Electronic General Committee MeetingRevised AgendaRevised items are identified by an asterisk (*)Meeting Number: 9Monday, May 09, 2022 at 9:30 A.m. - 3:00 P.m.Live streamed1.CALL TO ORDER INDIGENOUS LAND ACKNOWLEDGEMENTWe begin today by acknowledging the traditional territories of Indigenous peoples and their commitment to stewardship of the land. We acknowledge the communities in circle. The North, West, South and Eastern directions, and Haudenosaunee, Huron-Wendat, Anishnabeg, Seneca, Chippewa, and the current treaty holders Mississaugas of the Credit peoples. We share the responsibility with the caretakers of this land to ensure the dish is never empty and to restore relationships that are based on peace, friendship, and trust. We are committed to reconciliation, partnership and enhanced understanding.2.DISCLOSURE OF PECUNIARY INTEREST 3.APPROVAL OF PREVIOUS MINUTES 3.1MINUTES OF THE APRIL 4, 2022 GENERAL COMMITTEE (16.0) 1.GC20220404.pdf That the minutes of the April 4, 2022 General Committee meeting be confirmed. 3.2MINUTES OF THE MARCH 21, MARCH 23 AND APRIL 19, 2022 GENERAL COMMITTEE (16.0) 1.GC20220321.pdf2.GC20220323.pdf3.GC20220419.pdf That the minutes of the March 21, March 23 and April 19, 2022 General Committee meeting be confirmed. 4.DEPUTATIONS 5.COMMUNICATIONS 5.1YORK REGION COMMUNICATIONS (13.4) 1.Economic Development Action Plan 2020-2023 Update.pdf2.Transportation Services Capital Infrastructure Status Update.pdf3.Growth and Development Review 2021.pdf4.ventureLAB 2021 Results.pdf5.2021 Development Charge Reserve Fund Statement.pdf6.2021 Annual Development Activity Summary.pdf7.2022 Water and Wastewater Master Plan Update.pdfNote: Questions regarding Regional correspondence should be directed to Chris Raynor, Regional Clerk.The following York Region Communications are available on-line only. That the following communications dated May 2, 2022 from York Region be received for information purposes: Economic Development Action Plan 2022-2023 Update Transportation Services Capital Infrastructure Status Update Growth and Development Review 2021 VentureLAB 2021 Results 2021 Development Charge Reserve Fund Statement 2021 Annual Development Activity Summary 2022 Water and Wastewater Master Plan Update 6.PETITIONS 7.CONSENT REPORTS - FINANCE & ADMINISTRATIVE ISSUES 7.1MINUTES OF THE NOVEMBER 22, 2021 AND JANUARY 24, 2022 BOX GROVE COMMUNITY CENTRE BOARD (16.0) 1.BGCC Mins Nov 2021.pdf2.BGCC Mins Jan 2022.pdf That the minutes of the November 22, 2021 and January 24, 2022 Box Grove Community Centre Board meeting be received for information purposes. 7.2MINUTES OF THE DECEMBER 2, 2021 GERMAN MILLS COMMUNITY CENTRE BOARD (16.0) 1.GMCC minutes Dec2'21.pdf That the minutes of the December 2, 2021 German Mills Community Centre Board meeting be received for information purposes. 7.3MINUTES OF THE FEBRUARY 24, 2022 HEINTZMAN HOUSE COMMUNITY CENTRE BOARD (16.0) 1.HH Board 24 February 2022.pdf That the minutes of the February 24, 2022 Heintzman House Community Centre Board meeting be received for information purposes. 7.4MINUTES OF THE MARCH 16, 2022 ANIMAL CARE COMMITTEE (16.0) 1.Animal Care Committee Minutes - Mar 16, 2022.pdf That the minutes of the March 16, 2022 Animal Care Committee meeting be received for information purposes. 7.5MINUTES OF THE MARCH 21, 2022 ADVISORY COMMITTEE ON ACCESSIBILITY (16.0) 1.Minutes - Accessibility Advisory Committee March 21 2022(1).pdf That the minutes of the March 21, 2022 Advisory Committee on Accessibility meeting be received for information purposes. 7.6MINUTES OF THE MARCH 28, 2022 MARKHAM PUBLIC LIBRARY BOARD MEETING (16.0) 1.Approved Minutes of MPL Regular Meeting March 28,2022.pdf That the minutes of the March 28, 2022 Markham Public Library Board meeting be received for information purposes. 7.7MINUTES OF THE APRIL 12, 2022 DEVELOPMENT CHARGES PUBLIC MEETING (16.0) 1.Post-Meeting Minutes - Development Charges Public Meeting 2222_Apr12_2022 - English.pdf That the minutes of the April 12, 2022 Development Charges Public Meeting be received for information purposes. 7.82022 FIRST QUARTER INVESTMENT PERFORMANCE REVIEW (7.0) 1.2022 Q1 Investment Report.pdf2.2022 First Quarter Analysis Investments print copy.pdfM. Visser, ext. 4260 That the report dated May 9, 2022 entitled “2022 First Quarter Investment Performance Review” be received. 7.92023 TEMPORARY BORROWING BY-LAW (7.3) 1.2023 Temporary Borrowing By-Law.pdfL. Chen, ext. 3880 That the report titled “2023 Temporary Borrowing By-law” be received; and, That a by-law be brought forward for Council approval to authorize the temporary borrowing, if required, of amounts not to exceed $211,727,414 from January 1, 2023 to September 30, 2023 and $105,863,707 from October 1, 2023 to December 31, 2023 to meet the expenditures of the municipality until taxes are collected and other revenues are received; and, That the Treasurer report to Council in advance of borrowing, if temporary borrowing is required; and further, That Staff be authorized and directed to do all things necessary to give effect to this resolution. 7.102023 INTERIM SPENDING AUTHORITY PENDING APPROVAL OF BUDGET (7.0) 1.2023 Interim Spending Authority Pending Approval of Budget.pdfL. Chen, ext. 3880 That the report titled “2023 Interim Spending Authority Pending Approval of Budget”, be received; and, That Council approve 50% of the City’s 2022 Operating, Waterworks, Planning & Design, Building Standards and Engineering budgets, equal to $211,727,414, as a pre-budget approval for 2023 operating expenditures; and further, That Staff be authorized and directed to do all things necessary to give effect to this resolution. 7.112023 INTERIM SPENDING AUTHORITY PENDING APPROVAL OF UNIONVILLE AND MARKHAM VILLAGE IMPROVEMENT AREAS BUDGET (7.0) 1.2023 Interim Spending Authority Pending Approval of Unionville and Markham Village Business Improvement Area Budgets.pdfL. Chen, ext. 3880 That the report titled “2023 Interim Spending Authority Pending Approval of Unionville and Markham Village Business Improvement Area Budgets”, be received; and, That Council approve 50% of the 2022 Operating Budget equivalent to the amounts of $200,000 for the Unionville BIA (UBIA) and $165,455 for the Markham Village BIA (MBIA) as pre-budget approval for 2023 operating expenditures; and further, That Staff be authorized and directed to do all things necessary to give effect to this resolution. 7.12042-T-22 CATHODIC PROTECTION OF IRON WATERMAINS (7.12) 1.042-T-15 Cathodic Protection of Iron Watermains Contract Extension.docx.pdf2.2022 – 2025 Cathodic Protection Program.pdfP. Kumar, ext. 2989 That the report entitled “042-T-15 Cathodic Protection of Iron Watermains – Contract Extension (2022 – 2025)” be received; and, That the contract for Cathodic Protection of Iron Watermains be extended for four (4) additional years with 1460973 Ontario Limited O/A C.P. Systems (C.P. Systems) in the following amounts 2022 - $575,788.61 + $46,063.09 (contingency) = $621,851.70 2023 - $921,399.15 + $73,711.92 (contingency) = $995,111.08 2024 - $715,545.79 + $57,243.66 (contingency) = $772,789.46 2025 - $442,493.18 + $35,399.45 (contingency) = $477,892.64 2023 -2025 award is subject to Council approval of the annual capital budget submission. The contingency amount is established to cover any additional construction costs and that authorization to approve expenditures of this contingency amount up to the specified limit be in accordance with the Expenditure Control Policy; and, That the tendering process for the Cathodic Protection of Iron Watermains be waived in accordance with Purchasing By-Law 2017-8, Part II, Section 11.1 (c); which states that “when the extension of an existing Contract would prove more cost-effective or beneficial”; and, That the 2022 award in the amount of $621,851.70 be funded from the capital project 053-6150-22201-005 “Cathodic Protection of Iron Watermains” with a budget amount of $479,500.00; and, That the shortfall of $142,351.70 ($621,851.70 - $479,500.00) in project #22201 “Cathodic Protection of Iron Watermains” be funded from waterworks Reserve; and further, That Staff be authorized and directed to do all things necessary to give effect to this resolution 7.13070-T-22 CAST IRON WATERMAIN REPLACEMENT IN SOUTHDALE/ GLADIATOR/ WALKERTON AREAS (7.0) 1.070-T-22 Cast iron Watermain Replacement in Southdale Drive Area_Construction.docx.pdf2.Attachment A_ Location Map.pdfP. Kumar, ext. 2989 That the report entitled “070-T-22 Cast Iron Watermain Replacement in Southdale Dr Area” be received; and, That the contract for Tender 070-T-22 Cast Iron Watermain Replacement in Southdale Dr/ Gladiator Rd/ Walkerton Dr be awarded to the lowest priced Bidder, Rabcon Contractors Ltd. in the amount of $5,278,291.20, inclusive of HST; and, That a 10% contingency in the amount of $527,829.12 inclusive of HST, be established to cover any additional construction costs and that authorization to approve expenditures of this contingency amount up to the specified limit be in accordance with the Expenditure Control Policy; and, That the construction award in the amount of $5,806,120.32 ($5,278,291.20 + $527,829.12) be funded from the capital project 053-6150-22202-005 “CI Watermain Replacement – Construction & CA” with budget available of $5,027,885.00; and, That the shortfall of $778,235.32 in project #22202 “CI Watermain Replacement – Construction & CA” be funded from Waterworks Reserve; and further, That Staff be authorized and directed to do all things necessary to give effect to this resolution. 7.14113-S-22 SUPPLY AND DELIVERY OF TWO (2) AUXILIARY VEHICLES (7.15) 1.113-S-22 Supply and Delivery of Two (2) Auxiliary Vehicles .pdfM. Lee, ext. 2239 / C. Nearing, ext. 5960 / T. Lewinberg, ext. 4852 That the report entitled “113-S-22 Supply and Delivery of Two (2) Auxiliary Vehicles for Fire & Emergency Services” be received; and, That the contract for the supply and delivery of two (2) auxiliary vehicles (Drago apparatus with UHP units) for Fire & Emergency Services be awarded to Camions Carl Thibault Inc. in the amount of $1,711,000.78, inclusive of HST; and, That a new 2022 capital project be established in the amount of $1,711,000.78 to be funded from Fire Development Charges; and, That the tendering process be waived in accordance with Purchasing By-Law 2017-18, Part II, Section 11 (1) (b) which states, where there is only one source of supply for the goods to be purchased and (e) “where the City is acquiring specialized vehicles in which case the sources of supply may be identified based on technical specifications prepared by the User Department; and further, That Staff be authorized and directed to do all things necessary to give effect to this resolution. 8.MOTIONS 9.NOTICES OF MOTION 10.NEW/OTHER BUSINESS As per Section 2 of the Council Procedural By-Law, "New/Other Business would generally apply to an item that is to be added to the Agenda due to an urgent statutory time requirement, or an emergency, or time sensitivity".11.ANNOUNCEMENTS 12.CONFIDENTIAL ITEMS That, in accordance with Section 239 (2) of the Municipal Act, General Committee resolve into a confidential session to discuss the following matters:12.1FINANCE & ADMINISTRATIVE ISSUES Public Comments: 12.1.1GENERAL COMMITTEE CONFIDENTIAL MINUTES - APRIL 4, 2022 (16.0) [Section 239 (2) (h)] Attachments | Public Comments1.GC20220404.pdf12.1.2GENERAL COMMITTEE CONFIDENTIAL MINUTES - MARCH 23, AND APRIL 19, 2022 (16.0) [Section 239 (a)(c)(f)(h)] Public Comments: 12.1.3PERSONAL MATTERS ABOUT AN IDENTIFIABLE INDIVIDUAL, INCLUDING CITY OR LOCAL BOARD EMPLOYEES (7.0); [WARD 4, 5, 6, 7 & 8] [SECTION 239 (2) (b)] Public Comments: 13.ADJOURNMENT No Item Selected This item has no attachments1.BGCC Mins Nov 2021.pdf2.BGCC Mins Jan 2022.pdf1.HH Board 24 February 2022.pdf1.GMCC minutes Dec2'21.pdf1.Animal Care Committee Minutes - Mar 16, 2022.pdf1.Minutes - Accessibility Advisory Committee March 21 2022(1).pdf1.Post-Meeting Minutes - Development Charges Public Meeting 2222_Apr12_2022 - English.pdf1.2022 Q1 Investment Report.pdf2.2022 First Quarter Analysis Investments print copy.pdf1.Approved Minutes of MPL Regular Meeting March 28,2022.pdf1.070-T-22 Cast iron Watermain Replacement in Southdale Drive Area_Construction.docx.pdf2.Attachment A_ Location Map.pdf1.042-T-15 Cathodic Protection of Iron Watermains Contract Extension.docx.pdf2.2022 – 2025 Cathodic Protection Program.pdf1.2023 Interim Spending Authority Pending Approval of Budget.pdf1.2023 Interim Spending Authority Pending Approval of Unionville and Markham Village Business Improvement Area Budgets.pdf1.2023 Temporary Borrowing By-Law.pdf1.113-S-22 Supply and Delivery of Two (2) Auxiliary Vehicles .pdf1.Economic Development Action Plan 2020-2023 Update.pdf2.Transportation Services Capital Infrastructure Status Update.pdf3.Growth and Development Review 2021.pdf4.ventureLAB 2021 Results.pdf5.2021 Development Charge Reserve Fund Statement.pdf6.2021 Annual Development Activity Summary.pdf7.2022 Water and Wastewater Master Plan Update.pdf1.GC20220321.pdf2.GC20220323.pdf3.GC20220419.pdf1.GC20220404.pdf