AGENDA
FINANCE AND AUDIT COMMITTEE MEETING

-
Shaw Auditorium, Vancouver Island Conference Centre
80 Commercial Street, Nanaimo, BC

SCHEDULED RECESS AT 10:30 A.M.


[Note:  This meeting will be live streamed and video recorded for the public.]

Minutes of the Finance and Audit Committee Meeting held in the Shaw Auditorium, Vancouver Island Conference Centre, 80 Commercial Street, Nanaimo, BC, on Wednesday, 2025-FEB-19, at 9:00 a.m.

[Note:  PowerPoint presentation to be distributed on the addendum.]

To be introduced by Wendy Fulla, Director, Finance.


Purpose:  To provide the Finance and Audit Committee with information pertaining to the recommended allocation of the 2024 operating surplus.


Recommendation:  That the Finance and Audit Committee recommend that Council approve the allocation of the 2024 operating surplus as follows:

1. General Fund

a. RCMP Contract Reserve                       1,411,438
b. General Financial Stability Reserve       1,094,545
c. Special Initiatives Reserve                     5,290,000
                                                                 $7,795,983

2. Sewer Fund

a. Sewer Reserve                                        $342,240

To be introduced by Wendy Fulla, Director, Finance.


Purpose:  To provide the Finance and Audit Committee with a summary of the 2024 budgets carried forward to 2025.

To be introduced by Wendy Fulla, Director, Finance.


Purpose:  To present the Finance and Audit Committee with a brief overview of the proactive efforts undergone to establish methods of dealing with the United States tariffs, the retaliatory Canadian tariffs and the impacts to the City’s supply chain. 

To be introduced by Darcie Osborne, Director, Parks, Recreation and Culture.


Purpose:  To provide Council with funding options to advance the proposed improvements to Loudon Park.


Delegations:

  1. Ashley Rowe
  2. Kiersten Mort, Nanaimo Rowing Club
  3. Nolan Messer
  4. Kate Rutherford, Long Lake Flatwater Training Centre Society

Recommendation:  That the Finance and Audit Committee recommend that Council direct Staff to increase the budget by $6,169,373 funded by $4,000,000 from the Special Initiatives Reserve and $2,169,373 from the Strategic Infrastructure Reserve Fund to proceed with the current design for the Loudon Park improvements.