Staff Report #8 – Financial Update – Capital Budget Programs – June 30, 2020

Staff Report #8

July 29, 2020

To All Commissioners

Re: Financial Update – Capital Budget Programs – June 30, 2020

Recommendation

That the report be NOTED and FILED.

Background

Summarized in the table below is the 2020 Capital Program Summary for the six-month period ending June 30, 2020.

Summary of 2020 Capital Budget Program Activity

Six Months Ending June 30, 2020

Description  Actual  Budget Amount Under Budget (Over Budget)
Program
Stop Upgrades $ –  $ 240,700  $ 240,700
Service Fleet 73,839 130,000 56,161
Shop Equipment 109,434 236,200 126,766
Software and Hardware 26,074 700,000 673,926
Facility Upgrades 57,182 560,600 503,418
Bus Replacement (16) 92,448 9,488,000 9,395,552
Bus Expansion (1)
Bus Stop Amenities 550,000 550,000
Operator Barriers 1,468,900 1,468,900
Fleet Radio Replacement 625,000 625,000
TMP 2030 – BRT Strategy 1,500,000 1,500,000
Fare Processing Equipment 1,862,100 1,862,100
Smart Card Program 29,330 325,000 295,670
Total $ 388,307  $ 17,686,500  $ 17,298,193
Funding
Provincial Gas Tax $ 29,330 $ 7,351,300  $ 7,321,970
Capital Program Reserve 209,348 1,296,900 1,087,552
City of London 149,629 7,135,000 6,985,371
Federal – ICIP 220,000 220,000
Provincial – ICIP 183,300 183,300
Federal Gas Tax 1,500,000 1,500,000
Total $ 388,307  $ 17,686,500  $ 17,298,193

The following programs are underway through the first six months of the year, with narrative focusing on the year-to-date progress.

Service Fleet – The replacement vehicle for the Inspector fleet was purchased and has been fully outfitted and placed into service. A van was purchased for the mobile mechanic function and is currently being outfitted with racking, lighting, etc.

Shop Equipment – Expenditures incurred to-date relate to the ongoing monthly purchase of shop tools and equipment as well as a scrubber. This budget is utilized throughout the year as equipment and tools are required.

Software and Hardware – Expenditures incurred to-date for the purchasing of workstations and networking equipment.

Facility Upgrades – Expenditures incurred to-date have been for generator upgrades (both facilities), boiler replacement (Wonderland), an updated sewer connection (Wonderland), repairs to damaged columns (Highbury), and HVAC upgrades in the server room. A few other projects are underway with the remainder expected to be completed by year-end.

Bus Replacements (16) – Expenditures incurred to-date are for a portion of the ancillary equipment. The buses are scheduled for line entry in mid-July. Providing there are no additional delays at the New Flyer facility, delivery is set to commence in late September.

Smart Card Program – additional replacement routers purchased.

Administration will continue to monitor actual to budget performance and report to the Commission on a monthly basis.

Recommended by:

Mike Gregor, Director of Finance

Concurred in by:

Kelly S. Paleczny, General Manager