To be introduced by Laura Mercer, General Manager, Corporate Services.
Purpose: To provide the Finance and Audit Committee with information pertaining to the allocation of the 2023 operating surplus.
Recommendation: That the Finance and Audit Committee recommend that Council:
1. Approve the allocation of the 2023 operating surplus as follows:
1. General Fund
- RCMP Contract Reserve 1,700,000
- General Financial Stability Reserve 1,200,000
- Special Initiatives Reserve 2,870,000
- Property Acquisition Reserve 500,000
- General Capital Reserve 2,443,706
- Total: $ 8,713,706
2. Sewer Fund
- Sewer Reserve 419,078
- Sewer Financial Stability Reserve 100,000
- Total: $ 519,078
3. Water Fund
- Water Reserve 345,639
- Water Financial Stability Reserve 48,945
- Total: $ 394,584
2. Amend the 2024-2028 Financial Plan for final to increase the 2024 budget for the South End Community Centre Land project by $1,500,000.