Administrative Centre

30 Frances St

Randwick 2031

Tel: 02 9399 0999

Fax 02 9319 1510

DX 4121 Maroubra Junction

general.manager@randwick.nsw.gov.au

INCORPORATED

AS A MUNICIPALITY

22 FEBRUARY 1859

PROCLAIMED AS

A CITY JULY 1990

 

5 June 2007

 

ADMINISTRATION AND FINANCE COMMITTEE MEETING

 

NOTICE IS HEREBY GIVEN THAT AN ADMINISTRATION AND FINANCE COMMITTEE MEETING OF THE COUNCIL OF THE CITY OF RANDWICK WILL BE HELD IN THE COUNCIL CHAMBER, TOWN HALL, 90 AVOCA STREET, RANDWICK, ON TUESDAY, 12TH JUNE 2007 AT 6:00 PM

 

Committee Members:             The Mayor, Cr P. Tracey, Andrews (Chairperson), Hughes, Kenny, Matson, Nash (Deputy Chairperson), Seng & Woodsmith.

 

Quorum:                              Five (5) members.

 

NOTE: AT THE EXTRAORDINARY MEETING HELD ON 28TH SEPTEMBER, 2004, THE COUNCIL RESOLVED THAT THE ADMINISTRATION AND FINANCE COMMITTEE BE CONSTITUTED AS A COMMITTEE WITH FULL DELEGATION TO DETERMINE MATTERS ON THE AGENDA.

 

 

1           Apologies/Granting of leave of absences

 

2           Confirmation of the Minutes

 

CONFIRMATION OF THE MINUTES OF THE ADMINISTRATION & FINANCE COMMITTEE MEETING HELD ON TUESDAY, 8TH MAY 2007.

 

3           Declaration of Pecuniary & Non-Pecuniary Interests

 

4           Addressing of Committee by Members of the Public

 

5           Urgent Business

 

6           Finance

 

6.1                      

DIRECTOR, GOVERNANCE & FINANCIAL SERVICES' REPORT 31/2007 -   MONTHLY FINANCIAL REPORTS AS AT 30 APRIL 2007

2

6.2                      

DIRECTOR, GOVERNANCE & FINANCIAL SERVICES' REPORT 32/2007 -   INVESTMENT REPORT - APRIL 2007

4

6.3                      

DIRECTOR, GOVERNANCE & FINANCIAL SERVICES' REPORT 33/2007 -   2006/2007 CONTINGENCY FUND - STATUS AS AT 31 MAY 2007

9

 

7           Confidential Items (Closed Session)

 

8           Notices of Rescission Motions

 

……………………………………

GENERAL MANAGER

 


 

Director, Governance & Financial Services' Report 31/2007

 

 

SUBJECT:

MONTHLY FINANCIAL REPORTS AS AT 30 APRIL 2007

 

 

DATE:

25 May, 2007

FILE NO:

F2006/00689

 

 

REPORT BY:            DIRECTOR, GOVERNANCE & FINANCIAL SERVICES   

 

 

INTRODUCTION:

 

Section 202 of the Local Government (General) Regulation 2005 requires that the responsible accounting officer of a council must:

(a) establish and maintain a system of budgetary control that will enable the council’s actual income and expenditure to be monitored each month and to be compared with the estimate of the council’s income and expenditure, and

(b) if any instance arises where the actual income or expenditure of the council is materially different from its estimated income or expenditure, report the instance to the next meeting of the council.

 

ISSUES:

 

This report provides the financial results of Council as at 30 April 2007. Attachment 1 summarises Council’s Financial Performance and its Source and Application of Funds. It also summarises the operating result for each of Council’s principal activities. Attachment 2 details the financial position of Council as at 30 April 2007.

 

RELATIONSHIP TO CITY PLAN:

 

The relationship with the City Plan is as follows:

 

Outcome:      1: Leadership in Sustainability.

Direction:      1c: Long term financial viability is achieved.

 

FINANCIAL IMPACT STATEMENT:

 

There is no direct financial impact for this matter.

 

 

CONCLUSION:

 

Council’s Director Governance & Financial Services as the responsible accounting officer, advises that the projected financial position is satisfactory.

 

 

 

 

 

RECOMMENDATION:

 

The monthly financial reports as at 30 April 2007 be noted.

 

 

ATTACHMENT/S:

 

UNDER SEPARATE COVER -

1. Income Statement & Source and Application of Funds

2. Balance Sheet  

 

 

 

 

 

………………………………

………………………………

GEOFF BANTING

 

DIRECTOR, GOVERNANCE & FINANCIAL SERVICES

 

 

 

 

 

 

 


 Director, Governance & Financial Services' Report 32/2007

 

 

SUBJECT:

INVESTMENT REPORT - APRIL 2007

 

 

DATE:

26 May, 2007

FILE NO:

F2004/06527

 

 

REPORT BY:            DIRECTOR, GOVERNANCE & FINANCIAL SERVICES     

 

INTRODUCTION:

 

The Local Government (General) Regulation requires that the responsible accounting officer provide a written report to the ordinary meeting of the Council giving details of all monies invested and a certificate as to whether or not the investments have been made in accordance with the Act, the regulations and Council’s Investment Policy No: 3.02.07.

 

ISSUES:

 

Council is authorised by s625 of the Local Government Act to invest its surplus funds. Funds may only be invested in the form of investment notified by Order of the Minister dated 23 September 2005. The Local Government (General) Regulation prescribes the records that must be maintained in relation to Council’s investments.

 

The attached table titled “Investment Performance Report – April 2007” outlines the investment portfolio held by Council as at the end of April 2007. All investments have been made in accordance with the Act, Regulations and Council's Investment Policy.

 

Investment Commentary

 

The size of the investment portfolio may vary significantly from month to month as a result of cash flows for the period. Cash outflows (expenditure) are typically relatively stable from one month to another. Cash inflows (income) are cyclical and are largely dependent on the rates instalment due dates and the timing of grant payments including receipt of the Financial Assistance Grant.

 

The balance of the investment portfolio as at 30 April 2007 was $39.27 million. During April 2007 the portfolio decreased by $5.84 million.

 

There was capital works expenditure of $788,000 during April 2007. There were also two payroll periods during the month and payroll related expenditure during April 2007 amounted to $2.55 million. Other operating expenses for the month amounted to $3.88 million.

 

The main source of revenue during the month was from rate collections which amounted to $2.2 million. Other major revenue during April 2007 was $323,000 being a grant from the Department of Transport for road maintenance; $347,826 fine revenue from the Office of State Revenue; $106,105 contribution for Anzac Parade car park upgrade from South Sydney Juniors; $64,656 Department of Community Services and the March 2007 GST refund of $261,386.

 

The fourth and final rate instalment for this financial year is due 31 May 2007.

 

 

 

 

 

The above graph illustrates the movement in the investment portfolio since April 2004. The peaks are representative of the rates instalment periods.

 

The investment portfolio is diversified across a number of investment types and is spread across a number of financial institutions. The various investment types may include managed funds, term deposits, rolling rate investments, floating rate notes and on‑call accounts. The following graph indicates the various investments held during April 2007.

 

 

The investment portfolio is regularly reviewed in order to maximise investment performance and minimise risk. Comparisons are made between existing investments with available products that are not part of Council's portfolio. Independent advice is sought on new investment opportunities.

 

The graph below shows the investment return achieved against the USB Bank Bill Index and the official Reserve Bank of Australia (RBA) cash interest rate for the period July 2005 to April 2007.

 

 

Investment performance exceeded the industry benchmark UBS Australian Bank Bill Index in April 2007 with an average return after fees of 7.30%, compared with the benchmark index of 6.87%. Official Reserve Bank of Australia (RBA) cash interest rate remained at 6.25% during April 2007.

 

Month in Review

 

The April meeting of the Reserve Bank resulted in the cash rate remaining unchanged at 6.25%. While there was ample evidence of accelerating Australian economic growth, there was no evidence of a clear and present inflation threat. Economists believe that unacceptably high inflation pressure may rebuild later in 2007, but it would be very hard for the Reserve Bank to run the case for an immediate increase on the chance of a higher annual inflation in late 2007 or 2008.

 

RELATIONSHIP TO CITY PLAN:

 

The relationship with the City Plan is as follows:

 

Outcome 1:  Leadership in Sustainability.

Direction 1c:  Long term financial viability is achieved.

Key Action:  Investment Policy and Procedures.

 

 

FINANCIAL IMPACT STATEMENT:

 

Funds are invested with the aim of achieving budgeted income in 2006/2007 and outperforming the USB Australian Bank Bill Index over a 12 month period. The budget provision for income from this source is $2.737 million. Income to 30 April 2007 amounted to $2,496,415.

 

 

 

CONCLUSION:

 

All investments as at 30 April 2007 have been made in accordance with Policy No: 3.02.07 and the provisions of s625 of the Local Government Act and the Local Government (General) Regulation have been complied with.

 

RECOMMENDATION:

 

That the investment report for April 2007 be received and noted.

 

ATTACHMENT/S:

 

Investment Performance Report – April 2007.

 

 

 

 

………………………………………

……..………………………………..………………………………

GEOFF BANTING

GREG BYRNE

DIRECTOR, GOVERNANCE & FINANCIAL SERVICES

MANAGER FINANCIAL OPERATIONS

 


 

Investment Performance Report - April 2007

Investment

Credit Rating

Amount Invested

Interest Earned

Investment Performance

Period

FYTD

Period

FYTD

Past 12 Months

 

$

$

$

%

%

%

CBA Cash Deposit (CDA)

AA

932,130

13,680

183,441

6.20

6.07

6.01

LGFS Expanded Credit Facility

Af

5,928,008

37,847

279,382

8.10

6.68

6.70

Macquarie Income Plus Enhanced Income Fund

A

4,878,509

26,803

251,377

6.93

6.62

6.48

Deutsche Income Enhanced Income Fund

A

7,756,236

52,981

504,524

7.06

6.81

6.63

ING Enhanced Cash Fund

Af

6,642,496

33,117

339,124

6.42

6.70

6.56

Merrill Lynch Diversified Credit Fund

A

7,484,440

47,946

424,087

8.13

7.39

7.05

ANZ Bank - Three Pillars

AA-

2,000,000

12,608

123,246

7.67

7.37

7.28

3 month BBSW + 1.20%

Commonwealth Bank Shield Series 21

AA

1,133,530

Purchased in April 2004. Capital is guaranteed and interest is paid at maturity. Investment estimated value as at 30 April 2007 is $1,212,340.00 which equates to return since inception of 6.44%

Commonwealth Bank Shield Series 24

A-

2,518,475

16,140

160,204

7.86

7.74

7.66

Negative watch

3 month BBSW + 1.50%

Interest earned from matured investments

-

-

11,753

209,306

-

-

-

General Fund Bank Account

-

-

1,138

21,725

-

-

-

Total

 

39,273,824

254,012

2,496,415

7.30

6.92

6.80

Official (Reserve Bank of Australia) Cash Rate

6.25

6.12

6.06

UBS Australian Bank Bill Index

6.87

6.40

6.32

G:\ACCTS\Financial Operations\Investments\Investment Performance Report\TABLES

 

Credit Rating: * Bank Bills and Term Deposits are not credit rated. The 'f' subscript to the credit rating signifies that it is a Standard & Poors fund rating and that assets are valued at their market value.

Report Author: Aldo Meoli, Financial Accountant - Financial Operations

 

 

 

 

 

 

 

 

 

 

 


Director, Governance & Financial Services' Report 33/2007

 

 

SUBJECT:

2006/2007 CONTINGENCY FUND - STATUS AS AT 31 MAY 2007

 

 

DATE:

29 May, 2007

FILE NO:

F2004/07396

 

 

 

REPORT BY:            DIRECTOR, GOVERNANCE & FINANCIAL SERVICES  

 

 

INTRODUCTION:

 

The purpose of this report is to detail the progressive amount of donations, allocations, waiving of fees and other similar contributions for the 2006/07 financial year.

 

ISSUES:

 

In the 2006/07 financial year there have been 52 allocations totalling $146,819.47 as listed in the table below.

 

MEETING

DETAILS

NET COST TO COUNCIL

Ordinary Council – 27 June 2006

Annual contribution – Waiving of Greenwaste Disposal Fees or the Guriwal Aboriginal Community at La Perouse

$6,500.00

 

Ordinary Council – 27 June 2006

Waiving of fees for Carols by the Sea – St Paul’s Anglican Church Coogee

$1,063.18

 

Ordinary Council – 27 June 2006

Waiving of fees for the installation of a banner - Our Lady of the Sacred Heart Primary School, Randwick

$1,188.00

 

Ordinary Council – 27 June 2006

Structural maintenance works associated with the lease of 30-32 Waratah Street, Randwick – Randwick Open Care for Kids (ROCK)

$5,000.00

Ordinary Council – 27 June 2006

Annual contribution - Waiving of fees for Special Rubbish Pick Up Service – Ronald McDonald House

$650.00

Ordinary Council – 27 June 2006

Financial assistance for 2006 Rock Eisteddfod – Randwick Girls & Boys High Schools

$5,000.00

Ordinary Council – 27 June 2006

Financial assistance for Sports Coast Flags – Randwick City Tourism

$1,740.00

Ordinary Council – 25 July 2006

Financial assistance – installation & dismantling of Learning Links banner

$709.83

Ordinary Council – 25 July 2006

Annual contribution (3 years from 2006/07) - SSROC East Timor Partnership 

$4,000.00

Ordinary Council – 25 July 2006

“Our City” banner – Wylies Baths Trust

$265.00

Ordinary Council – 22 August 2006

Use of Des Renford Aquatic Centre  - Des Renford Chair of Heart Research Swim Challenge and Charity Day 

$5,700.00

Ordinary Council – 22 August 2006

Waiving of fees for Fun Run/Oktoberfest/Market Day - Maroubra Chamber of Commerce  

$4,741.75

Ordinary Council – 22 August 2006

Donation of Plants - Coogee Public School

$500.00

Ordinary Council – 22 August 2006

Contribution - two (2) joint display banners for use at business related functions - Eastern Suburbs Business Enterprise Centre & Randwick City Combined Chambers of Commerce 

$1,200.00

Ordinary Council – 22 August 2006

Sponsorship - Annual Sydney Body Art Ride (SBAR) Fundraising Event. 

$3,000.00

Ordinary Council – 26 Sept 2006

Waiving of fees for Coogee Family Fun Day - Goldstein Reserve

$9,119.25

Ordinary Council – 26 Sept 2006

Waiving of fees for St Marks Anglican Church, Malabar – Carols by Candlelight

$6,833.30

Ordinary Council – 26 Sept 2006

Waiving of fees for use of Kokoda Park, Kensington for Carols by Candlelight

$2,195.91

Ordinary Council – 26 Sept 2006

Waiving of fees for Surf Life Saving NSW – Carnival at Maroubra Beach

$2,929.00

Ordinary Council – 26 Sept 2006

Annual contribution  (7 years from 2006/07)

Interest foregone on interest free loan - Coogee Surf Life Saving Club renovations

$4,500.00

Ordinary Council – 26 Sept 2006

Waiving of fees for East Coast  Ocean Challenge

$783.30

Ordinary Council – 24 Oct 2006

Waiving of fees for use of Maroubra Beach for the Molloy Shield Surf Carnival

$800.34

Ordinary Council – 24 Oct 2006

Waiving of fees for Express Glass Island Challenge (Coogee Surf Life Saving Club)

$1,704.28

Ordinary Council – 24 Oct 2006

Waiving of fees for Rainbow Street Public School for installation of banner

$1,132.00

Ordinary Council – 24 Oct 2006

Maroubra Surf Life Saving Club Centenary Dinner – purchase tickets for 2 tables of 10

$3,000.00

Ordinary Council – 24 Oct 2006

Financial assistance for 2007 Australia Day Botany Bay Regatta

$500.00

Ordinary Council – 24 Oct 2006

Contribution - Coogee Arts Festival

$10,000.00

Ordinary Council – 24 Oct 2006

Waiving of fees for South Maroubra Village Green Carols by Candlelight

$2,652.27

Ordinary Council – 28 Nov 2006

Waiving of fees for Epiphany Festival at Yarra Bay

$3,917.20

Ordinary Council – 28 Nov 2006

Waiving of fees for Randwick Shield at Maroubra Beach

$1,024.71

Ordinary Council – 28 Nov 2006

Waiving of fees for Coogee 100 years Open Surf Carnival

$1,822.46

Ordinary Council – 28 Nov 2006

Contribution to Clovelly Precinct Committee for  ‘Love Clovelly Competition’

$400.00

Ordinary Council – 28 Nov 2006

Donation to Aussie Helpers for Aussie Working Dog Program

$100.00

Ordinary Council – 12 Dec 2006

Contribution to cost of annual Pere Receveur Historic Mass at La Perouse

$2,642.88

Ordinary Council – 12 Dec 2006

Waiving of fees for ‘Rip Curl Gromsearch’ Surfing Competition at Maroubra Beach

$884.40

Ordinary Council – 12 Dec 2006

Waiving of fees for Gracepoint Christian Church – 5th Annual Clean Up Australia Day Community Celebration

$1,546.50

Ordinary Council – 12 Dec 2006

Waiving of fees for hire of Community Bus – Castellorizian Ladies Auxiliary

$346.50

Ordinary Council – 12 Dec 2006

Waiving of fees - Coogee Arts Festival

$11,276.26

Ordinary Council – 27 Feb 2007

Waiving of fees – Use of Coogee Beach for Filming – Tropfest Film Festival

$681.00

Ordinary Council – 27 Feb 2007

Waiving of fees – Maroubra Surfers Assoc, Southend Boardriders Inc and Surfing NSW

$7,068.00

Ordinary Council – 27 Feb 2007

Business Enterprise Project/Young Achievement Australia 2007 - support

$600.00

Ordinary Council – 27 Feb 2007

Waiving of fees – Filming costs for Beyond Productions (“Cool Aid – The National Carbon Test”)

$510.00

Ordinary Council – 27 Feb 2007

Maroubra Junction Uniting Church – support for free home mowing service for elderly and infirmed residents

$340.00

Ordinary Council – 27 March 2007

Waiving of fees – Salvation Army’s Red Shield Appeal

$3,972.00

Ordinary Council – 27 March 2007

Waiving of fees – Malabar Ocean Swim

$1,048.44

Ordinary Council – 24 April 2007

Financial assistance - “Racing to the Top” project

$4,000.00

Ordinary Council – 24 April 2007

Waiving of fees and other costs – Community Fair Coral Sea Park

$8,741.71

Ordinary Council – 24 April 2007

Waiving of fees – Maroubra Swimming Club’s annual fundraiser

$660.00

Ordinary Council – 24 April 2007

Financial assistance – Local young persons’ healing retreat

$5,000.00

Ordinary Council – 24 April 2007

Waiving of filming fees – television commercial for the Sydney Children’s Hospital Foundation

$1,133.00

Ordinary Council – 22 May 2007

Waiving of fees – Coogee Surf Life Saving Club – Filming on Coogee Beach

$792.00

Ordinary Council – 22 May 2007

Waiving of fees – Hire of Malabar Community Library Hall for the implementation of the Kool Kids Program

$905.00

TOTAL:

 

$146,819.47

 

The amounts shown in the table above reflect the net cost to Council in providing the donation, grant or assistance.  The GST, where applicable, has not been shown because it will be claimed back from the Australian Taxation Office.

 

RELATIONSHIP TO CITY PLAN:

 

The relationship with the City Plan is as follows:

 

Outcome 2:   A vibrant and diverse community.

Our community will be proud to be part of our City and celebrate its range of cultures and people.

 

Direction 2b:  Enrich our range of community services that meet our community’s needs.

Key Action:    - Support the provision of services and facilities to meet the needs of our Target Groups.

- Celebrate the range of cultures and people within Randwick City.

 

FINANCIAL IMPACT STATEMENT:

 

Council has allocated $156,150.00 in the 2006/07 budget for contingencies.  This amount includes $21,150.00, being the amount equivalent the total voted at the June 2006 Council Meeting, and an additional $15,000 allocated at the May Administration & Finance Committee Meeting. 

 

 

RECOMMENDATION:

 

That the report be received and noted.

 

 

ATTACHMENT/S:

 

Nil

 

 

………………………………

………………………………

GEOFF BANTING

JULIE HARTSHORN

DIRECTOR, GOVERNANCE & FINANCIAL SERVICES

SENIOR ADMINISTRATIVE COORDINATOR

 

 

 

 

 

 



 

Confidential Items (Closed Session)

 

Notices of Rescission Motions