WITH RESPECT to Report 400-2024-Corporate Services-Finance and the Memorandum from Keri Greaves, Commissioner & City Treasurer, dated November 15, 2024, we recommend that the proposed 2025 Capital Budget be approved as outlined in the Report and memo;
AND THAT the revised 2025 Capital Budget of $162,522,100 as outlined in the report and memo be financed as follows:
Capital Financed by the Tax Levy
|
$ 22,642,600
|
Debenture (Regular Tax-Supported)
|
$ 7,648,600
|
Debenture (Special Tax-Supported: Indoor Turf Facility)
|
$ 15,675,000
|
Debenture (Waterworks)
|
$ 4,500,000
|
Debenture (Wastewater)
|
$ 3,000,000
|
Debenture (Landfill)
|
$ 996,300
|
Internal Loan (Landfill)
|
$ 1,320,900
|
Internal Loan (Parking)
|
$ 2,266,200
|
Grants
|
$ 47,939,600
|
Fees
|
$ 713,600
|
Tax-Supported Reserve and Reserve Funds
|
$ 27,740,000
|
Waterworks Reserve Fund
|
$ 11,010,000
|
Wastewater Reserve Fund
|
$ 16,067,600
|
Solid Waste – Landfill Reserve Fund
|
$ 815,100
|
Boater Services Capital Reserve Fund
|
$ 60,000
|
Parking Reserve Fund
|
$ 126,600
|
AND THAT any necessary by-laws be presented to City Council for ratification.