Committee of the WholeMeeting AgendaTuesday, May 02, 2023 at 2:00 P.m. - 6:00 P.m.Council ChambersGuelph City Hall, 1 Carden StreetChanges to the original agenda are noted with an asterisk "*".Committee of the Whole Meetings are live streamed at guelph.ca/live. Members of the public may delegate in person or by electronic participation. To listen to the meeting over the phone, call 1-416-216-5643 and enter access code 2344 626 7458.1.Call to Order 1.1Disclosure of Pecuniary Interest and General Nature Thereof 2.Service Area - Corporate Services Chair - Councillor Caron3.Items for Discussion - Corporate Services The following items have been extracted from Consent Agenda and will be considered separately. These items have been extracted either at the request of a member of Council or because they include a presentation and/or delegations.3.12022 Year-end Capital and Operation Budget Monitoring and Long-term Financial Statement Reporting 1.2022 Year-end Capital and Operation Budget Monitoring and Long-term Financial Statement Reporting Presentation.pdfPresentation:Trevor Lee, Deputy Chief Administrative Officer, Corporate ServicesTara Baker, General Manager, Finance/City Treasurer3.1.12022 Year-end Operating Budget Monitoring and Surplus Allocation Report - 2023-157 1.2022 Year-end Operating Budget Monitoring and Surplus Allocation Report - 2023-157.pdf2.Attachment-1 2022 Year-end Operating Surplus and Deficit by Department.pdf3.Attachment-2 2022 Year-end Operating Surplus and Deficit by Strategic Plan Pillar.pdf4.Attachment-3 2022 Year-end Operating Surplus and Deficit by Account Category.pdfRecommendation: That the 2022 operating surplus of 13,698,567 be allocated to or funded from the City’s reserve and reserve funds or grants as follows: Transfer $841,703 from Safe Restart Funding Transit Reserve Fund (344) to Transit Services to fully utilize this Grant in 2022. Transfer $155,862 from Safe Restart Funding Transit Phase 4 to Transit Services to fully utilize this Grant in 2022. Transfer the Guelph Public Library surplus of $140,000 to the Library Capital Reserve Fund (157). Transfer $540,000 to the WSIB Reserve (330) in accordance with the request from the Guelph Police Board. Transfer $790,000 to the Police Operating Contingency Reserve (115) in accordance with the request from the Guelph Police Board. Transfer $840,000 to the Police Capital Reserve Fund (158) in accordance with the request from the Guelph Police Board. Transfer $1,300,000 to the Tax Operating Contingency Reserve (180) to partially build back one-time funds used in the 2023 approved budget. Transfer $976,000 to 100RE Reserve Fund (355) for savings from corporate utilities. Transfer $1,200,000 to Environment and Utility Reserve (198) for revenue surplus for sale of recycled goods. Transfer $587,000 to the City Building Reserve Fund (159) to mitigate future tax impacts related to inflation. Transfer $1,370,000 to the Growth Reserve Fund (156) to mitigate future tax impacts related to inflation and growth revenue shortfalls associated with Bill 23. Transfer $4,569,092 to the Infrastructure Renewal Reserve Fund (150) to mitigate future tax impacts related to inflation. Transfer the Water Services surplus of $1,814,411 to the Water Capital Reserve Fund (152). Transfer the Wastewater Services surplus of $1,542,519 to the Wastewater Capital Reserve Fund (153). Transfer the Stormwater Services surplus of $55,385 to the Stormwater Capital Reserve Fund (165). Transfer the Building Services surplus of $124,305 to the Building Services OBC Stabilization Reserve Fund (188). Transfer $476,876 from the Safe Restart Operating Stream Grant held in the Tax Operating Contingency Reserve (180) to parking services to fund COVID-related revenue shortfalls. Transfer $786,877 from the Parking Operating Contingency Reserve (106) to fund COVID-related revenue shortfalls. Transfer the Court Services surplus of $111,172 to the Court Capital Reserve Fund (120). 3.1.22022 Year-end Capital Budget Monitoring Report - 2023-154 1.2022 Year-end Capital Budget Monitoring Report - 2023-154.pdf2.Attachment-1 Q4 2022 Capital Spending.pdf3.Attachment-2 Q4 2022 Capital Budget Adjustments.pdf4.Attachment-3 Capital prioritization 2022 adjustments.pdfRecommendation:That the funding adjustments as detailed in Table 5 of Attachment-2 of the 2022 Year-end Capital Budget Monitoring Report dated May 2, 2023, be approved. That $375,000 be approved for RD0449 Wildlife Crossing – Maltby Road and be funded from the Infrastructure Renewal Reserve Fund (#150) to install permanent wildlife crossing and fencing on Maltby Road between Gordon Street and Victoria Road South.3.1.32022 Long-term Financial Statement - Reserves and Debt - 2023-159 1.2022 Long-term Financial Statement - Reserves and Debt - 2023-159_.pdf2.Attachment-1 Reserve and Reserve Fund Activity for 2022.pdf3.Attachment-2 Development Charge Reserve Fund Statement.pdf4.Attachment-3 Development Charge Project Financing Statement.pdf5.Attachment-4 2022 Debt Activity.pdfRecommendation: That the 2022 Long-term Financial Statement: Reserves and Debt be received for information. 4.Service Area Chair and Staff Announcements 5.Service Area - Public Service Chair - Councillor Downer6.Items for Discussion - Public Services The following items have been extracted from Consent Agenda and will be considered separately. These items have been extracted either at the request of a member of Council or because they include a presentation and/or delegations.6.1E-scooter - Councillor Goller Motion Councillor Goller will speak to this item.Recommendation: That staff be directed to bring a report and draft bylaw/bylaw amendment to the Traffic Bylaw to the July 5th, 2023 Committee of the Whole meeting to permit the operation of personal use e-scooters, meeting all Provincially required conditions and regulations, and including any other recommended conditions. That due to the Provincial e-scooter Pilot ending on January 1st 2025 and the opportunity to regulate e-scooters in 2023, City Council acknowledges that the City will not undertake the normal public consultation. City Council encourages the public to provide feedback to Council directly, and to delegate at the July Committee of the Whole or City Council meetings. That City Council requests that Guelph Police Services provide input into the July staff report related to enforcement of the proposed bylaw, impacts for provincial reporting requirements concerning crash data, and recommendations regarding an e-scooter public education campaign 7.Service Area Chair and Staff Announcements 8.Adjournment No Item Selected This item has no attachments1.2022 Year-end Capital Budget Monitoring Report - 2023-154.pdf2.Attachment-1 Q4 2022 Capital Spending.pdf3.Attachment-2 Q4 2022 Capital Budget Adjustments.pdf4.Attachment-3 Capital prioritization 2022 adjustments.pdf1.2022 Year-end Operating Budget Monitoring and Surplus Allocation Report - 2023-157.pdf2.Attachment-1 2022 Year-end Operating Surplus and Deficit by Department.pdf3.Attachment-2 2022 Year-end Operating Surplus and Deficit by Strategic Plan Pillar.pdf4.Attachment-3 2022 Year-end Operating Surplus and Deficit by Account Category.pdf1.2022 Long-term Financial Statement - Reserves and Debt - 2023-159_.pdf2.Attachment-1 Reserve and Reserve Fund Activity for 2022.pdf3.Attachment-2 Development Charge Reserve Fund Statement.pdf4.Attachment-3 Development Charge Project Financing Statement.pdf5.Attachment-4 2022 Debt Activity.pdf1.2022 Year-end Capital and Operation Budget Monitoring and Long-term Financial Statement Reporting Presentation.pdf