67,500
Total Committed: $
1,565,958
Page 7 of 9
Municipality of Clarington
Development Charges Reserve Funds Statement
For the 2018 Year
Committed Amounts From Prior Years' Budaets and Council Aaarovals
Year Project Description
Reserve Fund:
D/C - Roads and Related
2011 Capital
Rudell Rd Reconstruction
2011 Capital
North Scugog Court
2011 Capital
Baseline Rd Sidewalk - Green to Westside
2011 Capital
Brookhill Tributary Nick Point Remedial Work
2013 Capital
Port Darlington Waterfront Park East Beach Phase 1
2013 Capital
Concession Rd 3 ( Liberty St. - Jollow Dr) Design
2013 Capital
Concession Rd 3 (#57 - Middle Rd)
2013 Council
Port Darlington Waterfront Park East Beach Phase 1 -- add'I financing
2013 Council
Lake Rd Extension
2014 Capital
Brookhill Blvd Oversizing
2014 Operating
Engineering Consulting- Design CIMA (Longworth Ave W)
2015 Capital
Baseline Rd Streetlighting (Green Rd - West side Dr)
2015 Capital
Rudell Rd Reconstruction
2015 Capital
Scugog St. / Middle Rd Reconstruction
2015 Capital
Green Rd Reconstruction (Harvey Jones to Longworth)
2015 Capital
Holt Rd Reconstruction (Hwy 401 to Hwy 2) Design
2015 Capital
Sidewalk -Rudell Rd (Sunset Blvd to Hart)
2016 Capital
Street lighting - Courtice Road (south of Holyrod Dr)
2016 Capital
Pavement Rehabilitation -Green Road cycling lanes [DC -project #251 - trsf UECF from Trulls Rd for CL2016-17
2016 Capital
Longworth Ave extension EA (Green to Holt)
2016 Capital
Middle Rd reconstruction (Con Rd 3 to urban limit)
2016 Capital
Soper Creek pedestrian link to Camp 30
2016 Capital
Grady Drive (at Foster Creek) Environmental Assessment Completion
2016 Capital
North Scugog Court surface asphalt (Dan Sheehan to West Scugog)
2016 Capital
Holt Rd Reconstruction (Bloor to Hwy 2)
2016 Capital
Lambs Road interchange at Hwy 401 - cost/benefit study
2016 Capital
Liberty St sidewalk (Longworth to Bons -west side)
2016 Capital
King St streetscape (RR57 to Bow Creek)
2016 Council
Green Rd Grade Separation - trf'd from Conc Rd#3 (Middle to Liberty)
2016 Operating
Pond Maintenance/Sediment Cleanout-Clarington Ponds/Clarnew, Newc & WestSide, Bow(CIMA)
2017 Capital
Longworth Ave Culvert at Brookhill Tributary
2017 Capital
Longworth Ave Oversizing (Green Rd to Clarington Blvd)
2017 Capital
Green Rd Reconstruction (Stevens to Harvey Jones)
2017 Capital
George Reynolds Dr Extension
2017 Capital
Concession Rd 3 (Middle Rd - Liberty St.)
Page 8 of 9
Schedule D to
Report FND-015-19
Amount
Committed
62,645
335,164
71,272
7,101
1,611
11,803
30,972
110,000
409,044
310,000
446
37,552
60,000
190,913
858,295
88,875
43,000
24,518
12,003
83,432
223,834
338,400
123,046
21,437
948,435
13,619
98,000
4,315
89,194
5,068
67,000
14,443
17,799
60,891
118,639
Schedule D to
Report FND-015-19
Municipality of Clarington
Development Charges
Reserve Funds Statement
For the 2018 Year
Committed Amounts From Prior Years' Budgets and Council Approvals
Year
Project Description
Amount
Committed
2017 Capital
Port Darlington subdivision Rd (Port Darlington to east)
327,794
2017 Capital
King St Cycling Facility (RR 57 to Roenigk Dr)
12,500
2017 Capital
Concession St East Reconstruction (Soper Ck Dr to Lambs Rd)
999,812
2017 Capital
North Street Sidewalk (George to Remi)
85,000
2017 Capital
Liberty St sidewalk (Bons Ave to Jenningds - west side)
120,000
2017 Capital
Clarington Blvd at Prince William Dr Traffic Signals
25,000
2017 Capital
Green Rd at Stevens Rd Traffic Signals
24,695
2017 Capital
Scugog St at Wellinton St Intersection Improvements
21,231
2017 Capital
Longworth Ave and Green Rd Intersection
38,126
2017 Capital
King St at Scugog - Intersection Improvements
9,496
2017 Operating
Engineering - Design
75,000
2018 Capital
Street lighting - Concession Rd 3 ( Liberty St to Jollow Dr)
28,608
2018 Capital
Street lighting - RR57 (Hwy2 to 150m N of Stevens Rd)
20,000
2018 Capital
Street lighting - RR57 (Conc Rd 3 to Urban Limit)
340,000
2018 Capital
Darlington Bldv (South limit to Hwy2)
67,264
2018 Capital
Baseline Rd (Lambs to Bennett)
2,472,168
2018 Capital
Green Rd (Harvey Jones to Ross Wright)
70,890
2018 Capital
Lake Rd Extension (Bennett Rd to 310m West)
69,103
2018 Capital
King St Cycling Facility
125,000
2018 Capital
Lambs Rd (Baseline to 275m N of Baseline Rd)
632,204
2018 Capital
Lambs Rd (Hwy 2 to Concession St E)
1,953,593
2018 Capital
Sidewalk - RR 34/Courtice Rd (Nash Rd to Urban Limit)
16,696
2018 Capital
Sidewalk - RR 57 (Conc Rd 3 to Urban Limit) East Side
248,530
2018 Capital
Sidewalk - RR 57 Multi -use Trail - Aspen Springs to Hwy 2
15,000
2018 Capital
Traffic Signals - Green Rd at Stevens Rd
225,000
2018 Capital
Intersection Improvements - King St at Scugog St
22,050
2018 Capital
Intersection Improvements - Green Rd at Bowell
125,165
2018 Capital
Various Erosion Protection Works
29,685
2018 Operating
Engineering - Design
72,500
2018 Operating
50% North Newc Drainage Study
11,500
Total Committed: $
13,176,375
Reserve Fund:
D/C - Parking
2015 Capital
New Central Parking Meters - Newcastle
$
19,800
Total Committed: $
19,800
Total Committments to Development Charges Reserve Funds
$
17,041,553
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