The Public GalleryToronto

Executive Committee · 2021-12-07 · 2021.EX28.9

The filed record

Obligatory Reserve Funds (Deferred Revenues) and Reserves and Discretionary Reserve Funds as at September 30, 2021

The Public Gallery wrote no story on this item. What follows is the city’s own record of what happened to it, as filed: nothing on this page is summarised or scored by us.

The decision

2021-12-15 · Toronto City Council · adopted

As filed

City Council on December 15, 16 and 17, 2021, adopted the following: 1. City Council approve the establishment of a discretionary reserve fund called the 'Toronto Public Library IT Asset Replacement Reserve Fund' in Appendix B, Schedule 7 - Corporate Discretionary Reserve Funds of the City of Toronto Municipal Code Chapter 227, Reserves and Reserve Funds, the purpose of which is to provide funding to purchase Information Technology equipment for Toronto Public Library as part of the annual replacement cycle for Information Technology equipment, with criteria set out in Appendix G to the report (November 3, 2021) from the Chief Financial Officer and Treasurer.

Show the rest of As filed, 3,688 more characters as filed

2. City Council approve the establishment of a Stabilization Reserve called the 'Debt Servicing Stabilization Reserve' in Appendix A, Schedule 3 - Stabilization Reserves of the City of Toronto Municipal Code Chapter 227, Reserves and Reserve Funds, the purpose of which is to reduce the volatility of the City's annual debt service costs, with criteria set out in Appendix H to the report (November 3, 2021) from the Chief Financial Officer and Treasurer. 3. City Council authorize that the name of the 'Sony Centre Facility Fee Reserve Fund' be changed to the 'TO Live Facility Fee Reserve Fund' and that the criteria sheet, reflecting changes to the purpose, and its contribution and withdrawal policies be amended, as outlined in Appendix I to the report (November 3, 2021) from the Chief Financial Officer and Treasurer, and City Council amend Appendix B, Schedule 8 of Chapter 227 to reflect the revised purpose. 4. City Council adopt a change in name of the 'Public Health Efficiency Reserve Fund' account to the 'Public Health Reserve Fund', as well as a change to its purpose and criteria as reflected in the revised Criteria Sheet in Appendix J to the report (November 3, 2021) from the Chief Financial Officer and Treasurer, and City Council amend Appendix B, Schedule 7 of Chapter 227 to reflect the revised name and purpose. 5. City Council authorize that the names of the following accounts be changed to be consistent with the change in name of their respective Divisions, and City Council amend the schedules of Chapter 227 as set out in the following table: Existing Reserve Name Recommended New Reserve Name Schedule # E.M.S. - Vehicle Reserve Toronto Paramedic Services Vehicle Reserve Schedule 1 E.M.S. - Equipment Reserve Toronto Paramedic Services Equipment Reserve Schedule 1 Economic Development, Culture and Tourism Vehicle Reserve Economic Development and Culture Vehicle Reserve Schedule 1 Long-Term Care Homes and Services Vehicle Reserve Seniors Services and Long-Term Care Vehicle Reserve Schedule 1 Homes for the Aged Stabilization Reserve Seniors Services and Long-Term Care Stabilization Reserve Schedule 3 Development Charges - Emergency Medical Services Reserve Fund Development Charges - Toronto Paramedic Services Reserve Fund Schedule 11 Homes for the Aged Reserve Fund Seniors Services and Long-Term Care Reserve Fund Schedule 13 6. City Council direct the following accounts, which have zero balances, be closed and deleted from the Schedules to Chapter 227 as set out in the table to follow. Reserve Account Beneficial Program Schedule # Mayor's Office Vehicle Reserve Mayor's Office Schedule 1 Sony Centre Stabilization Reserve TO Live Schedule 3 Bloor Street Transformation Maintenance Reserve Fund Transportation Services Schedule 8 St. Lawrence Centre for the Arts Reserve Fund TO Live Schedule 8 Modular Housing Reserve Fund Corporate Real Estate Management Schedule 15 7. City Council direct that the balance of the 'Toronto Centre for the Arts Improvement Reserve Fund' in the amount of $213,689.00 be transferred to the 'TO Live Facility Fee Reserve Fund' and it be closed and deleted from Appendix B, Schedule 8 in Chapter 227. 8. City Council direct that the balance of the 'Toronto Centre for the Arts Stabilization Reserve' in the amount of $372.76 be transferred to the 'TO Live Facility Fee Reserve Fund' and it be closed and deleted from Appendix A, Schedule 3 in Chapter 227. 9. City Council direct that the balance of the 'Water Efficiency Loan Reserve Fund' in the amount of $2,393,277.21 be transferred to the Water Capital Reserve Fund (deferred revenue) and it be closed and deleted from Appendix C, Schedule 16 in Chapter 227.

On the agenda

As the city filed it

The City of Toronto (City) maintains balances that are recognized as revenues in future years, in addition to reserves and reserve funds that provide future funding offsets. This report provides balances for obligatory reserve funds (deferred revenues) and reserves and discretionary reserve funds as at September 30, 2021. In addition, this report requests Council approval for administrative amendments to the City of Toronto Municipal Code Chapter 227, Reserves and Reserve Funds ("Chapter 227").

Show the rest of As the city filed it, 1,334 more characters as filed

This includes a request to establish a new reserve and discretionary reserve fund change the names/purposes of a number of reserves and reserve funds to better reflect divisional allocation, and close five reserve/reserve fund accounts and transfer residual balances accordingly. As at September 30, 2021, the City recognized $8,978.8 million in total deferred revenues (obligatory reserve funds) and discretionary reserve funds, an increase of $1,393.0 million from the December 31, 2020 balance of $7,585.8 million. These balances are subject to annual changes based on receipts from third parties, recognition of amounts into revenue based on third party agreements and revenue recognition principles and transfers between funds, based on Council approvals. A total of 97.1 percent of the City's deferred revenues and reserves are fully committed, with the breakdown of the total balance as follows: - Committed funds included in the City's reserves, or in support of legislated, contractually bound or Council-directed activities ($8,059.6 million); - Committed funds to fund capital costs and pressures on rate-based activities ($655.5 million); - Uncommitted funds of $263.7 million, or 2.9 percent of the total balance, to respond to various unanticipated costs and to stabilize various funding sources, including the tax base.

Staff recommended

The Budget Committee recommends that: 1. City Council approve the establishment of a discretionary reserve fund called the 'Toronto Public Library IT Asset Replacement Reserve Fund' in Appendix B, Schedule 7 - Corporate Discretionary Reserve Funds of the City of Toronto Municipal Code Chapter 227, Reserves and Reserve Funds, the purpose of which is to provide funding to purchase Information Technology equipment for Toronto Public Library as part of the annual replacement cycle for Information Technology equipment, with criteria set out in Appendix G to the report (November 3, 2021) from the Chief Financial Officer and Treasurer.

Show the rest of Staff recommended, 3,643 more characters as filed

2. City Council approve the establishment of a Stabilization Reserve called the 'Debt Servicing Stabilization Reserve' in Appendix A, Schedule 3 - Stabilization Reserves of the City of Toronto Municipal Code Chapter 227, Reserves and Reserve Funds, the purpose of which is to reduce the volatility of the City's annual debt service costs, with criteria set out in Appendix H to the report (November 3, 2021) from the Chief Financial Officer and Treasurer. 3. City Council authorize that the name of the 'Sony Centre Facility Fee Reserve Fund' be changed to the 'TO Live Facility Fee Reserve Fund' and that the criteria sheet, reflecting changes to the purpose, and its contribution and withdrawal policies be amended, as outlined in Appendix I to the report (November 3, 2021) from the Chief Financial Officer and Treasurer, and amend Appendix B, Schedule 8 of Chapter 227 to reflect the revised purpose. 4. City Council adopt a change in name of the 'Public Health Efficiency Reserve Fund' account to the 'Public Health Reserve Fund', as well as a change to its purpose and criteria as reflected in the revised Criteria Sheet in Appendix J to the report (November 3, 2021) from the Chief Financial Officer and Treasurer, and amend Appendix B, Schedule 7 of Chapter 227 to reflect the revised name and purpose. 5. City Council authorize that the names of the following accounts be changed to be consistent with the change in name of their respective Divisions, and amend the schedules of Chapter 227 as set out in the following table: Existing Reserve Name Recommended New Reserve Name Schedule # E.M.S. - Vehicle Reserve Toronto Paramedic Services Vehicle Reserve Schedule 1 E.M.S. - Equipment Reserve Toronto Paramedic Services Equipment Reserve Schedule 1 Economic Development, Culture & Tourism Vehicle Reserve Economic Development & Culture Vehicle Reserve Schedule 1 Long-Term Care Homes & Services Vehicle Reserve Seniors Services and Long-Term Care Vehicle Reserve Schedule 1 Homes for the Aged Stabilization Reserve Seniors Services and Long-Term Care Stabilization Reserve Schedule 3 Development Charges - Emergency Medical Services Reserve Fund Development Charges - Toronto Paramedic Services Reserve Fund Schedule 11 Homes for the Aged Reserve Fund Seniors Services and Long-Term Care Reserve Fund Schedule 13 6. City Council direct the following accounts, which have zero balances, be closed and deleted from the Schedules to Chapter 227 as set out in the table to follow. Reserve Account Beneficial Program Schedule # Mayor's Office Vehicle Reserve Mayor's Office Schedule 1 Sony Centre Stabilization Reserve TO Live Schedule 3 Bloor Street Transformation Maintenance Reserve Fund Transportation Services Schedule 8 St. Lawrence Centre for the Arts Reserve Fund TO Live Schedule 8 Modular Housing Reserve Fund Corporate Real Estate Management Schedule 15 7. City Council direct that the balance of the 'Toronto Centre for the Arts Improvement Reserve Fund' in the amount of $213,689.00 be transferred to the 'TO Live Facility Fee Reserve Fund' and it be closed and deleted from Appendix B, Schedule 8 in Chapter 227. 8. City Council direct that the balance of the 'Toronto Centre for the Arts Stabilization Reserve' in the amount of $372.76 be transferred to the 'TO Live Facility Fee Reserve Fund' and it be closed and deleted from Appendix A, Schedule 3 in Chapter 227. 9. City Council direct that the balance of the 'Water Efficiency Loan Reserve Fund' in the amount of $2,393,277.21 be transferred to the Water Capital Reserve Fund (deferred revenue) and it be closed and deleted from Appendix C, Schedule 16 in Chapter 227.

Considered

  • 2021-12-07 · Executive Committee · adopted

    Decision as filed

    The Executive Committee recommends that: 1. City Council approve the establishment of a discretionary reserve fund called the 'Toronto Public Library IT Asset Replacement Reserve Fund' in Appendix B, Schedule 7 - Corporate Discretionary Reserve Funds of the City of Toronto Municipal Code Chapter 227, Reserves and Reserve Funds, the purpose of which is to provide funding to purchase Information Technology equipment for Toronto Public Library as part of the annual replacement cycle for Information Technology equipment, with criteria set out in Appendix G to the report (November 3, 2021) from the Chief Financial Officer and Treasurer.

    Show the rest of Decision as filed, 3,688 more characters as filed

    2. City Council approve the establishment of a Stabilization Reserve called the 'Debt Servicing Stabilization Reserve' in Appendix A, Schedule 3 - Stabilization Reserves of the City of Toronto Municipal Code Chapter 227, Reserves and Reserve Funds, the purpose of which is to reduce the volatility of the City's annual debt service costs, with criteria set out in Appendix H to the report (November 3, 2021) from the Chief Financial Officer and Treasurer. 3. City Council authorize that the name of the 'Sony Centre Facility Fee Reserve Fund' be changed to the 'TO Live Facility Fee Reserve Fund' and that the criteria sheet, reflecting changes to the purpose, and its contribution and withdrawal policies be amended, as outlined in Appendix I to the report (November 3, 2021) from the Chief Financial Officer and Treasurer, and City Council amend Appendix B, Schedule 8 of Chapter 227 to reflect the revised purpose. 4. City Council adopt a change in name of the 'Public Health Efficiency Reserve Fund' account to the 'Public Health Reserve Fund', as well as a change to its purpose and criteria as reflected in the revised Criteria Sheet in Appendix J to the report (November 3, 2021) from the Chief Financial Officer and Treasurer, and City Council amend Appendix B, Schedule 7 of Chapter 227 to reflect the revised name and purpose. 5. City Council authorize that the names of the following accounts be changed to be consistent with the change in name of their respective Divisions, and City Council amend the schedules of Chapter 227 as set out in the following table: Existing Reserve Name Recommended New Reserve Name Schedule # E.M.S. - Vehicle Reserve Toronto Paramedic Services Vehicle Reserve Schedule 1 E.M.S. - Equipment Reserve Toronto Paramedic Services Equipment Reserve Schedule 1 Economic Development, Culture and Tourism Vehicle Reserve Economic Development and Culture Vehicle Reserve Schedule 1 Long-Term Care Homes and Services Vehicle Reserve Seniors Services and Long-Term Care Vehicle Reserve Schedule 1 Homes for the Aged Stabilization Reserve Seniors Services and Long-Term Care Stabilization Reserve Schedule 3 Development Charges - Emergency Medical Services Reserve Fund Development Charges - Toronto Paramedic Services Reserve Fund Schedule 11 Homes for the Aged Reserve Fund Seniors Services and Long-Term Care Reserve Fund Schedule 13 6. City Council direct the following accounts, which have zero balances, be closed and deleted from the Schedules to Chapter 227 as set out in the table to follow. Reserve Account Beneficial Program Schedule # Mayor's Office Vehicle Reserve Mayor's Office Schedule 1 Sony Centre Stabilization Reserve TO Live Schedule 3 Bloor Street Transformation Maintenance Reserve Fund Transportation Services Schedule 8 St. Lawrence Centre for the Arts Reserve Fund TO Live Schedule 8 Modular Housing Reserve Fund Corporate Real Estate Management Schedule 15 7. City Council direct that the balance of the 'Toronto Centre for the Arts Improvement Reserve Fund' in the amount of $213,689.00 be transferred to the 'TO Live Facility Fee Reserve Fund' and it be closed and deleted from Appendix B, Schedule 8 in Chapter 227. 8. City Council direct that the balance of the 'Toronto Centre for the Arts Stabilization Reserve' in the amount of $372.76 be transferred to the 'TO Live Facility Fee Reserve Fund' and it be closed and deleted from Appendix A, Schedule 3 in Chapter 227. 9. City Council direct that the balance of the 'Water Efficiency Loan Reserve Fund' in the amount of $2,393,277.21 be transferred to the Water Capital Reserve Fund (deferred revenue) and it be closed and deleted from Appendix C, Schedule 16 in Chapter 227.

  • 2021-12-15 · Toronto City Council · adopted

On the record

The item as the City filed it

More from this meeting

The whole meeting