Anyone running in the Ottawa municipal election this fall should be aware of the preliminary financial results for 2009 and the comparative financial figures from the year of amalgamation. If elected, you will be a “Steward” of the taxpayer’s money. You will have a major job to perform in cleaning up the financial mess created by those councillors that have more than 8 years on council. Every one of them is to blame because they have not spoken out on the subject.
Also to Blame:
-Not the current Mayor. He spoke out about union wages and benefits and paid the price.
-Senior Management for incompetence and inefficiency
-Greedy Greedy Public Sector Unions
-And, the McGuinty government for allowing outrageous wage and benefit settlements in the Ontario public sector that filtered down to Ontario municipalities by unelected and irresponsible, so called, arbitrators.
The following financial figures do not include the extremely generous “unfunded future employee benefits” which will keep the taxpayers in the poor house for years to come.
The financial figures represent a summary of the position of the City of Ottawa . The “drilled down” numbers for the comparative period will be available for resident taxpayers and individuals running for council, no matter what your political thinking may be, in the very near future. Simply put, Ottawa cannot continue to increase taxes and user fees and hand over this money to employees and consultants and contractors.
Take a hard look at the numbers and ask yourself the questions: Think about low interest rates, low inflation and the efficiencies that were promised by Bob Chiarelli.
The Highlights:
Annual Revenue in 2009 is $953 million higher that in the year 2000
The Category: Salary, wages and benefits is $593 million higher than in the year 2000
The Category: Contracted Services is $116 million higher than in the year 2000 (2000 is estimated at $60 million)
These two expense categories accounted for 75% of the expenditure of the additional revenue generated.
Please note:
Financial figures are compared from the day of Amalgamation (Dec 31 2000) to December 31 2009 unless otherwise indicated by *. Some classes of revenue and expenses have been reclassified as demanded by the Province of Ontario . See Note 18 in the 2009 audited financial statements.
Comments to wmomalley@gmail.com
Municipalities Out Of Control
Source: Audited Financial Statements
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City of
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As at Dec 31st
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%
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000’S
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Amalgamation
|
Increase
| |||||
Date
| |||||||
Revenues
|
2000
|
2004
|
2009
| ||||
Net taxes available for
municipal purposes
|
$934,243
|
$1,059,355
|
$1,286,044
|
37.66
| |||
Fees and User Charges
|
$375,232
|
$467,690
|
$623,350
|
66.12
| |||
Government Grants
|
$276,127
|
$363,975
|
$471,419
|
70.73
| |||
Investment Income
|
$45,158
|
$40,448
|
$26,071
|
-42.27
| |||
Contributed Tangible
Capital Assets
|
N/A
|
N/A
|
$145,296
|
N/A
| |||
Interest from Ottawa Holding Inc.
|
N/A
|
$16,455
|
N/A
|
N/A
| |||
Equity in earnings of government
business enterprises
|
N/A
|
$19,659
|
$29,414 *
|
49.62
| |||
Fines and Penalties
|
N/A
|
$18,767
|
$23,567 *
|
25.58
| |||
Development Charges
|
$11,144
|
$47,052
|
$81,392
|
630.37
| |||
Other Revenue
|
$101,365
|
$30,321
|
$10,369
|
-89.77
| |||
Total Operating Revenue
|
$1,743,269
|
$2,044,063
|
$2,696,922
|
54.70
| |||
Operating expenditures by object
|
%
| ||||||
2000
|
2004
|
2009
|
Increase
| ||||
Salaries, wages and employee benefits
|
$665,004
|
$922,292
|
$1,258,156
|
89.20
| |||
Contracted and general services
|
$0
|
$86,219
|
$176,315 *
|
104.50
| |||
Materials, equipment and supplies
|
$329,343
|
$296,878
|
$500,698
|
52.03
| |||
Interest charges
|
$55,164
|
$61,462
|
$64,594
|
17.09
| |||
Rents and financial expenses
|
N/A
|
$35,537
|
$51,634 *
|
45.30
| |||
Third-party social, cultural and
recreation programs
|
N/A
|
$313,153
|
N/A
|
N/A
| |||
Capital Expenditures
|
$311,963
|
N/A
|
N/A
|
N/A
| |||
Other
|
$356,047
|
N/A
|
N/A
|
N/A
| |||
External Transfers
|
N/A
|
N/A
|
$335,185 *
|
N/A
| |||
Amortization
|
N/A
|
N/A
|
$208,205 *
|
N/A
| |||
Expenditures recovered from capital
|
N/A
|
-$28,855
|
N/A
|
N/A
| |||
Total Operating Expenses
|
$1,717,521
|
$1,686,686
|
$2,594,787
|
51.08
|