HomeMy WebLinkAboutFIR1997 1997 FINANCIAL INFORMATION RETURN
F ii\ - IQ �7
MUNICIPALITY: Port Burwell V f v(} 3402
(,k✓w' e U
in the Region,County or District of: Elgin CO N
DECLARATION OF THE MUNICIPAL TREASURER
Pursuant to the information required by the Province under the Muncipal Affairs Act,the following
schedules are attached:
Edit Check Completed
1 Analysis of Revenue Fund Revenues 0 Y
2LT Analysis of Taxation 0 Y
2UT Analysis of Upper Tier Requisitions and Direct Charges 0 NA
2MA Analysis of Taxation in Merged Areas 0 NA
3 Analysis of Current Revenue for Specific Functions 0 Y
4 Analysis of Revenue Fund Expenditures 0 Y
5 Analysis of Capital Operations 0 Y
6 Analysis of Capital Grants and Own Expenditures 0 Y
7 Analysis of Net Long Term Liabilities by Function 0 Y
8 Analysis of Long Term Liabilities and Commitments 0 Y
9LT Continuity of Upper Tier and School Board Levies 0 Y
10 Continuity of Reserves and Reserve Funds 0 Y
11 Analysis of Consolidated Year End Balances 0 Y
12 Statistical Data 0 Y
The schedules have been drawn up in accordance with the instructions provided by the Ministry of Municipal
Affairs and Housing. They represent the consolidated financial activities of the municipality,all local boards,
including joint boards where applicable and any other local corporate entities set up by the municipality to
provide services to ratepayers.The consolidated local boards and entities are:
Trust funds administered by the municipality and its local boards, harbour commissions, humane societies,
municipal non-profit housing corporations,provincial-municipal housing authorities,sinking funds, retirement or
pension plan funds, school boards,conservation authorities,children's aid societies,district health councils,
municipal hospitals and gas,telephone and hydro utilities are not consolidated.
The schedules have been prepared by:
Village of Port Burwell
Questions regarding the information contained in them should be addressed to:
Suzanna Mantel
at:
519-765-3434
'Control Data:
Total Revenue-S1 L51 Cl 1,109,590 Total Assets-S11 L21 Cl 673,311
Total ExpenditureES4 L51 C7 994,592 Edit Checks out of balance 0
Municipal Treasurer Date
FIR97V3.3
Municipality
ANALYSIS OF RBVENUF 'ND Port Burwel' 1
REVENUES 3
for the year ended December 31,1997
upper school
total tier board own
revenue purposes purposes purposes
1 2 3 4
$ $ $ $
Taxation
Taxation from schedule 2LT I 561,012 95,525 239,500 225,988
(or requisitions from schedule 2UT) 11 0 0
Direct water billings on ratepayers
--own municipality 2 100,573 100,573
--other municipalities 3, 3,155 3,155,
Sewer surcharge on direct water billings
--own municipality 41 151,008 151,008
--other municipalities 5' 0
Subtotal 6 815,7481 95,525 239,500 480,724
Payments in lieu of taxes
Canada 7 0
Canada enterprises 81 0.
Ontario
The Municipal Tax Assistance Act 91 10,735'1 3,1891 7,546
The Municipal Act,section 157 10 0
1 Other 11 0'
1 Ontario enterprises
1 Ontario Housing Corporation 12 01
Ontario Hydro 13 0
Liquor Control Board of Ontario 14 3,537 1,051, 2,486
Other 15 0
Municipal enterprises 16 Oi
Other municipalities and enterprises 17 01
Subtotal 18 14,27211 4,240 0 10,032
Ontario non-specific grants
Ontario Municipal Support Grant 60 116,4731 116,473
61 0
Subtotal 69 116,473 116,473
Revenues for specific functions
Ontario specific grants 29 42,700 42,700
Canada specific grants 30 3,571 3,571
Other municipalities-grants and f 31 19,335 19,335
Fees, service charges and donatic 32 57,067 57,067
Subtotal 331 122,673 122,673
Other revenue
Trailer revenue and licences 34 0
Licences and permits 35 20,524 - 20,524
Fines 37 0
Penalties and interest on taxes 382,9471 2,947
Investment income -from own fun 391 1,9531 1,953
-other 40, 0
Sale of publications, equipment, e 42 0,
Contributions from capital fund 43 0
Contributions from reserves and
reserve funds 44 0 0
Contributions from non consolidate
entities 45 0
Sale of Land 461 15,0001 15,000
47 01 _ 0'
48 0
Subtotal 50' 40,424 0' 0 40,424
Total revenue 51 1,109,5901 99,765 239,500 770,326
CONTINUITY OF ACCUMULATED NET REVENUE(DEFICIT)
The following is a verification of the continuity of Accumulated Net Revenue (Defici
Accumulated net revenue (deficit), December 31, 1991
1 (Enter the total of Lines 42 to 55 on Schedule 11 from the 1996 F. A -43,81011
1997 Revenues (Schedule 1, Line 51, C B 770,32611
1997 Expenditures (Schedule 4, Line 51, Column 7) C 994,592.
Total -A+B-C D -268,0761
Actual Accumulated net revenue (deficit), Dec. 31, 1997 (Schedule 1 E -268,074
Difference-D minus E -21
Normally, the difference should be zero or a relatively small number. Please explain any large dif
Municipality Page 1
ANALYSIS OF TAXATIO[ Port Burwell V 2LT
4
for the year ended December 31,1997
LOCAL TAXABLE ASSESSMENT MILL RATES
for commercial,
cmptr residential commercial residential industrial and
use and farm and industrial business and farm business
1 2 3 4 5
$ $ $
I.Own purposes
(a)Levied by mill rate
General 01010 1,081,458 100,827 35,460 176.2600 207.3660
police villages at reduced rates 0102
farms at reduced rates 0103
01
01
Special area rates and police villages
01
01
01
01
01
01
Merged areas 2MA
Subtotal levied by mill rate 01400 1
(b)Other charges on tax bills Share of telephone and telegraph taxation 01210 2
Local improvements 01220
Sewer and water service charges 01230
Sewer and water connection charges 01240
Fire service charges 01250
Minimum tax(differential only)01260
Municipal drainage charges 01270
Garbage collection charges 01280
Business improvement area 01290
--01300
Subtotal special charges on tax bills 01310 3
II.Upper tier purposes Total own purposes taxation 01320 4
(a)Levied by mill rate
General 02010 I 1,081,458 100,827 35,460 74.50501 87.65301
Special purposes
02 --
02
02
02
Merged areas 2MA
Subtotal levied by mill rate 02400 5
(b)Other charges on tax bills Share of telephone and telegraph taxation 02210 6
Local improvements 02220
Sewer and water service charges 02230
Sewer and water connection charges 02240
Fire service charges 02250
--02300
Subtotal special charges on tax bills 02310 7
III.School board purposes Total upper tier taxation 02320 8
Elementary public
0301 0 0 0 0.0000 0.0000
0301
Merged areas 2MA
Share of telephone and telegraph taxation 03210 9
Subtotal elementary public 03320 10
Elementary separate
0401
0401
' Merged areas 2MA l
Share of telephone and telegraph taxation 04210 18
Subtotal elementary separate 04320 11
Secondary public(or combined elementary&secondary public)
Elgin County Board of Education 0 01 I 1,015,130, 94,855' 33,010 187.9720 221.1440
001
Merged areas 2MA
Share of telephone and telegraph taxation 0_210 12
Subtotal secondary public 0_320 16
Secondary separate(or combined elementary&secondary separate)
Roman Catholic School Board-Elgin 0 01 66,328, 5,972 2,450 187.6530 220.7680
0 01 _---
Merged areas 2MA
Share of telephone and telegraph taxation 0_210 19
Subtotal secondary separate 0_320 17
Total all school board taxation 08320 14
Municipality Page 2
Port Burwell V 2LT
4
TAXES LEVIED SUPPLEMENTARY TAXES TOTAL TAXES
residential commercial residential commercial total
and farm and industrial business and farm and industrial business columns 6 to 11
6 7 8 9 10 11 12
$ $ $ $ $ $ $
190,618 20,908 7,353 -422 -355 218,102
0
0
0
0
0
0
0
0
0
0
0 0 0 0 0 0 0
190,618 20,908 7,353 -422 -355 0 218,102
7,886 7,886
0
0
0
0
0
0
0
0
0
0 7,886 0 0 0 0 7,886
190,618 28,794 7,353 -422 -355 0 225,988
80,574 8,838 3,108r -179 -149 92,192
0
0
0
0
0 0 0 0 0 0 0
80,574 8,838 3,108 -179 -149 0 92,192
3,333 3,333
0
0
0
0
0
0 3,333 0 0 0 0 3,333
80,574 12,171 3,108 -179 -149 0 95,525
0 0 0 0 0 0
0
0 0 0 0 0 0 0
0
0 0 0 0 0 0 0
0
0
0 0 0 0 0 0 0
0
0 0 0 0 0 0 0
190,816 20,977 7,300 -386 -1,784 216,923
0
0 0 0 0 0 0 0
7,905 7,905
190,816 28,882 7,300 -386 -1,784 0 224,828
12,447 1,318 541 -55 -81 14,170
0
0 0 0 0 0 0 0
502 502
12,447 1,820 541 -55 -81 0 14,672
203,263 30,702 7,841 -441 -1,865 0 239,500
Municipality
ANALYSIS OF CURRE REVENUE Port Bum V 3
FOR SPECIFIC FUNCTIONS 7
for the year ended December 31,1997
other
Ontario municipalities- fees,service
specific Canada grants,fees,and charges and
grants grants service charges donations
1 2 3 4
$ $ $ $
General government 1 700 3,571 13,658 23,092
Protection to persons and property
Fire 2
Police 3_
Conservation authority 4
Protective inspection and control 5
6
Subtotal 7 0 0 0 0
Transportation services
Roadways 8 40,000
Winter control 9
Transit 10
Parking 11
Street lighting 12
Air transportation 13
Harbour 14 6,500
Subtotal 15 40,000 0 0 6,500
Environmental services
Sanitary sewer system 16
Storm sewer system 17
Waterworks system 18
Garbage collection 191
Garbage disposal 20 2,267
Pollution control 21
22
Subtotal 23 0 0 0 2,267
Health services
Public health services 24
Public health inspections and control 25.
Hospitals 26
Ambulance services 27
Cemeteries 28
29
Subtotal 30 0 0 0 0
Social and family services
General assistance 31
Assistance to aged persons 32
Assistance to children 33
Day nurseries 34
35 _
Subtotal 36
Recreation and cultural services
Parks and recreation 37 2,000 22,400
Libraries 38 5,677
Other cultural 39 2,808
Subtotal 40 2,000 0 5,677 25,208
Planning and development
Planning and zoning 41
Commercial and industrial 42
Residential development 43
Agriculture and reforestation 44
Tile drainage/shoreline assistance 45 1
46
Subtotal 47 0 0 0 0
Electricity 48
Gas 49
Telephone 50
Total 51 42,700 3,571 19,335 57,067
Municipality Page 1
ANALYSIS OF REVENUE ND ' Por, ,urwell V 1 4
EXPENDITURES 8
for the year ended December 31,1997 materials,
salaries, services,
wages and rents and transfers
employee net long term financial to own other
benefits debt charges expenses funds transfers
1 2 3 4 5
$ $ $ $ $
General government 1 54,446 80,681 309,249 4,909
Protection to persons and property
Fire 2 12,375 20,244
Police 3
Conservation authority 4
Protective inspection and control 5 29,510, 5,395
6
Subtotal 7 41,885 0 25,639 0 0
Transportation services
Roadways 8 48,876 60,872
Winter control 9 2,263
Transit 10 _
Parking 11
Street lighting 12
Air transportation 13
Harbour 14 4,740
Subtotal 151 48,876 0 67,875 0 0
Environmental services
Sanitary sewer system 16 34,106 107,629
Storm sewer system 17'
Waterworks system 18 24,047 5,207 42,456 49,474
Garbage collection 19 58,598
Garbage disposal 20
Pollution control 21
22
Subtotal 23 58,153 5,207 208,683 49,474 0
Health services
Public health services 24
Public health inspections and control 25
1 Hospitals 261
Ambulance services 27
Cemeteries 28
291
Subtotal 30 0 0 0 0 0
Social and family services
General assistance 311 1
Assistance to aged persons 32
Assistance to children 33
Day nurseries 34 _
351
Subtotal 36 0 01 0 0 0
Recreation and cultural services
Parks and recreation 371 4,848
Libraries 38 2,672.
Other cultural 39 9,686 4,880
Subtotal 401 9,6861 12,4001 0 0
Planning and development
Planning and zoning 41 17,429
Commercial and industrial 42,
Residential development 43 1
Agriculture and reforestation 44
g i
Tile drainage/shoreline assistance 45
46
Subtotal 47 0 0 17,429 0 0
Electricity 48'
Gas 49
Telephone 50
Total 51 213,046 85,888 641,275 54,383 01
Municipality Page 2
Port Burwell V 4
8
inter-
functional total
transfers expenditure
6 7 8
$ $ $
449,285 1 Total of column 2 includes:
Payments to Ontario in respect of Down-
town Revitalization Program loans 81
32,619 2
0 3 Accrued interest(enter an amount only
0 4 if the change to the accrual basis
34,905 5 was made in this reporting year) 82
0 6
0 67,524 7 Interest portion of transit debt charges
1 included on line 10 831
109,7481 8
2,263 9 Total of column 3 includes:
0 101 Ontario Clean Water Agency
0 11 Provincial projects service charges
-water 52 2,427
0 121
0 131 -sewer 53 77,106
4,740 14 Provincial projects frontage and
0 116,751 151 connection charges-water 57
-sewer 58
Joint projects operating charges
141,735 16 -water 54
0 17 -sewer 55.
121,184 18 O.P.P.policing contracts 56
58,598 19 Short term interest costs 601. 6,984
0 20
0 21
0 22 Total of column 5 includes:
0 321,517 23 Grants to charitable and non-profit
organizations 62
Grants to universities and colleges 63
0 24 Contributions to UNCONSOLIDATED
0 25 joint local boards
0 26 Health unit 64
0 27 District welfare board 65
0 28 Home for the aged 66 1
0 29 Recreation board(s) 67
0 0 30 Fire area board 68
Suburban roads commission 69
70
0 31 71
0 32
0 33
0 34 Line 1 of column 7 includes:
01 35 Members of council 72 14,375
0 0 36
Line 51 of column 7 includes:
4,848 37 Payments in respect of long term commit-
2,672 38. ments and liabilities financed from revenue,
14,566 39 as approved by the Ontario Municipal Board
0 22,086 401 or Council,as the case may be. Exclude
debt charges reported in column 2. 731
17,429 41
0 42
0 43
/1 A A'
I �1 "'
01 45
0 46
0 17,429 47
0 48
0 49
0, 50
0 994,592 51
Municipality
ANALYSIS OF CAPITI )PERATIONS Port Bur\ 1 V 5
9
for the year ended December 31,1997
1
Unfinanced capital outlay(Unexpended capital financing)
at the beginning of the year 1 20,000
Sources of financing
Contributions from own funds
Revenue fund 2 4,909
Reserves and reserve funds 3 5,000
Subtotal 4 9,909
Long term liabilities incurred
Central Mortgage and Housing Corporation 5
Ontario Financing Authority 7j
Commercial Area Improvement Program 9
Other Ontario housing programs 10
Ontario Clean Water Agency 11
Tile drainage and shoreline property assistance programs 12
The Public
Serial debentures 13
Sinking fund debentures 14
CIBC 15 172,442
16
17
Subtotal* 18 172,442
Grants and loan forgiveness
Ontario 20 -410.
Canada 211 -411
Other municipalities 22' 0,
Subtotal 231 -821
Other financing
Prepaid special charges 24
Proceeds from sale of land and other capital assets 25
Investment income
From own funds 26
Other 27
Donations 28
30,
31
Subtotal 32 0
Total sources of financing 33 181,530
Applications
Own expenditures
Short term interest costs 34
Other 35 136,9811
Subtotal 36 136,981
Transfers of proceeds from long term liabilities to:
Other municipalities 37
Unconsolidated local boards 38,
Individuals 39
Subtotal 40 OJ
Transfers to reserves,reserve funds and the revenue fund 41
Total applications 42 136,981
Unfinanced capital outlay(Unexpended capital financing)at the end of the year 43 -24,549
Amount reported in line 43 analysed as follows:
Unapplied capital receipts(negative) 44 -24,549
To be recovered from:
-taxation or user charges within term of council 45'
-proceeds from long term liabilities 46
-transfers from reserves and reserve funds 47
48.
Total unfinanced capital outlay(unexpended capital financing) 49 -24,549
*-amount in line 18 raised on behalf of other municipalities 19'
Municipality
ANALYSIS OF CAPITA' GRANTS Port Burw V 6
AND OWN EXPENDITURES 10
for the year ended December 31,1997
CAPITAL GRANTS TOTAL
Ontario Canada Other OWN
grants grants municipalities EXPENDITURES
1 2 3 4
$ $ $ $
General government 1 -410 -411 42,331
Protection to persons and property
Fire 2 28,256
Police 3
Conservation authority 4
Protective inspection and control 5
6
Subtotal 7 0 0 0 28,256
Transportation services
Roadways 8 52,999
Winter control 91
Transit 10
Parking 11
Street lighting 12 3,305
Air transportation 13
Harbour 14 3,582
Subtotal 15 0 0 0 59,886
Environmental services
Sanitary sewer system 16 2,889
Storm sewer system 17
Waterworks system 18
Garbage collection 19
Garbage disposal 20
Pollution control 21
22
Subtotal 23 0 0 0 2,889
Health services
Public health services 24
Public health inspections and control 25
Hospitals 26
Ambulance services 27
Cemeteries 28
291
Subtotal 30 0 0 0 0
Social and family services
General assistance 31
Assistance to aged persons 32
Assistance to children 33
Day nurseries 34
35
Subtotal 36 0 0 0 0
Recreation and cultural services
Parks and recreation 37 3,619
Libraries 38
Other cultural 39
Subtotal 40 0 0 0 3,619
Planning and development
Planning and zoning 41
Commercial and industrial 42
Residential development 43
Agriculture and reforestation 44
Tile drainage/shoreline assistance 45,
46
Subtotal 47 0 0 0 0
Electricity 48
Gas 49
Telephone 50
Total 51 -410 -411 0 136,981
Municipality
ANALYSIS OF NET Ll 3 TERM Port Burwell S 7
LIABILITIES BY FUNCTION 11
as at December 31,1997
1
General government 1 131,894
Protection to persons and property
Fire 2 61,647
Police 3
Conservation authority 4
Protective inspection and control 5
6
Subtotal 7 61,647
Transportation services
Roadways 8 222,652
Winter control 9
Transit 10
Parking 11
Street lighting 12 9,617
Air transportation 13
Harbour 14 18,743
Subtotal 15 251,012
Environmental services
Sanitary sewer system 16
Storm sewer system 17
Waterworks system 18 25,280
Garbage collection 19
Garbage disposal 20
Pollution control 21
22
Subtotal 23' 25,280
Health services
Public health services 24
Public health inspections and control 25'
Hospitals 26
Ambulance services 27
Cemeteries 28
29
Subtotal 30 0
Social and family services
General assistance 31
Assistance to aged persons 32
Assistance to children 33'
Day nurseries 34
35,
Subtotal 36 01
Recreation and cultural services
Parks and recreation 37 60,535.
Libraries 38, _
Other cultural 39
Subtotal 40 60,535
Planning and development
Planning and zoning 41
Commercial and industrial 42
Residential development 43
Agriculture and reforestation 44
Tile drainage/shoreline assistance 45
461
Subtotal 47 0
Electricity 48
Gas 49'
Telephone 50i
Total 51 530,368
Municipality Page 1
ANALYSIS OF LONG TE Port Burwell \ 8
LIABILITIES AND COMMITMENTS 12
for the year ended December 31,1997
1.Calculation of debt burden of the municipality
All debt issued by the municipality,predecessor municipalities and
consolidated entities
:To Ontario and agencies 11_
:To Canada and agencies 21
:To other 3. 530,368
Subtotal 4 530,368
Plus:All debt assumed by the municipality from others 5
Less:All debt assumed by others 1
:Ontario 6
:Schoolboards 7'
:Other municipalities 8
Subtotal 9 0
Less:Ontario Clean Water Agency debt retirement funds
-sewer 10
-water 11
Own sinking funds(actual balances)
-general 12
-enterprises and other 131
Subtotal 14 0
Total 151 530,368
Amount reported in line 15 analyzed as follows:
Sinking fund debentures 161.
Installment(serial)debentures 17
Long term bank loans 181 530,368'.
Lease purchase agreements 191
Mortgages 201,
Ontario Clean Water Agency 22
23
241
2.Total debt payable in foreign currencies(net of sinking fund holdings)
U.S.dollars-Canadian dollar equivalent included in line 15 above 25
-par value of this amount in U.S.dollars 261
Other -Canadian dollar equivalent included in line 15 above 27
281
3.Interest earned on sinking funds and debt retirement funds during the year
Own funds 29
Ontario Clean Water Agency-sewer 30
-water 31
$
4.Actuarial balance of own sinking funds at year end 32
5.Long term commitments and contingencies at year end
Total liability for accumulated sick pay credits 33
Total liability under OMERS plans
1 34
3511
Total liability for own pension funds
36
37
381
Commitments and liabilities financed from revenue,as approved by
the Ontario Municipal Board or Council,as the case may be
1 -hospital support 391
-university support 401
-leases and other agreements 41
421
43
44
Total 45 0
Municipality Page 2
ANALYSIS OF LONG T► ! Port But 11 V 8
LIABILITIES AND COMMITMENTS 12
for the year ended December 31,1997
6.Ontario Clean Water Agency Provincial Projects
accumulated total outstanding debt
surplus(deficit) capital obligation charges
1 2 3 1
$ $ $
Water projects -for this municipality only 46' -12,703 44,424 5,165
-share of integrated project(s) 47
Sewer projects-for this municipality only 48
-share of integrated project(s) 49'1
principal interest
1 2
7.1997 Debt Charges $ $
Recovered from the consolidated revenue fund
-general tax rates 50 57,011 23,669
-special area rates and special charges 51
-benefitting landowners 52 _
-user rates(consolidated entities) 53I 3,919 1289
' Recovered from reserve funds 54
Recovered from unconsolidated entities
-hydro 551
-gas and telephone 57
56!
581 -
59
Total 78 60,930 24,958
Line 78 includes:
Financing of one-time real estate purchase 90
Other lump sum(balloon)repayments of long term debt 91
8.Future principal and interest payments on EXISTING net debt
recoverable from the recoverable from recoverable from
consolidated revenue fund reserve funds unconsolidated entities
principal interest principal interest principal interest
1 2 3 4 5 6
$ $ $ $ $ $
1 1998 60' 62,545 23,0001
• 1999 61 62,545 21,000
2000 621 62,545 19,000
2001 63 62,545 17,000
2002 64 62,545 15,000 J
2003-2007 65 217,643
2008 onwards 79
Interest to be earned
on sinking funds* 69'
Downtown revital-
ization program 70I
Total 71 530,368 95,000
*includes interest to be earned on Ontario Clean Water Agency debt retirement funds
9.Future principal payments on EXPECTED NEW debt -
1
1998 721
1999 73'
2000 74
2001 75
2002 76'
Total 77 0
h required)
Other notes(attach supporting schedule e as q uired
)
principal interest
1 2
11. Long term debt refinanced: $ $
Repayment of Provincial Special Assistance 92
11 Other long term debt refinanced 93
Municipality Page 1
CONTINUITY OF UPPE -IER AND 1 Port B. veil V 9LT
SCHOOL BOARD LEVIES 13
for the year ended December 31,1997
balance at
beginning amounts supplementary total amount
of year requisitioned taxes expended levied
UPPER TIER 1 2 3 4 5
$ $ S $ $
Included in general mill rate for
upper tier purposes
General requisition 1 92,520 -328' 92,192
Special purpose requisitions
Water rate 2 0
Transit rate 3 - 0
Sewer rate 4 0
Library rate 5 0
Road rate 6 0
-- 7 0
-- 8' C 0
Payments in lieu of taxes 9 4,240 4,240
Telephone and telegraph taxation 10 3,333 3,333
Subtotal levied by mill rate--general 11 100,093 -328 99,765 92,192
Special purpose requisitions
Water 12. - 0,
Transit 13 01
Sewer 14 0
Library 16 -- 0
16 0
17 0
Subtotal levied by mill rate--special areas 18 0 0 0
Special charges 19 0
Direct water billings 20 0
Sewer surcharge on direct water billings 21 0
Total region or county 22 0 100,093 -328 99,765 92,192
pupils'
balance at fees,share
beginning amounts supplementary of trailer total
of year requisitioned taxes licences expended
SCHOOL BOARDS 1 2 3 4 5
$ $ $ $ $
Elementary public(specify)
30 01
31 - 0
Elementary separate(specify)
40 0
41 -- 0'I
42 0
Secondary public(specify)
Elgin County Board of Education 0 226,9981 -2,170' 224,828
1 - 0
Secondary separate(specify)
Roman Catholic School Board 0'6 I 14,808''. -136 _ 14,672
1 0
2 - - 0
Total school boards 36 0 241,806 -2,306 0 239,500
Municipality Page 2
Port Burwell V 9LT
13
telephone share of
and share of payments balance
telegraph Provincial in lieu of total at end
taxation grants taxes other raised of year
6 8 9 10 12 11
$ $ $ $ $ $
1
2
3
4
5
6
7
8
9
10
3,333 4,240 99,765 01 11
12
13
14
15
16
' 17
0 0 18
O 0 19
0 0 20
0 0 21
3,333 0 4,240 0 99,765 0 22
telephone share of pupils'
and payments fees,share balance
amount telegraph in lieu of of trailer total at end
levied taxation taxes licences raised of year
6 7 8 9 10 11
$ $ $ $ $ $
O 0 30
O 0 31
0 0 40
0 0 41
O 0 42
216,923 7,905 224,828 0 0
0 0 1
14,170 502 14,672 0 0
0 0 1
0 0 2
231,093 8,407 0 0 239,500 0 36
Municipality
CONTINUITY OF RES /ES Port Burwell V 10
AND RESERVE FUNDS 15
for the year ended December 31,1997
Balance at the beginning of the year 1 83,657
Revenues
Contributions from revenue fund 2' 49,474
Contributions from capital fund 3'I 0
Development Charges Act 67
Lot levies and subdivider contributions 60
Recreational land(the Planning Act) 61
Investment income-from own funds 5 174
-other 6
9
10
11
12
Total revenue 13 49,648
Expenditures
Transferred to capital fund 14 5,000
Transferred to revenue fund 15 0
Charges for long term liabilities-principal and interest 16'
63
20'
21
Total expenditure 22 5,000
Balance at the end of the year for:
Reserves 231 54,3071
Reserve Funds 24 73,997
Total 25 128,304
Analysed as follows:
Working funds 26 39,307
Contingencies 27'
Ontario Clean Water Agency funds for renewals,etc.
-sewer 28
-water 29 49,474
Replacement of equipment 30 7,162
Sick leave 31
Insurance 321
Workers'compensation 33j
Capital expenditure-general administration 341 0'
-roads 35
-sanitary and storm sewers3611 8,656
-parks and recreation 64
-library 651,
-other cultural 66
-water 38
-transit 39
-housing 40
-industrial development 41
-other and unspecified 42 2,529
Development Charges Act 68 6,176
Lot levies and subdivider contributions 44
Recreational land(the Planning Act) 46
Parking revenues 45
Debenture repayment 47
Exchange rate stabilization 48
Waterworks current purposes 49 15,000
Transit current purposes 50
Library current purposes 51
52.
531
54
55
561
57.
Total 58 128,304
Municipality
ANALYSIS OF CONSOLI 'ED Port Burwell 11
YEAR END BALANCES 16
as at December 31,1997
1 2
$ $
ASSETS portion of cash not
Current assets in chartered banks
Cash 1 56,384
Accounts receivable
Canada 21 3,1971
Ontario 3! 2,000
Region or county 41
Other municipalities 5 12,750!
School boards 6' 1 portion of taxes
'Waterworks 7 48,868 receivable for
Other(including unorganized areas) 8 2,773business taxes
Taxes receivable
Current year's levies 9 15,098 55
Previous year's levies 10 1,246
Prior years'levies 11
Penalties and interest 12 297,' 11
Less allowance for uncollectables(negative) 13
Investments(market value
Canada 14
Provincial 15
Municipal 16 1
Other 17, portion of line 20
Other current assets 18 3301 for tax sale/tax
Capital outlay to be recovered in future years 19 530,368! registration
Other long term assets 20 -
Total 21 673,311
LIABILITIES portion of loans not
Current liabilities from chartered banks
Temporary loans-current purposes 22 120,000
-capital-Ontario 23
-Canada 24
-Other 25, _ •
Accounts payable and accrued liabilities
Canada 261 7,379
Ontario 27
Region or county 28 7,244
Other municipalities 29 6,3591
School boards 30 _ 1,602
Trade accounts payable 31 109,412
Other 32
Other current liabilities 33 6,168
Net long term liabilities
Recoverable from the Consolidated Revenue Fund
-general tax rates 34 530,368
-special area rates and special charges 35
-benefitting landowners 36
-user rates(consolidated entities) 371
Recoverable from Reserve Funds 38
Recoverable from unconsolidated entities 391
•
Less:Own holdings(negative) 40
Reserves and reserve funds 41 128,304
Accumulated net revenue(deficit)
General revenue 42. -255,446
Special charges and special areas(specify)
43
44
45
46
Consolidated local boards(specify)
Transit operations 47
Water operations 48 10,519
Libraries 49
Cemeteries 50
Recreation,community centres and arenas 51
Sewer operations 52 -23,147
53
54
55
Region or county 56
School boards 57
Unexpended capital financing/(unfinanced capital outlay) 56 24,549
Total 59 673,311
Municipality Page 1
STATISTICAL DATA Port Burwell V 12
17
for the year ended December 31,1997
1
1. Number of continuous full time employees as at December 31
Administration 1 2
Non-line Departmental Support Staff 2 1
Fire 3
Police 4
Transit 5
Public Works 6 1
Health Services 7
Homes for the Aged 8
Other Social Services 9
Parks and Recreation 10
Libraries 11
Planning 12
Total 13 41
continuous full
time employees
December 31 Other
1 2
2. Total expenditures during the year on: $ $
Wages and salaries 14 146,147 9,686
Employee benefits 15 29,8791 584
1
3. Reductions of tax roll during the year(lower tier municipalities only)
Cash collections:Current year's tax 16 531,4781
Previous years'tax 171 9,684
Penalties and interest 181
Subtotal 19r 541,162
Discounts allowed 20
Tax adjustments under sections 363 and 364 of the Municipal Act
-amounts added to the roll(negative) 22
-amounts written off 23
Tax adjustments under sections 421,441 and 442 of the Municipal Act
-recoverable from upper tier and school boards 24
-recoverable from general municipal accounts 25,
Transfers to tax sale and tax registration accounts 26
The Municipal Elderly Residents'Assistance Act-reductions 27
-refunds 281
801
Total reductions 29 541,162
Amounts added to the tax roll for collection purposes only 30
Business taxes written off under subsection 441(1)of the Municipal Act 81
4. Tax due dates for 1997(lower tier municipalities only)
Interim billings: Number of installments 31 2
Due date of first installment(MMDDYY) 32' 22197
Due date of last installment(MMDDYY) 33 42597
Final billings: Number of installments 34 2
Due date of first installment(MMDDYY) 351 82297
Due date of last installment(MMDDYY) 36 102497
$
Supplementary taxes levied with 1998 due date 37
5. Projected capital expenditures and long term
financing requirements as at December 31 long term financing requirements
approved by submitted but not forecast not yet
gross the O.M.B. yet approved by ' submitted to the
expenditure or Council O.M.B.or Council O.M.B.or Council
1 2 3 4
$ $ $ $
Estimated to take place
In 1998 58
In 1999 59
In 2000 60
In 2001 61
In 2002 62
Total 63 0 0 0 0
balance in fund 1 loans outstanding
1 2
$ $
6. Ontario Home Renewal Plan trust fund at year end 82 11007 9623
Municipality Page 2
STATISTICAL DATA Port Burwell V 12
17
for the year ended December 31,1997
7. Analysis of direct water and sewer billings as at December 31
number of 1997 billings
P/ace cursor in ce/I in Col N and press residential residential all other computer use
<CNTL>M to enter municipal name. units units properties only
1 2 3 4
Water $ $
In this municipality 39 459 95,788 4,785
In other municipalities(specify munic'ty)
Bayham Tp 40 7 3,155 3401
41 0
42, 0
43 0
64 0
number of I 1997 billings
residential residential all other computer use
units units properties only
1 2 3 4
Sewer $ $
In this municipality 44 425 143,223 7,785
In other municipalities(specify munic'ty)
45 0
46 O
47 0
48 0
65 O
water sewer
Number of residential units in this municipality receiving municipal water 1 2
and sewer services but which are not on direct billing 66
8. Selected investments of own sinking funds as at December 31
other
own municipalities,
municipality school boards Province Federal
1 2 3 4
$ $ $ $
Own sinking funds 83
9. Borrowing from own reserve funds 1
Loans or advances due to reserve funds as at December 31 84
10. Joint boards consolidated by this municipality this municipal-
contribution ity's share of for
total board from this total municipal computer
expenditure municipality contributions use only
1 2 3 4
name of joint boards $ $
53
54
55
56
57
tile drainage,
11. Applications to the Ontario Municipal Board shoreline assist-
or to Council ance,downtown
revitalization, other other
electricity submitted submitted
gas,telephone to 0.M.B. to Council total
1 2 4 3
$ $ $ $
App'd but not financed as at Dec 31,1996 67 0
Approved in 1997 68 0
Financed in 1997 69 0
No long term financing necessary 70 0
App'd but not financed as at Dec 31,1997 71 0 0 0 0
Applications submitted but not approved
as at December 31,1997 72 0
12. Forecast of total revenue fund expenditures
1998 1999 2000 2001 2002
1 2 3 4 5
$ $ $ $ $
73
13.Municipal procurement this year number of
contracts value
1 2
$
Total construction contracts awarded 85
Construction contracts awarded at$100,000 or greater 86