HomeMy WebLinkAbout1985-05-23 Council (Regular) MinutesCounty of Newell No. 4
Council Meeting
May 23, 1985
The regular Council Meeting of the County of Newell No. 4 was held
in the County Office at Brooks, Alberta on Thursday, May 23, 1985
commencing at 10:00 a.m.
Members Present Reeve
Councillors
Administrator
V. Fabian
P. Wallace
K. Conners
M. Andrews
F. Workes
R. Hall
F. Regehr
A. Scheuerman
M. Douglass
D. James
1. Minutes
Minutes of the May 9, 1985 meeting were read to the Council. Moved
by Councillor Douglass that we adopt these minutes as amended.
Carried.
2. Business from Minutes
8-3 Rolling Hills Water & Sewer Operation
Councillor Wallace gave a report on this item. After discussion,
it was moved by Councillor Andrews that we draft a By-law for the
purpose of compulsory hook-up to the sewer system in the Hamlet
of Rolling Hills. Carried.
7-3 By-law re: Emerson Park
No report.
7-5 Provincial Grants re: Parks
Further discussion took place on this item. Moved by Councillor
Andrews that we contact Mrs. Westgate to see if she is still interested
in selling the land adjacent to the Bow River at the Bow City area.
Carried.
13- By-law 878-85 By-law 879-85
The Administrator advised that an amendment is required for By-law
878-85 in the Municipal Mill Rate. Moved by Councillor Conners
that By-law 879-85, to amend By-law 878-85, receive first reading.
Carried Unanimously.
Moved by Councillor Workes that By-law 879-85 receive second reading.
Carried Unanimously.
Moved by Councillor Wallace that By-law 879-85 receive consent
of Council for third and final reading. Carried Unanimously.
P4oved by Councillor Douglass that By-law 879-85 receive third and
,~ ~, final reading. Carried Unanimously.
~,
Page 49
3.
Correspondence
1. A.A.M.D. & C
Letter from Jubilee Insurance regarding the Lease on this Pesticide
Container Site was presented to Council for information. This
letter is to be sent back to Alberta Public Works for further review.
2. Alberta Disaster Services - Grants for Special Equipment
Letter from Alberta Disaster Services advising that no grants would
be available this year was presented to Council for information.
3. Alberta Transportation - By-law 872-85
Letter from Alberta Transportation, with the Minister's Approval
for third and final reading of By-law 872-85, was presented to
Council. Moved by Councillor Workes that By-law 872-85 receive
third and final reading. Carried Unanimously.
4. Alberta Transportation - Lease of Pheasant Amusements
(Old Franklin Tire Shop)
Letter from Alberta Transportation Property Services advising that
they have had to extend the lease on this property for a further
90 days under the terms of the Contract was presented to Council
for information.
5. Alberta Transportation - Secondary Road 535
Letter from Alberta Transportation advising that the sum of $34,000.00
has been alloted for work on this Secondary Road for 1985 was presented
to Council for information.
6. Village of Duchess - Mosquito Control Program
Letter from the Village of Duchess for assistance for the area
surrounding the Village of Duchess from the County was presented
to Council. They are to be advised that we have no funds for this
purpose.
7. Ballem-McDill et al - Certificate of Access - Hargrave
Letter from the above-noted Solicitors requesting approval from
the County for a Certificate of Legal Access was presented to Council
covering the WZ 16, WZ of EZ 16 in 19-14-4. After discussion on
this matter, it was moved by Councillor Conners that we approve
this request for Certificate of Access. Carried.
8. Springview Colony - Texas Gate - By-law 880-85
Request from the Springview Colony to install a Texas Gate between
Sec. 24-23-16-4 and Sec. 36-23-15-4 was presented to Council.
Moved by Councillor Douglass that By-law 880-85, being a By-law
to approve the Texas Gate for Springview Colony, receive first
reading. Carried Unanimously.
Moved by Councillor Scheuerman that By-law 880-85 receive second
reading. Carried Unanimously.
r.
Moved by Councillor Hall that consent of Council be given for third
~ and final reading of By-law 880-85. Carried Unanimously.
~~ ~ ;~ ~,
" -~` Moved by Councillor Workes that By-law 880-85 receive third and
final reading. Carried Unanimously.
Page 50
- Pesticide Container Site
f
9. M. Dench - Damage Claim
Letter from M. Dench requesting payment of a damage claim to her
car was presented to Council. Moved by Councillor Wallace that
we refer this item to our Insurance Company. Carried.
10. Tilley Grazing Association - Damage Claim
Request from the Tilley Grazing Association for damage claims for
repairs made to their Texas Gates was presented to Council. They
are to be sent a copy of the regulations indicating that all expenses
for Texas Gates are borne by the owner which, in this case, is
Tilley Grazing Association.
11. Tirol Gas Co-op - Road Crossing - NW 5-14-13-4
Moved by Councillor Wallace that we approve this application.
Carried.
12. Ocelot Industries - Development of Road - 19-12 & 18-12
Moved by Councillor Conners that we approve this application subject
to the road being built to our regulations. Carried.
4. Committee Reports
Municipal
No report.
Board of Education
No report.
Agricultural Service Board
No report.
Brooks Hospital & Nursing Home
No report.
Bassano Hospital
This report was given by Councillor Hall.
Medicine Hat Health Unit
This report was given by Councillor Andrews.
Agriculture Development Corporation
This report was given by Councillor Workes.
Senior Citizens' Home
This report was given by Councillor Andrews.
S.E. Alberta Regional Planning Commission
j No report.
.~.
/ ~ Airport Commission
r t,r
" ~ '~. " This report was given by Councillor Workes.
r;
Page 51
~~,'
Farm Labour Pool
No report.
Disaster Services
No report.
Library Board
This report was given by Councillor Douglass.
Shop Committee
No report.
M.P.C.
Minutes of the M.P.C. Meeting were reviewed by Council. The following
items were approved:
Land Use Change - George Timko - SW 28-18-14-4 - from Urban Fringe
to Light Industrial - Moved by Councillor Scheuerman that By-law
881-85 receive first reading and that we proceed with the necessary
advertising for this Land Use Change. Carried.
Subdivisions
85 SE 28 - Dyck - Moved by Councillor Workes that we approve this
application subject to a Water Agreement with the E.I.D. Carried.
85 SE 29 - Timko - Moved by Councillor Wallace that we approve
this application subject to cash in-lieu-of on the parcel based
at $4000.00 per acre and the Land Use Change being approved. Carried.
85 SE 30 - 206993 Development Company - Moved by Councillor Conners
that we refuse this application. Carried.
85 SE 31 - Draper - This application was tabled at the M.P.C. Meeting
for more information.
5. Other Business
1. Block 14 - Village of Tilley
The Administrator up-dated the Council in regard to the subdivision
being carried out by the Village of Tilley.
2. A~vointment of Auditor
Moved by Councillor Hall that we approve the appointment of Bevan,
Hagen, Halbert & Ginet as Auditors for the County of Newell for
1985. Carried.
,. 3. Industrial Assessor & Development Control Officer
` Moved by Councillor Workes that we confirm Council's decision in
r 1, "' cancelling the position of Industrial Assessor for the County of
;~ Newell and that this position be consolidated with John Dell, the
County Assessor's position. Also, that the position of Development
Control Officer be reduced to a part-time job. Both of these items
are to take effect as of May 31, 1985. Carried.
Page 52
~.
4. Roadside Mowing - Bids
These bids were reviewed by the Council and it was then returned
back to Ed Pratt, Agricultural Fieldman, to manage the Roadside
Mowing Program.
5. New Mower for Office Yard
Moved by Councillor Hall that we approve the purchase of a new
ride-on mower for the office yard as requested. Carried.
6. Patricia Subdivision Debentures
Moved by Councillor Conners that we proceed with the pay-out of
the Debenture on the Patricia Subdivision. Carried.
6. / Form A's
i
,~~ `~, Moved by Councillor Wallace that we approve the following Form
'~= A's: Div. 1 - Secondary Road Gravel - $14,700.00; Local Roads
Gravel - $6,125.00. Carried.
7. Road Agreements
Moved by Councillor Hall that we approve the Road Agreement for
Two Bell Ranches, of Bassano. Carried.
Moved by Councillor Wallace that we approve the Road Agreement
for Rolling Hills Farms Ltd. Carried.
Lunch
Council recessed for lunch from 12:00 - 1:30 p.m.
8. Planning
1. Dividing of Lot in Rolling Hills
Councillor Wallace reported on this item and the Administrator
is to obtain more information on this and report back to Council.
2. Review of Intensive Livestock Operation
Mr. Doug Fleming, of the Planning Commission, was in attendance
and Council reviewed this Report further. After a lengthy discussion,
it was agreed by Council and recommended to the S.E. Alberta Regional
Planning Commission that:
a) a set of uniform regulations be developed between the approving
authorities i , ,! ~,<,.,. ~ ; y~.,, .' ,, ,~' 1.
b) that the total 'area of the County be deemed as an Agricultural
area which would give the necessary control for this type of operation
,+
f~ +,
1`'" 3. Report on Brooks Vicinity Area Structure Plan
~.~
The Committee on the Brooks Vicinity Area Structure Plan gave a
further report to Council. It was then agreed that a meeting be
set up with the Town of Brooks Committee to discuss this matter
further.
9. Discussion Items
1. Association Meeting in Edmonton
The Committee reviewed this matter.
2. School Fiscal Year
Discussion took place on this item.
Page 53
3. Maintaining & Expanding Agricultural Land Base in Alberta
This item was tabled for a future meeting.
10. Information Items
1. Fire & Recreation Area Levies
This was discussed by Council and the Administrator was instructed
to draft a notice to be advertised in all areas advising of the
change-over to a fixed dollar requisition per year and floating
mill rate. This was brought about due to the fluctuation in the
assessments each year.
2. Reclamation of Derelict Land
Information was presented to Council in regard to this item.
3. County Subsidized Hopper Spraying on Private Lands
Council indicated that there will be no subsidizing in this area
but that the Agricultural Fieldman should try to access any grants
that are available.
4. Hamlet Street Program
Further information was presented to the Council on this matter.
11. Post Agenda Items
1. E.I.D. - Culvert Crossing - NW 7-19-13-4
Moved by Councillor Workes that we approve this application. Carried.
2. J. Crapo - Rosemary
Letter from Mr. J. Crapo concerning the condition of Secondary
Road 550 and a petition signed by residents of Rosemary were presented
to the Council. A letter is to be sent to Alberta Transportation
regarding the grading of this road during the construction period.
12. In Camera
Moved by Councillor Workes that we moved into Camera. Carried.
Moved by Councillor Workes that we return to full Council. Carried.
Moved by Councillor Workes that we reaffirm our Policy regarding
use of County Vehicles. Carried.
13. Adjourn
Meeting adjourned at 5:10 p.m.
~ ~
/ q
,~,
REEVE
COUNTY ADMINISTRATOR
Page 54
BUDGET ESTIMATE FORMS
For The Fiscal Year Ended December 31, 1985
MUNICIPALITY County of Newell No. 4
...................... ........................................................
Certified a True and Correct Copy of The Current Year's Estimates as Adopted
by the Council on May 9 19 g5
~ t-______..__-_
__.
_.
Mayor/Reeve
Munic pal TreasurerlAdministrator/Manager
ALBERTA MUNICIPAL BUDGET ESTIMATE FORMS
TABLE OF CONTENTS
Page
COVER SHEET ............................................... i
TABLE OF CONTENTS ........................................ ii
STATEMENTS:
1 . TAX LEVY ESTIMATES -CURRENT YEAR ................... 1
2. TAX LEVY ESTIMATES -PRECEDING YEAR ................. 2
3. ESTIMATED GENERAL MUNICIPAL REVENUES ............... 3
4. ESTIMATED OPERATING REVENUES ....................... 4
5. ESTIMATED OPERATING EXPENDITURES .................... 5
6. ESTIMATED FUNDED CAPITAL ACQUIRED ................... 6
7. ESTIMATED CAPITAL FUNDS APPLIED ...................... 7
8. SUMMARY OF ESTIMATED OPERATING REVENUES AND
EXPENDITURES ......................................... 8
9. SUMMARY OF ESTIMATED CAPITAL FINANCES
ACQUIRED AND APPLIED ................................. 9
10. ESTIMATED ASSESSMENTS AND
VALUATIONS SUMMARY ................................. 10
COMMENTS:
The budget estimate forms have been prescribed for Alberta Municipalities to use in conjunction with
the annual tax levy and budget estimate by-law pursuant to Sections 92 through 102 of the
Municipal Taxation Act.
Count of Newell No. 4
.......................
MUNICIPALITY
TAX LEVY ESTIMATES -CURRENT YEAR I I I ~
For The Year Ending December 31 , 1985
ESTIMATES AS REQUIRED BY SECTIONS 92 THROUGH 102 OF THE MUNICIPAL TAXATION ACT
DETAILS OF CONSOLIDATED TAX LEVY B F 1
YEAR
TAX LEVY REQUIRED
, 2 s TOTAL MILL TAX
ASSESSMENT RATE LEVY
BASIC Allowance TOTAL
742 PROVINCIAL PLANNING FUND REQUISITION ~ II 29.823 ~' ~ _24. 82 416
EDUCATION REQUISITIONS
743 School Foundation Program Requisition(s) ........ .. ? 1 316 160 1 16 160 2 O1 8 0 4.00 1 18 00
Supplementary School Requisitions .... ............ .._.. _~ ._.
75x....Gounty.of..Newe11.. ...
.s D.No ..4..
..~ '
u
946 602 '
946 602
187
029
310
5.07
948
238
...
75X ............. S.D. No...... ..4
75x....Br.oo.ks .................. S.D.No.2092. ..e 106,897 106 897 13 197 590 8.11 107 032
75X ............................. S.D. No...... ..6
75X ............................. S.D. No...... ..?
75X ............................. S.D. No...... ..e
............
75X ............. .... S.D. No...... ..9
75X Electric Power and Pipe Line .... .............. . !9 1,418,310 1 ,418 310 216 699 780 6.56 1 421 550
UISITIONS
HER REQ
.:,.
.
75X H.D. No...... . i~
...........................
75X ............................ H.D. No...... . ?2
75X ............................ H.D. No...... . ~3
75X Electric Power and Pipe Line ... ............... . as
...........
75X Nursing Home ............... . ?.a
....
75X Auxiliary Hospital ............. .............. ...is _
~
75X ...Newell .................. Seniors Foundation is 62,655
...... !~ ':
. ......... 62 655 416 926 680 .16 66 708
75X ........................... Seniors Foundation i 7 `
<
75X ...........................
Seniors Foundation is .:;
''`
TOTAL FOR REQUISITIONS 20 3,$80,447 3,880,447
" ~ ,894,889
--~-~---- -1 ~ - ~----
1XX/2XX LEVIES FOR MUNICIPAL PURPOSES
w ..
General Municipal Operations ....... .............. .. ?J 2 750, 185 ' 2 750 185 416 926 680 6.60 2 751 716
;:..
t
....
.:
:
::.:
.
:
.
;;::;.: :..;, .r
r .:
... . .
....
Special Assessments and Locat Improv ements ........ .. ?? 18 ,815 18 ,815 :: ;: ` ?`i` 18 ,815
Debenture and Long Term Debt Charges ............ .. 23 25 055 ' 25 055 416 926 680 .07 29 184
.......
ecial Reserves Levies
S .............. .. ?.° ' i
....
p ........
Special Levies for Operating Functions < _
~ "'
Details: (i) ....Fi_re .Area....D.iu.. l ............. .. 25 8 135 ~~ 8 135
~ 15 644 670 .52 8 135
..........D.iv.. 2 ............. .. 26 -- -- -- -- --
L~,.
~ 3.............. ..?? 1 ,25 10,25 31 ,078 , 00 .33 10 ,25
.
.........................
....A.i.v-. 4............. ..28 16 098 - 16 098 16 098 050 1.00 16 098
....................
.........................A.i.v,. 5............. ..29 17 808 , :::
',~ 17 808 48 130 130 .37 17 808
.. ..... ..............D.i.v, . 6... , ......... .. 39 6 ,400 6 ,400 27 828 100 .23 6 400
9pe~ciat ~iex~ets ~ma ~;atpd~ ~firraieicf~sc x _ ~` ..T.
Details:(1) ................. D.LV..
Div
. ?.............
8
... ......... .. 3,
3z
... 3 652
3,935 3 652
3,935 11
11 066
,922 90
,740
.33
3 6 2
,935
......... ................D1 V.
............ 9
.............. 33
... -- -- -- -- --
.....
............
. ..Recreati.o~..... Di.v...
l..........
34
6 960
~~
_
~..
6 960
17
400
870
.40
6
60
.........................A.i.v.... 2............. .. ss 26 583
~
~ 26 583 26 582 910 1.00 26 583
......................... ~.i.v•..
3.............
...36
6 526 . _
.
~_
6 526
31
078
600
_21
6
526
. ........ D.i.v.. 4 ............. ...37 1 771
~ 1 771 16 098 170 .11 1 7 1
~Lv-.
S.............
.. 38
26 693 __ ,T
~ 26 693
48
130
130
.56
26
693
.........................
i.a-..
A .6............. ...39 6 400 6 400 27 828 100 .23 6 400
.
.......................
......................... Div. .?............. ...40 2 435 2 435 11 066 390 .22 2 435
........ ..... ...... .. Di,v., .8,..,......... ...47 2 981
~_..._ 2 981 11
- 922
7-._ .~ 620
.i - -
. , .25
~----~. 2 981
r~sYS~elScxX ............. Di.v... .9............. .. 44 6 726 6 26 14 6 84 4 6 26
TOTAL LEVIES FOR MUNICIPAL PURPOSES as 2 947 414 2 947 414 - 2 953 074
Estimated Mobile Unit License Revenue 46 20,000 20,000 20 ,000
izi
TOTAL TAXES AND GRANTS IN LIEU 47 6 .847 ,861 6 847 861 6 86 6
(1) Detail breakdown of "Special Levies" should be provided. Write in the appropriate detail items in the blank lines
(2) Total must agree with FS5-2-10
(3) Detail breakdown of split mill rates on separate page.
t
......................County, of .Newel .Na... 4............................. .
MUNICIPALITY
TAX LEVY ESTIMATES -PRECEDING YEAR
For The Year Ending December 31 , 1984
TAX LEVY REQUIRED
TOTAL MILL
ASSESSMENT RATE
BASIC Allowance TOTAL
742 PROVINCIAL PLANNING FUND REQUISITION
30 555 30 555 415 489 720 .08
TAX
LEVY
.
.
....:
:...::
:
....
:
•
;
•
•
::; 'f>: '.
UISITIONS
I N REQ
UC
ED
' .
.
:
.
:.;....:: .:.:::.:.::.
: ::.:.:...:..:..,.
:::.:;:.::
.:..: ...::.::..::: .
::::.::.:
...
:.....::.:..
::.:::.:..... ::
.
. ;::
:
::..
..::::::: ..:
, ..
:.:..
743 School Foundation Program Requisition(s) ........... 1 307 182 1 0 182 2 81 420 1 08 4 8
Supplementary School Requ s ;:;;:;:.>::.;::: ::::: ::.:::::::::::.. ........... .............. ........:... ...
75X • ... Cou.n.ty .of , Newel•1.. , ...
.. S.D. No.. 4... • ..
1 ,
7 871
, 7 195 ,29 , 00 7 872 ,9 7
75X ........................... .. S.D. No........
75X...,.Brooks ................ .. s.D.No..2a92.. . 97 723 97 723 12 905 030 7.58 97 820
75X ........................... .. S.D. No........
75X ........................... .. S.D. No........
75X ........................... .. S.D. No........
75X ........................... .. S.D. No........ .
75XElectric Power and Pipe Line .. .................. . 1 273 376 1 273 376 207 290 090 _ 6.15 1 2 4 8 4
OTHER REQUIS T ONS „<:':>::<i[:i?[::.>: .::>;::.;:;:;:.
<... s,;::;
::: <:: :>:;";.;
75X . H.D. No........ .
.......................... .
.
75X .. H.D. No........ .
.........................
..
75X .. H.D. No........ .
........................
75X Electric Power and Pipe Line .. .................. .
Home
75X Nursin ...............
..............
g ....
75X Auxiliary Hospital ........... .................. .
-.~„ Newell .~'PR1nrS Foundation 71 .828 ~ '? 71 ,828 415,489,720 .18 74
662,086
720 I 7.31 13 ,037 ,22
Debenture and Long Term Debt Charges .......... ...... 88 445 88 445 415 489 720 .22
Special Reserves Levies ....................... ...... ^~~
in Functions
for erat
Special Lewes Op g
;;::::.;:;.;..; .::
.::.::.:::: r:::;.::::
_
' .......:::::::>::.
::>:.„:...;::~:>
:::::<~~»?:::
.::>::.;<:cr>:<;:>:::.:
...;::
~ ~
>::~::;: >.
~ '
Details: (t) ..Fire. Are.a..Diy..l ............... ...... 7 783 _ :_ 7 783 14 967 720 .52
...................Div.. 2............... ...... 28 667 020
.....................DIY-. 3............... ...... 11 259 _: :; 11 259 34 117 680 .33
......................Riv,.!-............... ...... 6 767 6 767 15 380 460 .44
......................Div-. S............... ...... 17 532 ,,:.:. _ , 17 532 47 385 270 .37
......................Div.. 6............... ...... ,727 ,727 29,247,000 .23
~~(~(d4~IXl~X~sXDf#X~(t~a~d~~a9~X .; ' ` ~
... '
.. .. . '' '
~t~E~l~(:Xi(~( .............Div.. 7............... ...... 3 830 3 830 11 605 580
......................Riv..s............... ...... 4 276 4 276 12 958 560 .33
Div.. 9............... ...... 1 ,870,3 0
...................... 5 987 5 987 1 9 7 720 0
408
11,25
6 ,76
17.53
4.2
..........Recreati•on.Div,.l .....................
............Riv-. ?..................... ,
13,187
>,
13,187 , ,
28,667,020
.46 .,,_.
13,187
..........
.................Riy..3............:........ 7 165 7 165 34 117 680 .21 7 165
.....
......................Div.. !+..................... 1 692 1 692 15 80 460 .11 1 6 2
....................Div.. S..................... 30 326 », < 30 326 47 8 2 0 .64 0 26
...........Riv..6 ..................... 6 727 ' ~ 6 27 29 24 000 .2 6 2
......................Div.. 7..................... 2,553 ~ 2,553 11,605,580 .22 2,553
......................Diy..8..................... 3,240 3 240 121958,560 .25 3 240
Business Tax...........Riv,.9 ..................... 6 840 84 ~
TOTAL LEVIES FOR MUNICIPAL PURPOSES 1 888
Estimated Mobile Unit License Revenue 25 000 25 040 25 000
TOTAL TAXES AND GRANTS IN LIEU
6,990,724 6,990,724 > 7,002,974
(1) Detail breakdown of "Special Levies" should be provided. Write in the appropriate detail items in the blank lines.
2
County of Newell No. 4
...............................
MUNICIPALITY
ESTIMATED GENERAL MUNICIPAL REVENUES
For The Year Ending December 31, 1985 F S 5
ITEM DESCRIPTION II ESTEMATE I P ACTUALG I ESTEMATE
100/200 TAXES AND GRANTS IN LIEU ""`~ "`~ ""`
.................~.
ert
110 Real Pro 6 816 614 3 117 352 6 729 148
y ...............
p
120 Special Assessments & Local Improvements (aF-i-z2)..2. 51 360 51 171 18 815
130 Mobile Unit Licenses ..........................3. 25 000 23 015 20,000
170 Business Taxes ...............................°.
Cable T.V., etc ..................s.
Pipeline
190 Power 3 699 365
,
,
230 Federal Grants in Lieu of Taxes ..................6
240 Provincial Grants in Lieu of Taxes ................~. 110 000 94 812 100 000
250 Other Local Governments Grants in Lieu ...........s.
270 Other Grants in Lieu of Taxes ....................9.
TOTAL TAXES AND GRANTS IN LIEU IsFi•e-a~)
~n~
7 002,974 _
_6,985,715__
6 867 96
(DEDUCTIONS FROM TAXES (1)
740/750 Total Basic Requisitions (1) (aF1~1-201 • .. • • . • .3q 3, 52,138 ~ 3,652,139 ~ 3,880,447 ~ ~
100/200 Special Municipal Levies (1) (aF1-i-zz, 2a to a>> .35 278 ,659 187 ,062 ~ 172,174 ~ ~
TOTAL DEDUCTIONS AND LEVIES (1) 3,930,797 3,839,201 4,052,621
NET TAXES FOR GENERAL MUNICIPAL PURPOSES as 3,072,177 3,146,514 2,815,342
OTHER GENERAL MUNICIPAL REVENUES ,,
°....
_._.
::::.: <::;:::;::::
"::': '~. ,
1
I ,:
F
S
3
_..
510 Penalties and Costs on Taxes ................. s3 50,150 61,548 50,150
540 Revenues from Franchises 8 Concession Contracts sa 35, 1
550 Returns on Investments-Interest/Dividends%etc. ..55 200,000 320,6 9 305,000
590 Other Revenues from Own Sources ............ ss 88,000 13,230 5,000
730 Federal Govt. & Agencies Unconditional Grants ... s~
740 Provincial Govt. 8 Agencies Unconditional Grants . sa 579,135 554,318 565,410
750 Local Governments Unconditional Grants ........ ss
990 Other (3) .................................so
TOTAL OTHER GENERAL MUNICIPAL REVENUES l l 917 ,285
LLL... 985 ,379 925,560
TOTAL NET GENERAL MUNICIPAL REVENUES (2)
(FS3-i-61, page 4) (FR19-99-99) s, 3 ,989 ,462 4 ,131,893 3 ,740 ,902
(1) The amounts in this section are deducted in calculating "Total Net General Municipal Revenues." The "Total Requisitions" estimates are the
BASIC amounts on Pages 1 and 2, Column 1. Levies, other than for "General Municipal Operations," are entered as parts of the "Estimated
Operating Revenues" on Page 4 and/or parts of "Estimated Capital Financing Acquired" on Page 6 in Lines for the functions to which they apply.
(2) Net amount of revenues for general municipal purposes to be entered on Pages 4, and 8 "Estimated Operating Revenues."
(3) To include any part of accumulated surplus to be used but not designated for a specific function.
Specify amount of surplus being used $
3
.............
.........................County.°.f..Newell No-. 4...................
MUNICIPALITY
ESTIMATED OPERATING REVENUES F S 3
For The Year Ended December 31, 1985
FUNCTION DESCRIPTION PRECEDING
YEAR
ESTIMATE PRECEDING
YEAR
ACTUAL ' CURRENT
YEAR
ESTIMATE
1 1 Council and Other Legislative ...................' 1 408
12 General Administration and Other ................2
3
............................
...................
4
..............................................
.
21 Police Department and Services Used ............5
23 Fire Fighting and Preventive Service .............s $ 4 66 284
24 Disaster Service and Emergency Measures ........7
25 Ambulance Services and First Aid ...............s
26 By-Laws Enforcement and Other ................9
io
.............................................
..
i~
...............................................
31 Common Services and/or Equipment Pool ........'.2
............'.3
Lighting
Streets
Walks
32 Roads 466 600 1 469 752 466 600
.....
,
,
,
.......................~.4
33 Airport Services ............................. is
34 Public Transit Systems .......... '.6
37 Storm Sewers 8 Drainage ................... . l7
..............................................le
41 Water Supply and Distribution System ........... t9
............................................zo
42 Sanitary Sewage Service and Treatment .........?' 1 60 4 1 18 815
.............................................22
43 Garbage Collection 8 Disposal .................?3
za
...............................................
..............................................25
51 Family and Community Support Services.......... 2s
52 Day Care ....................... ..........27
..........................
53 Other Public Health 2&
56 Cemeteries & Crematoriums ........ ........ z9
.........................................30
61 Municipal Planning, Zoning & Development .......3~ $ 750 2 040 5 000
62 Community and/or Agricultural Services ..........32 66 500 77 244 71 750
66 Subdivision Land and Developments .............33
67 Public Housing Operations .................... $a
69 LandlHousing/Building Rentals and Other ........3s
36
37
...............................................
71 Recreation Board and Other Services........... 3a 77 717 77 717 87 075
72 Recreation/Parks Facilities and Programs ........ 39 1 000 55 225 2 000
Library, Museum, etc....40
74 Culture: Community Hall
,
75 Convention Centre ..........................°.'
az
...............................................
43
..................
91 Gas Production and Distribution ............... . ?4
92 Electrical Production and Distribution ............ 45
..........................
93 Telephone Systems as
..............................................a7
. G.a.s .Rebate .. . ........... . ................48 1 200 2 000
49
97 Operating Contingencies Reserve .............. so 322 000 227 525 1 045 720
TOTAL FUNCTIONALIZED OPERATIONS ai 1 ,164 ,709 2 ,434 ,106 1 844 44
TOTAL GENERAL MUNICIPAL REVENUES (i) (FR19-ss-ssf
6,
89 462
4 131 893
40 02
TOTAL MUNICIPAL OPERATINGFUNCTIONStFais-ss-~a) sz 5,154,171 6,565,999 5 585 846
96 County School Functions ................... .
64
6 ,902 ,300
6 ,850 ,459
7,185 ,290
GRAND TOTAL OPERATING FUNCTIONS ss 12,056,471 13,416,458 12 771 136
(1) From Page 3 carry forward of "Total Net General Municipal Revenues."
County of Newell No. 4
.....................
MUNICIPALITY
ESTIMATED OPERATING EXPENDITURES F S 3
For The Year Ended December 31, 1985
FUNCTION DESCRIPTION PRECEDING
YEAR
ESTIMATE PRECEDING 2
YEAR
ACTUAL CURRENT
YEAR
ESTIMATE
1 1 Council and Other Legislative ...................' 86 250 91 2 86 2 0
neral Administration and Other ................z
12 G 4 2 0 4 4 8 80
e
3
..............
.................................
4
..............................
.................
21 Police Department and Services Used ............s
23 Fire Fighting and Preventive Service .............6 $ 1 4 8 1 4 66 284
24 Disaster Service and Emergency Measures ........7 84
25 Ambulance Services and First Aid ...............6 68 00 68 428 6 60
-Laws Enforcement and Other ................s
26 B
y
i.o
t~
..................
........
31 Common Services and/or Equipment Pool ........'.z 8 0
..
Li htin t3
lks
t
W
St
9 9 ...............
,
a
ree
s,
32 Roads,
~a
....................
...........................
........ 's
ort Services
33 Air
.........
p
....................' 6
34 Public Transit Systems
...
................'.7
37 Storm Sewers & Drainage
.....
le
41 Water Supply and Distribution System ...........'.s
zo
.......................
........................
Sewage Service and Treatment .........z.'
42 Sanitar 74 151 41 830
y
zz
......................
.........................
43 Garbage Collection & Disposal .................23 26 00 2 555 25 500
2.4
26
...............................................
51 Family and Community Support Services..........z6
52 Day Care z7
53 Other Public Health ......................... 28
..... ..29
'
56 Cemeteries & Crematoriums
.........
..
30
...............................................
Zoning & Development ...... 31
61 Municipal Planning 1 600 20 06 12 800
,
62 Community and/or Agricultural Services ..........3? 2 8 600 221 24 242 00
66 Subdivision Land and Developments.. ......... 33
67 Public Housing Operations ......... ..........34
69 Land/Housing!Building Rentals and Other ....... 3s
36
...................................
............
37
...............................................
71 Recreation Board and Other Services .......... as 1 1 8 0
72 Recreation!Parks Facilities and Programs........ 39 4 00 6 2 12 000
74 Culture: Community Hall, Library, Museum, etc. .. 4.° 00 4 8 00
................ 41
75 Convention Centre
..-...
....
a2
...............................
................
43
............................ ...................
91 Gas Production and Distribution ............... as
92 Electrical Production and Distribution ........... as
..........................
93 Telephone Systems as
a7
........................................
.......
....Capital .................................48 6 000 4 000
49
..................................
.............
97 Operating Contingencies Reserve ............. 5° 139 835 999 649 150 000
TOTAL MUNICIPAL OPERATING FUNCTIONS (FR~s-ss-3s162 5 141 921 6 517 105 5 580 479
96 County School Functions .................... 6c 6 ,902 ,300 6 ,803 ,683 7 185 290
GRAND TOTAL OPERATING FUNCTIONS ss 12,044,221 13,320,788 12,765,769
County of Newell No. 4
.................
' ' ' ' ' ' ' ' ' ' ' ~ ~ ~ ~ ~ ~ ~ ~ ~ ~ ~ ~ ~ ~ ~ ~ ~ ~ ~ ~ ~ ~ ~ MUNICIPALITY
ESTIMATED FUNDED CAPITAL ACGIUIRED F S 4
For The Year Ended December 31 , 1985
FUNCTION DESCRIPTION PRECEDING
YEAR
ESTIMATE PRECEDING ~
YEAR
ACTUAL CURRENT a
YEAR
ESTIMATE PRECEDING I
YEAR
UNEXPENDED
......... ~
islative
L
th
..........
er
eg
1 1 Council and O
.....z
d Other 8 000
...........
1 2 General Administration an
.......3
...............
.........................
rtment and Services Used ............s
li
D
epa
21 Po
ce
and Preventive Service .............s
hti
Fi
ng
g
23 Fire
and Emergency Measures . .......7
i
t
S 4 00 2 00
ce
erv
er
24 Disas
...........a
ices and First Aid
l
S
....
erv
ance
25 Ambu
..............s
Enforcement and Other
L
6 B
..
aws
y-
2
io
..
.....................................
ii
...... ~.2
uipment Pool
nd/or E
i
S 26 000
..
q
erv
ces a
31 Common
t3
hti
i 301 925 376 500 2 363
ng ................
g
32 Roads, Streets, Walks, L
,a ~
.....
's
ices
t S
............
.......
erv
33 Airpor
........ t6
stems
it S
li
T
...............
rans
y
c
34 Pub
..... t7
& Draina
e
................
g
37 Storm Sewers
to
.........................
.................
and Distribution System ...........t.9
l
t
S
W
y
er
upp
a
41
zo
.......z~
e Service and Treatment
it
S 142 632 55 990
..
ewag
ary
42 San
22
e Collection & Disposal .................z3
43 Garba
g
...........2a
.......
............................
...25
................................
..
51 Family and Community Support Services.......... as
. ... . .... .. .. . . . . . . .27
Care
52 Da
...... ... . . .
y
.....2$
.........
blic Health
P
53 Oth
,
...........
er
u
z9
matoriums
i
& C
...................
re
es
56 Cemeter
......................................30
......
Zoning 8 Development .......3i
al Planning
nici
61 M
,
p
u
ricultural Services ..........3z
and!or A
nit
m
62 C
g
y
om
u
.... ... 33
ision Land and Developments
bdi
66 S 9 915
....
v
u
67 Public Housing Operations ........ ....... ...3a
69 Land%Housing/Building Rentals and Other ........3s
36
37
........................................
.......
... 3e
nd Other Services
B
d
i
.......
oar
a
on
71 Recreat
........39
tion/Parks Facilities and Programs
72 R
.
ecrea
etc....ao
Museum
Library
Hall
re: Communit
lt
74 C
,
,
,
y
u
u
....4~
t
i
C
re ......................
en
on
75 Convent
az
........
.................................
..........a.3
....................................
91 Gas Production and Distribution ................aa
92 Electrical Production and Distribution ............as
................a$
93 Telephone Systems
.........
.........47
.....................
............a$
................
49
97 General Capital Reserve .................... so
TOTAL MUNICIPAL CAPITAL FUNCTIONS 51 265,000 458 ,972 4 000 8
96 County School Capital Functions .................
52 4 200 46 1 11 400 0
GRAND TOTAL CAPITAL FUNCTIONS 53 ~ 339 ,200 922 289 ~ 768 ,400 61,656
County of Newell. No. 4
........................
MUNICIPALITY
ESTIMATED CAPITAL FUNDS APPLIED F S 4
For The Year Ended December 31 , 1985
FUNCTION DESCRIPTION PRECEDING
ESTIMATE PRECEDING s
ACTUAL CURRENT z
ESTIMATE PRECEDING
OVEREXPENDITURES
..................'
ncil and Other Legislative
11 C
.
ou
........... ?
l Administration and Other
G 8 000
....
enera
12
3
..................
.............................
4
................................
...............
21 Police Department and Services Used ........... s
23 Fire Fighting and Preventive Service ............ e
24 Disaster Service and Emergency Measures ....... ? 4 00 2 00
25 Ambulance Services and First Aid .............. s
26 By-Laws Enforcement and Other ................ s
io
.........................
......................
ii
............................................
...
31 Common Services and/or Equipment Pool ....... ,'? 26 000
.........
Li htin 13
Walks
ets
Str
d
R
9 2 62
.........
,
e
,
oa
s,
32
9
14
..... ......... .... .........
....................
............................'.s
33 Airport Services
.
.....................~s
34 Public Transit Systems
..
................. t7
37 Storm Sewers & Drainage
....
.................18
41 Water Supply and Distribution System ...........~.g 38 761 8 761
20
...........................
....................
42 Sanitary Sewage Service and Treatment .........?'
86 642 .
22
................................
...............
43 Garbage Collection & Disposal .................23
24
......................................
.........
..?5
......................................
51 Family and Community Support Services..........z6
52 Day Care .............................. ...?7
......28
...................
53 Other Public Health .
.
.
.... z9
56 Cemeteries & Crematoriums
..........
30
...............................................
Zoning & Development .......37
61 Municipal Planning
,
62 Community and/or Agricultural Services ..........3z
66 Subdivision Land and Developments .............33 87 027 77 112
67 Public Housing Operations ....................3a
69 Land/Housing/Building Rentals and Other ........3s
36
...................................
..........
37
...............................................
71 Recreation Board and Other Services ..........38
72 Recreation/Parks Facilities and Programs.........39
74 Culture: Community Hall, Library, Museum, etc. ...4.°
......................4.'
75 Convention Centre
....
...................................a2
.............................................43
91 Gas Production and Distribution ................44
92 Electrical Production and Distribution ............as
93 Telephone Systems as
..........................
a7
..........................................
.....
.................................a8
49
97 General Capital Reserves .....................5°
TOTAL MUNICIPAL CAPITAL FUNCTIONS si 265,000 ,4
96 County School Capital Functions .......... ~ ~ ~sz 460 ,014 11 400 Ni 1
GRAND TOTAL CAPITAL FUNCTIONS s3 265 ,000 976 ,506 768 400 115 873
County of Newell No. 4
.........................................................
MUNICIPALITY
SUMMARY OF ESTIMATED OPERATING REVENUES AND EXPENDITURES F R 1 9
For The Year Ended December 31, 1985
ITEM DESCRIPTION PRECEDING
YEAR
ESTIMATE PRECEDING
YEAR
ACTUAL ee CURRENT
YEAR
ESTIMATE
GENERAL MUNICIPAL REVENUES (1) (FS3-i-si) 99
3 989 462
4 131 893
3 740...x.90? .
REVENUES BY TYPE: .
...,,: ....:.:.....
~~
100/200 Special Municipal Levies (eFi-i-zz, za-so)... • • • •' 278 659 187 062 172 174
300 Sales to Other Governments .................. ?
400 Sales of Goods and Services .................. 3 148 072 75 200
520 Professional and Other Licenses and Permits (2) .. a 2 040 1 500
530 Municipal By-Law Fines Issued (2) .............. s
550 Return on Investments held for Function (2) ...... s
560 Rental Revenues (2) ..........................~ 16 450 14 000
590 Other Revenues from Own Sources (2).......... e 141 839
830 Federal Conditional Grants .................... e 1 200 2 249 2 000
840 Provincial Conditional Grants ..................i.o 562 850 1 133 824 534 350
850 Local Government Conditional Grants ...........~.~
910 Withdrawn from Function Operating Allowances ...i.z
920 Withdrawn from Function Operating Reserves.....~.a 322 000 575 045 1 045 720
930 Contributed from Operating Functions (5) ........i.a 227 525
940 Contributed from Capital Sources (FR20-ss-aa)......~.s
960 Gross Recoveries from Operating Functions ......i.s
990 Other .....................................~.~
TOTAL ESTIMATED OPERATING REVENUES (3) tFS3-i-sz) e 5 154 171 6 565 999 85 ,846
EXPENDITURES BY OBJECT: '` '
Wages and Benefits ..................ls
100 Salaries 1 ,382,700 1 ,422,312 1 ,473,350
,
.............20
200 Contracted and General Services 2 513 891 1 545 847 1 746 000
..
300 Purchases from Other Governments ............?'
...2z
Supplies and Utilities
Goods
terials
500 M 575 050 1 261 673 1 403 544
.......
,
,
a
.............Government zs
7X0 Grants to
........
761 Contributed to other Operating Functions.........24 227 525
762 Contributed to Capital Programs IFa2o-ss-i s) ....... 25 265 000 274 017 457 000
763 Added to Function Operating Allowances.........26 183 335
764 Added to Function Operating Reserves ..........?~ 1 256 868 277 680
765 Contributed to Own Municipal Agencies..........28
770 Grants to Individuals and Organizations...........29 7 500 99 967 120 075
810 Short Term and Other Financial Charges .........30 51 000 50 434 51 000
820 Long Term Debt .............................31
830 Debenture Debt Charges ......................32 88 445 374 151 41 830
960 Gross Recoveries to Operating Functions (FR19-ss-i s) 3s
990 Other Transactions, Discounts, Adjustments (6) .... 3a 75 000 4 311 10 000
TOTAL ESTIMATED OPERATING EXPENDITUREsa~~-)s2) 3 5 141 921 6 517 105 5 ,580 ,475
NET ESTIMATED OPERATING DEFICIT
3
NET ESTIMATED OPERATING SURPLUS 3~ ~ 12 ,250 48,894 5 367
.,
(1) From Page 3 carry forward of "Total Net General Municipal Revenues."
(2) May group together and record as "590 Other Revenues From Own Sources."
(3) To agree with total amounts shown for operating revenues on Page 4.
(4) To agree with the total amounts shown for operating expenditures on Page 5.
(5) Accumulated Surplus to be used FR19-99-17 ... specify
(6) Accumulated Deficit to be recovered FR19-99-34 ... specify
8
County of Newell No. 4
.......................................................
MUNICIPALITY
SUMMARY OF ESTIMATED CAPITAL FINANCES ACQUIRED AND FINANCES APPLIED F R 2 0
By Type And Object For The Year Ending December 31 , 1985
PRECEDING PRECEDING ss CURRENT
YEAR
YEAR
YEAR I
ITEM DESCRIPTION ESTIMATE ACTUAL ESTIMATE
APITAL FINANCES ACQUIRED:
.. :::..
>.::::.,
•::: r:y
`~
..........~
ended Fund Balance
Unex
'
Y ~ 58 353
.
p
ear
s
XXX Prior
z
aFi-i-ai ~o a~1
i
l L
i
i
........
es (
ev
pa
c
100/200 Special Mun
3
es Issued
t
d M
....... .
or
gag
310 Debentures, Bonds an
a
ital Leases
Ca
d N
....
ew
p
322 Long-Term Borrowings an
5 8 8
550 Return on Investments ........................
.. s
d
P
s ........................
rocee
570 Insurance
.~
n Sources
f
O 2 24
.............
rom
w
590 Other Revenues
s
t 26 0
s ..........................
6X0 Sale of Fixed Asse
9
.. .
:
nt
l G
it
......
s ...............
ra
a
830 Federal Cap
....'.°
ital Grants
l C
i 40 8
..................
ap
a
840 Provinc
......~.'
ital Grants
rnment Ca
! G
.........
p
ove
850 Loca
~ 2
Boards or Agencies
lit
i
i
M
.......
y
un
pa
c
86X From Own
....'.3
om Function Capital Allowances
f
910
ithd
..
r
rawn
W
20 Withdrawn from Function Capital Reserves........la 02
g
930 Contributed From Operating Functions (FR19-ss-zsl ..i.s 26 000 2 4 0 4 00
940 Contributed from Other Capital Functions.........16
............'?
970 Contributions from Developers
.....
990 Other .....................................'a
TOTAL OF FUNDED CAPITAL AVAILABLE(1) ~s 265 .000 458 ,972 515 353
.:.
,., ~.
,..:: .
;: .
.: ;::: .
OVEREXPENDITURES TO BE PROVIDED BY: `j?i".
s;>..;:.... ..:.:; :.
;!
100/200 Future Property Levies ....................?o
3XX Borrowing Approved but Not Received...........?i
91 5 Future Contributions from Operations ...... ... .. 22 38 761
990 Other(Specify) .............................zs 77 112
TOTAL OVEREXPENDITURES AT YEAR END 24 115,873 ~ _
GRAND TOTAL CAPITAL FINANCES ACOUIRED z5 265,000 574,845 515,353
CAPITAL FINANCES APPLIED
XXX Prior Year's Overexpenditures balance .. ....... 26 154 775 154 775 115 873
490 Other Assets Acquired ...................... ??
610 Engineering Structures Additions .............. 28 49 351
620 Buildings Fixed Assets Additions .............. 29
Equipment and Addition .............. 30
630 Machines 255 000 255 138 406 500
,
640 Land Acquired for Government Uses ........... 3?
......................... 3?
650 Vehicle Additions 10 000 18 879 0 00
..
................Government sa
7X0 Grants to
......
761 Contributed to Operating Functions ............ sa
762 Contributed to Other Capital Functions 1FRZO-ss-isl . ,as
763 Additions to Function Capital Allowances ........ as
764 Additions to Function Capital Reserves.......... 37 8 49
765 Contributed to Own Municipality Agencies ....... se
......... 39
nts to Individuals and Organizations
770 Gr
.
a
990 Other Transactions and Adjustments............ 40
TOTAL CAPITAL FUNDS APPLIED (2) ai 414 _775 516.492 572.873
UNEXPENDED CAPITAL BALANCE AT YEAR END 42 I I 58 ,353 II
GRAND TOTAL CAPITAL FINANCES APPLIED 43 419,775 574,845 572,873
(1) To agree with estimated funded capital acquired plus preceding year unexpended on Page 6.
(2) To agree with estimated capital funds expended plus preceding year overexpenditures on Page 7
9
.......................Count,Y.of Newell.No..4.............................
MUNICIPALITY
ESTIMATED ASSESSMENTS AND VALUATIONS SUMMARY F R 21
For Taxation Year Ending December 31,1985
s MACHINES s
LAND ASSESSMENT BUILDINGS AND EQUIPMENT
IMPROVEMENTS AND TOTAL
s a ENGINEERING ASSESSMENT
ITEM DESCRIPTION ~ EXEMPT z SUBJECT EXEMPT SUBJECT STRUCTURES
FROM TO SCHOOL FROM TO SCHOOL SUBJECT TO
S.F.P. FOUNDATION S.F.P. FOUNDATION S.F.P.
TAXABLE PROPERTY ASSESSMENTS:
~ y ~ >
Commercial Properties ............. ~ ~
.~~ 1 2 80
ti
l P 2 ? . 4 2 200 °.-_ ..~-
es
roper
Industria a . .
4 999 480 13 825 650 '<,. , •: ~,
Residential Properties ..... .
4 559
750
65 17,567,280 2,793,060
.
Farming Properties . ,
,
TOTAL TAXABLE PROPERTY ASSESSMEN TS 2
0
0 86D
591
19 618
710
16 25,505,030 60,979, 360
,559,
3
7 ,
, ,
,
OTHER TAXABLE ASSESSMENTS: ~~ ~'
, ~ 1 424 9 0
.....
Railway Rights-ol-Way . s
"'°~`
.w
~ m~.m_mm .
, .:
200 258
620
e Lines
Pi 7 I
......
p ~ 10 2 120
Electrical Power Systems ............. a m. 6
Q
0
9
~. -,
`` ~
,
..........
Cable T.V. Systems......
. -
~ ' „
,.
.;
Sec. 25 Municipal Taxation Act ..... .... ?^ _
K ~'"'~` ~" ~'
io ~
TOTAL OTHER TAXABLE ASSESSMENTS
C _ 212,636,
---- 400
-mm-
GOVERNMENT PROPERTIES:
.~ »»w.
~ ~ :
!
Municipal Electrical System. ....... ..M ~.
1z
Municipal Gas System ... ........... .
l
h
S 23 ; '' _m°~-~~ ""^
em..........
one
ys
Municipal Telep
13 -m m. °° ~' `""" "°'"`
Municipal ReMaI Properties .. .......... .
nd Tax Recovery Land
i
G ~<
...
ng a
raz
Leased, .
TOTAL MUNICIPAL ASSESSMENTS is
- 488
Alberta Government Telephones...... rs
l B
d it <', • ;
oar
Alberta Liquor Contro , ....
96 970
163 370 ~ -,._
149 20
1 480
Other Provincial far Grants in Lieu .. .. is
tion
C ,s
-- .:.
.. ........
orpora
Alberta Housing ..
TOTAL PROVINCIAL ASSESSMENTS zo
96 970
163 370
149 920
1 480
_ 488 I
FEDERAL GOVERNMENT ASSESSMENTS 21
GRAND TOTAL ASSESSMENTS 22
I
L nn ~~~ inn
rV U/U LUV t0 755 730
/ I// 16 768 6i0 30 642 510 279,104 ,111
O
la s2 1 0
85,920 ,090
193,254,190
zoo .z5s ,6zo
212 ,636 ,400