Staff Report #5 – Financial Update – Capital Budget Programs – August 31, 2025

Staff Report #5

September 29, 2025

To All Commissioners

Re: Financial Update – Capital Budget Programs – August 31, 2025

Recommendation

That the report be RECEIVED for information.

Background

Summarized in the table below is the 2025 Capital Program Summary for the eight-month period ending August 31, 2025. Consistent with the changes made for the August report, additional detail has been provided with respect to capital projects and the status of each.

Summary of 2025 Capital Budget Program Activity Eight Months Ending August 31, 2025

Description  Actual  Budget Amount Under Budget (Over Budget) Project Status
Program
Bus replacement (2025)  $ 15,622,114  $ 16,399,700 $ 777,586 In progress
Bus replacement (2024) 15,487,428 15,393,200 (94,228) In progress
Facility upgrades 202,399 500,000 297,601 In progress
Fare processing equipment 275,571 2,495,000 2,219,429 In progress (multi-year)
Information systems 183,094 800,000 616,906 In progress
Shop & garage equipment 73,677 235,000 161,323 In progress
Service fleet replacement 53,732 65,000 11,268 Project complete
Stop upgrades 51,754 96,000 44,246 In progress
Fleet radio replacement 625,000 625,000 Project deferred
Highbury facility rebuild 5,000,000 5,000,000 In progress (multi-year)
Zero emission bus pilot 25,960,000 25,960,000 In progress (multi-year)
Total $ 31,949,769  $ 67,568,900  $ 35,619,131
Funding
Provincial Gas Tax $ 1,754,242 $ 4,497,600 $ 2,743,358
Capital Program Reserve 362,257 1,198,000 833,743
City of London 22,833,270 38,230,300 15,397,030
City – Federal Gas Tax 7,000,000 7,000,000
ICIP – Provincial 1,665,000 1,665,000
ICIP – Federal 2,000,000 2,000,000
Senior Government 12,980,000 12,980,000
Total $ 31,949,769 $ 67,568,900  $ 35,619,131

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

Bus replacement (2024 & 2025) – All 34 buses have arrived with only the cost of the last bus received invoiced in September. At the time of writing, 20 buses have been outfitted for service and are currently on the road. Both projects will come in slightly over budget due mainly to additional tariffs charged on the bus build.

Facility upgrades – The facility upgrade program is underway with costs incurred to date pertaining to additional work on the bus fueling and wash lane at the Wonderland facility, along with many other minor repairs and maintenance projects. Asphalt repairs at the Wonderland facility are set to occur in October.

Fare processing equipment – The project to replace the OBV’s (on board validators) on the conventional fleet is underway with the costs included above pertaining to the first payment milestone. The next milestone pertaining to overall software and hardware design approval is on schedule for November.

Information systems & hardware – Expenditures incurred to date include the networking equipment, Transit Master system upgrades as well as payments for the Specialized scheduling system’s passenger portal module.

Shop and garage equipment – Expenditures incurred to date relate to the ongoing monthly purchase of shop tools and miscellaneous equipment within Fleet & Facilities.

Service fleet replacement – Expenditures incurred to date relate to the purchase of a new Inspector van which has been outfitted for service.

Stop upgrades – Expenditures incurred to date pertain to concrete pads and the purchase of replacement glass for shelters.

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

Recommended by:

Mike Gregor, Director of Finance

Concurred in by:

Kelly S. Paleczny, General Manager