Saturday, March 8, 2008

More cash from the Cash Cows?

The following information was copied from the Vernon Blog. This is important information for Coldstream taxpayers as well.

Our politicians think that we can pay for the financing of the present financing of the Multiplex and the Theatre and also start financing the replacement of those same facilities sometime in the distant future. This is asinine. Most people are concerned with existing taxes they do not want to start paying for facilities to be built in the distant future. When those facilities are needed they should borrow the funds and pay as you go. Any time a slush fund is built up there is the danger of some bureaucrats or politicians cast their beady eyes on it and use it for purposes of their own. Just remember the sewer fund grab by the 2005 Council. If you do not wish to spend your taxes on such slush fund make sure you let your Council know about it. While it is GVSC that is doing the deed that GVSC is composed of City and Coldstream Council members with two additional members from Electoral Areas "B" and "C".

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JUSTIFY this policy on RESERVES to the Taxpayer.

"First the Regional District looks forward to receiving input from you in the financial planning process. With regards to any discussion of the issue of reserves in-camera, outside of specific legal, labour and/or land issues that may have an impact on the financial plan all budget discussions take place in open meetings.

As for the reserve balances for both the Multiplex and Community Theatre, the net transfers to reserves for 2008 are $78,143 and $96,101 with anticipated 2008 year end balances of $646,728 and $353, 388 respectively. The five year plan assumes a growth factor of 3.92% a year and assuming that this occurs at the end of five years the reserves will accumulate to $2,662,935 and $1,327,590 respectively. The plan however does not currently include life cycle costs for both facilities which are currently in the process of determining. Once staff has these costs we will be reviewing the reserve balances again.

Again I look forward to your input into next year’s financial plan."
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I received the above details from Mr Harris the CFO of NORD in a most timely fashion. They were given in response to my e-mail of the same day to the following questions:

1. The expected 2008 reserve balance for the Multiplex will be $ $376,461 of which $145,574 will come from this years budgeted transfer into reserves?

2. This does not include a further 2007 unaudited surplus of $435,840. (budget $204,974) which will be added to this 2008 reserve balance when confirmed?

3. The 2017 target for reserves in the Multiplex Account is $6,992,874 ?

4. The expected 2008 reserve balance for the Performing Arts will be $ $316,917 of which $107,721 will come from this years budgeted transfer into reserves?

5. This does not include a further 2007 unaudited surplus of $46,491 (budget $20,888) which will be added to this 2008 reserve balance when confirmed?

6. The 2017 target for reserves in the Performing Arts Account is $3,421,356?
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Don Quixote Note: It is too late this year for the public to have any effective input on this budget as it was passed at last Wednesday's NORD meeting.

Effectively it confirms the planned 2008 ending reserve totals of $646,728 for the Multiplex with a 5 year target of $2,662,935. (The operating costs in year 5 or 2012 is projected to be $1,525,931. The 5 year reserve will form 174% of that years operating costs.)

Similarly the Community Theatre is confirmed at the planned 2008 ending reserve totals of $353, 388 with a 5 year target of $1,327,590. (The operating costs in year 5 or 2012 is projected to be $290,028. The 5 year reserve will form 457% of that years operating costs.)
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The staff at NORD has presented a way of building up reserves in these two buildings on the current taxpayers dime and I have yet to hear from one Politician that sits at this table either what they will be used for or that they agree with this form of taxation. There is now indications of revisiting this budget for 'life cycle costs for both facilities' which may or may not be an euphemism for further upward revisions.

I expect these Politicians to stand up in their respective open Council meetings and explain why these large yearly tax burdens have been accepted and the full reasons for these reserves and their planned use.

Vernon's taxes at NORD are increasing by 6% or $513,344 in 2008. The reserve policy as voted on by your representatives at GVSV and NORD is a major part of that increase. JUSTIFY this policy on RESERVES to the Taxpayer.

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I have been a resident of Coldstream since 1976. I have had 15 years of experience on Council, 3 years as Mayor. As a current Councillor I am working to achieve fair water and sewer rates and to ensure that taxpayers get fair treatment. The current direction regarding water supply is unsustainable and I am doing all I can to get the most cost effective water supply possible.