Item - 2020.EP11.25
Tracking Status
- This item was considered by Board of Governors of Exhibition Place on June 24, 2020 and was adopted without amendment.
EP11.25 - 2019 Capital Works Program - Year End Report
- Decision Type:
- ACTION
- Status:
- Adopted
- Wards:
- All
Board Decision
The Board of Governors of Exhibition Place:
1. Received the report (June 10, 2020) from the Chief Executive Officer, Exhibition Place for information.
Origin
Summary
This year-end report provides an update to the Board on the final progress of the 2019 Capital Works Program. The 2019 Capital Works Program budget consists of two parts totalling $7,982,533:
1. the “State-of-Good-Repair” ("SOGR") 2019 program with a budget of $7,079,000 (Items 1 to 19 - Table 'A' - Appendix 'A'); and
2. the 2018 total cash flow carry forward of $903,533 (Items 20 to 27 - Table 'C' - Appendix 'A').
A cash flow carry forward is defined in this report as the combination of unspent mostly committed costs from prior year through signed contracts and agreements, and any surplus from the above SOGR program projects.
Background Information
https://www.toronto.ca/legdocs/mmis/2020/ep/bgrd/backgroundfile-147862.pdf
Appendix A - 2019 Capital Works Program Year End Progress Report
https://www.toronto.ca/legdocs/mmis/2020/ep/bgrd/backgroundfile-147863.pdf