Repayment and Extension Agreements Executed in 2014
Transcription
Repayment and Extension Agreements Executed in 2014
1 Report to Rapport au: Finance and Economic Development Committee Comité des finances et du développement économique 7 April 2015 / 7 avril 2015 Submitted on March 23, 2015 Soumis le 23 mars 2015 Submitted by Soumis par: Marian Simulik, City Treasurer/Trésorière municipale Contact Person Personne ressource: Wendy Stephanson, Deputy City Treasurer/Trésorière municipale adjointe 613-580-2424, ext. 13192, [email protected] Ward: CITY WIDE / À L'ÉCHELLE DE LA VILLE File Number: ACS2015-CMR-FIN-0014 SUBJECT: REPAYMENT AND EXTENSION AGREEMENTS EXECUTED IN 2014 OBJET: ENTENTES DE REMBOURSEMENT ET PROLONGATION CONCLUES EN 2014 REPORT RECOMMENDATIONS That the Finance and Economic Development Committee receive this report on the 2014 Repayment and Extension Agreements executed as required by the Delegation of Authority By-law. RECOMMANDATIONS DU RAPPORT Que le Comité des finances et du développement économique prenne connaissance du présent rapport sur les ententes de remboursement et 2 prolongation de 2014 signées, tel que l’exige du Règlement sur la délégation de pouvoirs. BACKGROUND The Finance Department is responsible for the collection of all accounts billed through the City’s Financial System. The City invoices for a variety of services such as residential and commercial rents, Transit fare media, damage to City property, returned cheques, salary overpayments, paid duty police service and property taxes. The services mentioned are only a few examples of the hundreds of services or reasons for which the City prepares and sends invoices. The Revenue Branch has implemented a rigorous process for follow-up, prescribed collection activities as well as partnering with three private collection agencies to collect outstanding balances. To reduce the City’s financial risk in instances where the debt cannot be paid in full, the City enters into a formal repayment or extension agreement. DISCUSSION Repayment Agreements In 2014, the City invoiced approximately $158 million for a variety of services such as residential and commercial rents, ice rentals, Transit fare media, damage to City property, returned cheques, salary overpayments and paid duty police service. The vast majority of accounts receivables were paid on time. The Finance Department makes every effort to collect all accounts receivable due to the City. Efforts include letters, telephone calls, service denial, accounts payable set-offs, referral to City Clerk and Solicitor Department to initiate a claim and assignment to private collection agencies. In some instances, for reasons that are often beyond the City’s control, full or partial amounts due cannot be paid. In accordance with section 25 in schedule “A” of the Delegation of Authority By-law No. 2014-435, the City Treasurer; the Deputy City Treasurer, Revenue; the Manager, Customer Service and Collections; and the Program Manager, Collections and Cash Handling are authorized to execute repayment agreements for amounts outstanding, and the exercise of this authority is to be reported annually to the appropriate Standing Committee. During 2014, no repayment agreements were executed for accounts receivable. 3 Extension Agreements In 2014, the City billed approximately $1.9 billion for property taxes. The vast majority of accounts were paid on time. The Finance Department makes every effort to collect all property tax accounts due to the City. Efforts include letters, telephone calls and prescribed collection activities in accordance with the Municipal Act. In some instances, for reasons that are often beyond the City’s control, full or partial amounts due cannot be paid. In accordance with section 17 in schedule “A” of the Delegation of Authority By-law No. 2014-435, the City Treasurer; the Deputy City Treasurer, Revenue; the Manager, Customer Service and Collections; and the Program Manager, Collections and Cash Handling are authorized are authorized to execute extension agreements for tax arrears and the exercise of this authority is to be reported annually to the appropriate Standing Committee. During 2014, 1 extension agreement was executed for property tax accounts. Document 1, on file with the Deputy City Treasurer, Revenue, outlines the account with the executed extension agreement in 2014. RURAL IMPLICATIONS There are no rural implications to receiving the information in this report. CONSULTATION The public consultation process is not applicable. COMMENTS BY THE WARD COUNCILLOR(S) There are no comments by ward councillors. ADVISORY COMMITTEE(S) COMMENTS This section contains any comments or recommendations made by one or more Advisory Committees relating to this report. LEGAL IMPLICATIONS There are no legal impediments to receiving the information in this Report. RISK MANAGEMENT IMPLICATIONS There are no risk management implications to receiving the information in this report. 4 FINANCIAL IMPLICATIONS Financial implications were identified in the body of this report. ACCESSIBILITY IMPACTS There are no accessibility implications to receiving the information in this report. TERM OF COUNCIL PRIORITIES This meets Council’s priority with respect to Financial Responsibility. SUPPORTING DOCUMENTATION Supporting documentation is on file with the Deputy City Treasurer, Revenue. DISPOSITION This report is for information purposes only. No further action is required.
Documents pareils
bank loan authorization agreement by-law
Soumis le 29 septembre 2015
Submitted by
Soumis par:
Marian Simulik, City Treasurer / Trésorière municipale
Contact Person
Personne ressource:
Isabelle Jasmin, Deputy City Treasurer, Corporate Fina...