Operational Plan 2023/2024

Page 1

Clarence Valley Council

Operational Plan and Budget 2023/2024


Enquiries Published by Clarence Valley Council 2 Prince Street Grafton Phone 02 6643 0200 council@clarence.nsw.gov.au www.clarence.nsw.gov.au © 2023 Clarence Valley Council

Acknowledgment We acknowledge the Bundjalung, Gumbaynggirr and Yaegl people as the Traditional Owners of the land on which we live and work. We honour the First Nations peoples culture and connection to land, sea and community. We pay our respects to their Elders past, present and emerging.

2

Clarence Valley Council


Contents Foreward by the General Manager

4

About The Clarence Valley

6

Who We Are

8

Our Vision and Our Values

12

Our Plan

14

Highlights of 2023/2024

18

How To Read This Plan

28

Operational Plan 2023/2024 by Strategic Theme

30

Capital Works Program

75

Revenue Policy

101

Budget Summary Income Statement

129

2023/2024 Budgeted Service Income Statements

133

Operational Plan

2023/24

3


Foreward The Plan has been publicly exhibited prior to adoption and details the activities and actions that will be delivered or commenced before 30 June 2024. We have allocated responsibilities and budgets for projects, programs and actions, identified what services will be reviewed and included a Capital Works Program valued at $210M and a Statement of Revenue Policy. A Capital Works Program valued at $210M is record breaking for Clarence Valley Council. We’ve previously said our capacity to deliver is much lower. However in the past year, on the back of 2022 flood and storm event, we have

Laura Black Laura Black General Manager

been successful in engaging a reliable team of contractors to increase our capacity and meet the challenge of delivery. While the works are scheduled in the current year program, they will be delivered over two years. In addition, we have identified how the projects, programs and actions link to the Delivery Program and themes of the Community Strategic Plan. On page 28, you will find a guide on how to read the Plan. The bushfire, storm and flood natural disasters

This Operational Plan 2023/2024 (the Plan) is the second in a series of three that aims to meet the strategies developed by the 2021 elected Council, as identified in the 2022/2025 Delivery Program. We are now also in our second year of our journey to meet the standards of the new Integrated Planning and Reporting Framework for Operational Plans, so you’ll see some more changes from last year. To better articulate what actions are achieving, they are now aligned against strategies of the Delivery Program, progress against which is reported every six months.

4

Clarence Valley Council

and health pandemic of the past three years followed by stimulus funding has seen local government in receipt of record grant allocations from the State and Federal Governments, and Clarence Valley Council is one of those recipients. 2023/2024 sees us deliver grant funded projects to a value of $153M on top of the general, water and sewer, holiday park and waste funded activities. The Plan covers both the recurrent activities that occur every year, such as managing corporate governance arrangements, compliance activities


and maintenance programs, as well as special non-recurrent projects, such as delivering particular construction projects. We also aim to engage community in decision-making by facilitating a number of Advisory Committees to the Council, including the Access, Climate Change and Floodplain Risk Management; Coast and Estuary; Sports; Economic Development and Tourism; Biodiversity; Community and Culture; and Aboriginal advisory committees. Over the next 12 months major construction projects will commence, including the Yamba Community Precinct, the Cultural and Community Centre in Maclean and the Regional Aquatic Centre in Grafton. We’ll also continue the highpriority pedestrian footpaths from the Pedestrian and Access Mobility Plan (PAMP), community hall upgrades, and construction of 12 bridges under the Fixing Country Bridgesk program Round 1 having completed 19 of the total of 31 in the prior year. 2023/2024 is the year that residents will start to see significant roads works commencing across the local government area as we deliver the equivalent of 16 years of upgrades and road improvements in two years. At the same time, we will implement an Urban Stormwater Maintenance program funded by the newly implemented Stormwater Management Service Charge. While much of the investigation has commenced, there is still a lot to be completed, but works to unblock and re-establish stormwater channels in urban areas will make a significant difference to ponding in future rain and storm events. Another new initiative that will be welcomed by community is the establishment of our flying squad Town and Beautification team. The team will include new roles at Council and once

established will attend to jack of all trade-type activities to return towns and villages to their shiny best. This year we will continue our senior management community engagement program, making ourselves more accessible for conversations with community, and we will commence a community discussion about water filtration and the cost to community of progressing. We are also this year undertaking the Environmental Impact Assessment required to implement water filtration. Both of these actions will inform the decision to proceed. The celebration of significant dates and achievements is important to us. In 2023/2024, we will celebrate citizenship ceremonies, Youth Week, Seniors Week, NAIDOC and our end-ofyear staff achievement and development day, to name a few. We will host exhibitions and festivals, implement a community engagement program and continue to deliver our new CVC magazine. Underpinning all of this is our continuous improvement program to upgrade our corporate systems to increase our efficiency and make doing business with us easier for customers. Local government is like no other business; it is complex and diverse, and as you can see, we have another huge year ahead of us. A community of opportunity is what we are working towards, and we value the partnerships that we form as we achieve the goals of the Community Strategic Plan. We aim to make a positive difference to those who choose to live, work or visit the Clarence Valley. Have a read of our Plan and see what we have in store to meet the aspirations identified in the Community Strategic Plan for 2023/2024.

Operational Plan

2023/24

5


About the Clarence Located in the Northern Rivers region in NSW, the Clarence Valley covers an area of 10,441 square kilometres and has three major centres, Grafton, Maclean and Yamba.

NSW

Our Population Total population:

54,580

Population by 2041:

64,121

Our People

49 median age 71.4% residents aged over 18 and eligible to vote

6

Our Households

26,069 dwellings

2.3 people per

8.1%

average household

of our population identify as Aboriginal or Torres Strait Islander

8% residents

Clarence Valley Council

born overseas


Our Area

Our Economy

3 towns 60 villages 2,068 kilometres of roads

100 kilometres

$2.62

billion gross regional product in June 2022, growing 7.8% since the previous year

Largest industry (by employment):

Health Care and Social Assistance

of coastline

generating 3,500 jobs in 2021/22

8 rivers 36 beaches

21,721

2,262

22,148

square kilometres of National Parks, State Forest & Reserves

local jobs

employed residents

4,254 local businesses

Source: id profile, 2021 Census, NIEIR

Operational Plan

2023/24

7


Brisbane 300km

Yamba Maclean Grafton

Sydney 600km

8

Clarence Valley Council


Who We Are Clarence Valley Council employs more than 450 staff and is responsible for providing services and facilities to more than 54,000 people

What we provide and manage Roads and bridges

Tourism and economic development

Waste management and recycling

Pet registration and animal control

Lifeguard patrols at our beaches

Street and park trees

Parking strategy and enforcement

Community and cultural facilities and programs

Creeks, beaches and bushland parcels

Strategic and long-term planning

Residential and commercial DAs

Playgrounds and skate facilities

Water and sewer

Events and licensing

Sports facilities and grounds

Community engagement for plans, services and facilities

Biodiversity Management

Aquatic centres and an ocean pool

Cemeteries

Pathways

Operational Plan

2023/24

9


Organisational Structure General Manager Laura Black Executive Support

Internal Audit

Director Works & Civil Jamie Fleeting

Fleet

Director Corporate & Community Alex Moar

Manager Development and Land Use Planning

Manager Strategic Infrastructure

Manager Open Spaces & Facilities

Manager Technical Services

Manager Water/Sewer Operations

Manager Civil Services

Manager Organisational Development

Manager Finance & Systems

Manager Culture, Community & Industry

Manager Environment & Regulatory

Vacant

Peter Birch

Greg Mashiah

Andrew Potter

Devin Simpson

Jess Kennedy

Kate Maginnity

Justin Putze

Scott Lenton

Survey & Design

Facilities

Strategic Water Services

Mechanical/ Electrical

Bridges

People & Culture

Revenue Management

Communications & Industry Engagement

Regulatory Services

Building Services

Project Management Officer

Parks & Reserves

Water & Sewer Operations

Roads Infrastructure Maintenance

Safety & Risk

Strategic Procurement

Library Services

Environmental Services

Development Services

Emergency Management & Resilience

Holiday Parks

Water and Sewer Capital Works

Roads Infrastructure Capital Works

Corporate & Customer Experience

Accounting Services

Regional Gallery/ Cultural Services

Natural Resource Management & Projects

Strategic Planning

Information Technology

Community Engagement

Waste & Sustainability

Road Safety

Property

Coast, Estuary & Floodplain

Corporate Systems

Infrastructure, Assets & Financial Planning

10

Director Environment & Planning Adam Cameron

Clarence Valley Council

Murray Lane


Operational Plan

2023/24

11


Our Vision To make the Clarence Valley a community full of opportunity.

12

Clarence Valley Council


Our Values

We have a safety focused workplace culture to ensure the wellbeing of our staff and the community

We work together as one council towards shared goals and for the greater good of the community

We are inclusive, treat people with courtesy and fairness, and ensure each individual is valued and heard

We behave in a way that is honest, open, and transparent. We will take responsibility for our actions and strive for excellence

We deliver services efficiently, effectively, and in an environmentally and financially sustainable manner

We engage with our staff and community to inform our decision making, and create awareness of our activities

Operational Plan

2023/24

13


Our plan The actions in this Operational Plan are projects and initiatives that Council will undertake in 2023/2024 to achieve the Delivery Program 2022/2025 and the Community Strategic Plan (CSP), The Clarence 2032. The actions are organised within the five themes of the CSP, linked to an objective from the CSP and strategies from the Delivery Program.

Five Strategic Themes Society Creating a place where people are healthy, safe, connected and in harmony with the natural environment to retain and improve the quality of community life.

Infrastructure Maintaining our diverse infrastructure base to serve the needs of the Clarence.

Economy Strengthening and diversifying the region’s economic base in a way that complements the environmental and social values of the Clarence.

Environment Valuing, respecting and actively participating in the care and management of the Clarence’s natural environment for current and future generations.

Leadership Setting the overall direction and long-term goals for the Clarence in accordance with community aspirations.

14

Clarence Valley Council


Integrated Planning and Reporting The Integrated Planning and Reporting (IP&R) framework guides the way local government plans, documents and reports its future strategies. The IP&R Framework begins with the community’s aspirations for a period of least 10 years, considered by each newly elected council and which is underpinned by a suite of integrated plans that set out a vision and objectives and hones down to specific actions to achieve those aspirations. It involves a reporting structure to communicate progress to council and the community as well as a structured timeline for review to ensure the goals and actions are still relevant.

STATE AND REGIONAL PLANS

COMMUNITY STRATEGIC PLAN

COUNCIL OBJECTIVES

Society

Infrastructure

Economy

Environment

Leadership

COUNCIL

DELIVERY PROGRAM

STAFF

STRATEGIES

OPERATIONAL PLAN

4 YEAR

1 YEAR

REPORTING AND ACCOUNTABILITY ANNUAL REPORT/STATE OF OUR CITY REPORT

MINIMUM 6 MONTHLY REPORT ON PERFORMANCE AGAINST DELIVERY PROGRAM

RESOURCING STRATEGY

10 YEAR

COMMUNITY ENGAGEMENT

COMMUNITY ENGAGEMENT

COMMUNITY

COMMUNITY ENGAGEMENT

QUARTERLY BUSINESS REVIEW STATEMENTS

Operational Plan

2023/24

15


Our planning framework Community Engagement Strategy The Community Engagement Strategy is based on social justice principles and details how we engage with our community to prepare the Community Strategic Plan.

Community Strategic Plan ‘The Clarence 2032’ The Community Strategic plan is the overarching document for all plans and policies of the Council. It identifies the community’s aspirations and priorities for the future of the local government area. It creates the vision we are working toward.

Delivery Program The Delivery Program is the key directional document for the term of the elected council. It is developed by a newly elected council and adopted before the end of June in the year following the election. It presents as a statement of commitment to the community by outlining the focus the council intends to contribute toward achieving the long term aspirational goals of the community as identified in the Community Strategic Plan.

16

Clarence Valley Council

Resourcing Strategy Without sufficient resources - money, people and assets, the objectives of the Operational Plan cannot be achieved. The Resourcing Strategy consists of three components:

Long Term Financial Plan A ten year financial plan, often presented as more than one scenario that informs decision making and planning.

Workforce Management Strategy A minimum four year strategy that addresses the human resourcing needs and challenges of the organisation in achieving goals.

Asset Management Strategy A minimum ten year strategy that is supported by Asset Management Plans that details the management and maintenance strategies for assets within the ownership of Council.


Operational Plan Supporting the Delivery Program is an annual Operational Plan prepared by the General Manager and staff. The Operational Plan defines quite specifically how the commitments of the Delivery Program will be achieved by detailing what the organisation will deliver where, how delivery will be resourced, at what cost and who is accountable for action as well as how performance is measured. The Operational Plan is a document of organisational accountability. The Operational Plan is intrinsically linked to staff performance with outcomes reflected in individual workplans. The Clarence Valley Council’s Operational Plan is prepared by the organisation’s leadership team in consultation with coordinators of teams and staff who delivery services and activities. Included in the Operational Plan is the actions planned for 2023/2024 to achieve the strategies in the Delivery Program, the Capital Works Program, Revenue Policy and Budget 2023/2024.

Capital Works Program (CWP) Capital works are projects that upgrade and renew our infrastructure. They include such things as road improvements, resurfacing, intersection upgrades, shared pathways, drainage improvements, new facilities such as community centre, playgrounds, libraries. This year the CWP is more than $210 million. This year the CWP is projected over four years. Capital works can take a number of years to progress from planning to completion.

Revenue Policy As outlined in Section 405 of the Local Government Act 1993, Council presents its Revenue Policy. The revenue Policy ensures fair and equitable levying of rates and charges in order to provide sufficient funding to carry out services for the benefit of all ratepayers of the Clarence Valley Government Area

Budget Council generates income to fund services and assets for the Valley through rates on property, developer contributions, interest on investments, government grants, users charges and business activities. This year Council’s adopted original budget is a deficit of $55,526.

Operational Plan

2023/24

17


You spoke, we listened In August 2022, Council carried out a Customer Satisfaction Survey to better understand key issues, community needs and priorities regarding the services and facilities provided by the Council.

Focus services based on the 2022 Customer Satisfaction Survey results Facilities/Services deemed to be most important to you

Council Resources deemed most important

Maintenance of Roads

Maintenance of Roads

Water Supply

Floodplain & Coastline

Waste & Recycling Sewerage Floodplain & Coastline Management

Maintenance of Bridges

Protection of Natural Environment

Parks, Reserves & Playgrounds

Public Toilets Lifeguards

Management

Protection of Natural Environment

Maintenance of Bridges

Parks, Reserves & Playgrounds

DA Processing Sporting Facilities Economic Development

Public Toilets Footpaths & Cycleways

18

Clarence Valley Council

Facilities/ Services with Lowest Customer Satisfaction Ratings Maintenance of Roads DA Processing Economic Development

Public Toilets Tourism Marketing Floodplain & Coastline Management

Council Pools Footpaths and Cycleways

Online Services i.e. website

Enforcement by Rangers


Highlights for 2023/24

Society n Active Transport Strategy completion n Disability Inclusion Action Plan completion n Reconciliation Action Plan consultation n Deliver a Public Art Program n Review of Alcohol Free Zones and Alcohol Prohibited Area designations

Operational Plan

2023/24

19


Infrastructure Council has been designing and securing grant funds to deliver an additional 400,000 square metres of regional, and local road pavement restoration, at a cost of over $90 million. The 2023/2024 financial year sees the commencement of this program to deliver the equivalent of 16 years of work on our road network in two to three years, with the support of external contractors.

20

Clarence Valley Council


The $210 million capital works program features: $68.2 million

$13.83 million

to emergency restoration and

to demolish Treelands Drive

betterment works for essential public

Community Centre and commence

assets damaged by the February

construction of Yamba Community

2022 floods (and $25 million for

Precinct.

2024/2025). Civil Services Manager Devin Simpson explains the details of program in this video: CLICK ON LINK

$13.6 million to commence construction of the

$38.4 million to other road and bridge

Maclean Cultural and Community Precinct.

infrastructure projects.

Over $5.3 million $38.5 million to water and sewer projects.

in road safety programs with safety works around high pedestrian activity areas in Angourie, Brooms Head, River Street Maclean, Iluka,

$31 million

Minnie Water and Grafton.

to community facility and building projects.

$9 million to open spaces, sports field and

$19.97 million

holiday parks projects. This includes

to the continued replacement of

the creation of a dedicated team

timber bridges.

to undertake Town and Village Beautification Works.

$15 million to Regional Aquatic Centre project.

Operational Plan

2023/24

21


Other infrastructure projects include:

22

Regional Water Supply Agreement approval

Water Filtration financial modelling and consultation

Complete the Environmental Impact Statement for Rushforth Road Water Treatment Plant

Launch of the Fixing Country Bridges mapping project for public access

Concept design for Prince Street Grafton redevelopment

Develop an annual rolling program for Town and Village Beautification Works

Clarence Valley Council


Town and Village Beautification Works A dedicated team will be created to carry out maintenance and renewal works across the Clarence Valley. The annual rolling program will have focus areas each year and include the improvement of amenities and shelters, and the beautification and improvement of town and village entrances. The map below shows the focus areas for 2023/2024. The program will expand to other areas in the Clarence Valley moving forward.

Infrastructure Repairs and Maintenance Weed Spraying

Waste Removal

Plumbing

Repaint

Pressure Cleaning

Operational Plan

2023/24

23


Drainage improvement program This year sees the introduction of a Stormwater Management Charge that will be applied to our urban residential and business category properties. The charge will be applied annually and the income generated from this charge will be used to fund an ongoing dedicated drainage improvement program in our urban villages and towns including:

24

Grafton

Wooli

Maclean

Diggers Camp

Yamba

Sandon River

Illarwill

Tucabia

South Grafton

Harwood

Junction Hill

Ulmarra

Townsend

Glenreagh

Iluka

Coutts Crossing

Woombah

Lawrence

Minnie Water

Copmanhurst

Wooloweyah

Clarence Valley Council

This program will include activities such as:

General drainage maintenance

Clearing blocked pipes

CCTV pipe investigations

Open/Swale drain maintenance

Renewal/upgrade works

Water quality initiatives (eg additional urban street sweeping)

Pump renewal


Environment n Implement the Susan Island Flying Fox Habitat Restoration Program n Prepare Stage 2 and 3 for the Coastal Management and Estuary Management Plans n Deliver a composting tunnel linked to new organics processing contract

Operational Plan

2023/24

25


Economy n Undertake Developer Contributions Reform n Implement a Developer Engagement Program n Finalise Council’s Housing Strategy n Design the Grafton Regional Landfill Gas to Energy Project n Dark Sky Project implementation n Deliver Illuminate project

26

Clarence Valley Council


Leadership n Upgrade Corporate System to cloud technology n Review and launch Council’s Grow Your Own Traineeship Program n Implement an Elected Member Mentor program n Implement an Environment Management System for monitoring incidents n Prepare a Business Case for consideration of an environmental levy n Implement an annual dedicated Urban Stormwater Drainage Management Program n Local Government Candidate Information sessions

Operational Plan

2023/24

27


How to read this plan The planning framework is organised under the five Community Strategic Plan themes and related Delivery Program Strategies

Objectives

Actions

are the community’s long-term priorities and aspirations for the valley.

are the projects and initiatives Council

Strategies are the activities and plans Council has committed to delivering within the 20222026 Council term. Each strategy relates to a CSP long-term objective.

28

Clarence Valley Council

aims to achieve in 2023/2024.

Responsible service is the Council service that will oversee and report on the relevant action. See Table 1, page 29.


Table 1: Our services Office of General Manager The Office of the General Manager provides organisational leadership and support to the elected members to deliver the below services.

Corporate & Community Directorate The Director Corporate and Community oversees organisational governance and compliance activities which are delivered to our community through the following services: Service

Finance Control & Compliance Financial Analysis & Business Support Information Services & Corporate Systems Corporate & Customer Experience People & Culture Safety & Risk Community & Industry Engagement Community Development Library Services Cultural Services

Responsible Manager

Manager Finance & Systems

Manager Organisational Development

Manager Cultural, Community & Industry

Works & Civil Directorate The Director Works and Civil oversees a coordinated approach to Council’s works and civil services and strategic infrastructure operations which are delivered to our community through the following services: Service

Strategic Infrastructure & Planning Coordination Quarries Emergency Services Property Services Roads & Drainage Infrastructure Delivery Parks & Open Spaces Buildings & Facilities Saleyards Regional Airport Holiday Parks Watercycle Sewer Services Floodplain & Estuary Management

Responsible Manager

Manager Strategic Infrastructure Manager Civil Services

Manager Open Spaces & Facilities

Manager Water/Sewer Operations

Environment & Planning Directorate The Director Environment and Planning oversees a coordinated approach to Council’s community, planning, environment, waste and regulatory services. Service

Environmental Services Regulatory Services Natural Resource Management Waste Services Cemeteries Building & Planning Services Land Use Planning

Responsible Manager

Manager Environment & Regulatory

Manager Development & Land Use Planning

Operational Plan

2023/24

29


Society

Society Creating a place where people are healthy, safe, connected and in harmony with the natural environment to retain and improve the quality of community life.

30

Clarence Valley Council


Society

Society Objectives SO1

To be part of a proud and inviting community with opportunities to connect and belong.

SO2

A community that supports, encourages and celebrates the rich cultural heritage of the Gumbaynggir, Bundjalung and Yaegl people and provides space for active community participation and strong relationships with local Traditional Owners.

SO3

A safe and active community where healthy lifestyles and better health outcomes are encouraged and supported with accessible infrastructure for residents of all ages and abilities.

SO4

A community in which cultural assets and public art is valued and plays a role in celebrating local arts as well as bringing innovative opportunities to the Valley.

SO5

An inclusive community where diversity is respected and Clarence Valley residents, regardless of age or ability, have equal access to quality services, events and opportunities.

SO6

A community supportive of its young people and their safety, growth and development and their participation in decision making that affects them.

SO7

Affordable housing and living standards with health, education and employment opportunities that support a resilient community.

SO8

An appropriate mix of housing that meets the various stages of life.

SO9

Preservation of the heritage and historic buildings and other significant assets across the area.

SO10

A resilient community, prepared for natural disaster.

Operational Plan

2023/24

31


Society

Objective SO1 To be part of a proud and inviting community with opportunities to connect and belong.

Strategy SO1.1 Establish a rolling program to document Community Economic Development Plans for towns and villages throughout the LGA. Action

Jul-Dec

Jan-Jun

Responsible Service

Implement an LGA wide community engagement program

Office of the General Manager

Deliver a program of candidate information sessions

Office of the General Manager

Develop a 5 year rolling program for the preparation of the Community Economic Development Plans for Clarence Valley towns and villages

Communications and Industry Engagement

Strategy SO1.2

Strengthen the Clarence Valley identity.

Action

Jul-Dec

Jan-Jun

Responsible Service

Support ANZAC celebratory events

Office of the General Manager

Create a partnership with community to host Australia Day citizen of the year Awards

Office of the General Manager

Host citizenship ceremonies

Office of the General Manager

Support the running of the Annual Jacaranda Festival through in kind sponsorship

Communications and Industry Engagement

Deliver the annual 'Illuminate Jacaranda' project in See Park

Communications and Industry Engagement

Objective SO2 A community that supports, encourages and celebrates the rich cultural heritage of the Gumbaynggir, Bundjalung and Yaegl people and provides space for active community participation and strong relationships with local Traditional Owners.

Strategy SO2.1

Implement Signage Strategy including recognition of language.

Action

Implement the Signage Strategy

32

Clarence Valley Council

Jul-Dec

Jan-Jun

Responsible Service

Open Spaces and Facilities


Society

Strategy SO2.2

Develop and endorse a Reconciliation Action Plan (RAP).

Action

Jul-Dec

Jan-Jun

Responsible Service

Work with the organisation and the community to deliver the actions from the Reconciliation Action Plan

Strategy SO2.3

Community Engagement

Re-establish the Clarence Valley Aboriginal Advisory Committee.

Action

Jul-Dec

Jan-Jun

Responsible Service

COMPLETED IN PREVIOUS YEAR

Strategy SO2.4

Investigate options for developing a cultural capability framework.

Action

Jul-Dec

Jan-Jun

Deliver the Aboriginal Engagement framework to ensure effective engagement, communication and participation with First Nations communities within the local government area

Strategy SO2.5

Responsible Service

Corporate and Community Directorate

Engage with the Aboriginal Traditional Owners to grow and understanding of culture.

Action

Jul-Dec

Jan-Jun

Responsible Service

Deliver the Aboriginal Engagement framework to ensure effective engagement, communication and participation with First Nations communities within the local government area

Community Engagement

Prepare a business case for the new Yamba Community Centre Precinct after redevelopment

Community Engagement

Continue Indigenous Land Use Agreements discussions related to Holiday Parks

Holiday Parks

Objective SO3 A safe and active community where healthy lifestyles and better health outcomes are encouraged and supported with accessible infrastructure for residents of all ages and abilities.

Strategy SO3.1 Support Chambers to identify and seek funding for crime prevention and safety technology, activities and programs. Action

Jul-Dec

Jan-Jun

Responsible Service

Finalise the Crime Prevention Strategy and submit for Attorney General's endorsement

Community Engagement

Partner with the Police, internal and external stakeholders to respond, support and address current & emerging community safety issues and deliver community safety initiatives from Crime Prevention Strategy

Community Engagement

Operational Plan

2023/24

33


Society

Strategy SO3.2 community.

Advocate for adequate medical and allied health services to meet the needs of

Action

Jul-Dec

Jan-Jun

Advocate as opportunities arise

Strategy SO3.3 mobility aids.

Office of the General Manager

Create a network of shared pathways for use by pedestrians, cyclists and those using

Action

Jul-Dec

Jan-Jun

Deliver the Active Transport Strategy

Strategy SO3.4

Responsible Service

Strategic Infrastructure and Planning Coordination

Establish Advisory Committees to provide input to the planning of community assets.

Action

Jul-Dec

Jan-Jun

Responsible Service

Oversee the engagement and governance of the advisory and s355 committees

Corporate and Customer Experience

Support the administration of the CV Access Committee

Community Engagement

Support the Clarence Regional Library Advisory Committee

Library Services

Support the administration and governance of the CV Community and Cultural Committee

Cultural Services

Administer the Clarence Valley Biodiversity Advisory Committee

Natural Resource Management

Oversee the engagement and governance of the advisory and s355 committees

Corporate and Customer Experience

Strategy SO3.5

Promote use of council sporting, cultural and community facilities.

Action

34

Responsible Service

Jul-Dec

Jan-Jun

Responsible Service

Support the administration and funding to the two Sports Committees

Parks & Open Spaces

Support the operation of aquatic facilities and sports centres

Parks & Open Spaces

Support and keep community informed of delivery of the Regional Aquatic Centre redevelopment

Parks & Open Spaces

Prepare a facilities operational management plan to promote the use of the new Yamba Community Centre Precinct after redevelopment

Community Engagement

Clarence Valley Council


Strategy SO4.1

Society

Objective SO4 A community in which cultural assets and public art is valued and plays a role in celebrating local arts as well as bringing innovative opportunities to the Valley.

Develop a public art program that recognises local artists and culturally heritage.

Action

Jul-Dec

Jan-Jun

Responsible Service

Implement the Philanthropy Plan to increase support for Gallery Programs

Cultural Services

Present the 2023 JADA and secure secured touring venues

Cultural Services

Conduct a collection copyright & online portal project

Cultural Services

Deliver public art and culture in line with the Public Art Policy

Cultural Services

Strategy SO4.2 Partner, participate and support cultural and artistic activities being coordinated by communities across the Valley. Action

Jul-Dec

Jan-Jun

Responsible Service

Deliver Get Connected programs for targeted groups including – digital literacy and skills programs

Library Services

Develop the commercial revenue generating opportunities for the Regional Art Gallery

Cultural Services

Deliver Plunge and cultural activity across the LGA

Cultural Services

Review and develop the Clarence Valley Cultural Plan for 2023-2027

Cultural Services

Create a rolling program of public art projects including maintenance of public art works

Cultural Services

Strategy SO4.3

Create opportunities for local artists to develop their talent.

Action

Jul-Dec

Jan-Jun

Deliver public art and culture in line with the Public Art Policy

Responsible Service

Cultural Services

Objective SO5 An inclusive community where diversity is respected and Clarence Valley residents, regardless of age or ability, have equal access to quality services, events and opportunities.

Strategy SO5.1

Review of accessible parking in towns.

Action

Plan and design road safety and traffic improvement projects identified through customer feedback, the Safe Systems Working Group, Local Traffic Committee and State and Federal funded road safety programs

Jul-Dec

Jan-Jun

Responsible Service

Strategic Infrastructure and Planning Coordination

Operational Plan

2023/24

35


Society

Strategy SO5.2

Consult with representative groups on major infrastructure proposals.

Action

Jul-Dec

Jan-Jun

Plan and design road safety and traffic improvement projects identified through customer feedback, the Safe Systems Working Group, Local Traffic Committee and State and Federal funded road safety programs

Responsible Service

Strategic Infrastructure and Planning Coordination

Strategy SO5.3 Offer community groups and not for profits support to access funding to deliver services that meet the needs of residents and visitors alike. Action

Jul-Dec

Jan-Jun

Responsible Service

Support the community through the annual event and sports tourism sponsorship program

Community Engagement

Build the capacity of community organisations and groups to access external funding opportunities

Community Engagement

Facilitate the delivery of the Community Initiative Program and the Cultural & Sports Trust Fund

Community Engagement

Strategy SO5.4 Identify barriers to use of Council’s sporting, cultural and community facilities to inform decisions about future improvements. Action

Jul-Dec

Jan-Jun

Support the administration and funding to the two Sports Committees

Responsible Service

Open Spaces and Facilities

Objective SO6 A community supportive of its young people and their safety, growth and development and their participation in decision making that affects them.

Strategy SO6.1 people.

Investigate opportunities for decision making to be informed by the views of young

Action

Jul-Dec

Jan-Jun

Develop a plan to ensure effective engagement, communication and participation of young people in communities across the local government area

Strategy SO6.2

Community Engagement

Improve youth engagement and involvement.

Action

36

Responsible Service

Jul-Dec

Jan-Jun

Responsible Service

Develop a youth program to support the delivery of relevant and inclusive youth projects

Community Engagement

Partner with relevant internal and external stakeholders to support events that focus on children and seniors in the Clarence Valley

Community Engagement

Clarence Valley Council


Strategy SO7.1

Society

Objective SO7 Affordable housing and living standards with health, education and employment opportunities that support a resilient community.

Pursue affordable/accessible housing through policy and planning.

Action

Jul-Dec

Jan-Jun

Streamline approval pathways for complying minor residential development

Responsible Service

Planning and Building Services

Strategy SO7.2 Consider options to achieve an increased range of housing options through a review of Council’s Development Control Plans. Action

Jul-Dec

Jan-Jun

Responsible Service

Commence reform of Residential Zones Development Control Plan

Land Use Planning

Streamline approval pathways for complying minor residential development

Planning and Building Services

Finalise the Clarenza DCP

Land Use Planning

Strategy SO7.3

Advocate for a range of options for health and education.

Action

Jul-Dec

Jan-Jun

Responsible Service

Deliver Print Manage Project

Library Services

Develop and deliver the Clarence Regional Libraries Strategic Action Plan

Library Services

Strategy SO7.4

Partner with education providers through a supported traineeship program.

Action

Jul-Dec

Jan-Jun

Develop a group cohort CVC traineeship annual program, including development of targeted engagement plan

Objective SO8 of life.

Strategy SO8.1

Responsible Service

People and Culture

An appropriate mix of housing that meets the various stages

Prepare a Housing Strategy to inform Local Growth Management.

Action

Finalise a Housing Strategy for the Clarence Valley

Jul-Dec

Jan-Jun

Responsible Service

Land Use Planning

Operational Plan

2023/24

37


Society

Strategy SO8.2 Consider options to achieve an increased range of housing options through a review of Council’s Development Control Plans. Action

Jul-Dec

Jan-Jun

Support the implementation of recommended actions from The Clarence – Riverway Masterplan II for 2023/2024

Responsible Service

Communications and Industry Engagement

Strategy SO8.3 Review Affordable Housing Policy to consider options for increased opportunities for low income individuals and families. Action

Jul-Dec

Jan-Jun

Finalise a Housing Strategy for the Clarence Valley

Responsible Service

Land Use Planning

Objective SO9 Preservation of the heritage and historic buildings and other significant assets across the area.

Strategy SO9.1

Document heritage and culturally significant trees, plants and gardens.

Action

Jul-Dec

Jan-Jun

Oversee implementation of Cultural Mapping Program

Environment and Planning Directorate

Implement the annual Heritage Assistance Grant Program and investigate signage and streetscape entry improvements to Heritage Conservation Areas

Land Use Planning

Strategy SO9.2

Formalise commitment to local museums.

Action

Jul-Dec

Jan-Jun

Responsible Service

Implement the findings of the Museums Service Review

Cultural Services

Deliver quarterly Museums skills development workshops

Cultural Services

Strategy SO9.3 community.

Encourage the repurposing of historic buildings to serve current and future needs of

Action

Jul-Dec

Jan-Jun

Support initiatives that actively repurpose historic buildings for current and future community needs as raised by the Economic Development and Tourism Advisory Committee and Community and Cultural Committee

Strategy SO9.4

Responsible Service

Communications and Industry Engagement

Encourage innovation to retain public access to the Historic Grafton Gaol.

Action

Investigate available options to retain public access through the historic Grafton Goal

38

Responsible Service

Clarence Valley Council

Jul-Dec

Jan-Jun

Responsible Service

Cultural Services


Society

Objective SO10

A resilient community, prepared for natural disaster.

Strategy SO10.1 Support establishment of a unified Emergency Management Co-ordination Centre for first responder agencies. Action

Jul-Dec

Jan-Jun

Support the planning and delivery of the RFS Emergency Operations Command Centre

Strategy SO10.2 groups.

Responsible Service

Strategic Infrastructure and Planning Coordination

Improved disaster resilience: People, Flora & Fauna, Environment, Business, Sporting

Action

Jul-Dec

Jan-Jun

Responsible Service

Establish and deliver an annual program of emergency management community planning and preparedness and public education programs

Emergency Services and Resilience

Seek funding to implement the actions of the Disaster Resilience Framework Action Plan

Emergency Services and Resilience

Implement actions in the Clarence Valley Bush Fire Risk Management Plan

Natural Resource Management

Strategy SO10.3 Improve community ability to recover after disaster by building community and infrastructure resilience. Action

Jul-Dec

Jan-Jun

Responsible Service

Plan and deliver emergency response exercises with local emergency services

Emergency Services and Resilience

Develop the first Clarence Valley Recovery Support Plan including individual community profiles that support local recovery in consultation with Council functional areas, emergency services and community groups

Emergency Services and Resilience

Operational Plan

2023/24

39


Infrastructure

Infrastructure Maintaining our diverse infrastructure base to serve the needs of the Clarence.

40

Clarence Valley Council


Infrastructure

Infrastructure Objectives IN1

A safely maintained transport (road and bridge) network.

IN2

Footpaths and cycleways that are interconnected, functional, well maintained and reach destinations.

IN3

Communities that are well serviced with essential infrastructure (including transport services, water and sewage systems and public amenities).

IN4

Floodplain and drainage infrastructure that is maintained in a way that improves amenity and liveability.

IN5

Forward planning for modern, accessible infrastructure upgrades and renewals.

IN6

Well maintained facilities and amenities that serve the needs of a growing residential population and visitors to the area.

IN7

Beautification of towns and villages to improve amenity and pride of place.

IN8

Passive and active recreational infrastructure that is well planned and well maintained.

IN9

Well serviced digital infrastructure.

IN10

Disaster mitigation planning to reduce the impact of natural disaster on infrastructure.

Operational Plan

2023/24

41


Infrastructure

Objective IN1

Strategy IN1.1

A safely maintained transport (road and bridge) network.

Review and establish service levels for road and transport infrastructure maintenance.

Action

Jul-Dec

Jan-Jun

Responsible Service

Facilitate a rolling asset condition rating process across all infrastructure asset classes

Financial Analysis and Business Support

Investigate the use of and renewal/upgrade of road signage, variable message signs and traffic light systems to manage road safety

Strategic Infrastructure

Strategy IN1.2

Develop snap send solve integration with Council’s corporate systems.

Action

Jul-Dec

Jan-Jun

Review Snap-Send-Solve platform to determine costing and process for integration into Council’s Corporate System

Strategy IN1.3

Responsible Service

Information Technology and Corporate Systems

Investigate options for Viaduct Road South Grafton.

Action

Jul-Dec

Jan-Jun

Consult with Transport for NSW with a view to reclassify and transfer Viaduct Road, along with Armidale Road to State Government

Responsible Service

Road and Drainage Infrastructure Delivery

Objective IN2 Footpaths and cycleways that are interconnected, functional, well maintained and reach destinations.

Strategy IN2.1

Implementation of the Pedestrian Access and Mobility Plan (PAMP).

Action

42

Jul-Dec

Jan-Jun

Responsible Service

Deliver the Active Transport Strategy

Strategic Infrastructure and Planning Coordination

Create a concept design for Prince St Grafton - CBD Redevelopment

Strategic Infrastructure and Planning Coordination

Project manage the delivery of strategic projects

Strategic Infrastructure and Planning Coordination

Project manage the construction of the Yamba Community Precinct Centre

Strategic Infrastructure and Planning Coordination

Project manage the construction of the Maclean Community Precinct Centre

Strategic Infrastructure and Planning Coordination

Clarence Valley Council


Action

Jul-Dec

Jan-Jun

Deliver the Active Transport Strategy

Responsible Service

Infrastructure

Strategy IN2.2 Investigate options for a cycle/pedestrian route from Maclean to Yamba and from Woombah to Woody Head.

Strategic Infrastructure

Strategy IN2.3 Advocate for State funding of the Big River Way cycleway/pedestrian route from Grafton to Maclean. Action

Jul-Dec

Jan-Jun

Advocate as opportunities arise

Strategy IN2.4

Strategic Infrastructure

Plan for walking trails from The Glen to Maclean.

Action

Jul-Dec

Jan-Jun

Deliver the Active Transport Strategy

Strategy IN2.5

Responsible Service

Responsible Service

Strategic Infrastructure and Planning Coordination

Create a network of connected cycleways and footpaths for active recreation.

Action

Jul-Dec

Jan-Jun

Plan and design pedestrian and bicycle facilities identified and prioritised in the Active Transport Strategy

Responsible Service

Strategic Infrastructure and Planning Coordination

Objective IN3 Communities that are well serviced with essential infrastructure (including transport services, water and sewage systems and public amenities).

Strategy IN3.1 areas.

Model and cost town sewerage systems to consider expansion to currently un-serviced

Action

Jul-Dec

Jan-Jun

Complete a full revaluation of Sewer Network Assets

Strategy IN3.2

Responsible Service

Financial Analysis and Business Support

Consider and determine options for Yamba Bypass.

Action

Determine options for Yamba Bypass

Jul-Dec

Jan-Jun

Responsible Service

Environment and Planning Directorate

Operational Plan

2023/24

43


Infrastructure

Strategy IN3.3 priorities.

Review Council’s Integrated Water Cycle Management (IWCM) strategy and confirm

Action

Jul-Dec

Jan-Jun

Responsible Service

Prepare a Property Management Plan for Glens Creek Rd property

Watercycle

Partner with Coffs City Council to manage the Regional Water Supply

Watercycle

Manage the Water Network to meet licence / health requirements

Watercycle

Manage the Sewer Network to meet licence requirements

Sewer Services

Inflow/Infiltration prevention program to detect illegal stormwater connections and failed pipes

Sewer Services

Strategy IN3.4

Investigate options for water filtration.

Action

Jul-Dec

Jan-Jun

Responsible Service

Complete the financial modelling for the Rushforth Road Water Filtration Plant

Watercycle

Complete the Environmental Impact Statement for the Rushforth Road Water Filtration Plant

Watercycle

Complete the community consultation for the Rushforth Road Water Filtration Plant

Watercycle

Objective IN4 Floodplain and drainage infrastructure that is maintained in a way that improves amenity and liveability.

Strategy IN4.1

Review the suite of floodplain management plans for the local government area.

Action

Jul-Dec

Jan-Jun

Create a plan for review of suite of floodplain management plan

Strategy IN4.2

Responsible Service

Floodplain and Estuary Management

Advocate for increased government funding to improve floodplain infrastructure.

Action

Jul-Dec

Jan-Jun

Engage with state and federal government for funding to improve floodplain infrastructure opportunities

Responsible Service

Floodplain and Estuary Management

Strategy IN4.3 Advocate for increased funding to the State Government’s Floodplain Management Program - Maintenance Grants. Action

Engage with LGNSW and Floodplain Management Authority to lobby for increase in funding

44

Clarence Valley Council

Jul-Dec

Jan-Jun

Responsible Service

Floodplain and Estuary Management


Infrastructure

Objective IN5 Forward planning for modern, accessible infrastructure upgrades and renewals.

Strategy IN5.1

Adopt a forward capital works program.

Action

Jul-Dec

Jan-Jun

Responsible Service

Coordinate preparation of a long term Capital Works Program

Works and Civil Directorate

Develop an annual project under the Local Government Road Safety Program

Strategic Infrastructure and Planning Coordination

Deliver Fixing Country Bridges Program

Strategic Infrastructure and Planning Coordination

Implement Council’s property rationalisation program

Property Services

Conduct disposals and acquisitions to support the capital works program

Property Services

Progress Land swap negotiations to realise the Maclean Boardwalk

Property Services

Implement a dedicated urban stormwater drainage program

Road & Drainage Infrastructure Delivery

Complete the Civil Services capital works program

Road & Drainage Infrastructure Delivery

Complete the Building & Facilities capital works program

Building and Facilities

Complete the Holiday Parks capital works program

Holiday Parks

Complete the Watercycle capital works program

Watercycle

Complete the Sewer Services capital works program

Sewer Services

Complete the Open Spaces capital works program

Parks & Open Spaces

Complete the Waste Services capital works program

Waste Services

Prepare a Grafton Regional Landfill Expansion concept design

Waste Services

Complete the Cemeteries capital works program

Cemeteries

Investigate and prepare a perpetual maintenance program and associated funding

Cemeteries

Strategy IN5.2

Review and establish service levels for road and transport infrastructure maintenance.

Action

Develop a strategic plan for future operations of Council owned quarries

Jul-Dec

Jan-Jun

Responsible Service

Quarries

Operational Plan

2023/24

45


Infrastructure

Strategy IN5.3 mobility aids.

Create a network of shared pathways for use by pedestrians, cyclists and those using

Action

Jul-Dec

Jan-Jun

Deliver the Active Transport Strategy

Responsible Service

Strategic Infrastructure and Planning Coordination

Strategy IN5.4 Investigate options for future use of Ulmarra Fire Control Centre post construction of the Emergency Control Centre. Action

Jul-Dec

Jan-Jun

Responsible Service

Support the planning and delivery of the RFS ‘Emergency Operations Command Centre'

Regional Airport

Prepare the communication plan to support future use of Ulmarra Fire Control Centre investigations

Building and Facilities

Objective IN6 Well maintained facilities and amenities that serve the needs of a growing residential population and visitors to the area.

Strategy IN6.1

Review and plan for off leash dog friendly areas.

Action

Jul-Dec

Jan-Jun

Promote off-leash, dog-friendly areas to the community

Strategy IN6.2

Regulatory Services

Review of amenities and cleaning contracts.

Action

Jul-Dec

Jan-Jun

Undertake review of amenities and cleaning contracts

Strategy IN6.3

Responsible Service

Building and Facilities

Improve usage of Council facilities.

Action

46

Responsible Service

Jul-Dec

Jan-Jun

Responsible Service

Manage annual lease and licence program

Property Services

Develop Facilities Management Plans for active and high use community halls

Building and Facilities

Support community organisation in the Clarence Valley through the operations, maintenance and administration of community halls.

Building and Facilities

Support the business functions of Council through the operations, maintenance and administration of works depots and administration centres

Building and Facilities

Review Alcohol Free Zones and Alcohol Prohibited Area designations

Regulatory Services

Clarence Valley Council


Review CBD amenity and establish Service Level Agreements.

Action

Jul-Dec

Jan-Jun

Develop an annual rolling program for town and village beautification

Responsible Service

Parks & Open Spaces

Infrastructure

Strategy IN6.4

Strategy IN6.5 Establish a town entrance beautification program for Grafton and Maclean to improve amenity on entry. Action

Jul-Dec

Jan-Jun

Develop an annual rolling program for town and village beautification

Responsible Service

Parks & Open Spaces

Objective IN7 Beautification of towns and villages to improve amenity and pride of place.

Strategy IN7.1

Develop an annual program for town and village beautification.

Action

Jul-Dec

Jan-Jun

Responsible Service

Develop an annual rolling program for town and village beautification

Parks & Open Spaces

Recruit team to undertake increased town and village maintenance

Parks & Open Spaces

Strategy IN7.2

Develop small village amenity plans.

Action

Jul-Dec

Jan-Jun

Develop an annual rolling program for town and village beautification

Strategy IN7.3

Responsible Service

Parks & Open Spaces

Upgrade Village entry /arrival signage and general look and feel.

Action

Undertake upgrade of entry/arrival signage

Jul-Dec

Jan-Jun

Responsible Service

Building and Facilities

Operational Plan

2023/24

47


Infrastructure

Objective IN8 Passive and active recreational infrastructure that is well planned and well maintained.

Strategy IN8.1 Review and adopt the Open Space and Recreational Management Strategy to inform asset maintenance and renewal plans. Action

Jul-Dec

Jan-Jun

Implement the Public Halls Strategy

Building and Facilities

Investigate options for reduction of antisocial behaviour at Yamba Skatepark

Parks & Open Spaces

Seek grant funding opportunities for Crown Reserve improvements

Parks & Open Spaces

Complete review of the Open Spaces Strategic Plan and Aquatic and Sports Facilities sub-plans

Parks & Open Spaces

Strategy IN8.2

Better access to get on the river for leisure and social activities.

Action

Jul-Dec

Jan-Jun

Deliver the Active Transport Strategy

Objective IN9

Strategy IN9.1

Strategic Infrastructure and Planning Coordination

Advocate for improved telecommunications. Jul-Dec

Jan-Jun

Review telecommunications standards for new development

Strategy IN9.2

Responsible Service

Well serviced digital infrastructure.

Action

Responsible Service

Planning and Building Services

Upgrade Council’s mobile and fixed infrastructure to support a connected community.

Action

48

Responsible Service

Jul-Dec

Jan-Jun

Responsible Service

Review and implement best-practice telecommunication servicing for new development

Planning and Building Services

Complete the IT/Corporate system Capital Works Prigram

Information Services and Corporate Sytems

Complete Wifi Projects for Holiday Parks and Libraries

Information Services and Corporate Sytems

Clarence Valley Council


Strategy IN10.1

Advocate for funding to deliver the actions of the Disaster Resilience Framework.

Action

Jul-Dec

Jan-Jun

Seek funding to implement the actions of the Disaster Resilience Framework Action Plan

Strategy IN10.2

Infrastructure

Objective IN10 Disaster mitigation planning to reduce the impact of natural disaster on infrastructure.

Responsible Service

Emergency Services and Resilience

Consider flood immunity in future planning for assets.

Action

Jul-Dec

Jan-Jun

Responsible Service

Inform projects to be included in a long term Capital Works Program

Strategic Infrastructure and Planning Coordination

Flood recovery works program delivery 2023/2024

Road and Drainage Infrastructure Delivery

Strategy IN10.3 Seek funding to implement design options for Yamba Road and Iluka Road to improve access during floods. Action

Jul-Dec

Jan-Jun

Responsible Service

Complete current year Roads Infrastructure Capital Works Program

Road and Drainage Infrastructure Delivery

Investigate funding and designs for additional sections of Yamba Road and Iluka Road currently not scheduled as part of this years road betterment program.

Road and Drainage Infrastructure Delivery

Strategy IN10.4

Review and consolidation of Flood Risk Management Plans.

Action

Jul-Dec

Jan-Jun

Prepare Floodplain Risk Management Study and Floodplain Risk Management Plan

Strategy IN10.5

Floodplain and Estuary Management

Consider options for improved flood mitigation for Ulmarra.

Action

Jul-Dec

Jan-Jun

Prepare Floodplain Risk Management Study and Floodplain Risk Management Plan

Strategy IN10.6

Responsible Service

Responsible Service

Floodplain and Estuary Management

Seek funding to upgrade floodplain assets.

Action

Jul-Dec

Jan-Jun

Responsible Service

Complete the Floodplain capital works program

Floodplain and Estuary Management

Esk River Flood Monitoring

Floodplain and Estuary Management

Operational Plan

2023/24

49


Economy

Economy Strengthening and diversifying the region’s economic base in a way that complements the environmental and social values of the Clarence.

50

Clarence Valley Council


Economy

Economy Objectives EC1

An affordable and attractive environment for local business to flourish.

EC2

Sustainable tourism that benefits the whole of the local government area, without burdening the coast further.

EC3

RV friendly towns.

EC4

Support for the sustainable growth of local industries that are respectful of the lifestyle that exists.

EC5

Dispersed and sustainable development ensuring connections to services.

EC6

Diversification of employment and education that provides opportunity for young people and families to stay in the area.

EC7

Major events that drive economic activity in the region and make it a more attractive place for people to live, work and visit.

EC8

Support for community and business led innovation that creates a diverse and vibrant community.

EC9

Adequate telecommunications to service economic growth.

EC10

Recognition of Grafton as a Regional City for State Planning purposes.

Operational Plan

2023/24

51


Economy

Objective EC1 flourish.

Strategy EC1.1

An affordable and attractive environment for local business to

Establish a Tourism and Economic Advisory Committee.

Action

Jul-Dec

Jan-Jun

Support the administration and governance of the Tourism and Economic Development Advisory Committee

Strategy EC1.2

Responsible Service

Industry Engagement

Support and coordinate activities for small business and industry engagement.

Action

Jul-Dec

Jan-Jun

Responsible Service

Implement a local contractor engagement program

Financial Control and Compliance

Support and coordinate activities for small business and industry engagement

Industry Engagement

Support agriculture in the Clarence Valley through the operations, maintenance and administration of the Grafton Regional Saleyard.

Saleyards

Complete the Saleyards capital works program

Strategic Infrastructure

Support tourism and business in the Clarence Valley through the operations, maintenance and administration of the Grafton Regional Airport.

Regional Airport

Support contractors in the operations of the Clarence Coast Holiday Parks

Holiday Parks

Strategy EC1.3 Partner with the Chambers of Commerce in the delivery of programs and activities that support economic sustainability. Action

Support and coordinate activities for small business and industry engagement

52

Clarence Valley Council

Jul-Dec

Jan-Jun

Responsible Service

Industry Engagement


Economy

Objective EC2 Sustainable tourism that benefits the whole of the local government area, without burdening the coast further.

Strategy EC2.1 Review the Tourism Strategy to identify appropriate service levels including Visitor Information outlets and collateral. Action

Jul-Dec

Jan-Jun

Responsible Service

Deliver an accredited Visitor Information Centre and support visitor information hubs

Industry Engagement

Develop and deliver CV Tourism Strategy

Industry Engagement

Complete the Business Development Strategy for Wooli Holiday Park

Holiday Parks

Complete the Business Development Strategy for Minnie Water Holiday Park

Holiday Parks

Engage consultant and undertake detailed design for Brooms Head Holiday Park

Holiday Parks

Undertake the Business Development Strategy for Iluka Riverside Holiday Park

Holiday Parks

Strategy EC2.2

Promote infrastructure and environmental heritage assets.

Action

Jul-Dec

Jan-Jun

Responsible Service

Prepare and finalise the Holiday Parks Plan of Management

Land Use Planning

Finalise the Brooms Head Plan of Management

Land Use Planning

Strategy EC2.3 tourism.

Implement Hinterland Cluster Development Tourism program to disperse coastal

Action

Jul-Dec

Jan-Jun

Responsible Service

Implement Hinterland cluster development program to disperse coastal tourism & increase economic benefits to broader area

Communications and Industry Engagement

Develop and promote the Dark Skies project

Communications and Industry Engagement

Strategy EC2.4 Recognise the important role of Jacaranda avenues through retention, maintenance and replacement. Action

Plan and deliver the urban tree planting program

Jul-Dec

Jan-Jun

Responsible Service

Parks & Open Spaces

Operational Plan

2023/24

53


Economy

Objective EC3

Strategy EC3.1

RV friendly towns.

Incorporate opportunities for RV access in parking strategies.

Action

Jul-Dec

Jan-Jun

Plan and design road safety and traffic improvement projects identified through customer feedback, the Safe Systems Working Group, Local Traffic Committee and State and Federal funded road safety programs

Responsible Service

Strategic Infrastructure and Planning Coordination

Objective EC4 Support for the sustainable growth of local industries that are respectful of the lifestyle that exists.

Strategy EC4.1

Partner with other levels of government and local industry groups.

Action

Jul-Dec

Jan-Jun

Implement actions from the CV Regional Economic Development Strategy (REDS)

Responsible Service

Communications and Industry Engagement

Strategy EC4.2 Support buy local campaigns and support and promote local market opportunities that benefit the small business and the agricultural sector. Action

Jul-Dec

Jan-Jun

Deliver the Load, Local Love program to support buying local.

Objective EC5 to services.

Strategy EC5.1

Communications and Industry Engagement

Dispersed and sustainable development ensuring connections

Review Local Growth Management Strategy.

Action

54

Responsible Service

Jul-Dec

Jan-Jun

Responsible Service

Developer Contribution Reform

Land Use Planning

Finalise a Housing Strategy for the Clarence Valley

Land Use Planning

Clarence Valley Council


Strategy EC6.1

Economy

Objective EC6 Diversification of employment and education that provides opportunity for young people and families to stay in the area.

Attract new investment and employment growth within the Valley.

Action

Jul-Dec

Jan-Jun

Responsible Service

Deliver engagement activities with the development and building industry to inform planning reform

Development and Building Services

Advance actions to rezone Council owned land on Big River Way for Employment Land

Land Use Planning

Prepare a Marine Based Industry Policy

Land Use Planning

Implement key short term actions from Employment, Rural and Green Infrastructure Strategies

Land Use Planning

Finalise the Clarenza DCP

Land Use Planning

Objective EC7 Major events that drive economic activity in the region and make it a more attractive place for people to live, work and visit.

Strategy EC7.1 Market LGA events beyond the LGA. Action

Jul-Dec

Jan-Jun

Responsible Service

Liaise and engage with the tourism sector and key stakeholder agencies

Communications and Industry Engagement

Prepare a draft business plan for operation of the Maclean Cultural & Community Precinct

Communications and Industry Engagement

Objective EC8 Support for community and business led innovation that creates a diverse and vibrant community.

Strategy EC8.1 Work with stakeholder to establish roundtable activities that bring representatives of town, village and community progress associations and business chambers together. Action

Deliver the My Clarence Valley website and social media platforms

Jul-Dec

Jan-Jun

Responsible Service

Communications and Industry Engagement

Operational Plan

2023/24

55


Economy

Objective EC9

Strategy EC9.1 condition.

Adequate telecommunications to service economic growth.

Review and promote telecommunications required for new developments as standard

Action

Jul-Dec

Jan-Jun

Review and implement best-practice telecommunication servicing for new development

Objective EC10 purposes.

Strategy EC10.1

Planning and Building Services

Recognition of Grafton as a Regional City for State Planning

Advocate the reinstatement of Grafton as a Regional City.

Action

Advocacy supporting growth and investment in new infrastructure, such as the upgrade to Grafton Base Hospital and the proposed private hospital, will continue through 2023/2024, which are key infrastructure investments that place Grafton on a positive growth trajectory towards a Regional City.

56

Responsible Service

Clarence Valley Council

Jul-Dec

Jan-Jun

Responsible Service

Land Use Planning


Economy

Operational Plan

2023/24

57


Environment

Environment Valuing, respecting and actively participating in the care and management of the Clarence’s natural environment for current and future generations.

58

Clarence Valley Council


Environment

Environment Objectives EN1

To protect and enhance our natural environments, ecosystems and native flora and fauna.

EN2

Encourage sustainable and innovative agricultural processes that preserve what we have.

EN3

Promotion of sustainable development that integrates with the environment.

EN4

Action that maintains the health of our coastline, waterways and natural environment.

EN5

Promotion of sustainable business practices to reduce our region’s ecological footprint.

EN6

A community that follows the three Rs of waste: Reuse, Recycle and Reduce.

EN7

Celebration and promotion of the diverse natural beauty of the area.

EN8

Enhanced maintenance of green space in a way that encourages responsible use.

EN9

Opportunities for equal access to enjoy the outdoors.

EN10

A community that doesn’t support detrimental mining activities.

Operational Plan

2023/24

59


Environment

Objective EN1 To protect and enhance our natural environments, ecosystems and native flora and fauna.

Strategy EN1.1

Review management of Lake Wooloweyah to prevent further loss of seagrass.

Action

Jul-Dec

Jan-Jun

Responsible Service

Lobby NSW Government to take action to prevent further loss of seagrass from Lake Wooloweyah

Natural Resource Management

Include seagrass loss risk assessment in Estuary Coastal Management Program Hazard Study

Floodplain and Estuary Management

Strategy EN1.2 Consider policy position to avoid rezoning and use of flood prone wetlands and vulnerable ecosystems. Action

Jul-Dec

Responsible Service

Make known existing policy position that prohibits rezonings of flood prone wetlands and vulnerable ecosystems as and when required

Land Use Planning

Continue to strengthen with implementation of actions from the Climate Adaptation Strategy

Natural Resource Management

Strategy EN1.3

Improved ecological management of Council reserves and corridors.

Action

60

Jan-Jun

Jul-Dec

Jan-Jun

Responsible Service

Finalise Coastal Management Program for whole LGA coastline

Floodplain and Estuary Management

Investigate land use application options for the Brooms Head Holiday Park Wastewater Treatment Plant

Holiday Parks

Commence implementation of priority administrative actions in Bush Regeneration Strategy

Natural Resource Management

Prepare a koala habitat and population survey for LawrenceBanyabba-Mororo Area

Natural Resource Management

Prepare bush regeneration strategy for CVC-owned/managed land

Natural Resource Management

Conduct weed control on Crown reserves

Natural Resource Management

Implement the Susan Island Flying Fox Habitat Restoration Program

Natural Resource Management

Implement actions of the Biodiversity Strategy 2020-2025

Natural Resource Management

Purchase an agricultural drone and develop a user guide and plan for weed control

Natural Resource Management

Prepare and finalise Site Management Plans for Crown Land

Land Use Planning

Clarence Valley Council


Strategy EN2.1 practice.

Collaborate with government departments to promote sustainable agricultural

Action

Jul-Dec

Jan-Jun

Coordinate education programs to encourage best practice native vegetation, soil and water management

Objective EN3 environment.

Strategy EN3.1 assessments.

Environment

Objective EN2 Encourage sustainable and innovative agricultural processes that preserve what we have.

Responsible Service

Environmental Services

Promotion of sustainable development that integrates with the

Increased transparency and improved methodology for DA related ecological

Action

Jul-Dec

Jan-Jun

Implement actions of the Green Infrastructure Strategy

Responsible Service

Land Use Planning & Environmental Services

Objective EN4 Action that maintains the health of our coastline and waterways and natural environment.

Strategy EN4.1

Investigate funding options to undertake riverbank restoration and rejuvenation.

Action

Jul-Dec

Jan-Jun

Prepare Stage 2 & 3 of the Coastal Management Program for the Clarence River Estuary

Strategy EN4.2

Responsible Service

Floodplain and Estuary Management

Continue water quality improvements and communications.

Action

Jul-Dec

Jan-Jun

Responsible Service

Lobby NSW Government to recommence Beach Watch/water quality monitoring in Clarence Valley local government area

Environmental Services

Conduct National Water Week activities and deliver Waterwise Schools Program and water efficiencies activities

Waste Services

Implement actions identified in the Water Efficiency Implementation Plan

Waste Services

Operational Plan

2023/24

61


Environment

Strategy EN4.3

Demonstrate leadership on climate change through education and action.

Action

Jul-Dec

Jan-Jun

Responsible Service

Commence implementation of priority administrative actions in Climate Adaptation Strategy

Environmental Services

Continue to progress the development of the proposed Grafton Regional Landfill solar farm.

Waste Services

Continue to progress the development of the proposed Grafton Regional Landfill gas to energy project.

Waste Services

Implement Community Energy and Emissions Reduction Action Plan.

Waste Services

Objective EN5 Promotion of sustainable business practices to reduce our region’s ecological footprint. Strategy EN5.1

Investigate options for optical fibre connections to premises for new developments.

Action

Jul-Dec

Jan-Jun

Review telecommunications standards for new development

Responsible Service

Planning and Building Services

Objective EN6 A community that follows the three Rs of waste: Reuse, Recycle and Reduce. Strategy EN6.1 programs.

Aim for an increase in community participation in waste recycling through education

Action

Jul-Dec

Jan-Jun

Implement Solid Waste Management Strategy And Environmental Education Plan

Objective EN7 area. Strategy EN7.1

Waste Services

Celebration and promotion of the diverse natural beauty of the

Promote the Clarence Valley as a destination.

Action

62

Responsible Service

Jul-Dec

Jan-Jun

Responsible Service

Implement Hinterland Cluster Development Program to disperse coastal tourism & increase economic benefits to broader area

Communications and Industry Engagement

Develop and deliver CV Tourism Strategy

Communications and Industry Engagement

Clarence Valley Council


Environment

Objective EN8 Enhanced maintenance of green space in a way that encourages responsible use.

Strategy EN8.1

Review tree varieties and increase tree canopy.

Action

Jul-Dec

Jan-Jun

Complete review of Tree Management Policy and Urban Tree Strategy

Strategy EN8.2

Responsible Service

Parks & Open Spaces

Review tree replacement programs and maintenance of existing street trees.

Action

Jul-Dec

Jan-Jun

Responsible Service

Complete review of Tree Management Policy and Urban Tree Strategy

Parks & Open Spaces

Implement the agreed actions from the Open Spaces Service Review

Parks & Open Spaces

Objective EN9

Strategy EN9.1

Opportunities for equal access to enjoy the outdoors.

Incorporate accessible infrastructure in design of open spaces managed by Council.

Action

Jul-Dec

Jan-Jun

Work with the organisation and the community to incorporate Disability Inclusion Action Plan recommendations in Parks and Reserves infrastructure projects

Strategy EN9.2

Responsible Service

Parks & Open Spaces

Promote current opportunities available that facilitate equal access.

Action

Jul-Dec

Jan-Jun

Work with the organisation and the community, and consult with the Access Committee, to deliver the Disability Inclusion Action Plan recommendations for equal access

Objective EN10 activities.

Strategy EN10.1 required. Action

Advocate as required

Responsible Service

Community Engagement

A community that doesn’t support detrimental mining

Advocate the position of Council in submissions to State and Federal governments as

Jul-Dec

Jan-Jun

Responsible Service

Office of the General Manager

Operational Plan

2023/24

63


Leadership

Leadership Setting the overall direction and long-term goals for the Clarence in accordance with community aspirations.

64

Clarence Valley Council


Leadership

Leadership Objectives LE1

A strong, accountable, and representative government that engages broadly with the community in a genuine, respectful and meaningful way.

LE2

To provide representation and advocacy where it counts.

LE3

To provide high standard of customer service to the community.

LE4

To be an effective and efficient local government that operates in a financially responsible and sustainable manner.

LE5

An accessible local government with improved responsiveness and transparency in its actions.

LE6

Decision making that is informed by diverse views and broad representation.

LE7

A strong relationship between all levels of government and partnerships with community to deliver outcomes that benefit residents.

Operational Plan

2023/24

65


Leadership

Objective LE1 A strong, accountable, and representative government that engages broadly with the community in a genuine, respectful and meaningful way.

Strategy LE1.1

Deliver a program of water quality education forums.

Action

Jul-Dec

Jan-Jun

Plan and implement delivery of water quality education forums

Strategy LE1.2

Water Cycle

Develop and deliver a community engagement program.

Action

Jul-Dec

Jan-Jun

Implement a plan for monthly community engagement sessions across the local government area

Strategy LE1.3

Responsible Service

Community Engagement

Improve communication, engagement and response to and with the Community.

Action

Jul-Dec

Jan-Jun

Responsible Service

Deliver the Council's magazine quarterly

Communications and Industry Engagement

Deliver timely and informative communications by media releases and social media platforms

Communications and Industry Engagement

Implement Communication Strategy Policy and procedure to ensure effective, timely and meaningful information to our community

Communications and Industry Engagement

In line with the IAP2 Framework, facilitate Council's online engagement portal ‘Clarence Conversations’

Community Engagement

Review and scope new Regional Gallery Website design for implementation

Cultural Services

Strategy LE1.4

Develop a Councillor Youth Mentor program.

Action

Develop a plan to create and implement a Councillor Youth Mentoring Program

66

Responsible Service

Clarence Valley Council

Jul-Dec

Jan-Jun

Responsible Service

People and Culture


Strategy LE2.1

Leadership

Objective LE2

To provide representation and advocacy where it counts.

Gain an understanding of stakeholders’ position to inform advocacy role.

Action

Jul-Dec

Jan-Jun

Responsible Service

Support the Councillors Listening Tours

Office of the General Manager

Quarterly meetings planned with local State and Federal Members

Office of the General Manager

Strategy LE2.2 Engage as a stakeholder in State Government plans for development of the Old Grafton Gaol to create public access to the historic site. Action

Jul-Dec

Jan-Jun

Quarterly meetings planned with local State and Federal Members

Objective LE3 community.

Strategy LE3.1

Responsible Service

Office of the General Manager

To provide high standard of customer service to the

Increased payment options for those doing business with Council.

Action

Jul-Dec

Jan-Jun

Upgrade corporate system platform to cloud-based technology to enhance accessibility and automation of corporate systems

Responsible Service

Information Technology and Corporate Systems

Strategy LE3.2 Develop clear, measurable service levels and standards to guide response to correspondence and complaints. Action

Commence implementation of priority administrative actions identified in the Environmental Auditing and Compliance Strategy

Jul-Dec

Jan-Jun

Responsible Service

Environmental Services

Operational Plan

2023/24

67


Leadership

Strategy LE3.3

Deliver Corporate systems upgrade.

Action

Jul-Dec

Responsible Service

Complete a strategic corporate system review

Financial Control and Compliance

Implement Strategic Asset Management corporate system module to informing asset management services

Financial Analysis and Business Support

Commence upgrade of Property & Rating Software - Phase 1 (CRM, ECR, Customer Interactions (NAR)

Information Technology and Corporate Systems

Upgrade corporate system platform to cloud-based technology to enhance accessibility and automation of corporate systems

Information Technology and Corporate Systems

Implement NSW Government DA planning portal Stage 3 and integration with corporate systems

Information Technology and Corporate Systems

Deliver corporate system dashboards for improved information management and reporting

Information Technology and Corporate Systems

Create & implement robust end of quarter financial system reporting for budget managers

Information Technology and Corporate Systems

Implement Corporate Knowledge Base software

Information Technology and Corporate Systems

Implement corporate system interactive forms and associated workflow for identified business processes

Information Technology and Corporate Systems

Implement corporate system recruitment module

People and Culture

Complete data migration to singular document management system

Information Technology and Corporate Systems

Implement software to ensure efficient and effective management of delegations and legislative compliance register

Corporate and Customer Experience

Continued migration of the WHS management system on VAULT (online safety module)

Safety and Risk

Implement the risk management corporate system module to manage and review risks and report as per the Risk Management Framework

Safety and Risk

Implement and promote the Learning and Development Plan 2023/2024 including eLearning module

People and Culture

Continue roll-out of Automated Water Meter reading

Watercycle

Strategy LE3.4

Promote Customer Service Charter.

Action

68

Jan-Jun

Jul-Dec

Jan-Jun

Responsible Service

Update and promote Customer Service Charter and report on data from call centre

Corporate and Customer Experience

Develop the 2023/2024 annual Learning and Development training plan

People and Culture

Clarence Valley Council


Leadership

Objective LE4 To be an effective and efficient local government that operates in a financially responsible and sustainable manner.

Strategy LE4.1

Report achievement of Delivery Program every six months.

Action

Jul-Dec

Jan-Jun

Responsible Service

Review the Community Strategic Plan 2032 pending Council Election Sept 2024

Office of the General Manager

Prepare the 2024/2025 Operational Plan

Office of the General Manager

Deliver all required 2024/2025 IP&R documentation

Office of the General Manager

Deliver six monthly Delivery Program report to Council

Corporate and Community

Ensure compliance with Integrated Planning and Reporting Framework 2021 and requirements delivered

Corporate and Community

Develop the annual budget & Long Term Financial Plan for 2024/25

Financial Analysis and Business Support

Update the 10 year Long Term Financial Plan and 4 year rolling Capital Works Program

Financial Analysis and Business Support

Facilitate annual review of Asset Management Strategy and associated Asset Management Plans

Financial Analysis and Business Support

Implementation of 2023/2024 actions from the Workforce Management Strategy and update for next financial year

People and Culture

Strategy LE4.2

Table the Annual Report within three months of the end of the financial year.

Action

Jul-Dec

Jan-Jun

Responsible Service

Deliver the 2022/2023 Annual Report

Office of the General Manager

Coordinate and report complaint management

Corporate and Community

Strategy LE4.3

Prepare the Annual Financial Statements within legislated timeframes.

Action

Jul-Dec

Jan-Jun

Responsible Service

Complete the Annual Financial Statements

Financial Control and Compliance

Complete Annual Rating Returns

Financial Control and Compliance

Create and implement robust end of quarter financial control processes

Financial Control and Compliance

Operational Plan

2023/24

69


Leadership

Strategy LE4.4

Demonstrated commitment to reviewing services and service levels.

Action

Jul-Dec

Jan-Jun

Responsible Service

Deliver the improvements of the 2022/2023 service review program

Office of the General Manager

Complete the Service Review program:

Office of the General Manager

 Internal Audit     Information Technology     Governance     Safety & Risk     Community Engagement     Parks & Reserves     Sporting & Aquatic Facilities     Holiday Parks x 6     Design & Survey     Quarries     Regional Roads     Floodplain, Coast & Estuary     Natural Resource Management     Cemeteries     EDSP Administration & Support

70

Finalise the Information Technology Service Review

Information Technology and Corporate Systems

Implement the Capability Framework across organisation

Corporate and Community Directorate

Implement the agreed recommendations of the FY 2022/2023 Customer Service & Records Service Review as required

Corporate and Customer Experience

Refine and streamline the People & Culture content on Intranet for greater access

People and Culture

Create a streamlined recruitment process, including front end planning for the variety of roles as outlined in the recruitment strategy

People and Culture

Continue the review of all human resource related policy, including 2023 Local Government Award updates and convert all forms to online versions

People and Culture

Promote and deliver the annual STRIVE Awards for staff excellence

Office of the General Manager

Review onboard and offboarding engagement in line with the My Employee Journey Framework

People and Culture

Develop an Employee Value Proposition as per recruitment strategy

People and Culture

Continue to implement the Employee Performance Framework including the capability framework

People and Culture

Deliver the recommendations of the Public Libraries Service Review

Library Services

Review the operating model of the Yamba and Maclean Libraries to support future growth

Library Services

Clarence Valley Council


Library Services

Conduct the review of the Fleet Replacement program

Works and Civil Directorate

Coordinate meetings of the Fleet Management Working Committee

Works and Civil Directorate

Finalise the Natural Resource Management Service Review

Natural Resource Management

Finalise the Cemeteries Service Review

Cemeteries

Strategy LE4.5

Leadership

Implement the Regional Library Strategic Plan (Action Plan)

Demonstrated commitment to the functions of the Audit Risk Improvement Committee.

Action

Jul-Dec

Jan-Jun

Responsible Service

Deliver the Internal Audit Plan

Office of the General Manager

Create robust budget management processes and report to the ARIC

Financial Control and Compliance

Implement the Annual Management Letter recommendations

Financial Analysis and Business Support

Complete the GIS Audit Action Plan

Information Technology and Corporate Systems

Undertake quarterly corporate system database security & integrity audits and report to the Audit Risk and Improvement Committee

Information Technology and Corporate Systems

Complete a WHS StateCover audit and deliver on the three priority areas from the audit

Safety and Risk

Implement and deliver WHS legislative required Health Monitoring programs (immunisation & lung bus program)

Safety and Risk

Implement the WHS planning, report and monitor program and undertake site audits

Safety and Risk

Deliver the outcomes for the WHS Internal Audit Action Plan

Safety and Risk

Implement recommendations from CVC Internal Environmental Audit relevant to 23/24 year

Environmental Services

Strategy LE4.6

Determine future uses for Grafton Regional Airport.

Action

Finalise Options Paper and determine future uses of Grafton Regional Airport following completion of the environmental and cultural assessment of available land identified in Masterplan

Jul-Dec

Jan-Jun

Responsible Service

Regional Airport

Operational Plan

2023/24

71


Leadership

Objective LE5 An accessible local government with improved responsiveness and transparency in its actions.

Strategy LE5.1 Investigate options for developing a Cultural Capability Framework and establishing a robust Aboriginal community engagement framework. Action

Jul-Dec

Jan-Jun

Finalise a First Nations Employment Strategy

Responsible Service

People and Culture

Strategy LE5.2 Develop transparent and robust policy framework to ensure current and best practice policies and procedures. Action

72

Jul-Dec

Jan-Jun

Responsible Service

Deliver an end of year staff development & achievement event

Office of the General Manager

Lead the staff engagement survey action plan

Office of the General Manager

Deliver the staff engagement survey

Office of the General Manager

Review policies as required as per Policy Framework

Corporate and Community

Complete a strategic procurement review and create a Strategic Procurement Action Plan

Financial Control and Compliance

Complete Revenue Debt Management processes as per policy

Financial Control and Compliance

Review and update the Revenue Policy

Financial Control and Compliance

Create and implement an overarching Financial Management Strategy

Financial Control and Compliance

Complete bi-annual depot WHS compliance review

Financial Control and Compliance

Conduct a sale of land for unpaid rates review

Financial Control and Compliance

Engage with State Records to ensure compliance and complete audit requirements as per legislative compliance

Corporate and Customer Experience

Deliver governance compliance as outlined in the OLG compliance calendar

Corporate and Customer Experience

Develop and implement clear policies and processes for all insurance related matters, including audit opportunities

Corporate and Customer Experience

Ensure all polices and related documents are reviewed in line with Policy Framework

Corporate and Customer Experience

Ensure the new PID legislation is embedded within the organisation and related policy and practices are updated by 1 Oct 2023

Corporate and Customer Experience

Delivery of the Return To Work program

Safety and Risk

Develop documentation to address psychosocial hazards and support a mental fitness program

Safety and Risk

Clarence Valley Council


Environmental Services

Complete the Climate Adaptation Strategy

Environmental Services

Prepare Environmental Levy business case

Environmental Services

Review On-Site Waste Water Management Strategy

Environmental Services

Finalise Animal Control and Animal Shelter Strategy

Regulatory Services

Commence implementation of priority actions in Animal Control and Animal Shelter Strategy

Regulatory Services

Complete an independent financial review of Council’s current and planned future borrowing capacity including debt service cover ratio and debt ceiling.

Office of the General Manager

Strategy LE5.3

Leadership

Prepare environmental auditing and compliance strategy

Promote transparency of access to information.

Action

Jul-Dec

Jan-Jun

Responsible Service

Promote access and transparency to information in accordance with information legislation and policy

Corporate and Community

Manage the Unreasonable Complainant Register

Corporate and Community

Coordinate Public Interest Disclosure activity and implementation of new legislation

Corporate and Community

Implement organisational training in governance process as outlined in governance framework

Corporate and Customer Experience

Deliver the communication plan for closure of Treelands Drive Community Centre and relocation of services pending demolition of the building

Community Engagement

Deliver and promote the bridge upgrade mapping layer for community access

Strategic Infrastructure and Planning Coordination

Review and implementation of improved Planning Certificate service

Planning and Building Services

Strategy LE5.4 Develop a Councillor update to keep Councillors informed about successes and ongoing activities. Action

Jul-Dec

Jan-Jun

Responsible Service

Facilitate an elected member review of the Delivery Program

Office of the General Manager

Deliver a councillor newsletter

Office of the General Manager

Strategy LE5.5

Support and equip Councillors as ‘brand’ ambassadors.

Action

Coordinate the elected member professional development program

Jul-Dec

Jan-Jun

Responsible Service

Office of the General Manager

Operational Plan

2023/24

73


Leadership

Objective LE6 Decision making that is informed by diverse views and broad representation.

Strategy LE6.1 deputations.

Deliver opportunity for community input to decision making through submissions and

Action

Jul-Dec

Jan-Jun

Prepare the monthly business paper

Responsible Service

Office of the General Manager

Objective LE7 A strong relationship between all levels of government and partnerships with community to deliver outcomes that benefit residents.

Strategy LE7.1

Coordinate a schedule of meetings with local State and Federal Members.

Action

Quarterly meetings planned with local State and Federal Members

74

Clarence Valley Council

Jul-Dec

Jan-Jun

Responsible Service

Office of the General Manager


Clarence Valley Council

Capital Works Program 2023/24

Capital Works Program 2023/24

75


Information Services & Corporate Systems Location (Asset)

Description of Works

Communications

2023-24

2024-25

2025-26

2026-27

541,600

490,500

489,000

610,000

CVC - Wide

Hardware & Infrastructure

474,000

450,500

449,000

606,000

CVC - Wide

Hardware & Infrastructure - Library Assets

22,600

40,000

40,000

4,000

Yamba - Yamba Water Tower

Upgrade Comms Infrastructure

45,000

0

0

0

2023-24

2024-25

2025-26

2026-27

5,650,000

5,785,000

5,920,000

6,055,000

Works & Civil Mgt Location (Asset)

Description of Works

Fleet CVC Wide

Light Fleet Replacement Program

800,000

825,000

850,000

875,000

CVC Wide

Small Plant Replacement Program

350,000

360,000

370,000

380,000

CVC Wide

Heavy Plant Replacement Program

4,500,000

4,600,000

4,700,000

4,800,000

2023-24

2024-25

2025-26

2026-27

10,000

35,000

35,000

35,000

20,000

20,000

20,000

10,000

15,000

15,000

15,000

Swimming Pool Improvements

15,000,000

11,925,278

0

0

Grafton - Regional Aquatic Centre

15,000,000

11,925,278

0

0

Sports Council Contributions

80,000

80,000

80,000

80,000

CVC Wide

Lower Clarence Sports Council

40,000

40,000

40,000

40,000

CVC Wide

Upper Clarence Sports Council

40,000

40,000

40,000

40,000

Parks & Open Spaces Location (Asset)

Description of Works

Swimming Pool Reactive Works

76

CVC Wide

Pool Structures

CVC - Wide

Pool Plant & Equipment

"Renew, upgrade & Add Facilities - Stage 1 Site Prep & Demo, Splash Pad, indoor heated 25m pool, Indoor Program pool, Ancillary Substation/Plant Room, shade, Refurbish Existing Entry. Stage 2 - 50m Outdoor Pool, New Grandstand (Pending Approved Grant Funds) Stage 3 - Water Slides (Pending Approved Grant Funds)"

Clarence Valley Council


Location (Asset)

Description of Works

Sports Council Contributions

2023-24

2024-25

2025-26

2026-27

80,000

80,000

80,000

80,000

90,000

90,000

90,000

Maclean - Indoor Sports Centre, Wherret Park, Grafton - McKittrick Park, Wooli Tennis Club house

Floor Coverings & External Cladding

Maclean - Maclean Sport Centre

Floor Coverings & External Cladding

10,000

0

0

0

Yamba - Yamba Sports Centre

Floor Coverings & External Cladding

50,000

0

0

0

Maclean - Maclean Showground

Amenities Upper Area - Design & Construct upgrade - including all accessible

0

15,000

250,000

0

Maclean - Maclean Showground

Kiosk - Refresh & Modernise

30,000

0

0

0

0

30,000

40,000

50,000

0

30,000

40,000

50,000

10,000

290,000

290,000

40,000

0

40,000

40,000

40,000

10,000

250,000

250,000

0

0

35,000

0

80,000

Cricket Assets CVC Wide

Cricket Assets Nets, Rubber, Fencing

Sport Surfaces CVC Wide

Sporting Surfaces

Maclean - Maclean Netball

Netball Courts

Tennis Courts CVC Wide

Tennis Court Asset - Renewals

0

0

0

80,000

Yamba - Flinders Park - Tennis Courts

Multi Court, Pickle Ball Conversions

0

35,000

0

0

580,000

610,000

250,000

50,000

Reserves South Grafton Hawthorne Park

Design & Construct - Per Masterplan

100,000

500,000

0

0

Iluka - Ken Lesson Oval

Skate Shelter

30,000

0

0

0

Iluka - Ken Lesson Oval

Skate Park Extension

0

25,000

200,000

0

Maclean Showground - Main Arena

Lighting Upgrade

380,000

0

0

0

Brooms Head Reserve - Bluff, End of Holiday Park

Fish Cleaning Table

5,000

20,000

0

0

Yamba - Rock Pool

Beach Safety Rescue - Tube program

5,000

0

0

0

Wooli - Breakwall

Beach Safety Rescue - Tube program

5,000

0

0

0

Capital Works Program 2023/24

77


Location (Asset)

Description of Works

Iluka - Breakwall

Beach Safety Rescue - Tube program

Reserves

2024-25

2025-26

2026-27

5,000

0

0

0

580,000

610,000

250,000

50,000

Brooms Head Beach

Beach Safety Rescue - Tube program

0

5,000

0

0

Other Lower Risk Beach's TBD

Beach Safety Rescue - Tube program

0

10,000

0

0

Coutts Crossing Golf Course

Greens, irrigation, Fairways, Tees etc

50,000

50,000

50,000

50,000

30,000

105,000

65,000

65,000

Parks & Reserve - Fencing & Bollards CVC Wide

Parks Fencing and Bollard - RENEWALS

0

65,000

65,000

65,000

South Grafton - JJ Lawrence

Parks Fencing and Bollard - RENEWALS

30,000

40,000

0

0

0

20,000

410,000

200,000

Boating Facilities Seeland - Punt Lane

Boat Launching Ramps Design Construct

0

10,000

200,000

0

Junction Hill - Carrs Peninsula

Boat Launching Ramps Design Construct

0

10,000

200,000

0

Yamba - Carrs Drive

Boat Launching Ramps Design Construct

0

0

10,000

200,000

283,798

985,327

0

0

Drainage Works Junction Hill Barnier Park

Drainage

0

384,935

0

0

South Grafton Hawthorne Park

Drainage

283,798

0

0

0

South Grafton Rushforth Park

Drainage

0

499,796

0

0

Yamba - Yamba Sports Complex

Drainage

0

100,596

0

0

25,000

25,000

25,000

25,000

Parks & Reserve - Buildings CVC Wide

Parks & Reserves Buildings (inc Crown)

0

25,000

25,000

25,000

Wooli - Sports Buildings

Parks & Reserves Buildings (inc Crown)

25,000

0

0

0

Glenreagh Shannon Park

Upgrade Amenities

0

0

0

0

2,275,000

285,000

55,000

55,000

0

55,000

55,000

55,000

Parks & Reserves - Other Structures

78

2023-24

CVC Wide

Parks & Reserves Other Structures (Tables, Bench's, Garden Beds, Art etc)

Grafton - See Park

Shelters Stage 1 per Masterplan

25,000

0

0

0

CVC Wide - Open Space Reserves

LED Lighting Conversions

50,000

0

0

0

Clarence Valley Council


Location (Asset)

Description of Works

Grafton - Corcoran Park

Stage 2 - Shelters, Roadways, Amenities, Access Pathways, Boat ramps

Parks & Reserves - Other Structures Yamba - William Ager Park

Shelters

Beach - Accessibility

2023-24

2024-25

2025-26

2026-27

2,200,000

200,000

0

0

2,275,000

285,000

55,000

55,000

0

30,000

0

0

440,000

0

0

0

Yamba - Turners Beach

All Ability Access - Design & Construct

20,000

0

0

0

Yamba - Pippie Beach

Construct - All Ability Access pathways & viewing platform - Design & Construct

420,000

0

0

0

30,000

90,000

30,000

30,000

BBQ Facilities CVC Wide

BBQ Replacements - RENEWALS (inc Crown Reserves)

0

0

30,000

30,000

Brushgrove -

BBQ Replacements - RENEWALS

0

30,000

0

0

Lawrence -

BBQ Replacements - RENEWALS

0

30,000

0

0

Wooli -

BBQ Replacements - RENEWALS

30,000

0

0

0

Minnie Water -

BBQ Replacements - RENEWALS

0

30,000

0

0

0

300,000

300,000

300,000

250,000

0

0

0

0

300,000

300,000

300,000

80,000

50,000

0

50,000

Playground Equipment Woombah

Playground Upgrade

CVC Wide

Playground Equipment

Septic Systems Wooli - South Terrace Amenities/ Marine Rescue

Onsite Sewer Management

50,000

0

0

0

Harwood - Hall

Onsite Sewer Management

0

50,000

0

0

Chatsworth Island - Hall

Onsite Sewer Management

30,000

0

0

0

Harwood Bridge Maclean Side

Onsite Sewer Management

0

0

0

50,000

Park Improvement Program

896,881

420,000

150,000

0

CVC Wide

Security Camera (CCTV) Integration Review Across All Facilities

20,000

0

0

0

Grafton - See Park

Design & Construct - Per Masterplan

0

100,000

150,000

0

Grafton - Corcoran Park

Regeneration & Dog Park

200,000

0

0

0

Iluka - Wingfield Park

Shelter

0

30,000

0

0

Wooli - Wooli Park (Adjacent to Skate Bowl)

Shelter

0

30,000

0

0

Capital Works Program 2023/24

79


Location (Asset)

Description of Works

2023-24

2024-25

2025-26

2026-27

Townsend Community Hub

23-24 Design & Construct Stage 1

200,000

200,000

0

0

Maclean - Cameron Park

Masterplan 22-23, 23-24 Design & Construct Stage 1

0

60,000

0

0

369,332

280,000

270,000

80,000

0

80,000

80,000

80,000

Parks & Reserves - Access Pavement & Carparks CVC Wide

Access Pavement & Carparks

Yamba - Turners Beach

Parking Improvements

50,000

0

0

0

Rushforth Park

Access Pavement & Carparks

309,332

0

0

0

Angourie - Blue Pools

Access Pavement & Carparks

10,000

200,000

0

0

South Grafton - JJ Lawrence Vere St

Access Pavement & Carparks

0

0

150,000

0

Grafton - Fisher Park

Access Pavement & Carparks

0

0

40,000

0

2023-24

2024-25

2025-26

2026-27

60,000

0

0

0

60,000

0

0

0

Community Precinct Program

27,465,077

50,000

50,000

0

Maclean - Civic Centre Hall

Construct Stage 1 - Clarence Valley Cultural & Community Precinct

13,586,000

0

0

0

Yamba - Community Centre

Treelands Drive Community Hub - Upgrade & New Library

13,829,077

0

0

0

Maclean - Visitors Centre

Cane Barge & Ashby Ferry Removal

50,000

50,000

50,000

0

2,248,113

0

0

0

Buildings & Facilities Location (Asset)

Description of Works

Corporate Signage CVC Wide

Corporate Signage

Community Halls Brooms Head Community Hall

Refresh & Modernise

30,000

0

0

0

Ewingar - Ewingar Hall

New RFS Station & Helipad

829,286

0

0

0

CVC Wide

Community Halls

527,667

0

0

0

CVC Wide

Resilience Facilities for the Community

692,911

0

0

0

CVC Wide

Public Facilities for the Community

138,249

0

0

0

475,000

0

0

0

475,000

0

0

0

Library Buildings Treelands Drive Yamba Library

80

Fit out

Clarence Valley Council


Location (Asset)

Description of Works

Works Depots

2023-24

2024-25

2025-26

2026-27

700,000

500,000

40,000

0

Koolkhan - Depot

Remove Fuel Tanks - EPA Breach

150,000

0

0

0

South Grafton Rushforth Road Depot

Depot - Hardstand Truck Parking

500,000

500,000

0

0

Grafton - Kirchner St Depot

Depots - Kirchner St Works & Civil Layoff Area

40,000

0

40,000

0

South Grafton Rushforth Road Depot

Install Yard Emergency Evacuation Alarm

10,000

0

0

0

20,000

350,000

0

0

0

350,000

0

0

20,000

0

0

0

200,000

0

0

0

200,000

0

0

0

10,000

210,000

480,000

0

Administration Buildings Maclean Administration Building

Roof Renewal

Maclean Administration Building

Floor Covering Renewals

Airports Glenugie - Grafton Airport

Compliance Matters - Line marking, Refuelling, Papi System

Public Amenities Iluka - Spencer St Amenities

Design & Construct upgrade - including all accessible

0

10,000

180,000

0

Angouire - Blue Pool Amenities

Design & Construct upgrade - including all accessible

10,000

180,000

0

0

Iluka - Main Street Amenities

Design & Construct upgrade - including all accessible

0

20,000

300,000

0

2,200

0

0

0

2,200

0

0

0

50,000

0

0

0

50,000

0

0

0

30,000

50,000

0

0

Animal Control South Grafton Pound

AC - Renewal

Saleyards South Grafton Saleyards

Design Roof

Cemetery Buildings Townsend Cemetery Shed

Roof

20,000

0

0

0

South Grafton Clarence Lawn Cemetery Shed

Design & Construct - upgrade

10,000

50,000

0

0

0

200,000

0

0

0

200,000

0

0

Emergency Facilities Maclean - SES

Clay tile roof upgrade

Capital Works Program 2023/24

81


Location (Asset)

Description of Works

2023-24

2024-25

2025-26

2026-27

Hazardous Material (Asbestos) Management

50,000

100,000

50,000

50,000

CVC Wide

50,000

100,000

50,000

50,000

2023-24

2024-25

2025-26

2026-27

Levee's, Gates & Pumps

2,074,078

210,000

210,000

210,000

Grafton - Alice Street

Levee Rehabilitation

1,069,333

0

0

0

CVC Wide

Floodplain Asset Renewals

194,745

200,000

200,000

200,000

North Street - Flood Pump Station

Flood Pump Station Renewal

200,000

0

0

0

Boormans Creek Culvert Floodgate

Floodgate Renewal

350,000

0

0

0

Palmers Drain/ March's - Culvert Floodgate

Floodgate Renewal

250,000

0

0

0

CVC Wide

Floodplain Minor Plant and Tools

10,000

10,000

10,000

10,000

90,000

0

0

0

90,000

0

0

0

2023-24

2024-25

2025-26

2026-27

24,000

24,000

24,000

24,000

Artwork Collection Acquisitions

24,000

24,000

24,000

24,000

Description of Works

2023-24

2024-25

2025-26

2026-27

30,000

30,000

30,000

30,000

30,000

30,000

30,000

30,000

Hazardous Material (Asbestos)management and/or removal (inc Specialised) - Buildings in Other Services

Floodplain Infrastructure & Estuary Management Location (Asset)

Description of Works

Flood Monitoring Iluka - Esk River Bridge

Flood Monitoring

Cultural Services Location (Asset)

Description of Works

Art Gallery Purchases Grafton - Regional Art Gallery

Quarries Location (Asset) Rehabilitation Program CVC Wide

82

Clarence Valley Council

Quarry Rehabilitation


Roads & Drainage Infrastructure Delivery Location (Asset)

Description of Works

Bus Stops

2023-24

2024-25

2025-26

2026-27

101,000

0

0

0

South Grafton

Bus Stop Accessibility Upgrades

24,500

0

0

0

Grafton -

Bus Stop Accessibility Upgrades

37,500

0

0

0

Yamba -

Bus Stop Accessibility Upgrades

39,000

0

0

0

5,395,380

5,610,000

2,610,000

2,610,000

Safety Program Angourie - Village Treatment

Safety Works - High Pedestrian Activity Area (HPAA)

140,000

0

0

0

Minnie Water Village Treatment

Safety Works - High Pedestrian Activity Area (HPAA)

100,000

0

0

0

Malabugillmah bus bay and intersection

Bus bay and intersection improvements

20,000

0

0

0

CVC Wide

Annual LG Road Safety Project

42,000

10,000

10,000

10,000

CVC Wide

Traffic & Minor Road Safety Works

100,000

100,000

100,000

100,000

Grafton - CBD

Wombat Crossing

250,000

0

0

0

Palmers Island Yamba Road/Yamba St & school Road

Construct - Realignment & Intersection Upgrade (previously planned roundabout)

0

3,000,000

0

0

Brooms Head - Village entry to Holiday Park

Traffic Calming & Pedestrian Safety

197,880

0

0

0

Yamba - Pacific Parade & Prince St

Design - William Agar Park Intersection Realignment

50,000

0

0

0

Kremnos - Orara Way - Boundary Road South (1.2km)

Safety improvements and upgrade on a regional road for freight movements

180,000

0

0

0

Grafton - Villiers Street & Pound Street Intersection

Adjustment to lane allocation (Pound Street) and pedestrian safety improvements

50,000

0

0

0

0

1,900,000

2,500,000

2,500,000

CVC Wide Iluka - Iluka Road

Design - Safety Works

290,000

0

0

0

Iluka - Iluka Road

Construct - Safety Works

1,215,500

0

0

0

South Grafton Bent St & Little Ryan Street Intersection

Intersection Treatment

0

600,000

0

0

Lawrence - Pringles Way

Realignment Works

750,000

0

0

0

Iluka - Spencer Street

Construct - Safety Improvements

705,000

0

0

0

Maclean - River St Yamba Road

Safety Improvements

1,055,000

0

0

0

Iluka Road Esk River Approaches

Design & Construct - Road betterment Raise road

250,000

0

0

0

Capital Works Program 2023/24

83


Location (Asset)

Description of Works

Intersections

2024-25

2025-26

2026-27

350,000

0

0

0

CVC Wide

Intersection upgrade, footpath connections

50,000

0

0

0

Maclean, Intersection of Alexander Street and Stanley Street

Intersection upgrade, footpath connections

20,000

0

0

0

Townsend Industrial Estate

Construct - Upgrade

280,000

0

0

0

150,000

100,000

100,000

100,000

Town Entry Works CVC Wide

Town entry statements

0

100,000

100,000

100,000

Glenreagh

Town entry statements

150,000

0

0

0

Town Precinct Improvements

100,000

0

0

0

Harwood Precinct

100,000

0

0

0

865,599

1,516,700

600,000

600,000

500,000

500,000

500,000

Design - to include waterfront park, carparking, footpaths and BMX pump track

Footpaths & Cycleways CVC Wide

PAMP

South Grafton - Bent Street between Tyson Street and Hyde Street

Footpath construction and Design only for separated on road cycleway

460,000

0

0

0

Grafton - Bacon Street - Turf St to Garden St

Construct- PAMP Footpaths with crossing point - Defer from 22-23

65,000

0

0

0

Maclean - Cameron Drive - Jubilee to CBD ( Woombah St. to Showground)

Construct - PAMP Footpath - Defer from 22-23

165,000

0

0

0

Yamba - Claude St

Design - Missing Link Coldstream St to Wooli St

5,000

0

0

0

Yamba - Claude St

Construct - Missing Link Coldstream St to Wooli St

85,000

0

0

0

Yamba - Gumnut Drive

Design - PAMP Footpath - Connecting The Halyard & Mainbrace to Shores Drive

37,000

0

0

0

Yamba - Gumnut Drive

Construct - PAMP Footpath - Connecting The Halyard & Mainbrace to Shores Drive

0

916,700

0

0

Yamba - Angourie Road and Golding Street

Design & Construct - Pedestrian & Cycleway Upgrades

40,000

100,000

100,000

100,000

Junction Hill Laneway

Pedestrian Laneway Behind Pub to Casino Road

8,599

0

0

0

668,450

350,000

0

0

10,000

100,000

0

0

School Zones Grafton - Grafton Public School Bacon St

84

2023-24

Stage 2 Design & Construct Crossing Upgrade

Clarence Valley Council


Location (Asset)

Description of Works

School Zones

2023-24

2024-25

2025-26

2026-27

668,450

350,000

0

0

0

250,000

0

0

Maclean - Maclean Public School

Wombat Crossing , Stage 2 Design & Construct

South Grafton & Grafton Schools

Pedestrian Crossing Lighting - Mary Street between south Grafton Infants and Public school; Mary Street in front of Grafton High School and Oliver Street between High School and Grafton Public School

80,000

0

0

0

Bent Street South Grafton

Get Active Footpath / Cycleway

578,450

0

0

0

17,973,282

8,967,733

3,807,761

4,125,568

Timber Bridge Replacement Program Jackadgery-Lilydale Road - Winters Bridge

Construct

815,000

0

0

0

Coaldale - Barretts Ck Bridge, Coaldale Road

Construct

1,000,000

0

0

0

Nymboida - Billys Ck bridge, Armidale Road

Construct

2,184,252

0

0

0

Glenreigh Brennans Road Bridge No2

Construct

392,000

0

0

0

Ulmarra Coldstream River Bridge, Franklins Road

Construct

350,000

0

0

0

Halfway Creek Dundoo Floodway Bridge, Kungala Road

Construct

2,002,030

0

0

0

Fortis Ck, Greberts Road - Fortis Creek Bridge

Construct

200,000

0

0

0

Koukandowie Armidale Road - No 2 Bridge

Construct

480,000

0

0

0

Coutts Crossing McIntosh Ck Bridge, Black Swan Drive

Construct

435,000

0

0

0

Blaxlands Creek Skinners Swamp Bridge , Armidale Rd

Construct

1,000,000

0

0

0

Stockyard Creek - White Swamp Bridge, Stockyard Creek Road

Construct

55,000

0

0

0

Wintervale Ck Bridge, Old Glen Innes Road

Construct

1,560,000

0

0

0

Capital Works Program 2023/24

85


Location (Asset)

Description of Works

2023-24

2024-25

2025-26

2026-27

Timber Bridge Replacement Program

17,973,282

8,967,733

3,807,761

4,125,568

Lanitza, Orara Way Bluff Bridge

Design & Construct

7,200,000

3,847,971

0

0

Coombadjha - No 3 Bridge, Coombadjha Road

Design & Construct

40,000

742,285

0

0

Coombadjha - No 4 Bridge, Coombadjha Road

Design & Construct

40,000

742,285

0

0

Coombadjha - No 5 Bridge, Coombadjha Road

Design & Construct

40,000

639,245

0

0

Coombadjha - No 6 Bridge, Coombadjha Road

Design & Construct

40,000

742,285

0

0

Coombadjha - Scrubby Creek Bridge, Coombadjha Road

Design & Construct

40,000

742,285

0

0

Tyringham - Harness Cask Road Bridge

Design & Construct

100,000

1,511,377

0

0

Lavadia - No 3 Bridge, Cassons Creek Road

Design & Construct

0

0

581,122

0

Tyndale - Shark Creek Bridge, Byrons Lane

Design & Construct

0

0

2,105,198

0

Deep Creek McCalls Creek Bridge, Deep Creek Road

Design & Construct

0

0

1,121,441

0

Nymboida Cloughers Creek Bridge, Coalmine Road

Design & Construct

0

0

0

2,354,414

Lionsville - Deep Creek Bridge, Collum Collum Road

Design & Construct

0

0

0

1,022,881

Hernani - Allans Water Bridge, Montrose Loop Road (West end)

Design & Construct

0

0

0

748,273

200,000

210,000

220,000

230,000

Gap Seal Program

86

Grays Rd

Gap Seal

200,000

0

0

0

Tucabia - Streets

Gap Seal

0

210,000

0

0

Sullivans Rd

Gap Seal

0

0

220,000

0

Lawrence - High Street,

Gap Seal

0

0

0

230,000

Clarence Valley Council


Location (Asset)

Description of Works

2023-24

2024-25

2025-26

2026-27

Shoulder Widening & Grading Program

650,000

675,000

700,000

725,000

Coaldale - Coaldale Road

Shoulder Widening & Grading

650,000

0

0

0

Old Glen Innes

Shoulder Widening & Grading

0

675,000

0

0

Kangaroo Creek Road

Shoulder Widening & Grading

0

0

700,000

0

Kangaroo Creek Road

Shoulder Widening & Grading

0

0

0

725,000

1,817,151

865,280

886,912

909,085

Gravel Resheeting Program CVC Wide

Gravel Sheeting

0

865,280

886,912

909,085

Pillay Valley - Eight Mile lane

Gravel Sheeting

132,980

0

0

0

Mororo - Mororo Road - Pacific Mwy

Gravel Sheeting

213,824

0

0

0

Broomshead Sandon River Road

Gravel Sheeting

593,072

0

0

0

Broomshead Grass Tree Road

Gravel Sheeting

194,144

0

0

0

Micalo Island Micalo Road

Gravel Sheeting

60,610

0

0

0

Lawrence - Mantons Road

Gravel Sheeting

229,177

0

0

0

Harwood Serpentine Channel South Bank Road

Gravel Sheeting

255,871

0

0

0

Lanitza - East Lanitza Road

Gravel Sheeting

137,473

0

0

0

200,000

4,050,000

4,150,000

2,800,000

200,000

0

0

0

0

2,750,000

2,800,000

1,400,000

0

1,300,000

1,350,000

1,400,000

Stormwater Drainage Program

725,180

750,000

750,000

750,000

Old Glen Innes Road

Pipe Replacement

362,590

0

0

0

Coombadja

Pipe Replacement

362,590

0

0

0

CVC Wide

0

750,000

750,000

750,000

Roads to Recovery Program

0

2,052,000

2,052,000

2,052,000

CVC Wide

0

2,052,000

2,052,000

2,052,000

0

0

0

0

Reseal Prep & Reseal Coongbar Road

Asbestos seal contaminated Roads

CVC Wide

Prep & Reseal

CVC Wide - Urban Reseal & Prep

Keybargin Clarence Way Seal

Prepare & Seal Remaining Section

Capital Works Program 2023/24

87


Location (Asset)

Description of Works

Regional Roads Program CVC Wide Regional Rds

2024-25

2025-26

2026-27

7,340,000

13,395,000

4,630,000

4,770,000

0

4,495,000

4,630,000

4,770,000

Harwood - Yamba Road/James Creek Intersection

Under Harwood Bridge (AC mill and fill) and intersection upgrade

0

1,000,000

0

0

Glenugie - Eight Mile Lane (2.8km Section)

Widening and pavement rehabilitation using foam bitumen. Local contractors to be engaged to deliver the works. Approx 2800 metres length.

3,840,000

0

0

0

Pillar Valley - Wooli Road - Wreckers to Skinner Road (1.1km)

Safety improvements and upgrade on a regional road for freight movements

1,500,000

0

0

0

Yamba Road

Design & Construct - Road betterment

2,000,000

7,900,000

0

0

68,239,481

24,986,234

10,000,000

10,000,000

0

0

10,000,000

10,000,000

Natural Disaster Repair Works Program

88

2023-24

CVC Wide

Possible Events

Admiralty Ct AGRN1012 EPAR

Reseal Prep & Reseals

408,864

19,588

0

0

Alexander St AGRN1012 EPAR

Reseal Prep & Reseals

150,636

15,420

0

0

Amos rd.

Reseal Prep & Reseals

102,742

52,452

0

0

Angourie RdAGRN1012 EPAR

Reseal Prep & Reseals

593,340

249,721

0

0

Argyle St AGRN1012 EPAR

Reseal Prep & Reseals

229,983

15,663

0

0

Avenue Road AGRN1012 EPAR works

Reseal Prep & Reseals

787,259

188,713

0

0

Bakers Lane AGRN1012 EPAR

Reseal Prep & Reseals

78,911

7,348

0

0

Banksia Place AGRN1012 EPAR

Reseal Prep & Reseals

119,782

3,568

0

0

Campbell Street

Reseal Prep & Reseals

28,452

5,182

0

0

Carrs Peninsula Road AGRN1012 EPAR

Reseal Prep & Reseals

304,019

76,078

0

0

Chatsworth rd.

Reseal Prep & Reseals

57,492

146,314

0

0

Clarence St Maclean AGRN1012 EPAR

Reseal Prep & Reseals

69,381

39,373

0

0

Coldstream Road AGRN1012 EPAR

Reseal Prep & Reseals

581,140

193,843

0

0

Colletts Island Road AGRN1012 EPAR

Reseal Prep & Reseals

795,057

32,662

0

0

Clarence Valley Council


Location (Asset)

Description of Works

2023-24

2024-25

2025-26

2026-27

Natural Disaster Repair Works Program

68,239,481

24,986,234

10,000,000

10,000,000

Deep Creek Road AGRN1012 EPAR

Reseal Prep & Reseals

1,702,982

139,541

0

0

Ensbey Lane

Reseal Prep & Reseals

142,055

36,357

0

0

Ewingar

Reseal Prep & Reseals

2,485,776

276,258

0

0

Figtree rd Ulmarra

Reseal Prep & Reseals

266,258

37,455

0

0

Finlaysons rd Ulmarra

Reseal Prep & Reseals

963,899

127,695

0

0

Fischers Lane Chatsworth

Reseal Prep & Reseals

211,374

26,967

0

0

Fullers rd

Reseal Prep & Reseals

919,899

82,782

0

0

Geregarrow RoadAGRN1012 EPAR

Reseal Prep & Reseals

497,367

132,747

0

0

Gilletts Ridge Road AGRN1012 EPAR

Reseal Prep & Reseals

1,738,194

142,287

0

0

Great Marlow Road AGRN1012 EPAR

Reseal Prep & Reseals

1,622,208

141,577

0

0

Greens lane

Reseal Prep & Reseals

203,736

19,658

0

0

Gumnut Rd AGRN1012 EPAR

Reseal Prep & Reseals

299,862

41,974

0

0

Lakes Boulevarde AGRN1012 EPAR

Reseal Prep & Reseals

750,189

104,821

0

0

Lionsville Road AGRN1012 EPAR

Reseal Prep & Reseals

1,398,969

1,232,295

0

0

Lower Coldstream Road AGRN1012 EPAR

Reseal Prep & Reseals

1,661,133

797,297

0

0

Melaleuca Dr AGRN1012 EPAR

Reseal Prep & Reseals

334,411

69,252

0

0

Middle Rd EPAR AGRN1012

Reseal Prep & Reseals

344,367

85,835

0

0

Morpeth St. Harwood

Reseal Prep & Reseals

81,514

27,890

0

0

North Bank Rd AGRN1012 EPAR

Reseal Prep & Reseals

323,763

98,909

0

0

O'Keefe's Lane

Reseal Prep & Reseals

104,322

88,612

0

0

Old Coldstream Road AGRN1012 EPAR

Reseal Prep & Reseals

291,244

436,298

0

0

Old Glenn Innes Road AGRN1012 EPAR

Reseal Prep & Reseals

2,999,666

0

0

0

Old post office lane

Reseal Prep & Reseals

584,853

66,454

0

0

Capital Works Program 2023/24

89


Location (Asset)

Description of Works

Natural Disaster Repair Works Program

90

2023-24

2024-25

2025-26

2026-27

68,239,481

24,986,234

10,000,000

10,000,000

Pacific Street

Reseal Prep & Reseals

136,806

27,988

0

0

Pegus Drive

Reseal Prep & Reseals

248

12,364

0

0

Possom Hole Ulmarra

Reseal Prep & Reseals

192,993

53,043

0

0

Rannoch Ave AGRN1012 EPAR

Reseal Prep & Reseals

77,792

17,603

0

0

River rd East Harwood

Reseal Prep & Reseals

257,037

34,740

0

0

Rogans bridge road

Reseal Prep & Reseals

715,619

317,491

0

0

School Lane AGRN1012 EPAR

Reseal Prep & Reseals

274,988

88,001

0

0

School rd Palmers Channel

Reseal Prep & Reseals

384,088

94,001

0

0

Seelands Hall Road AGRN1012 EPAR

Reseal Prep & Reseals

638,581

157,849

0

0

Sherrys Lane

Reseal Prep & Reseals

965,864

71,957

0

0

Short St AGRN1012 EPAR

Reseal Prep & Reseals

241,438

8,732

0

0

South Arm Road AGRN1012 EPAR

Reseal Prep & Reseals

850,800

419,742

0

0

South Arm School Rd AGRN1012 EPAR

Reseal Prep & Reseals

517,044

272,024

0

0

Telopea Ave AGRN1012 EPAR

Reseal Prep & Reseals

305,415

16,064

0

0

The Halyard AGRN1012 EPAR

Reseal Prep & Reseals

205,175

37,243

0

0

Union St AGRN1012 EPAR

Reseal Prep & Reseals

106,185

38,621

0

0

Watts Lane AGRN1012 EPAR

Reseal Prep & Reseals

1,080,555

141,728

0

0

Westringia Place AGRN1012 EPAR

Reseal Prep & Reseals

156,774

18,270

0

0

Wharf St AGRN1012 EPAR

Reseal Prep & Reseals

405,474

53,473

0

0

Willow Way AGRN1012 EPAR

Reseal Prep & Reseals

399,816

32,273

0

0

Woodford Dale Road AGRN1012 EPAR

Reseal Prep & Reseals

1,137,535

204,249

0

0

Young street

Reseal Prep & Reseals

78,875

12,951

0

0

Amos Road

Reseal only IRW Works Claim

26,117

0

0

0

Clarence Valley Council


Location (Asset)

Description of Works

Natural Disaster Repair Works Program

2023-24

2024-25

2025-26

2026-27

68,239,481

24,986,234

10,000,000

10,000,000

Angourie Street

Reseal only IRW Works Claim

6,498

0

0

0

Broomshead Road

Reseal only IRW Works Claim

672,458

0

0

0

Duke Street

Reseal only IRW Works Claim

41,637

0

0

0

East Bank Road

Reseal only IRW Works Claim

14,551

0

0

0

Elizabeth Street

Reseal only IRW Works Claim

17,956

0

0

0

Gillies Lane

Reseal only IRW Works Claim

27,133

0

0

0

Hickey Street

Reseal only IRW Works Claim

13,416

0

0

0

Jackybulbin Tullymorgan Road

Reseal only IRW Works Claim

85,845

0

0

0

Johnson's Lane

Reseal only IRW Works Claim

49,581

0

0

0

Loxton Street

Reseal only IRW Works Claim

16,712

0

0

0

Spenser Street

Reseal only IRW Works Claim Reconstruction works to be undertaken

41,202

0

0

0

Winegrove Road

Reseal only IRW Works Claim

96,753

0

0

0

Lawrence Road

Reseal only IRW Works Claim

1,146,709

0

0

0

Clarence way

Regional Roads Pavement Repair Works

6,780,725

0

0

0

Eight Mile Lane

Regional Roads Pavement Repair Works

1,393,590

0

0

0

Iluka Road

Regional Roads Pavement Repair Works

1,139,226

0

0

0

Lawrence Road

Regional Roads Pavement Repair Works

1,264,006

0

0

0

Wooli Road

Regional Roads Pavement Repair Works

2,828,225

0

0

0

Yamba Road

Regional Roads Pavement Repair Works

2,069,940

0

0

0

McLachlan Park

Road Repairs

600,000

0

0

0

Great Marlow Road

Flood EPARW - Pavement Improvement

500,000

0

0

0

Armidale Road 898

Flood EPARW - Drainage & Embankment Work

3,600,000

0

0

0

Armidale Road 871

Flood EPARW - Headwall Extension

1,000,000

0

0

0

Sandy Crossing Wooli

Flood EPARW - Road Culvert Augmentation

750,000

0

0

0

CVC Wide

Flood EPARW - Causeway Package

0

2,000,000

0

0

Tallawudja Creek Box Culvert

Flood EPARW - Culvert Package

528,000

0

0

0

CVC Wide

Flood EPARW - Culvert Package

0

1,000,000

0

0

Marine Parade

Flood EPARW - Landslip Repairs

1,000,000

0

0

0

George Road

Flood EPARW - Causeway Repairs

750,000

0

0

Capital Works Program 2023/24

91


Location (Asset)

Description of Works

Natural Disaster Repair Works Program

2023-24

2024-25

2025-26

2026-27

68,239,481

24,986,234

10,000,000

10,000,000

Six Mile Lane

Flood EPARW - Bridge Approaches

600,000

0

0

0

Patemans Road

Flood EPARW - Unsealed Road Repairs

600,000

0

0

0

Old Glen Innes Rd Approx 3 Locations

Flood EPARW - Landslip Package Structural Retaining

0

5,000,000

0

0

Old Glen Innes Rd - Approx 65 Locations

Flood EPARW - Landslip Package - Rock/ Earth fill

0

5,000,000

0

0

Clarence Way 2 Locations

Flood EPARW - Landslip Package - Basic Treatment

1,000,000

0

0

0

Kangaroo Creek Road 1 Location

Flood EPARW - Landslip Package - Basic Treatment

500,000

0

0

0

Tallawajah River Works

Flood EPARW - Landslip Package - River Training Works

4,000,000

0

0

0

Sandy Swamp Road

Flood EPARW - Causeway Augmentation

0

1,500,000

0

0

Frames Bridge

Flood EPARW - Replacement

1,115,000

0

0

0

Four Mile Lane Wilcox Bridge

Flood EPARW - Replacement

1,350,000

2,346,938

0

0

Description of Works

2023-24

2024-25

2025-26

2026-27

4,421,197

7,500,000

0

0

Waste Location (Asset)

Landfill & Transfer Stations

92

Grafton Regional Landfill

Solar Farm

200,000

5,000,000

0

0

Grafton Waste Transfer Station

Redevelopment Waste Transfer Station

48,000

900,000

0

0

Maclean Waste Transfer Station

Redevelopment Waste Transfer Station

72,000

1,500,000

0

0

Grafton Regional Landfill

Landfill Heavy Plant

1,301,197

0

0

0

Grafton Regional Landfill

Cell 5a - Design & Construct

0

100,000

100,000

0

Grafton Regional Landfill

Composting Tunnel linked to new organics Processing Contract'

2,800,000

0

0

0

Clarence Valley Council


Cemeteries Location (Asset)

Description of Works

2023-24

2024-25

2025-26

2026-27

Cemetery Renewals & Improvements

40,000

20,000

115,000

35,000

South Grafton Clarence Lawn Cemetery

Replacement of defective footpaths

20,000

20,000

0

20,000

Maclean Lawn Cemetery -

TBD

0

0

15,000

15,000

Maclean Lawn Cemetery -

Replace defective memorial Wall

20,000

0

0

0

South Grafton Clarence Lawn Cemetery

New Road to New Interment Section

0

0

100,000

0

Description of Works

2023-24

2024-25

2025-26

2026-27

PROGRAM HEADER

250,000

250,000

135,000

80,000

CVC Wide

Coastal Management Program - Stage 2

250,000

250,000

25,000

0

CVC Wide

Coastal Management Program - Stage 3

0

0

110,000

0

CVC Wide

Coastal Management Program - Stage 4

0

0

0

80,000

2023-24

2024-25

2025-26

2026-27

232,607

162,374

84,613

849,210

Environmental Services Location (Asset)

Watercycle Location (Asset)

Description of Works

Fleet CVC Wide

Small Plant Replacement Program

2,619

15,566

4,568

8,565

CVC Wide

Light Fleet Replacement Program

103,740

110,437

80,045

182,922

CVC Wide

Heavy Plant Replacement Program

126,248

36,371

0

657,723

40,000

40,000

40,000

40,000

40,000

40,000

40,000

40,000

4,710,873

2,108,782

2,295,648

2,190,000

0

0

0

1,100,000

108,711

0

0

0

Pump Stations CVC Wide

Water Pump Station - Renewals

Mains CVC Wide

Water Mains - Renewals

Waterview Heights - 25221 - Gwydir Hwy (Btwn Friars and MCln)

1345m 100mm PVC

Capital Works Program 2023/24

93


Location (Asset)

Description of Works

Mains

94

2023-24

2024-25

2025-26

2026-27

4,710,873

2,108,782

2,295,648

2,190,000

Junction Hill 24014 - Taurus Avenue

86.6m 100mm AC

31,038

0

0

0

Junction Hill -24051- Trenayr Close

116m 100mm AC

25,868

0

0

0

Townsend - 23923 Jubilee St

1079m 100mm AC

534,017

0

0

0

Upper Copmanhurst - 24565 - Clarence Way

932m 100m uPVC

120,849

0

0

0

Junction Hill 24044 - Trenayr Close

220.8 100m AC

170,389

0

0

0

Waterview Heights - 25221 - Gwydir Hwy (Btwn MCln and Ryan)

1462m 100mm PVC

0

149,842

0

0

Eatonsville - 25141 - Orara Street

148m 100mm uPVC

0

42,780

0

0

Eatonsville - 25819 - South Street

48m 100mm uPVC

0

10,978

0

0

Ashby - 23786 - Old Ferry Road

2107m 100mm uPVC

0

597,072

0

0

South Grafton 22589 - Mcfarlane St 1 (Btwn Moorhead and Johnson)

114.1m 100mm AC

0

77,867

0

0

South Grafton 25641 - Mcfarlane St (Btwn Moorhead and Roberts)

255.2m 100mm AC

0

140,242

0

0

Woombah - 23743 Adam Street

541.7m 100mm AC

0

0

135,650

0

Palmers Island 23661 - South Bank Road (Amos to Camerons)

1363.7m 100mm AC

0

0

151,277

0

South Grafton 22847 - Tyson St

440.8m 250mm uPVC

0

0

507,182

0

Palmers Island Multi - South Bank Road (End)

2393.7m 100mm AC

0

0

311,539

0

Brooms Head

Main Renewal

540,000

540,000

540,000

540,000

Rushforth Road

Main Renewal

0

0

100,000

0

Lower River Swallow Road

Trunk Main Renewal

2,630,000

0

0

0

Clarence Valley Council


Location (Asset)

Description of Works

Mains

2023-24

2024-25

2025-26

2026-27

4,710,873

2,108,782

2,295,648

2,190,000

CVC Wide

Water Mains - Resilience Sinking fund

500,000

500,000

500,000

500,000

CVC Wide

Valve and Hydrant Renewal & upgrades

50,000

50,000

50,000

50,000

16,055,000

2,000,000

0

0

Reservoirs Maclean - 4.5ML

Roof Replacement

300,000

0

0

0

Wooli - Water Intake

Water Intake Upgrade

325,000

0

0

0

Lawrence Reservoir

Booster Pumps & Re-chlorination

330,000

0

0

0

Junction Hill Reservoir

Renewal & Recommissioning

0

2,000,000

0

0

Rushforth Road 32ML

"Reservoirs deferred from 21-22"

15,100,000

0

0

0

50,000

50,000

50,000

50,000

50,000

50,000

50,000

50,000

1,080,000

2,500,000

33,500,000

60,950,000

Monitoring CVC Wide

Scada Upgrade

Treatment CVC Wide

Water Sampling Taps

0

0

0

0

CVC Wide

Carbon Dioxide Dosing Renewal of Mass Flow Meter

0

0

0

0

Glenreagh

Filtration plant

980,000

0

0

0

Coutts Crossing

Filtration plant

100,000

0

0

0

Nymboida Infrastructure

2,634,000

1,000,000

2,500,000

2,500,000

Nymboida Armidale Road

Nymboida Headworks Infrastructure

2,384,000

1,000,000

2,500,000

2,500,000

Nymboida Armidale Road

Nymboida Infrastructure - Reseal Access Roads & Electrical Mechanical Renewals

200,000

0

0

0

Nymboida Armidale Road

Nymboida Infrastructure -Electrical Mechanical Renewals

50,000

0

0

0

0

0

6,500,000

5,200,000

0

0

6,500,000

5,200,000

1,510,000

4,660,000

160,000

160,000

160,000

160,000

160,000

160,000

1,350,000

4,500,000

0

0

160,000

160,000

160,000

160,000

160,000

160,000

160,000

160,000

52,000

52,000

52,000

52,000

Resilience Woodford Island

Slip replacement - all assets

Water Meters CVC Wide

Water Meter Replacements

CVC Wide

Automated Water Meter Reading System

Water Connections CVC Wide

New Installations

Plant & Equipment CVC Wide

Minor Plant & tools

20,000

20,000

20,000

20,000

CVC Wide

Instrument purchases

32,000

32,000

32,000

32,000

Capital Works Program 2023/24

95


Sewer Services Location (Asset)

Description of Works

Fleet

2024-25

2025-26

2026-27

177,172

81,570

1,164,757

618,506

1,298

8,895

225,558

1,794

CVC Wide

Small Plant Replacement Program

CVC Wide

Light Plant Replacements

107,757

72,675

60,640

79,942

CVC Wide

Heavy Plant Replacements

68,117

-

878,559

536,770

1,500,000

1,500,000

1,500,000

1,500,000

1,500,000

1,500,000

1,500,000

1,500,000

8,765,000

75,000

19,050,000

19,050,000

Mains CVC Wide

Sewer Rehabilitation & Relining

Treatment CVC Wide

STP Lightening Protection Program

175,000

0

0

0

Coutts Crossing STP

Coutts Crossing STP - EPA Licence requirements

2,360,000

0

0

0

Grafton - North Grafton STP

North Grafton STP - EPA Licence requirements

0

75,000

19,050,000

19,050,000

Grafton - North Grafton STP

Settlement Pond - Rehabilitation

3,600,000

0

0

0

Clarenza - STP

Clarenza STP Sludge Lagoon Renewal Deferred from 21-22

2,630,000

0

0

0

1,450,000

325,000

325,000

325,000

Pump Stations Yamba - Pump Station

Upgrade Pump Station Y1

250,000

0

0

0

South Grafton Crossroads 1S

WHS Pump Station Upgrades 1S

100,000

0

0

0

Grafton - 7AN

Pump station & Rising Main Replacement

775,000

0

0

0

CVC Wide

WHS Pump Station LID Upgrades

25,000

25,000

25,000

25,000

CVC Wide

Sewer Pump Station Renewals

300,000

300,000

300,000

300,000

100,000

100,000

100,000

100,000

100,000

100,000

100,000

100,000

0

0

0

0

70,000

70,000

70,000

70,000

Monitoring CVC Wide

Scada Upgrade

CVC Wide

Telemetry Upgrade Clear Scada

Pressure Systems CVC Wide

Sewer Pressure Pump Station Renewals

50,000

50,000

50,000

50,000

Yamba - Y2 Pilot Hill Sewer Pressure

Sewer Pressure Pump Station Renewals

0

0

0

0

CVC Wide

Pressure Sewer Installation - Council Funded

20,000

20,000

20,000

20,000

22,500

22,500

22,500

22,500

22,500

22,500

22,500

22,500

Plant & Equipment CVC Wide

96

2023-24

Minor Plant and tools

Clarence Valley Council


Location (Asset)

Description of Works

2023-24

2024-25

2025-26

2026-27

10,000

10,000

10,000

10,000

Sewer Easement Acquisition

10,000

10,000

10,000

10,000

Description of Works

2023-24

2024-25

2025-26

2026-27

1,180,000

1,431,500

33,000

0

Easements CVC Wide

Holiday Parks Location (Asset) Renewals Brooms Head - Brooms Head Holiday Park

Amenities - A Block & Permanents Design & Construct

40,000

600,000

0

0

Brooms Head - Brooms Head Holiday Park

Amenities - B Block Roof Replacements

100,000

0

0

0

Brooms Head - Brooms Head Holiday Park

Amenities - C,D& E Block Fixtures Replacements, Partitions & repainting

80,000

0

0

0

Wooli - Wooli River Holiday Park

Amenities - Fixtures Replacements, Partitions & repainting

50,000

0

0

0

Iluka - Iluka Holiday Park

Amenities - Fixtures Replacements, Partitions & repainting

50,000

0

0

0

Minnie Water - Minnie Water Holiday Park

Amenities - Fixtures Replacements, Partitions & repainting

80,000

0

0

0

Yamba - Calypso Holiday Park

Amenities - Fixtures Replacements, Partitions & repainting

80,000

0

0

0

Iluka - Iluka Holiday Park

Cabin Substructure Renewals

200,000

0

0

0

Brooms Head - Brooms Head Holiday Park

Cabin - Furniture & Fixtures Replacements, Appliances, blinds, Internal Linings

100,000

0

0

0

Minnie Water - Minnie Water Holiday Park

Cabin - Furniture & Fixtures Replacements, Appliances, blinds, Internal Linings

40,000

0

0

0

Yamba - Calypso Holiday Park

Unsealed Roads

40,000

0

0

0

Minnie Water - Minnie Water Holiday Park

Unsealed Roads

40,000

0

0

0

Brooms Head - Brooms Head Holiday Park

Unsealed Roads

40,000

0

0

0

Yamba - Calypso Holiday Park

Sealed Roads

50,000

0

0

0

Minnie Water - Minnie Water Holiday Park

Sealed Roads

50,000

0

0

0

Capital Works Program 2023/24

97


Location (Asset)

Description of Works

Renewals

2024-25

2025-26

2026-27

1,180,000

1,431,500

33,000

0

Brooms Head - Brooms Head Holiday Park

Sealed Roads

50,000

0

0

0

Brooms Head - Brooms Head Holiday Park

Sullage Upgrade - Detailed Design & Construct

40,000

0

0

0

Yamba - Calypso Holiday Park

Park Offices - Furniture & Fittings

5,000

5,200

5,400

0

Brooms Head - Brooms Head Holiday Park

Park Offices - Furniture & Fittings

5,000

5,200

5,400

0

Minnie Water - Minnie Water Holiday Park

Park Offices - Furniture & Fittings

5,000

5,200

5,400

0

Iluka - Iluka Holiday Park

Park Offices - Furniture & Fittings

5,000

5,200

5,400

0

Wooli - Wooli River Holiday Park

Park Offices - Furniture & Fittings

5,000

5,200

5,400

0

Yamba - Calypso Holiday Park

Park Offices - Office Equipment

5,000

1,100

1,200

0

Brooms Head - Brooms Head Holiday Park

Park Offices - Office Equipment

5,000

1,100

1,200

0

Minnie Water - Minnie Water Holiday Park

Park Offices - Office Equipment

5,000

1,100

1,200

0

Iluka - Iluka Holiday Park

Park Offices - Office Equipment

5,000

1,100

1,200

0

Wooli - Wooli River Holiday Park

Park Offices - Office Equipment

5,000

1,100

1,200

0

Minnie Water - Minnie Water Holiday Park

OSM Design & Construct

0

800,000

0

0

400,000

11,340,000

14,150,000

0

Improvements

98

2023-24

Yamba - Calypso Holiday Park

Site Improvements (Syn Grass/Drainage)

50,000

0

0

0

Brooms Head - Brooms Head Holiday Park

Site Improvements (Syn Grass/Drainage)

50,000

0

0

0

Iluka - Iluka Holiday Park

Site Improvements (Syn Grass/Drainage)

50,000

0

0

0

Minnie Water - Minnie Water Holiday Park

Site Improvements (Syn Grass/Drainage)

50,000

0

0

0

Wooli - Wooli River Holiday Park

Site Improvements (Syn Grass/Drainage)

0

40,000

0

0

Yamba - Calypso Holiday Park

EV Electric Charging Centres

40,000

0

0

0

Clarence Valley Council


Location (Asset)

Description of Works

Improvements

2023-24

2024-25

2025-26

2026-27

400,000

11,340,000

14,150,000

0

Brooms Head - Brooms Head Holiday Park

EV Electric Charging Centres

40,000

0

0

0

Iluka - Iluka Holiday Park

EV Electric Charging Centres

40,000

0

0

0

Minnie Water - Minnie Water Holiday Park

EV Electric Charging Centres

40,000

0

0

0

Wooli - Wooli River Holiday Park

EV Electric Charging Centres

40,000

0

0

0

Brooms Head - Brooms Head Holiday Park

New Cabins x 6

0

1,500,000

0

0

Iluka - Iluka Holiday Park

New Cabins x 2 each year

0

500,000

500,000

0

Iluka - Iluka Holiday Park

Road Upgrades Camping Area

0

200,000

0

Minnie Water - Minnie Water Holiday Park

Redevelopment engagement & Staged Construct

0

200,000

500,000

0

Brooms Head - Brooms Head Holiday Park

Redevelopment engagement & Staged Construct

0

500,000

4,000,000

0

Wooli - Wooli River Holiday Park

Redevelopment engagement & Staged Construct

0

200,000

450,000

0

Iluka - Iluka Holiday Park

Redevelopment engagement & Staged Construct

0

400,000

500,000

0

Yamba - Calypso Holiday Park

Redevelopment engagement & Staged Construct

0

8,000,000

8,000,000

0

2023-24

2024-25

2025-26

2026-27

11,382

20,506

35,736

20,101

11,382

20,506

35,736

20,101

341,507

345,831

350,708

340,057

4,417

2,000

0

0

337,090

343,831

350,708

340,057

2023-24

2024-25

2025-26

2026-27

Libraries Services Location (Asset)

Description of Works

Public Library Grafton, Maclean, Yamba, Iluka

Furniture & Equipment

Regional Library Grafton - Regional Library

Furniture & Equipment

Grafton - Regional Library

Library Book Stock Replacement Program

TOTALS

210,203,839 123,044,114 122,664,635 132,224,027

Capital Works Program 2023/24

99


100

Clarence Valley Council


Clarence Valley Council

Revenue Policy 2023/2024

Revenue Policy 2023/2024

101


1. Proposed Borrowings General Fund

Water Fund

The general fund proposes to borrow up to $10

There are no proposed loan borrowings between

million during 2023/2024 over a term of 15 years

2023/2024 and 2032/2033. All loans will have been repaid in full by 30 June 2033.

as part of the funding strategy for investing in the upgrade of the Regional Aquatic Centre and the Yamba Community Centre. Works on these projects

102

Sewer Fund There are no proposed loan borrowings between

have commenced and will move to the construction

2023/2024 and 2032/2033. All loans will have been

stage during 2023/2024 and 2024/2025.

repaid in full by 30 June 2033.

Clarence Valley Council


Loan Information included in the Long Term Financial Plan Loan Repayments (Principal & Interest) by Fund from 2023/2024 to 2032/2033: Fund/Year

2023/2024

2024/2025

2025/2026

2026/2027

2027/2028

General

$2,562,864

$3,440,141

$3,440,141

$3,440,142

$3,440,142

Water

$2,655,018

$2,655,018

$2,655,018

$2,655,018

$2,655,018

Sewer

$8,225,058

$8,184,600

$8,144,850

$8,105,100

$8,065,622

Total

$13,442,940

$14,279,759

$14,240,009

$14,200,260

$14,160,782

Fund/Year

2028/2029

2029/2030

2030/2031

2031/2032

2032/2033

General

$1,012,628

$1,012,628

$1,012,628

$1,012,628

$1,012,629

Water

$2,430,065

$2,430,065

$2,430,065

$2,430,065

$2,319,567

Sewer

$5,912,226

$5,872,476

$4,347,619

$4,347,619

$4,883,794

Total

$9,354,919

$9,315,169

$7,790,312

$7,790,312

$8,215,990

Principal Outstanding (Loan Liability) by Fund from 2023/2024 to 2032/2033: Fund/Year

2023/2024

2024/2025

2025/2026

2026/2027

2027/2028

General

$8,511,639

$16,156,036

$13,649,520

$10,980,871

$8,139,809

Water

$16,569,890

$15,113,657

$13,546,937

$11,860,875

$10,047,025

Sewer

$45,377,477

$39,910,831

$34,158,617

$28,098,735

$21,708,954

Total

$70,458,675

$71,180,223

$61,354,772

$50,940,481

$39,895,788

Fund/Year

2028/2029

2029/2030

2030/2031

2031/2032

2032/2033

General

$7,600,910

$7,028,773

$6,421,347

$5,776,457

$5,091,791

Water

$8,325,673

$6,470,997

$4,472,670

$2,319,567

$0

Sewer

$17,129,291

$12,311,098

$8,735,901

$4,883,794

$0

Total

$33,055,874

$25,810,868

$19,629,918

$12,979,818

$5,091,791

Revenue Policy 2023/2024

103


2. Rates Income General Fund

Categorisation

Council levies property rates in accordance

The Local Government Act requires that all rateable

with the provisions of the Local Government

properties be categorised as one of four categories

Act. Each property that is rateable has a rate

of ordinary rates based on the dominant use of the

levied which is either a minimum rate or a base

property.

charge plus ad valorem rate. The Act allows a number of variations on how rates can be levied and to understand the difference it is handy to understand the following terms:

Unimproved Capital Value (UCV)

 Business  Farmland  Mining Properties that are subject to a Mixed Development

This is the value of a parcel of land, as

Apportionment Factor (MDAF) as supplied by the

determined by the NSW Valuer General, not

Valuer General are rated part Residential and part

taking into account any improvements such as

Business on the percentage basis of that MDAF and

houses, landscaping, pools, etc.

are not categorised according to the dominant use

Ad Valorem (On the Value) Rate This is the rate in the $ based on a property’s UCV. For instance, a rate in the $ rate of 0.5184 means a property is rated 51.84 cents for every $100 UCV.

Minimum Rate Council can also charge a minimum rate, which means that if the rate applicable under the ad valorem rate is less than the minimum, then the minimum will be charged.

Base Rate In addition to an ad valorem rate, Council can also charge a base rate which when added to the ad valorem rate gives the applicable rate. The levying of a base rate tends to nullify the effects of wide variations in the movement of the property values. It assumes that all properties benefit from the availability of services and facilities provided by the Council.

104

 Residential

Clarence Valley Council

of the property.

Valuations Rates are calculated on the land value of a property, multiplied by a ‘rate in the dollar’. The land value is determined by the NSW Valuer General who issues a Notice of Valuation at least every three years. The Valuation of Land Act 1916 requires that Council assess rates using the most recent values provided. For the 2023/2024 rating year, the valuation base date will be 1 July 2022.


2023/2024 Rate Peg

2023/2024 Rate Levy

The rate peg is the maximum percentage Councils

Business B – Maclean/Townsend

can increase their income from ordinary rates. Revenue from rates represents one of the main sources of income for Councils in NSW. The rate peg protects ratepayers from excessive rate increases, while ensuring Councils receive a fair amount of income from rates which enables them to provide quality services for their communities.

Maclean CBD has been defined as the business properties located within the following area – from the river up Taloumbi Street to River Street east along River Street to Short Street, down Short Street to Stanley Street, south along Stanley Street to Alexander Street then into McLachlan Street to Howard Street, Howard Street to the

The Independent Pricing and Regulatory Tribunal

river. A map showing this CBD boundary is

(IPART) have determined that Council’s general

attached, refer Appendix A.

ordinary rate income may be increased by 5.4% in accordance with Section 506 of the

Business C – Iluka

Local Government Act 1993 for the rating year

Iluka industrial area has been defined as all

commencing 1 July 2023.

businesses located within the industrial estate off Henry Searle Drive. A map showing this Iluka industrial area boundary is attached, refer Appendix A.

Business D – Yamba Yamba Town CBD has been defined to include the business properties within the following area – from Ford Park up Claude Street across to the Yamba Golf Club to Queen Street, Queen Street up to Clarence Street, Clarence Street to Ritz Street and then down Ritz Street to the coast line. A map showing this CBD boundary is attached, refer Appendix A. The Treelands Drive business area has also been identified as a CBD area for Yamba and has been defined as follows. The business properties on the western side of Treelands Drive and the business properties on the eastern side of Treelands Drive between Yamba Road and Roberts Close. A map showing this CBD boundary is attached, refer Appendix A.

Revenue Policy 2023/2024

105


2023/2024 Rate Levy

Pensioners

Business E – Grafton and South Grafton

Ratepayers that hold a current Pensioner Concession Card may be eligible to receive a rebate on rates for a property that is their sole

Grafton CBD (north side of the river) defined

or principal place of residence. The rebate

as business properties within the following

varies from one property to another and will be

area – from the river up Mary Street to

calculated at the time the application is made.

Bacon Street, down Bacon Street to Queen

The rebate for a full year from 1 July to 30 June

Street, Queen Street to Oliver Street, down

will be based on 50% of the residential rate levy

Oliver Street to Villiers Street, Villiers Street

to a maximum of $250, 50% of the water levy

to Clarence Street and then down Clarence

to a maximum of $87.50, 50% of the sewerage

Street to the river. A map showing this CBD

levy to a maximum of $87.50. Where 50% of the

boundary is attached, refer Appendix A.

water levy is less than $87.50 in one year, the

South Grafton CBD defined as business properties within the following area – from the river down Cowan Street to Ryan Street, then east along Ryan Street to Bligh Street, along Bligh Street to Vere Street, Vere Street to Kelly Street, Kelly Street to the Pacific Highway, along Schwinghammer Street to Heber Street and then back to the river. A map showing this CBD boundary is attached, refer Appendix A.

Business F – Grafton and South Grafton Other Business will include all business properties located outside the boundaries of the Grafton and South Grafton CBD areas including the business properties located at Junction Hill and Trenayr. A map showing the Junction Hill and Trenayr business boundaries is attached, refer Appendix A.

106

Clarence Valley Council

remaining pension entitlement will be applied to the water consumption account until the maximum of $87.50 has been granted. Pro rata rebates are available and will be calculated for each full quarter following the quarter in which the pensioner becomes eligible.


Rate Structure The Rate Levy tabled below is a summary of the recommended Rate Structure for 2023/2024 which includes an increase of 5.4% to the general income as originally suggested by The Independent Pricing and Regulatory Tribunal (IPART) under section 506 of the Local Government Act. The number of properties, total yield and rates in $ have been updated to reflect the most recent land valuation/ property adjustments as supplied by the Valuer Generals Department. The rate structure for 2023/2024 also contains the following:

Yamba, Maclean and Townsend Residential Categories Base Amount increases from $512 to $540.

All Business Rating Categories (except Grafton and South Grafton) Base Amount increases from $512 to $540.

Residential “Outside Town Areas” and Residential A – “Coastal Villages” minimum increases from $677 to $712.

Farmland Category as a Base Amount increase from $330 to $350.

Jetties Category will be charged a minimum rate of $65

Revenue Policy 2023/2024

107


Rate Structure Category

Number of Properties

Farmland

2279

Residential – Ashby, Chatsworth, Copmanhurst, Brushgrove, Gulmarrad, Harwood, Ilarwill, Lawrence, Palmers Island, Coutts Crossing, Woombah, Cowper, Glenreagh, Swan Creek, Tucabia, Ulmarra, Waterview, Seelands, Eatonsville, Illarwill, Tyndale plus rural residential areas. This includes residential flood prone land (15 properties)

8129

Residential A – Angourie, Brooms Head, Diggers Camp, Iluka, Sandon River, Minnie Water, Wooloweyah, Wooli

2286

Residential B – Maclean, Townsend

Number on Minimum

Total Land Value

Cents in the $

Minimum

Base Amount

Total Yield

1,809,724,170

0.0018796

$350.00

$4,199,208

2375

2,634,311,840

0.0032661

$712.00

$9,095,085

367

1,466,006,626

0.0019966

$712.00

$3,002,872

1659

519,402,490

0.0021824

$540.00

$2,029,404

Residential C – Yamba

3509.56

2,424,071,864

0.0016281

$540.00

$5,841,794

Residential E – Grafton, Junction Hill

7887.02

1,276,143,342

0.00588060

$540.00

$11,763,500

Business

226

82,446,454

0.003773

$540.00

$433,110

Business B – Maclean

168

94,673,910

0.0041829

$540.00

$486,731

57

54,449,200

0.0028437

$540.00

$185,617

284.44

272,567,988

0.002809

$540.00

$919,241

Business E – Grafton & South Grafton CBD

378.29

128,402,022

0.0173226

$540.00

$ 2,428,533

Business F – Grafton & South Grafton Other Business

302.69

107,021,586

0.0067746

$540.00

$888,481

76

264,800

27242

10,869,486,292

Business B – Maclean, Townsend Other Business Business C – Iluka Industrial Business C – Iluka Other Business Business D – Yamba CBD (Includes Treelands Drive) Business D – Yamba Other Business

Jetties Total Ordinary Rates

108

Clarence Valley Council

$65.00

$4,940 $41,278,517


3. Water Charges The requirements of best practice pricing for water include having one price for both residential and non-residential consumers and acquiring 25% of income from fixed charges and 75% of income from consumption charges. The charges for 2023/2024 are shown in Tables 1 and 2 where an increase of 4.75% has been applied. Best Practice Pricing requires a single charge for both residential and non-residential consumers, charges for 2023/2024 will be in accordance with Table 3.

Table 1: 2023/2024 Water Consumption Charges 2022/2023 Charge

2023/2024 Charge

Consumption

$2.65

$2.78

Residential inclining block for average daily water consumption above 1.233kl/day per unit or residence per billing period

$3.98

$4.17

Fire Service consumption - water usage registered on fire service meter that was not for the purpose of the fire service charged per kl

$10.60

$10.82

Consumption Untreated (Raw) Water

$1.33

$1.39

Non-residential High Consumption Charge (for developments that were approved after 1 July 2021) for average daily water consumption above 1.233kl/day per billing period.

$7.49

$7.83

Estimated 2023/2024 Yield

$13.21m

Revenue Policy 2023/2024

109


Table 2: Fixed (Access) Water Charges for 2023/2024 Charge Description/Meter Size

2022/2023 Charge

2023/2024 Charge

Water Vacant

$177.00

$185.00

Residential Water 20mm

$130.00

$136.00

Residential Water 25mm

$203.00

$213.00

Residential Water 32mm

$333.00

$348.00

Residential Water 40mm

$521.00

$544.00

Residential Water 50mm

$814.00

$850.00

Residential Water 80mm

$2,083.00

$2,176

Residential Water 100mm

$3,254.00

$3,400

Untreated Water 20mm

$105.00

$111.00

Untreated Water 25mm

$178.00

$153.00

Water Non-Residential 20mm

$130.00

$136.00

Water Non-Residential 25mm

$203.00

$213.00

Water Non-Residential 32mm

$333.00

$348.00

Water Non-Residential 40mm

$521.00

$544.00

Water Non-Residential 50mm

$814.00

$850.00

Water Non-Residential 80mm

$2,083.00

$2,176

Water Non-Residential 100mm

$3,254.00

$3,400

Water Non-Residential 150mm

$7,323.00

$7,650

2023/2024 Yield

$3.33m

*The access charge for meter sizes greater than 20mm is calculated on the square of the meter size compared with a 20mm meter Untreated water consumers supplied direct from trunk mains prior to treatment are charged at half of the above access charges. Council does not approve any additional untreated water connections.

Table 3: Proposed consumption charge for 2023/2024 Best Practice Pricing requires a single charge for both residential and non-residential consumers, charges for 2023/2024will be in accordance with Table 3. Consumption Charge

Consumption $/kl

110

Clarence Valley Council

2022/2023

2023/2024

$2.65

$2.78


4. Sewerage Charges In May 2004, the then Department of Energy,

fees and charges. In April 2005, Council resolved

Utilities and Sustainability (DEUS) released

to adopt best practice pricing for sewerage with

guidelines for the Best Practice Management of

common sewerage charges across the Council

Water Supply and Sewerage. The guidelines require

area, and best practice pricing was implemented in

Council to charge a uniform sewerage bill for

the 2005/06 financial year.

residential properties, a two part tariff comprising an annual access charge and a uniform sewer

Table 1 below shows the sewerage charges for

usage charge per kilolitre (kL) for non-residential

2023/2024 and Table 2 shows the access charge for

properties and appropriate liquid trade waste

non-residential properties.

Table 1: Charges for 2023/2024 Charge Description

Sewer Residential Connected Charge

Adopted 2022/2023 Charge

$1,218

Proposed 2023/2024 Charge

$1,276

Estimated Yield 2023/2024

$16.84M

As per Table 13

Sewer Residential Connected Pressure System

$1,193

$1,251

As Per Table 11

As Per Table 11

$704

$737

As per Table 12

As per Table 12

Non-Rateable Sewerage Connection Charge

$3.69

$3.87

Properties exempt from Rating under Sec 556 Sewerage Generation Charge

$3.69

$3.87

Sewer Availability Charge Non-Rateable Sewer Generation Charge

Properties exempt from Rating under Sec 556 Sewer Connection Charge (per connection or separate occupation)

$1,218

$1,276

As per Table 13

As per Table 14

Non-residential High Consumption Sewerage Generation Charge (for development approved after 1 July 2021) for sewerage generation above 0.74kL/day per billing period – Grafton, Junction Hill & Coutts Crossing

$5.72/Kl

$6.00/Kl

Non-residential High Consumption Sewerage Generation (for development approved after 1 July 2021) for sewerage generation above 0.74kL/day per billing period – Maclean, Townsend, Ilarwill, Lawrence, Iluka, Yamba

$7.32/Kl

$7.67/Kl

$1.78M $387,162

1. Properties within a pressure sewer zone are charged $25 less than properties in a gravity sewer zone to reflect the average cost of pressure pump electricity consumption which is paid for by the property 2. The non-residential sewer charge is the sum of the access charge and the generation charge, with a minimum charge of the residential charge ($1,276 for 2023/2024). As meters are read three times per year, the minimum non-residential charge will be calculated on an equivalent charge of $3.49 per day. 3. Residential properties are charged the Sewer Residential Connected Charge per connection or separate occupation, within the Sewerage Access area and connected to the sewer. In respect of Residential Flat Buildings or properties under separate occupation, the sewer residential connected charge will be equal to the number of residential flats or separate occupation multiplied by the Sewer Residential Connected Charge for a single connection. 4. Properties exempt from Ordinary Rates in accordance with the Local Government Act are charged the Non-Rateable Sewer Connection Charge per connection or separate occupation, within the Sewerage Access area and connected to the sewer. In respect of Residential Flat Buildings or properties under separate occupation, the Non-Rateable Sewer Connection Charge will be equal to the number of residential flats or separate occupation multiplied by the Non-Rateable Sewer Connection Charge for a single connection.

Revenue Policy 2023/2024

111


Table 2: Fixed (Access) Sewer Charges for 2023/2024 Charge Description/Meter Size

Sewer Non-Residential Availability Charge

2022/2023 Charge

2023/2024 Charge

$704

$737

Sewer Non-Residential 20mm

$1,217

$1,276

Sewer Non-Residential 25mm

$1,217

$1,276

Sewer Non-Residential 32mm

$1,261

$1,887

Sewer Non-Residential 40mm

$2,817

$2,948

Sewer Non-Residential 50mm

$4,401

$4,606

Sewer Non-Residential 80mm

$11,267

$11,792

Sewer Non-Residential 100mm

$17,604

$18,425

Sewer Non-Residential 150mm

$39,610

$41,456

Sewer Non-Res 20mm Pressure System

$1,192

$1,251

Sewer Non-Res 25mm Pressure System

$1,192

$1,251

Sewer Non-Res 32mm Pressure System

$1,236

$1,862

Sewer Non-Res 40mm Pressure System

$2,792

$2,923

Sewer Non-Res 50mm Pressure System

$4,376

$4,581

Sewer Non-Res 80mm Pressure System

$11,242

$11,767

Sewer Non-Res 100mm Pressure System

$17,579

$18,400

*The access charge for meter sizes greater than 20mm is calculated on the square of the meter size compared with a 20mm meter Liquid trade waste fees and charges are shown in the fees and charges section.

112

Clarence Valley Council

Estimated Yield 2023/2024

$1.43m


5. Waste Management Charges The Domestic Waste Management (DWM) charge

Council meeting held on the 28 March 2023, it was

must be determined each year pursuant to Section

resolved to commence a new bulky waste collection

496 of the Local Government Act, 1993. This charge

model from 1 July 2023 that aligned with the new

is audited by Council’s external auditors to ensure

10 year Domestic Waste Management Contract.

that the rate is reasonable and that the cost of collecting and processing domestic waste throughout the Council area is relative to the charge for providing the service.

Council levies a waste management charge pursuant to Section 501 of the Local Government Act 1993 on all rateable properties. The levy contributes to the cost of developing waste

Council resolved at its meeting held on the 23 August

management infrastructure such as waste transfer

2022 to accept a tender from JR Richards and Sons

stations, landfills, composting facilities, recycling

to provide domestic waste collection and waste

centres and other services such as litter collection.

processing services for the next 10 years. At the

The 2022/2023 levy has increased from $67 to $70.

Domestic Waste Charge (s.496)

2022/2023 Charge

2022/2023 Yield

2023/2024 Charge

2023/2024 Yield

3 Bin Service

$375

$6,826,125

$390

$7,148,310

2 Bin Service

$308

$1,207,052

$337

$1,347,663

Vacant Land

$35

$59,395

$37

$61,531

Additional Red Bin

$200

$55,400

$208

$67,392

Additional Yellow Bin

$110

$6,380

$115

$7,360

Additional Green Bin

$135

$6,615

$115

$6,900

2022/2023 Charge

2022/2023 Yield

2023/2024 Charge

2023/2024 Yield

$67

$1,807,392

$70

$1,911,070

Waste Management Charge (s.501)

Waste Management Charge

6. On-Site Effluent Disposal Systems The annual charge to fund the required level of auditing of the 9,311 on-site sewerage management systems has been indexed by 5% to $46 for 2023/2024 ($44 2022/2023). The charge is levied on all properties with on-site effluent disposal systems and the charge is known as “Residential – Onsite Wastewater Management” Charge

Revenue Policy 2023/2024

113


7. Backflow Prevention Device Annual Charge The annual charge to fund the administration of the

be annually tested and certified in accordance with

backflow prevention device program including the

Council’s Backflow prevention and cross connection

auditing of the backflow devices has been indexed

control policy. The charge known as “Non-Residential

by 5.0% to $65 for 2023/2024 ($62 2022/2023). The

Backflow Prevention Device” Charge, is per annum

charge is levied on properties that have containment

and per containment device. There are currently 99

backflow prevention devices that are required to

Backflow Prevention Devices to administer.

8. Stormwater Annual Charge In accordance with Section 496A of the Local Government Act 1993 Council proposes to make and levy an annual charge for the provision of stormwater management services for each eligible urban property. Council’s Stormwater charging structure for 2023/2024 is as follows: Consumption Charge

2023/2024

Stormwater Management Charge – Residential

$25.00

Stormwater Management Charge – Strata

$12.50

Stormwater Management Charge – Business

$25.00

9. National Competition Policy – Business Activites In accordance with Pricing and Costing for Council Businesses – A Guide to Competitive Neutrality Council has declared the following activities as business activities

Category 1

Category 2

(where gross operating turnover is over $2 million)

(where gross operating turnover is less than $2

Clarence Valley Council Water Supply Fund

million)

Provision of Water Supply Services

Council has no category 2 businesses

Clarence Valley Council Sewerage Services Provision of Sewerage Augmentation Reticulation & Treatment

Holiday Parks Camping and Holiday Park Accommodation

114

Clarence Valley Council


10. Fees and Charges for 2023/2024 Clause 201 of the Local Government (General)

Details of those fees and charges subject to

Regulation 2005 provides that Council’s Revenue

GST and exempt from GST are identified in the

Policy must include a statement of the types of fees

schedule of Fees and Charges. The GST status

proposed to be charged by Council, the amount of

of each charge/fee depends on whether there is

each fee, estimated yield and the proposed pricing

consideration for a supply. Some fees and charges

methodology for each fee.

are exempt from GST in accordance with the

A schedule of Fees and Charges for 2023/2024 has been prepared and is available on Council’s website at www.clarence.nsw.gov.au. Council’s schedule of Fees and Charges has 1,758 fees including 120 new fees.

Federal Treasurer’s Determination under Section 81-5 of the A New Tax System (GST) Act 1999 as amended, and as assessed under the Tax Laws Amendment (2011 Measures 2 No. 2) Bill 2011: exempting taxes, fees and charges from the GST. Generally, where permissible, the majority of

Each fee or charge has been categorised as

Council’s fees and charges have been increased

follows:

by an estimated CPI amount of 4% and rounded. Some prices vary outside CPI based on specific

U - User Pays Council pricing reflects the nature

issues impacting the operations, costs, or pricing

of service and costs.

parameters of the particular service. Regulatory or

R - Regulatory The price is set by Council for a goods/service which Council has a regulatory right or obligation to provide.

S - Statutory The price charged for this goods/ service is a statutory charge set by government regulation.

statutory fees will increase in line with government pronouncements. The following pricing categories have been used in determining the fees, which are summarised below:

Full Cost Pricing - Fees are set to enable the recovery of all direct and indirect costs involved in the provision of a service.

Subsidised Pricing - Fees and charges are set at a level that recovers less than the full cost incurred in service delivery. In effect some level of subsidisation is factored into the price.

Market Pricing - Fees and charges are based on current market fee structures. The market price is usually determined by examining competitors’ prices and may have little relationship to the cost of providing the service.

Statutory Pricing - Fees and charges are set to comply with statutory legislation.

Revenue Policy 2023/2024

115


Sewer and Water Connection Fees Sewer and water connection fees are calculated

to the capital contribution for 1 water ET. The

as outlined in Council’s Policy “Sewer and Water

capital component for larger size water meters is

Capital Contribution Credits for Properties not

based on an ET assessment of the meter capacity.

paying availability charges as at 28 June 2005”. This policy specifies that the connection fee for properties not paying sewer and/or water

The sewer and water contributions for 1 ET were initially set in the Development Servicing Plans for Sewer and Water adopted by Council on 28

availability charges as at 28 June 2005 will include

June 2005, and is adjusted annually using the

a capital component. The capital component for

methodology specified in the Department of

sewer is equivalent to the capital contribution for

Primary Industries - Water Guidelines. The sewer

1 sewer Equivalent Tenement (ET) and the capital

and water contributions for 1 ET are listed in the

component for a 20mm water meter is equivalent

Fees and Charges as “Section 64 contributions”.

11. Hardship Ordinary Rates and Annual Charges Policies The purpose of these policies is to establish

way of doing so. Where there is no willingness to

guidelines for the General Manager and staff on

make payments against outstanding Ordinary Rates

providing appropriate assistance to ratepayers

and Annual Charges, the right of Council to take

suffering financial difficulties with the payment

legal action is well-defined.

of Ordinary Rates and Annual Charges in both normal times and in times of natural disaster and health pandemics.

116

These policies recognise that ratepayers may at times encounter difficulty in the payment of rates and charges. The Local Government Act 1993

The intent of these policies is to ensure that

allows Council to provide assistance to those

ratepayers facing financial hardship, but with

ratepayers. Application for hardship must be made

the will to make payments against their Ordinary

on the appropriate form which is available from

Rates and Charges, have a clear and simplified

Council’s website www.clarence.nsw.gov.au.

Clarence Valley Council


Our Financial Summary

1. 2023/2024 Budget and Long Term Financial Plan Assumptions and factors affecting the budget result have been incorporated into the 2023/2024 budget and 2023/2024 to 2032/2033 Long Term Financial Plan (LTFP) are as follows:

1 General rate revenue will be increased by the

2 Revenue streams and future service

Rate Peg which is set at 5.4% p.a. for 2023/2024

requirements will be adjusted for population

and is then forecast to be 2.5% from 2025/25

growth forecasts where a direct relationship can be

24 onwards. 2020-21 saw the completion of the

determined. Population forecasts will be based upon

SRV Rate peg increase meaning that the standard

the Forecast Id consultant’s population projections

Rate Peg now applies from 2021/22 onwards.

for the Clarence Valley (currently + 0.65% p.a.).

For the next 5 years (2023/2024 to 2027/2028), the estimated yield from the now built in SRV component of our rate base will be restricted and then subsequently used to improve infrastructure as per the SRV requirements. The estimated yield in 22/23 is $5.701mil per the original SRV application.

Revenue Policy 2023/2024

117


3 Recurrent operating expenditure for 2023/2024

8 Domestic Waste Management Charges will

will be based on the Revised Budget as of

be calculated based upon the reasonable cost

December 2022 plus 4%, with consideration of

requirements (The specific Domestic Waste Charge

actuals and any additional maintenance required

income funds the operating and maintenance costs

for new assets. This position will then be further

associated with providing the service).

adjusted for contractual obligations or for expected spend as informed through discussion with

9 Operating Grants - Council has assumed it

Management. From 2024/2025 onwards recurrent

will continue to receive operating grants in relation

operating expenditure generally will be indexed by

to ongoing operations (where evidenced by

3.5% p.a.

management) and that these will generally increase annually in line with estimated indexation of 4%.

4 Recurrent operating revenue for 2022/2023

Operating grants received for specific project

will initially be increased in line with service

related purposes have been included in the year

deliverables and as evidenced through discussion

Council anticipates they will be received.

with Management. A general indexation rate of 4% p.a. will be applied on all general revenue streams

10 Capital Grants - the capital grants applied in

where no other evidence is available to support a

the model will be based on the capital grants for

specific revenue increase and reduce to 3.5% from

2023/2024, as indicated in the updated rolling 4

2024/2025 onwards

year capital works program. These assumptions have been carried out into latter years.

5 Interest and investment income forecast at a conservative rate of 3% per year, based on the

11 The Financial Assistance Grant value is

running yield of Council's investment portfolio (value

estimated at $12,549,492, which is an increase

average $134 million per month) for the quarter

of approximately 4%. This assumes the current

ended 30 September 2022. This will be increased

prepayment arrangements stand however it is

by 1% p.a. up to 5% after which it will change

noted that the actual value and payment will be

based on the now-expected RBA wholesale interest

determined by the Federal Government determined

rate increases.

in late May 2022. Council has assumed over the 10 years of the Long Term Financial Plan that the "in

6 Water Charges will be indexed by 4.75% pa for

advance" tap has not been turned off, and therefore

2023/2024 and 3% pa from 2024/2025 onwards.

Council does not have to report a drop in Financial

7 Sewer Charges will be indexed by 4.75% pa for 2023/2024 and 3% pa from 2024/2025 onwards.

Assistance Grant income.

12 Tax equivalent dividends will be based upon the maximum allowable rate of $3 per assessment (which equates to approximately $75K from the Water Fund and $80K from the Sewer Fund). These figures will be adjusted by each estimated charge increases, and population increases.

118

Clarence Valley Council


13 All positions on the adopted organisation

18 Superannuation - Employees are generally in

structure to be funded unless otherwise indicated.

either of two schemes:

14 Employee wage increases are estimated at

per employee contribution

4.5% p.a. for 2023/2024 and 4.5% for 2024/2025, as per the estimated Local Government (State) Award 2023 and are estimated at 3.5% pa for 2025/2026 onwards.

The Defined Benefits scheme, are calculated as

The Super Guarantee Scheme (SG), Council is legislatively required to contribute 11% of the employee's gross wages for 2023/2024. The

15 Leave Entitlement accruals will be based upon

SG rate will then be increasing to 11.5% from

the assumption that all positions in the organisation

July 2024, and eventually increasing to 12%

structure will be filled.

from July 2025.

16 Workers Compensation premiums will be

19 Electricity and Street lighting charges will be

based upon 3% of the estimated wages from

indexed by 5% from 2023/2024 onwards

2023/2024 onwards. The historical Basic Tariff Premiums as a % on wages is as follows: 2020/2021 - 2.594%, 2021/2022 - 2.594%, and 2022/2023 - 2.8%.

20 Due to the current hard insurance market, property insurance will increase by approximately 15%, and all other insurances will be increased by an estimated indexation of 5%. These increases

17 The average of the past three years indicates

are in line with advice received from our current

an indicative Basic Tariff Premium of approx. 2.66%

insurance provider and are the result of the recent

of estimated wages. During 2022/2023 there has

pandemic and natural disaster events over the past

been an increase in claims and to reflect this the

few years.

budget has been increased to 3%. Any savings realised will be transferred to the smoothing reserve. Any additional costs will firstly be funded from the Workers Compensation Smoothing Reserve (RA10700).

Whilst these assumptions provide a general guideline there are items in the budget that are predetermined, for example services that are subject to tender.

Revenue Policy 2023/2024

119


2. Best practice dividends from Water and Sewer Funds Best-practice management of water supply and sewerage allows that, provided guidelines are met (NSW Government Department of Water & Energy Best-Practice Management of Water Supply and Sewerage Guidelines 2007), a dividend can be paid from water and sewer surpluses to General Fund.

dividend to be met are:

To be eligible to make a dividend payment from a surplus, a local water utility must:

1 Strategic Business Planning

The criteria that must be satisfied for a

compliance through an independent

2 Pricing (including Developer Charges, Liquid

compliance audit report; and

Trade Waste Policy and Approvals)

3 Water Conservation

6 Integrated Water Cycle Management

Obtain an unqualified financial audit report for its water supply and/or sewerage business(es).

4 Drought Management 5 Performance Reporting

Demonstrate best-practice management

Resolve in a council meeting open to the public that it has achieved “substantial compliance” with each criterion in the guidelines.

As per the Water Fund and Sewer Fund 2023/2024 to 2032/2033 Long Term Financial Plans, council is intending to pay the following amounts as best practice dividends (provided the criteria to do so has been met) from Water & Sewer Funds to General Funds Fund/Year

2023/2024

Water

$995,000

Sewer

$1,572,000

TOTAL FORECASTED AMOUNT TO BE PAID TO GENERAL FUND

$2,567,000

Payment of dividend is based on the lesser of 50% of surplus operating result of $27 per assessment.

120

Clarence Valley Council


Appendix A. Business Boundary Maps

Revenue Policy 2023/2024

121


Business B - Maclean/Townsend (Maclean CBD)

122

Clarence Valley Council


Business C – Iluka (Iluka Industrial Area)

Summary Income Statement Revenue Budget Policy 2023/2024

123


Business D – Yamba (Treelands Drive, Yamba)

124

Clarence Valley Council


Business D – Yamba (Yamba Town CBD)

Revenue Policy 2023/2024

125


Business E - Grafton and South Grafton (Grafton CBD)

126

Clarence Valley Council


Business E - Grafton and South Grafton (South Grafton CBD)

Revenue Policy 2023/2024

127


Business F - Grafton and South Grafton Other (Junction Hill)

128

Clarence Valley Council


Clarence Valley Council

Budget 2023/2024 Summary Income Statement

Summary Income Statement

Budget 2023/2024

129


Income Statement 2023/2024 Description

2023-24 General Fund

2023-24 Water Fund

2023-24 Sewer Fund

2023-24 HP Fund

2023-24 CRL Fund

2023-24 DWM Fund

2023-24 Consolidated

Rates Income

(34,452,997)

0

0

0

0

0

(34,452,997)

Rates Income - SRV Component

(5,700,504)

0

0

0

0

0

(5,700,504)

Annual Charges

(3,030,637)

(3,082,036)

(21,066,852)

0

0

(8,245,892)

(35,425,417)

0

(12,372,749)

(1,299,052)

0

0

0

(13,671,801)

Statutory & Regulatory User Charges

(3,336,541)

(42,328)

(42,016)

0

0

0

(3,420,885)

General User Fees

(8,079,950)

(2,314,677)

(697,672)

(8,702,151)

0

0

(19,794,450)

Interest Income

(2,049,733)

(651,043)

(259,326)

(59,462)

(10,320)

(62,686)

(3,092,570)

Operating Grants & Contributions

(15,696,068)

(364,684)

(352,377)

(26,233)

(293,925)

(193,544)

( 16,926,831)

Other Revenue

(2,351,467)

(146,220)

(6,254)

0

(2,239)

(96,662)

(2,602,842)

Net Gains from Disposal of Assets

(1,688,604)

(76,701)

(53,564)

0

0

0

(1,818,869)

Internal Income

(11,904,433)

(829,489)

(533,613)

0

0

(5,164)

(13,272,699)

ABC Recovery

(13,649,227)

0

0

0

0

0

(13,649,227)

Internal Plant Hire Income

(9,027,077)

(765,253)

(750,009)

0

0

0

(10,542,339)

(110,967,238)

(20,645,180)

(25,060,735)

(8,787,846)

(306,484)

(8,603,948)

(174,371,431)

Income

User Charges

Total Income (Excluding Capital Grants & Contributions)

130

Clarence Valley Council


Description

2023-24 General Fund

2023-24 Water Fund

2023-24 Sewer Fund

2023-24 HP Fund

2023-24 CRL Fund

2023-24 2023-24 DWM Fund Consolidated

37,450,083

2,313,176

2,185,986

194,819

726,341

333,363

43,203,768

Other Employee Costs

619,357

550

0

0

624

0

620,531

Borrowing Costs

401,135

1,302,043

3,030,208

0

0

223,239

4,956,625

Materials

7,381,772

1,346,909

1,679,428

367,256

12,300

31,384

10,819,049

Contracts & Consultancies

11,003,956

1,439,932

1,151,562

2,896,099

102,817

4,877,227

21,471,593

Legal Expenses

292,667

5,000

0

26,781

0

0

324,448

Depreciation

31,436,895

7,170,668

8,648,103

706,486

248,469

54,918

48,265,539

Insurance Expenses

2,429,039

67,423

74,957

45,885

2,811

700

2,620,815

Donations, Contributions & Taxes

5,618,902

0

0

474,777

0

0

6,093,679

Administration Expenses

2,368,424

904

0

128,256

27,329

9,255

2,534,168

Other Operating Expenses

4,130,565

271,171

716,935

401,503

138,172

74,814

5,733,160

298,385

13,964

8,828

0

127,430

47,316

495,923

Internal Expenses

3,535,844

1,125,777

309,938

1,302,970

7,500

1,876,647

8,158,676

ABC Distribution

10,308,324

1,559,622

1,142,992

129,214

125,435

383,640

13,649,227

Internal Plant Hire Expenditure

4,279,664

567,986

424,219

0

0

0

5,271,869

Total Expenditure

121,555,012

17,185,125

19,373,156

6,674,046

1,519,228

7,912,503

174,219,070

Net Operating Result for the year before Grants & Contributions provided for capital purposes

10,587,774

(3,460,055)

(5,687,579)

(2,113,800)

1,212,744

(691,445)

(152,361)

Capital Grants & Contributions

(134,743,536)

(1,993,807)

(743,004)

0

0

0

(137,480,347)

Operating Result for the Year

(124,155,762)

(5,453,862)

(6,430,583)

(2,113,800)

1,212,744

(691,445)

(137,632,708)

Expenditure Salaries, Wages & Oncosts

Subscriptions & Memberships

Summary Income Statement

Budget 2023/2024

131


Description

2023-24 General Fund

2023-24 Water Fund

2023-24 Sewer Fund

2023-24 HP Fund

2023-24 CRL Fund

2023-24 2023-24 DWM Fund Consolidated

Balance Sheet Movements / Non-Cash Adjustments Capital Works - New

41,093,454

12,590,000

2,045,000

400,000

0

0

56,128,454

Capital Works - Upgrade

77,001,253

325,000

0

0

0

0

77,326,253

0

0

0

0

0

0

0

Capital Works - Renewal

51,568,474

13,609,479

10,049,672

1,180,000

341,507

0

76,749,132

Depreciation

(31,436,895)

(7,170,668)

(8,648,103)

(706,486)

(248,469)

(54,918)

(48,265,539)

Employee Leave Accruals

0

0

0

0

0

0

0

Employee Leave Paid

0

0

0

0

0

0

0

Loan Funds Received

(9,615,301)

0

0

0

0

0

(9,615,301)

Loan Repayments (Principal Only)

1,287,046

1,352,974

5,194,850

0

0

651,445

8,486,315

0

0

0

0

0

0

0

129,898,031

20,706,785

8,641,419

873,514

93,038

596,527

160,809,314

Capital Works - Expansion

Long Term Debtor Repayments Total Balance Sheet Movements / Non-Cash Adjustments

Adjust for Transfers to/from Reserves Internal Reserves

(5,339,330)

0

0

0

0

0

(6,887,929)

External Reserves

(1,408,599)

(16,197,870)

(2,953,840)

1,240,286

(1,305,782)

94,918

(19,122,288)

0

0

0

0

0

0

0

Unexpended Grant Reserves

(140,000)

0

0

0

0

0

0

S64 / S94 Contribution Reserves

1,201,186

944,947

743,004

0

0

0

2,889,137

Net Service Result after Transfers to/from Reserves

(5,686,743)

(15,252,923)

(2,210,836)

1,240,286

(1,305,782)

94,918

(23,121,080)

NET RESULT Deficit

55,526

0

0

0

0

0

55,526

Unspent Loans

132

Clarence Valley Council


Clarence Valley Council

2023/2024 Budgeted Service Income Statements

Summary Income Statement

Budget 2023/2024

133


Office of General Manager Description

Original Adopted Budget 2022/23

Current Revised Budget 2022/23

Original Budget 2023/24

0

0

0

Income Rates Income Annual Charges

0

0

0

User Charges

0

0

0

Statutory & Regulatory User Charges

0

0

0

General User Fees

0

0

0

Interest Income

0

0

0

Operating Grants & Contributions

0

0

0

Other Revenue

0

0

0

Net Gains from Disposal of Assets

0

0

0

Internal Income

0

0

0

ABC Recovery

(567,750)

(567,750)

(590,461)

0

0

0

(567,750)

(567,750)

(590,461)

578,094

578,094

777,118

4,000

4,000

4,000

Internal Plant Hire Total Income (Excluding Capital Grants & Contributions)

Expenditure Salaries, Wages & Oncosts Other Employee Costs Borrowing Costs Materials Contracts & Consultancies Legal Expenses Depreciation

0

0

8,668

6,000

170,455

170,455

40,036

0

0

0

682

682

1,401

Insurance Expenses

0

0

0

Donations, Contributions & Taxes

0

0

0

Administration Expenses

0

0

0

Other Operating Expenses

0

0

0

Subscriptions & Memberships

0

0

0

Internal Expenses

8,000

8,000

8,000

ABC Distribution

11,909

11,909

12,386

Internal Plant Hire

0

0

0

Total Expenditure

781,808

781,808

848,941

Net Operating Result for the year before Grants & Contributions provided for capital purposes

214,058

214,058

258,480

0

0

0

214,058

214,058

258,480

Capital Grants & Contributions

Operating Result for the Year

134

0 8,668

Clarence Valley Council


Description

Original Adopted Budget 2022/23

Current Revised Budget 2022/23

Original Budget 2023/24

0

0

Balance Sheet Movements / Non-Cash Adjustments Capital Works - New

0

Capital Works - Upgrade

0

0

0

Capital Works - Expansion

0

0

0

Capital Works - Renewal

0

0

0 (1,401)

Depreciation

(682)

(682)

Employee Leave Accruals

0

0

0

Employee Leave Paid

0

0

0

Loan Funds Received

0

0

0

Loan Repayments (Principal Only)

0

0

0

Long Term Debtor Repayments Total Balance Sheet Movements / Non-Cash Adjustments

0

0

0

(682)

(682)

(1,401)

0

0

0

Adjust for Transfers to/from Reserves Internal Reserves External Reserves

0

0

0

Unspent Loans

0

0

0

Unexpended Grant Reserves

0

0

0

S64 / S94 Contribution Reserves

0

0

0

Net Service Result after Transfers to/from Reserves

0

0

0

213,376

213,376

257,079

NET RESULT

Summary Income Statement

Budget 2023/2024

135


Elected Members Description

Original Adopted Budget 2022/23

Current Revised Budget 2022/23

Original Budget 2023/24

0

0

0

Income Rates Income Annual Charges

0

0

0

User Charges

0

0

0

Statutory & Regulatory User Charges

0

0

0

General User Fees

0

0

0

Interest Income

0

0

0

Operating Grants & Contributions

0

0

0

Other Revenue

0

0

0

Net Gains from Disposal of Assets

0

0

0

Internal Income

0

0

0

ABC Recovery

(297,626)

(297,626)

(309,531)

0

0

0

(297,626)

(297,626)

(309,531)

Internal Plant Hire Total Income (Excluding Capital Grants & Contributions)

Expenditure Salaries, Wages & Oncosts Other Employee Costs

898

0

40,000

0

Borrowing Costs

0

0

0

Materials

0

0

0

1,958

1,958

5,036

0

0

0

Contracts & Consultancies Legal Expenses Depreciation

0

0

0

Insurance Expenses

0

0

0

Donations, Contributions & Taxes

0

0

0

336,200

336,200

337,415

0

0

0

Administration Expenses Other Operating Expenses Subscriptions & Memberships

57,098

57,098

59,382

Internal Expenses

8,000

8,000

8,000

ABC Distribution

536,147

536,147

557,966

Internal Plant Hire

0

0

0

Total Expenditure

980,301

980,301

967,799

Net Operating Result for the year before Grants & Contributions provided for capital purposes

682,675

682,675

658,268

0

0

0

682,675

682,675

658,268

Capital Grants & Contributions

Operating Result for the Year

136

898 40,000

Clarence Valley Council


Description

Original Adopted Budget 2022/23

Current Revised Budget 2022/23

Original Budget 2023/24

0

0

Balance Sheet Movements / Non-Cash Adjustments Capital Works - New

0

Capital Works - Upgrade

0

0

0

Capital Works - Expansion

0

0

0

Capital Works - Renewal

0

0

0

Depreciation

0

0

0

Employee Leave Accruals

0

0

0

Employee Leave Paid

0

0

0

Loan Funds Received

0

0

0

Loan Repayments (Principal Only)

0

0

0

Long Term Debtor Repayments

0

0

0

Total Balance Sheet Movements / Non-Cash Adjustments

0

0

0

133,333

133,333

133,333

Adjust for Transfers to/from Reserves Internal Reserves External Reserves

0

0

0

Unspent Loans

0

0

0

Unexpended Grant Reserves

0

0

0

S64 / S94 Contribution Reserves Net Service Result after Transfers to/from Reserves

NET RESULT

0

0

0

133,333

133,333

133,333

816,008

816,008

791,601

Summary Income Statement

Budget 2023/2024

137


Corporate & Governance Description

Original Adopted Budget 2022/23

Current Revised Budget 2022/23

Original Budget 2023/24

0

0

0

Income Rates Income Annual Charges

0

0

0

User Charges

0

0

0

Statutory & Regulatory User Charges

0

0

0

General User Fees

0

0

0

Interest Income

0

0

0

Operating Grants & Contributions

0

0

0

Other Revenue

0

0

0

Net Gains from Disposal of Assets

0

0

0

Internal Income

0

0

0

ABC Recovery

(792,855)

(792,855)

(824,567)

0

0

0

(792,855)

(792,855)

(824,567)

748,244

748,244

861,665

600

600

0

Internal Plant Hire Total Income (Excluding Capital Grants & Contributions)

Expenditure Salaries, Wages & Oncosts Other Employee Costs Borrowing Costs

0

0

0

Materials

0

0

0

14,023

14,023

50,000

0

0

0

Contracts & Consultancies Legal Expenses

148

148

63

Insurance Expenses

Depreciation

0

0

0

Donations, Contributions & Taxes

0

0

0

Administration Expenses

0

0

0

Other Operating Expenses

0

0

0

Subscriptions & Memberships

2,983

2,983

3,500

Internal Expenses

24,000

24,000

24,000

ABC Distribution

205,764

205,764

214,126

Internal Plant Hire

0

0

0

Total Expenditure

995,762

995,762

1,153,354

Net Operating Result for the year before Grants & Contributions provided for capital purposes

202,907

202,907

328,787

0

0

0

202,907

202,907

328,787

Capital Grants & Contributions

Operating Result for the Year

138

Clarence Valley Council


Description

Original Adopted Budget 2022/23

Current Revised Budget 2022/23

Original Budget 2023/24

0

0

Balance Sheet Movements / Non-Cash Adjustments Capital Works - New

0

Capital Works - Upgrade

0

0

0

Capital Works - Expansion

0

0

0

Capital Works - Renewal

0

0

0 (63)

Depreciation

(148)

(148)

Employee Leave Accruals

0

0

0

Employee Leave Paid

0

0

0

Loan Funds Received

0

0

0

Loan Repayments (Principal Only)

0

0

0

Long Term Debtor Repayments Total Balance Sheet Movements / Non-Cash Adjustments

0

0

0

(148)

(148)

(63)

0

0

0

Adjust for Transfers to/from Reserves Internal Reserves External Reserves

0

0

0

Unspent Loans

0

0

0

Unexpended Grant Reserves

0

0

0

S64 / S94 Contribution Reserves

0

0

0

Net Service Result after Transfers to/from Reserves

0

0

0

202,759

202,759

328,724

NET RESULT

Summary Income Statement

Budget 2023/2024

139


Finance Control & Compliance Description

Original Adopted Budget 2022/23

Current Revised Budget 2022/23

Original Budget 2023/24

(37,383,061)

(37,383,061)

(40,153,501)

Income Rates Income Annual Charges

0

0

0

User Charges

0

0

0

(154,000)

(154,000)

(160,160)

Statutory & Regulatory User Charges General User Fees

(42,692)

(42,692)

(44,399)

Interest Income

(675,296)

(1,175,296)

(1,695,555)

(8,821,370)

(9,220,116)

(9,427,301)

(240,075)

(240,075)

(121,240)

Operating Grants & Contributions Other Revenue

0

0

0

Internal Income

Net Gains from Disposal of Assets

(1,328,954)

(1,328,954)

(1,809,360)

ABC Recovery

(2,769,910)

(2,769,910)

(2,880,650)

0

0

0

(51,415,358)

(52,314,104)

(56,292,166)

1,764,914

1,764,914

1,777,507

11,500

11,500

6,240

Internal Plant Hire Total Income (Excluding Capital Grants & Contributions)

Expenditure Salaries, Wages & Oncosts Other Employee Costs Borrowing Costs Materials

0

0

11,321

16,264

Contracts & Consultancies

383,015

383,015

133,115

Legal Expenses

200,000

200,000

165,000

Depreciation

344

344

582

Insurance Expenses

0

0

0

Donations, Contributions & Taxes

0

0

0

Administration Expenses

593,525

593,525

1,550,643

Other Operating Expenses

2,340

2,340

2,434

Subscriptions & Memberships

0

0

0

Internal Expenses

59,300

59,300

59,300

ABC Distribution

1,057,174

1,057,174

1,100,413

Internal Plant Hire

0

0

0

Total Expenditure

4,083,433

4,083,433

4,811,498

(47,331,925)

(48,230,671)

(51,480,668)

0

0

0

(47,331,925)

(48,230,671)

(51,480,668)

Net Operating Result for the year before Grants & Contributions provided for capital purposes Capital Grants & Contributions

Operating Result for the Year

140

0 11,321

Clarence Valley Council


Description

Original Adopted Budget 2022/23

Current Revised Budget 2022/23

Original Budget 2023/24

0

0

Balance Sheet Movements / Non-Cash Adjustments Capital Works - New

0

Capital Works - Upgrade

0

0

0

Capital Works - Expansion

0

0

0

Capital Works - Renewal

0

0

0 (582)

Depreciation

(344)

(344)

Employee Leave Accruals

0

0

0

Employee Leave Paid

0

0

0

Loan Funds Received

0

0

0

Loan Repayments (Principal Only)

0

0

0

Long Term Debtor Repayments Total Balance Sheet Movements / Non-Cash Adjustments

0

0

0

(344)

(344)

(582)

5,392,162

5,642,162

5,670,173

Adjust for Transfers to/from Reserves Internal Reserves External Reserves

0

0

0

Unspent Loans

0

0

0

Unexpended Grant Reserves

0

0

0

S64 / S94 Contribution Reserves Net Service Result after Transfers to/from Reserves

NET RESULT

0

0

0

5,392,162

5,642,162

5,670,173

(41,940,107)

(42,588,853)

(45,811,077)

Summary Income Statement

Budget 2023/2024

141


Financial Analysis & Business Support Description

Original Adopted Budget 2022/23

Current Revised Budget 2022/23

Original Budget 2023/24

0

0

0

Income Rates Income Annual Charges

0

0

0

User Charges

0

0

0

Statutory & Regulatory User Charges

0

0

0

General User Fees

0

0

0

Interest Income

0

0

0

Operating Grants & Contributions

0

0

0

Other Revenue

0

0

0

0

0

0

Internal Income

Net Gains from Disposal of Assets

(5,424,168)

(5,424,168)

(4,771,373)

ABC Recovery

(953,723)

(953,723)

(991,871)

0

0

0

(6,377,891)

(6,377,891)

(5,763,244)

5,656,454

5,656,454

4,888,803

303,155

303,155

297,155

Internal Plant Hire Total Income (Excluding Capital Grants & Contributions)

Expenditure Salaries, Wages & Oncosts Other Employee Costs Borrowing Costs Materials Contracts & Consultancies Legal Expenses

0

0

741

3,604

150,741

150,741

200,000

0

0

0

Depreciation

0

0

0

Insurance Expenses

0

0

0

Donations, Contributions & Taxes

0

0

0

Administration Expenses

0

0

0

Other Operating Expenses

0

0

0

Subscriptions & Memberships

3,900

3,900

4,000

Internal Expenses

250,500

250,500

250,500

ABC Distribution

145,020

145,020

151,195

Internal Plant Hire

0

0

0

Total Expenditure

6,510,511

6,510,511

5,795,257

132,620

132,620

32,013

0

0

0

132,620

132,620

32,013

Net Operating Result for the year before Grants & Contributions provided for capital purposes Capital Grants & Contributions

Operating Result for the Year

142

0 741

Clarence Valley Council


Description

Original Adopted Budget 2022/23

Current Revised Budget 2022/23

Original Budget 2023/24

0

0

Balance Sheet Movements / Non-Cash Adjustments Capital Works - New

0

Capital Works - Upgrade

0

0

0

Capital Works - Expansion

0

0

0

Capital Works - Renewal

0

0

0

Depreciation

0

0

0

Employee Leave Accruals

0

0

0

Employee Leave Paid

0

0

0

Loan Funds Received

0

0

0

Loan Repayments (Principal Only)

0

0

0

Long Term Debtor Repayments

0

0

0

Total Balance Sheet Movements / Non-Cash Adjustments

0

0

0

0

0

0

Adjust for Transfers to/from Reserves Internal Reserves External Reserves

0

0

0

Unspent Loans

0

0

0

Unexpended Grant Reserves

0

0

0

S64 / S94 Contribution Reserves

0

0

0

Net Service Result after Transfers to/from Reserves

0

0

0

132,620

132,620

32,013

NET RESULT

Summary Income Statement

Budget 2023/2024

143


Information Services & Corporate Systems Description

Original Adopted Budget 2022/23

Current Revised Budget 2022/23

Original Budget 2023/24

0

0

0

Income Rates Income Annual Charges

0

0

0

User Charges

0

0

0

Statutory & Regulatory User Charges

0

0

0

General User Fees

0

0

0

Interest Income

0

0

0

Operating Grants & Contributions

0

0

0

Other Revenue

0

0

0

Net Gains from Disposal of Assets

0

0

0

Internal Income

0

0

(45,000)

ABC Recovery

(2,378,581)

(2,378,581)

(2,473,779)

0

0

0

(2,378,581)

(2,378,581)

(2,518,779)

1,356,112

1,356,112

1,516,979

0

0

0

3,665

3,665

3,230

0

0

0

265,000

265,000

275,600

0

0

0

Depreciation

480,526

480,526

496,483

Insurance Expenses

20,141

20,141

23,162

0

0

0

Internal Plant Hire Total Income (Excluding Capital Grants & Contributions)

Expenditure Salaries, Wages & Oncosts Other Employee Costs Borrowing Costs Materials Contracts & Consultancies Legal Expenses

Donations, Contributions & Taxes Administration Expenses

69,641

69,641

69,641

Other Operating Expenses

2,764,525

2,764,525

3,049,986

Subscriptions & Memberships

0

0

0

Internal Expenses

0

0

0

ABC Distribution

124,754

124,754

129,745

Internal Plant Hire

0

0

0

Total Expenditure

5,084,364

5,084,364

5,564,826

Net Operating Result for the year before Grants & Contributions provided for capital purposes

2,705,783

2,705,783

3,046,047

0

0

0

2,705,783

2,705,783

3,046,047

Capital Grants & Contributions

Operating Result for the Year

144

Clarence Valley Council


Description

Original Adopted Budget 2022/23

Current Revised Budget 2022/23

Original Budget 2023/24

0

0

0

80,000

80,000

0

0

0

0

Capital Works - Renewal

508,710

468,710

541,600

Depreciation

(496,483)

Balance Sheet Movements / Non-Cash Adjustments Capital Works - New Capital Works - Upgrade Capital Works - Expansion

(480,526)

(480,526)

Employee Leave Accruals

0

0

0

Employee Leave Paid

0

0

0

Loan Funds Received Loan Repayments (Principal Only) Long Term Debtor Repayments Total Balance Sheet Movements / Non-Cash Adjustments

0

0

0

8,274

8,274

9,424

0

0

0

116,458

76,458

54,541

0

0

0

Adjust for Transfers to/from Reserves Internal Reserves External Reserves

0

0

0

Unspent Loans

0

0

0

Unexpended Grant Reserves

0

0

0

S64 / S94 Contribution Reserves

0

0

0

Net Service Result after Transfers to/from Reserves

0

0

0

2,822,241

2,782,241

3,100,588

NET RESULT

Summary Income Statement

Budget 2023/2024

145


Corporate & Customer Experience Description

Original Adopted Budget 2022/23

Current Revised Budget 2022/23

Original Budget 2023/24

0

0

0

Income Rates Income Annual Charges

0

0

0

User Charges

0

0

0

(63,900)

(63,900)

(66,456)

Statutory & Regulatory User Charges General User Fees

0

0

0

Interest Income

0

0

0

Operating Grants & Contributions Other Revenue

0

0

0

(61,500)

(61,500)

(60,000)

Net Gains from Disposal of Assets

0

0

0

Internal Income

0

0

0

ABC Recovery

(2,341,636)

(2,341,636)

(2,435,316)

0

0

0

(2,467,036)

(2,467,036)

(2,561,772)

1,629,238

1,629,238

1,746,093

5,000

5,000

5,000

Internal Plant Hire Total Income (Excluding Capital Grants & Contributions)

Expenditure Salaries, Wages & Oncosts Other Employee Costs Borrowing Costs Materials

479

0

10,000

10,000

Contracts & Consultancies

64,979

64,979

70,137

Legal Expenses

34,875

34,875

36,270

Depreciation Insurance Expenses Donations, Contributions & Taxes Administration Expenses Other Operating Expenses

456

456

11

973,281

973,281

1,119,274

0

0

0

62,608

62,608

65,112

0

0

0

Subscriptions & Memberships

18,227

18,227

18,956

Internal Expenses

8,000

8,000

8,000

ABC Distribution

472,997

472,997

492,871

Internal Plant Hire

0

0

0

Total Expenditure

3,280,140

3,280,140

3,571,724

813,104

813,104

1,009,952

0

0

0

813,104

813,104

1,009,952

Net Operating Result for the year before Grants & Contributions provided for capital purposes Capital Grants & Contributions

Operating Result for the Year

146

479 10,000

Clarence Valley Council


Description

Original Adopted Budget 2022/23

Current Revised Budget 2022/23

Original Budget 2023/24

0

0

Balance Sheet Movements / Non-Cash Adjustments Capital Works - New

0

Capital Works - Upgrade

0

0

0

Capital Works - Expansion

0

0

0

Capital Works - Renewal

0

0

0 (11)

Depreciation

(456)

(456)

Employee Leave Accruals

0

0

0

Employee Leave Paid

0

0

0

Loan Funds Received Loan Repayments (Principal Only) Long Term Debtor Repayments Total Balance Sheet Movements / Non-Cash Adjustments

0

0

0

2,225

2,225

0

0

0

0

1,769

1,769

(11)

0

0

0

Adjust for Transfers to/from Reserves Internal Reserves External Reserves

0

0

0

Unspent Loans

0

0

0

Unexpended Grant Reserves

0

0

0

S64 / S94 Contribution Reserves

0

0

0

Net Service Result after Transfers to/from Reserves

0

0

0

814,873

814,873

1,009,941

NET RESULT

Summary Income Statement

Budget 2023/2024

147


People & Culture Description

Original Adopted Budget 2022/23

Current Revised Budget 2022/23

Original Budget 2023/24

0

0

0

Income Rates Income Annual Charges

0

0

0

User Charges

0

0

0

Statutory & Regulatory User Charges

0

0

0

General User Fees

0

0

0

Interest Income

0

0

0

(186,290)

(186,290)

(193,742)

0

0

0

Operating Grants & Contributions Other Revenue Net Gains from Disposal of Assets

0

0

0

Internal Income

0

0

0

ABC Recovery

(1,055,050)

(1,055,050)

(1,113,071)

0

0

0

(1,241,340)

(1,241,340)

(1,306,813)

Internal Plant Hire Total Income (Excluding Capital Grants & Contributions)

Expenditure Salaries, Wages & Oncosts

541,016

541,016

972,239

Other Employee Costs

284,000

284,000

286,000

Borrowing Costs

0

0

0

Materials

0

0

0

Contracts & Consultancies

30,301

30,301

111,513

Legal Expenses

50,000

50,000

52,000

361

361

768

Insurance Expenses

Depreciation

0

0

0

Donations, Contributions & Taxes

0

0

0

49,007

49,007

50,967

0

0

0

Administration Expenses Other Operating Expenses

32,500

32,500

33,800

Internal Expenses

Subscriptions & Memberships

0

0

0

ABC Distribution

59,245

59,245

61,615

Internal Plant Hire

0

0

0

Total Expenditure

1,046,430

1,046,430

1,568,902

Net Operating Result for the year before Grants & Contributions provided for capital purposes

(194,910)

(194,910)

262,089

0

0

0

(194,910)

(194,910)

262,089

Capital Grants & Contributions

Operating Result for the Year

148

Clarence Valley Council


Description

Original Adopted Budget 2022/23

Current Revised Budget 2022/23

Original Budget 2023/24

0

0

Balance Sheet Movements / Non-Cash Adjustments Capital Works - New

0

Capital Works - Upgrade

0

0

0

Capital Works - Expansion

0

0

0

Capital Works - Renewal

0

0

0 (768)

Depreciation

(361)

(361)

Employee Leave Accruals

0

0

0

Employee Leave Paid

0

0

0

Loan Funds Received

0

0

0

Loan Repayments (Principal Only)

0

0

0

Long Term Debtor Repayments Total Balance Sheet Movements / Non-Cash Adjustments

0

0

0

(361)

(361)

(768)

0

0

0

Adjust for Transfers to/from Reserves Internal Reserves External Reserves

0

0

0

Unspent Loans

0

0

0

Unexpended Grant Reserves

0

0

0

S64 / S94 Contribution Reserves

0

0

0

Net Service Result after Transfers to/from Reserves

0

0

0

(195,271)

(195,271)

261,321

NET RESULT

Summary Income Statement

Budget 2023/2024

149


Safety & Risk Description

Original Adopted Budget 2022/23

Current Revised Budget 2022/23

Original Budget 2023/24

0

0

0

Income Rates Income Annual Charges

0

0

0

User Charges

0

0

0

Statutory & Regulatory User Charges

0

0

0

General User Fees

0

0

0

Interest Income

0

0

0

(117,000)

(117,000)

(153,900)

0

0

0

Operating Grants & Contributions Other Revenue Net Gains from Disposal of Assets

0

0

0

Internal Income

0

0

0

ABC Recovery

(362,670)

(362,670)

(382,617)

0

0

0

(479,670)

(479,670)

(536,517)

393,182

393,182

400,794

3,000

3,000

3,120

Internal Plant Hire Total Income (Excluding Capital Grants & Contributions)

Expenditure Salaries, Wages & Oncosts Other Employee Costs Borrowing Costs

0

0

0

Materials

0

0

0

70,000

70,000

72,800

0

0

0

Contracts & Consultancies Legal Expenses Depreciation

0

0

0

Insurance Expenses

0

0

0

Donations, Contributions & Taxes

0

0

0

Administration Expenses

0

0

0

Other Operating Expenses

0

0

0

Subscriptions & Memberships

0

0

0

Internal Expenses

0

0

0

ABC Distribution

23,307

23,307

24,239

Internal Plant Hire

0

0

0

Total Expenditure

489,489

489,489

500,953

9,819

9,819

(35,564)

0

0

0

9,819

9,819

(35,564)

Net Operating Result for the year before Grants & Contributions provided for capital purposes Capital Grants & Contributions

Operating Result for the Year

150

Clarence Valley Council


Description

Original Adopted Budget 2022/23

Current Revised Budget 2022/23

Original Budget 2023/24

0

0

Balance Sheet Movements / Non-Cash Adjustments Capital Works - New

0

Capital Works - Upgrade

0

0

0

Capital Works - Expansion

0

0

0

Capital Works - Renewal

0

0

0

Depreciation

0

0

0

Employee Leave Accruals

0

0

0

Employee Leave Paid

0

0

0

Loan Funds Received

0

0

0

Loan Repayments (Principal Only)

0

0

0

Long Term Debtor Repayments

0

0

0

Total Balance Sheet Movements / Non-Cash Adjustments

0

0

0

35,000

35,000

0

Adjust for Transfers to/from Reserves Internal Reserves External Reserves

0

0

0

Unspent Loans

0

0

0

Unexpended Grant Reserves

0

0

0

S64 / S94 Contribution Reserves Net Service Result after Transfers to/from Reserves

NET RESULT

0

0

0

35,000

35,000

0

44,819

44,819

(35,564)

Summary Income Statement

Budget 2023/2024

151


Community & Industry Engagement Description

Original Adopted Budget 2022/23

Current Revised Budget 2022/23

Original Budget 2023/24

0

0

0

Income Rates Income Annual Charges

0

0

0

User Charges

0

0

0

Statutory & Regulatory User Charges

0

0

0

General User Fees

0

0

0

Interest Income

0

0

0

Operating Grants & Contributions Other Revenue

0

0

0

(1,281)

(1,281)

(101,332)

Net Gains from Disposal of Assets

0

0

0

Internal Income

0

0

0

ABC Recovery

(260,413)

(260,413)

(270,830)

0

0

0

(261,694)

(261,694)

(372,162)

636,189

636,189

804,402

1,050

1,050

1,050

Internal Plant Hire Total Income (Excluding Capital Grants & Contributions)

Expenditure Salaries, Wages & Oncosts Other Employee Costs

300

300

0

Materials

Borrowing Costs

121,116

126,116

137,442

Contracts & Consultancies

109,889

104,889

187,017

0

0

0

10,034

10,034

8,300

0

0

0

Donations, Contributions & Taxes

135,000

135,000

135,000

Administration Expenses

167,354

167,354

188,579

0

0

0

Legal Expenses Depreciation Insurance Expenses

Other Operating Expenses Subscriptions & Memberships

25,210

25,210

44,546

Internal Expenses

25,520

25,520

26,599

ABC Distribution

204,213

204,213

212,836

Internal Plant Hire

0

0

0

Total Expenditure

1,435,875

1,435,875

1,745,771

Net Operating Result for the year before Grants & Contributions provided for capital purposes

1,174,181

1,174,181

1,373,609

0

0

0

1,174,181

1,174,181

1,373,609

Capital Grants & Contributions

Operating Result for the Year

152

Clarence Valley Council


Description

Original Adopted Budget 2022/23

Current Revised Budget 2022/23

Original Budget 2023/24

0

0

Balance Sheet Movements / Non-Cash Adjustments Capital Works - New

0

Capital Works - Upgrade

0

0

0

Capital Works - Expansion

0

0

0

Capital Works - Renewal

0

0

0 (8,300)

(10,034)

(10,034)

Employee Leave Accruals

Depreciation

0

0

0

Employee Leave Paid

0

0

0

Loan Funds Received Loan Repayments (Principal Only) Long Term Debtor Repayments Total Balance Sheet Movements / Non-Cash Adjustments

0

0

0

1,390

1,390

0

0

0

0

(8,644)

(8,644)

(8,300)

0

0

0

Adjust for Transfers to/from Reserves Internal Reserves External Reserves

0

0

0

Unspent Loans

0

0

0

Unexpended Grant Reserves

0

0

0

S64 / S94 Contribution Reserves

0

0

0

Net Service Result after Transfers to/from Reserves

0

0

0

1,165,537

1,165,537

1,365,309

NET RESULT

Summary Income Statement

Budget 2023/2024

153


Community Development Description

Original Adopted Budget 2022/23

Current Revised Budget 2022/23

Original Budget 2023/24

0

0

0

Income Rates Income Annual Charges

0

0

0

User Charges

0

0

0

Statutory & Regulatory User Charges

0

0

0

General User Fees

(20,566)

(20,566)

(21,389)

Interest Income

(27,318)

(27,318)

(28,137)

Operating Grants & Contributions

(96,231)

(96,231)

0

0

0

0

Other Revenue Net Gains from Disposal of Assets

0

0

0

Internal Income

0

0

0

ABC Recovery

0

0

0

Internal Plant Hire

0

0

0

(144,115)

(144,115)

(49,526)

874,892

874,892

746,331

0

0

0

Total Income (Excluding Capital Grants & Contributions)

Expenditure Salaries, Wages & Oncosts Other Employee Costs

0

0

0

Materials

Borrowing Costs

25,439

25,439

26,455

Contracts & Consultancies

121,800

111,800

131,272

0

0

0

Legal Expenses

154

Depreciation

149,258

149,258

130,642

Insurance Expenses

28,008

28,008

32,209

Donations, Contributions & Taxes

100,000

100,000

104,000

Administration Expenses

24,381

24,381

25,356

Other Operating Expenses

13,465

13,465

14,139

Subscriptions & Memberships

27,055

27,055

28,138

Internal Expenses

10,250

10,250

10,357

ABC Distribution

296,235

296,235

308,704

Internal Plant Hire

0

0

0

Total Expenditure

1,670,783

1,660,783

1,557,603

Net Operating Result for the year before Grants & Contributions provided for capital purposes

1,526,668

1,516,668

1,373,609

Capital Grants & Contributions

(1,451,648)

(951,648)

(455,945)

Operating Result for the Year

75,020

565,020

1,052,132

Clarence Valley Council


Description

Original Adopted Budget 2022/23

Current Revised Budget 2022/23

Original Budget 2023/24

100,000

0

Balance Sheet Movements / Non-Cash Adjustments Capital Works - New

635,000

Capital Works - Upgrade

0

0

0

Capital Works - Expansion

0

0

0

Capital Works - Renewal

500,000

0

0

Depreciation

(149,258)

(149,258)

(130,642)

Employee Leave Accruals

0

0

0

Employee Leave Paid

0

0

0

Loan Funds Received

0

0

0

Loan Repayments (Principal Only)

0

0

0

Long Term Debtor Repayments Total Balance Sheet Movements / Non-Cash Adjustments

0

0

0

985,742

(49,258)

(130,642)

(635,000)

0

0

Adjust for Transfers to/from Reserves Internal Reserves External Reserves

0

0

0

Unspent Loans

0

0

0

Unexpended Grant Reserves

0

0

0

S64 / S94 Contribution Reserves

978,966

978,966

0

Net Service Result after Transfers to/from Reserves

343,966

978,966

0

1,404,728

1,494,728

921,490

NET RESULT

Summary Income Statement

Budget 2023/2024

155


Library Services Description

Original Adopted Budget 2022/23

Current Revised Budget 2022/23

Original Budget 2023/24

0

0

0

Income Rates Income Annual Charges

0

0

0

User Charges

0

0

0

Statutory & Regulatory User Charges

0

0

0

General User Fees

(10,300)

(10,300)

(10,712)

Interest Income

(10,019)

(10,019)

(10,320)

Operating Grants & Contributions

(488,167)

(488,167)

(293,925)

(5,364)

(5,364)

(5,579)

Other Revenue Net Gains from Disposal of Assets Internal Income

0

0

0

(1,169,113)

(1,169,113)

0

ABC Recovery

0

0

0

Internal Plant Hire

0

0

0

(1,682,963)

(1,682,963)

(320,536)

1,564,952

1,564,952

1,685,733

3,800

3,800

2,912

Total Income (Excluding Capital Grants & Contributions)

Expenditure Salaries, Wages & Oncosts Other Employee Costs Borrowing Costs

1,885

1,885

1,709

Materials

37,015

37,015

38,003

Contracts & Consultancies

100,545

100,545

138,784

0

0

0

Depreciation

382,663

382,663

414,367

Insurance Expenses

34,430

34,430

39,595

0

0

0

Legal Expenses

Donations, Contributions & Taxes Administration Expenses

27,527

27,527

30,417

Other Operating Expenses

181,583

181,583

201,354

106,045

106,045

136,552

Internal Expenses

Subscriptions & Memberships

1,207,614

1,207,614

39,077

ABC Distribution

432,759

432,759

451,400

Internal Plant Hire

0

0

0

Total Expenditure

4,080,818

4,080,818

3,179,903

Net Operating Result for the year before Grants & Contributions provided for capital purposes

2,397,855

2,397,855

2,859,367

0

0

0

2,397,855

2,397,855

2,859,367

Capital Grants & Contributions

Operating Result for the Year

156

Clarence Valley Council


Description

Original Adopted Budget 2022/23

Current Revised Budget 2022/23

Original Budget 2023/24

0

0

Balance Sheet Movements / Non-Cash Adjustments Capital Works - New

0

Capital Works - Upgrade

0

0

0

Capital Works - Expansion

0

0

0

Capital Works - Renewal

345,000

345,000

352,889

Depreciation

(414,367)

(382,663)

(382,663)

Employee Leave Accruals

0

0

0

Employee Leave Paid

0

0

0

Loan Funds Received Loan Repayments (Principal Only) Long Term Debtor Repayments

0

0

0

4,132

4,132

4,986

0

0

0

(33,531)

(33,531)

(56,492)

Internal Reserves

0

0

0

External Reserves

(1,330,782)

Total Balance Sheet Movements / Non-Cash Adjustments

Adjust for Transfers to/from Reserves 102,287

102,287

Unspent Loans

0

0

0

Unexpended Grant Reserves

0

0

0

S64 / S94 Contribution Reserves Net Service Result after Transfers to/from Reserves

NET RESULT

0

0

0

102,287

102,287

(1,330,782)

2,466,611

2,466,611

1,472,093

Summary Income Statement

Budget 2023/2024

157


Cultural Services Description

Original Adopted Budget 2022/23

Current Revised Budget 2022/23

Original Budget 2023/24

0

0

0

Income Rates Income Annual Charges

0

0

0

User Charges

0

0

0

Statutory & Regulatory User Charges

0

0

0

(83,440)

(83,440)

(86,778)

0

0

0

Operating Grants & Contributions

(125,000)

(125,000)

0

Other Revenue

(43,047)

(43,047)

(44,768)

General User Fees Interest Income

Net Gains from Disposal of Assets

0

0

0

Internal Income

0

0

0

ABC Recovery

0

0

0

Internal Plant Hire

0

0

0

(251,487)

(251,487)

(131,546)

440,549

440,549

455,242

0

0

0

Total Income (Excluding Capital Grants & Contributions)

Expenditure Salaries, Wages & Oncosts Other Employee Costs

6,367

6,367

4,692

Materials

Borrowing Costs

100,750

100,750

104,781

Contracts & Consultancies

127,155

127,155

132,241

0

0

0

Legal Expenses Depreciation

4,578

4,578

4,971

Insurance Expenses

19,038

19,038

21,894

Donations, Contributions & Taxes

26,000

26,000

27,040

Administration Expenses

34,206

34,206

35,575

Other Operating Expenses

49,566

49,566

52,005

Subscriptions & Memberships

4,824

4,824

5,017

Internal Expenses

19,886

19,886

20,629

ABC Distribution

106,649

106,649

111,414

Internal Plant Hire

0

0

0

Total Expenditure

939,568

939,568

975,501

Net Operating Result for the year before Grants & Contributions provided for capital purposes

688,081

688,081

843,955

0

0

0

688,081

688,081

843,955

Capital Grants & Contributions

Operating Result for the Year

158

Clarence Valley Council


Description

Original Adopted Budget 2022/23

Current Revised Budget 2022/23

Original Budget 2023/24

24,000

24,000

Balance Sheet Movements / Non-Cash Adjustments Capital Works - New

24,000

Capital Works - Upgrade

0

0

0

Capital Works - Expansion

0

0

0

Capital Works - Renewal

0

0

0 (4,971)

(4,578)

(4,578)

Employee Leave Accruals

Depreciation

0

0

0

Employee Leave Paid

0

0

0

Loan Funds Received Loan Repayments (Principal Only) Long Term Debtor Repayments

0

0

0

36,317

36,317

13,693

0

0

0

55,739

55,739

32,722

Internal Reserves

0

0

0

External Reserves

Total Balance Sheet Movements / Non-Cash Adjustments

Adjust for Transfers to/from Reserves 114,414

114,414

0

Unspent Loans

0

0

0

Unexpended Grant Reserves

0

0

0

S64 / S94 Contribution Reserves Net Service Result after Transfers to/from Reserves

NET RESULT

0

0

0

114,414

114,414

0

858,234

858,234

876,677

Summary Income Statement

Budget 2023/2024

159


3000 - Works & Civil Management Description

Original Adopted Budget 2022/23

Current Revised Budget 2022/23

Original Budget 2023/24

0

0

0

Income Rates Income Annual Charges

0

0

0

User Charges

0

0

0

Statutory & Regulatory User Charges

0

0

0

(41,734)

(41,734)

0

0

0

0

General User Fees Interest Income Operating Grants & Contributions Other Revenue

0

0

0

(265,214)

(265,214)

(275,823)

Net Gains from Disposal of Assets

(1,535,117)

(1,535,117)

(1,535,117)

Internal Income

(1,525,325)

(1,525,325)

(1,373,653)

(679,878)

(679,878)

(707,074)

Internal Plant Hire

ABC Recovery

(7,976,273)

(7,976,273)

(10,542,339)

Total Income (Excluding Capital Grants & Contributions)

(12,023,541)

(12,023,541)

(14,434,006)

1,130,483

1,130,483

1,133,110

8,000

8,000

8,320

Expenditure Salaries, Wages & Oncosts Other Employee Costs Borrowing Costs Materials Contracts & Consultancies Legal Expenses Depreciation Insurance Expenses Donations, Contributions & Taxes Administration Expenses Other Operating Expenses Subscriptions & Memberships

556

504

3,868,736

4,162,333

446,872

446,872

438,394

0

0

0

2,980,727

2,980,727

3,288,635

588,222

588,222

676,457

0

0

0

0

0

0

45,047

45,047

47,299

1,250

1,250

1,300

Internal Expenses

171,400

171,400

172,694

ABC Distribution

830,954

830,954

864,729

Internal Plant Hire

23,575

23,575

24,518

Total Expenditure

10,095,822

10,095,822

10,818,293

Net Operating Result for the year before Grants & Contributions provided for capital purposes

(1,927,719)

(1,927,719)

(3,615,713)

0

(200,600)

0

(1,927,719)

(2,128,319)

(3,615,713)

Capital Grants & Contributions

Operating Result for the Year

160

556 3,868,736

Clarence Valley Council


Description

Original Adopted Budget 2022/23

Current Revised Budget 2022/23

Original Budget 2023/24

0

Balance Sheet Movements / Non-Cash Adjustments Capital Works - New

0

202,000

Capital Works - Upgrade

0

200,600

0

Capital Works - Expansion

0

0

0

Capital Works - Renewal

5,396,986

5,396,986

5,650,000

Depreciation

(3,288,635)

(2,980,726)

(2,980,726)

Employee Leave Accruals

0

0

0

Employee Leave Paid

0

0

0

Loan Funds Received Loan Repayments (Principal Only) Long Term Debtor Repayments

0

0

0

1,218

1,218

1,470

0

0

0

2,417,478

2,820,078

2,362,835

Internal Reserves

(1,540,894)

(1,540,894)

477,528

External Reserves

Total Balance Sheet Movements / Non-Cash Adjustments

Adjust for Transfers to/from Reserves 512,219

512,219

0

Unspent Loans

0

0

0

Unexpended Grant Reserves

0

0

0

S64 / S94 Contribution Reserves Net Service Result after Transfers to/from Reserves

NET RESULT

0

0

0

(1,028,675)

(1,028,675)

477,528

(538,916)

(336,916)

(775,350)

Summary Income Statement

Budget 2023/2024

161


3020 - Strategic Infrastructure & Planning Coordination Description

Original Adopted Budget 2022/23

Current Revised Budget 2022/23

Original Budget 2023/24

0

0

0

Income Rates Income Annual Charges

0

0

0

User Charges

0

0

0

Statutory & Regulatory User Charges

0

0

0

General User Fees

0

0

0

Interest Income

0

0

0

(56,305)

(56,305)

(195,402)

0

0

0

Operating Grants & Contributions Other Revenue Net Gains from Disposal of Assets

0

0

0

Internal Income

0

0

0

ABC Recovery

0

0

0

Internal Plant Hire

0

0

0

(56,305)

(56,305)

(195,402)

638,154

638,154

827,839

0

0

0

Total Income (Excluding Capital Grants & Contributions)

Expenditure Salaries, Wages & Oncosts Other Employee Costs

0

0

0

Materials

Borrowing Costs

3,857

3,857

4,011

Contracts & Consultancies

71,296

71,296

314,148

0

0

0

Legal Expenses Depreciation

0

0

0

Insurance Expenses

0

0

0

Donations, Contributions & Taxes

0

0

0

Administration Expenses

0

0

0

Other Operating Expenses

0

0

0

0

0

0

Internal Expenses

Subscriptions & Memberships

48,500

48,500

48,500

ABC Distribution

55,702

55,702

58,137

Internal Plant Hire

0

0

0

Total Expenditure

817,509

817,509

1,252,635

Net Operating Result for the year before Grants & Contributions provided for capital purposes

761,204

761,204

1,057,233

0

0

0

761,204

761,204

1,057,233

Capital Grants & Contributions

Operating Result for the Year

162

Clarence Valley Council


Description

Original Adopted Budget 2022/23

Current Revised Budget 2022/23

Original Budget 2023/24

0

0

Balance Sheet Movements / Non-Cash Adjustments Capital Works - New

0

Capital Works - Upgrade

0

0

0

Capital Works - Expansion

0

0

0

17,833

17,833

0

Capital Works - Renewal Depreciation

0

0

0

Employee Leave Accruals

0

0

0

Employee Leave Paid

0

0

0

Loan Funds Received

0

0

0

Loan Repayments (Principal Only)

0

0

0

Long Term Debtor Repayments Total Balance Sheet Movements / Non-Cash Adjustments

0

0

0

17,833

17,833

0

0

0

0

Adjust for Transfers to/from Reserves Internal Reserves External Reserves

0

0

0

Unspent Loans

0

0

0

Unexpended Grant Reserves

0

0

0

S64 / S94 Contribution Reserves

0

0

0

Net Service Result after Transfers to/from Reserves

0

0

0

779,037

779,037

1,057,233

NET RESULT

Summary Income Statement

Budget 2023/2024

163


3120 - Quarries Description

Original Adopted Budget 2022/23

Current Revised Budget 2022/23

Original Budget 2023/24

0

0

0

Income Rates Income Annual Charges

0

0

0

User Charges

0

0

0

Statutory & Regulatory User Charges

0

0

0

General User Fees

(6,140)

(6,140)

(6,386)

Interest Income

(3,628)

(3,628)

(3,737)

Operating Grants & Contributions

0

0

0

Other Revenue

0

0

0

Net Gains from Disposal of Assets

0

0

0

Internal Income

0

0

0

ABC Recovery

0

0

0

Internal Plant Hire

0

0

0

(9,768)

(9,768)

(10,123)

128,401

128,401

133,745

0

0

0

Total Income (Excluding Capital Grants & Contributions)

Expenditure Salaries, Wages & Oncosts Other Employee Costs

0

0

0

Materials

Borrowing Costs

29,129

29,129

30,294

Contracts & Consultancies

324,500

324,500

437,480

0

0

0

Legal Expenses

29,443

29,443

17,947

Insurance Expenses

Depreciation

0

0

0

Donations, Contributions & Taxes

0

0

0

Administration Expenses

0

0

0

Other Operating Expenses

0

0

0

0

0

0

Internal Expenses

Subscriptions & Memberships

15,818

15,818

16,935

ABC Distribution

9,161

9,161

9,569

Internal Plant Hire

0

0

0

Total Expenditure

536,452

536,452

645,970

Net Operating Result for the year before Grants & Contributions provided for capital purposes

526,684

526,684

635,847

Capital Grants & Contributions

(24,563)

(24,563)

(15,600)

502,121

502,121

620,247

Operating Result for the Year

164

Clarence Valley Council


Description

Original Adopted Budget 2022/23

Current Revised Budget 2022/23

Original Budget 2023/24

0

0

Balance Sheet Movements / Non-Cash Adjustments Capital Works - New

0

Capital Works - Upgrade

0

0

0

Capital Works - Expansion

0

0

0

Capital Works - Renewal

41,000

41,000

30,000

Depreciation

(17,947)

(29,443)

(29,443)

Employee Leave Accruals

0

0

0

Employee Leave Paid

0

0

0

Loan Funds Received

0

0

0

Loan Repayments (Principal Only)

0

0

0

Long Term Debtor Repayments Total Balance Sheet Movements / Non-Cash Adjustments

0

0

0

11,557

11,557

12,053

(538,241)

(538,241)

(632,300)

Adjust for Transfers to/from Reserves Internal Reserves External Reserves

0

0

0

Unspent Loans

0

0

0

Unexpended Grant Reserves

0

0

0

S64 / S94 Contribution Reserves Net Service Result after Transfers to/from Reserves

NET RESULT

24,563

24,563

0

(513,678)

(513,678)

(632,300)

0

0

0

Summary Income Statement

Budget 2023/2024

165


3010 - Emergency Services Description

Original Adopted Budget 2022/23

Current Revised Budget 2022/23

Original Budget 2023/24

0

0

0

Income Rates Income Annual Charges

0

0

0

User Charges

0

0

0

Statutory & Regulatory User Charges

0

0

0

General User Fees

0

0

0

Interest Income

0

0

0

(597,320)

(597,320)

0

0

0

0

Operating Grants & Contributions Other Revenue Net Gains from Disposal of Assets

0

0

0

Internal Income

0

0

0

ABC Recovery

0

0

0

Internal Plant Hire

0

0

0

(597,320)

(597,320)

0

159,462

159,462

2,588

0

0

0

Total Income (Excluding Capital Grants & Contributions)

Expenditure Salaries, Wages & Oncosts Other Employee Costs

1,051

1,051

952

Materials

Borrowing Costs

460,906

460,906

473,741

Contracts & Consultancies

274,557

274,557

272,808

0

0

0

Depreciation

171,877

171,877

148,719

Insurance Expenses

39,062

39,062

44,922

1,212,160

1,212,160

1,765,080

Legal Expenses

Donations, Contributions & Taxes Administration Expenses

19,849

19,849

19,645

Other Operating Expenses

90,168

90,168

94,306

Subscriptions & Memberships

1,272

1,272

0

Internal Expenses

38,119

38,119

34,876

ABC Distribution

537

537

558

Internal Plant Hire

0

0

0

Total Expenditure

2,469,020

2,469,020

2,858,195

Net Operating Result for the year before Grants & Contributions provided for capital purposes

1,871,700

1,871,700

2,858,195

0

(10,028,571)

0

1,871,700

(8,156,871)

2,858,195

Capital Grants & Contributions

Operating Result for the Year

166

Clarence Valley Council


Description

Original Adopted Budget 2022/23

Current Revised Budget 2022/23

Original Budget 2023/24

0

0

Balance Sheet Movements / Non-Cash Adjustments Capital Works - New

0

Capital Works - Upgrade

0

0

0

Capital Works - Expansion

0

0

0

Capital Works - Renewal

0

10,028,571

0 (148,719)

(171,877)

(171,877)

Employee Leave Accruals

Depreciation

0

0

0

Employee Leave Paid

0

0

0

Loan Funds Received Loan Repayments (Principal Only) Long Term Debtor Repayments Total Balance Sheet Movements / Non-Cash Adjustments

0

0

0

2,302

2,302

2,778

0

0

0

(169,575)

9,858,996

(145,941)

0

0

0

Adjust for Transfers to/from Reserves Internal Reserves External Reserves

0

0

0

Unspent Loans

0

0

0

(31,996)

(31,996)

0

Unexpended Grant Reserves S64 / S94 Contribution Reserves Net Service Result after Transfers to/from Reserves

NET RESULT

0

0

0

(31,996)

(31,996)

0

1,670,129

1,670,129

2,712,254

Summary Income Statement

Budget 2023/2024

167


2010 - Property Services Description

Original Adopted Budget 2022/23

Current Revised Budget 2022/23

Original Budget 2023/24

0

0

0

Income Rates Income Annual Charges

0

0

0

User Charges

0

0

0

Statutory & Regulatory User Charges

0

0

0

General User Fees

0

0

0

Interest Income

0

0

0

Operating Grants & Contributions

(17,405)

(17,405)

(18,101)

Other Revenue

(495,824)

(495,824)

(515,657)

Net Gains from Disposal of Assets

0

0

0

Internal Income

0

0

0

ABC Recovery

0

0

0

Internal Plant Hire

0

0

0

(513,229)

(513,229)

(533,758)

252,961

252,961

258,656

0

0

0

199

199

180

0

0

0

Total Income (Excluding Capital Grants & Contributions)

Expenditure Salaries, Wages & Oncosts Other Employee Costs Borrowing Costs Materials Contracts & Consultancies

50,061

50,061

56,428

Legal Expenses

23,973

23,973

8,863

Depreciation Insurance Expenses Donations, Contributions & Taxes Administration Expenses Other Operating Expenses Subscriptions & Memberships

0

0

19,973

22,969

0

0

0

0

0

0

5,045

5,045

5,297

0

0

5,200

Internal Expenses

27,302

27,302

29,111

ABC Distribution

9,686

9,686

10,072

Internal Plant Hire

0

0

0

Total Expenditure

389,200

389,200

396,776

Net Operating Result for the year before Grants & Contributions provided for capital purposes

(124,029)

(124,029)

(136,982)

0

0

0

(124,029)

(124,029)

(136,982)

Capital Grants & Contributions

Operating Result for the Year

168

0 19,973

Clarence Valley Council


Description

Original Adopted Budget 2022/23

Current Revised Budget 2022/23

Original Budget 2023/24

0

0

Balance Sheet Movements / Non-Cash Adjustments Capital Works - New

0

Capital Works - Upgrade

0

0

0

Capital Works - Expansion

0

0

0

Capital Works - Renewal

0

0

0

Depreciation

0

0

0

Employee Leave Accruals

0

0

0

Employee Leave Paid

0

0

0

Loan Funds Received Loan Repayments (Principal Only) Long Term Debtor Repayments Total Balance Sheet Movements / Non-Cash Adjustments

0

0

0

435

435

525

0

0

0

435

435

525

(66,039)

(66,039)

0

Adjust for Transfers to/from Reserves Internal Reserves External Reserves

0

0

0

Unspent Loans

0

0

0

Unexpended Grant Reserves

0

0

0

S64 / S94 Contribution Reserves Net Service Result after Transfers to/from Reserves

NET RESULT

0

0

0

(66,039)

(66,039)

0

(189,633)

(189,633)

(136,457)

Summary Income Statement

Budget 2023/2024

169


3100 - Roads Infrastructure Description

Original Adopted Budget 2022/23

Current Revised Budget 2022/23

Original Budget 2023/24

0

0

0

Income Rates Income Annual Charges

0

0

(600,000)

User Charges

0

0

0

(89,600)

(89,600)

(93,184)

General User Fees

(1,773,196)

(1,773,196)

(62,034)

Interest Income

(79,028)

(79,028)

(81,399)

(7,353,632)

(8,203,596)

(7,888,448)

(30,000)

(30,000)

(31,200)

Statutory & Regulatory User Charges

Operating Grants & Contributions Other Revenue Net Gains from Disposal of Assets

0

0

0

Internal Income

0

0

0

ABC Recovery

0

0

0

Internal Plant Hire

0

0

0

(9,325,456)

(10,175,420)

(8,756,265)

6,731,365

6,731,365

5,936,202

4,000

4,000

4,000

Total Income (Excluding Capital Grants & Contributions)

Expenditure Salaries, Wages & Oncosts Other Employee Costs

407,859

407,859

284,508

Materials

Borrowing Costs

2,026,749

2,883,213

1,830,680

Contracts & Consultancies

2,336,648

2,346,648

1,925,987

0

0

0

20,811,627

20,811,627

20,657,209

2,587

2,587

2,975

0

0

0

Legal Expenses Depreciation Insurance Expenses Donations, Contributions & Taxes Administration Expenses Other Operating Expenses Subscriptions & Memberships Internal Expenses

0

0

460,782

483,822

4,550

4,550

4,732

334,015

334,015

327,443

ABC Distribution

1,973,431

1,973,431

2,058,102

Internal Plant Hire

3,022,512

3,020,912

2,997,188

Total Expenditure

38,116,125

38,980,989

36,512,848

Net Operating Result for the year before Grants & Contributions provided for capital purposes

28,790,669

28,805,569

27,756,583

Capital Grants & Contributions

(32,334,140)

(58,428,138)

(99,680,103)

(3,543,471)

(29,622,569)

(71,923,520)

Operating Result for the Year

170

0 460,782

Clarence Valley Council


Description

Original Adopted Budget 2022/23

Current Revised Budget 2022/23

Original Budget 2023/24

Balance Sheet Movements / Non-Cash Adjustments Capital Works - New

2,034,843

2,122,843

6,154,929

Capital Works - Upgrade

9,021,178

33,397,194

75,006,481

0

0

0

Capital Works - Renewal

35,087,887

36,766,764

23,614,113

Depreciation

Capital Works - Expansion

(20,811,625)

(20,811,625)

(20,657,209)

Employee Leave Accruals

0

0

0

Employee Leave Paid

0

0

0

Loan Funds Received Loan Repayments (Principal Only) Long Term Debtor Repayments

0

0

0

1,318,375

1,318,375

830,237

0

0

0

26,650,658

52,793,551

84,948,551

Internal Reserves

(5,583,125)

(5,583,125)

(240,000)

External Reserves

(28,050)

(28,050)

(8,599)

0

0

0

(5,967,573)

(5,967,573)

(140,000)

Total Balance Sheet Movements / Non-Cash Adjustments

Adjust for Transfers to/from Reserves

Unspent Loans Unexpended Grant Reserves S64 / S94 Contribution Reserves Net Service Result after Transfers to/from Reserves

NET RESULT

(204,805)

(204,805)

0

(11,783,553)

(11,783,553)

(388,599)

11,323,634

11,387,429

12,636,432

Summary Income Statement

Budget 2023/2024

171


3200 - Parks & Open Spaces Description

Original Adopted Budget 2022/23

Current Revised Budget 2022/23

Original Budget 2023/24

0

0

0

Income Rates Income Annual Charges

0

0

0

User Charges

0

0

0

Statutory & Regulatory User Charges

0

0

0

General User Fees

(645,927)

(645,927)

(671,764)

Interest Income

(3,084)

(3,084)

(3,176)

Operating Grants & Contributions Other Revenue Net Gains from Disposal of Assets Internal Income

0

0

0

(152,447)

(152,447)

(158,545)

0

0

0

(1,000,000)

(1,190,500)

(1,000,000)

ABC Recovery

0

0

0

Internal Plant Hire

0

0

0

(1,801,458)

(1,991,958)

(1,833,485)

3,850,629

3,850,629

2,956,596

0

0

0

Total Income (Excluding Capital Grants & Contributions)

Expenditure Salaries, Wages & Oncosts Other Employee Costs Borrowing Costs

80,257

80,257

53,995

Materials

442,443

305,833

318,065

3,773,170

3,773,170

3,164,896

0

0

0

Contracts & Consultancies Legal Expenses

2,531,997

2,531,997

2,455,312

Insurance Expenses

Depreciation

231,282

231,282

265,975

Donations, Contributions & Taxes

29,527

29,527

30,708

Administration Expenses

6,224

6,224

6,473

Other Operating Expenses

116,696

116,696

122,531

1,737

1,737

1,806

Internal Expenses

Subscriptions & Memberships

871,217

871,217

736,529

ABC Distribution

834,046

834,046

869,610

Internal Plant Hire

96,000

896,000

931,840

Total Expenditure

12,865,225

13,528,615

11,914,336

Net Operating Result for the year before Grants & Contributions provided for capital purposes

11,063,767

11,536,657

10,080,851

(139,071)

(12,213,259)

(8,048,271)

10,924,696

(676,602)

2,032,580

Capital Grants & Contributions

Operating Result for the Year

172

Clarence Valley Council


Description

Original Adopted Budget 2022/23

Current Revised Budget 2022/23

Original Budget 2023/24

179,000

3,679,000

9,645,239

Capital Works - Upgrade

8,138,047

5,849,125

1,919,772

Capital Works - Expansion

1,759,632

0

0

Capital Works - Renewal

1,300,000

4,231,989

8,920,000

Depreciation

(2,455,312)

Balance Sheet Movements / Non-Cash Adjustments Capital Works - New

(2,531,997)

(2,531,997)

Employee Leave Accruals

0

0

0

Employee Leave Paid

0

0

0

0

0

(8,500,000)

226,477

226,477

157,565

Loan Funds Received Loan Repayments (Principal Only) Long Term Debtor Repayments Total Balance Sheet Movements / Non-Cash Adjustments

0

0

0

9,071,159

11,454,594

9,687,264

(9,389,423)

(1,219,694)

(987,000)

Adjust for Transfers to/from Reserves Internal Reserves External Reserves

0

0

0

Unspent Loans

0

0

0

Unexpended Grant Reserves

0

(212,828)

0

S64 / S94 Contribution Reserves Net Service Result after Transfers to/from Reserves

NET RESULT

974,936

707,436

(356,941)

(8,414,487)

(725,086)

(1,343,941)

11,581,368

10,052,906

10,375,903

Summary Income Statement

Budget 2023/2024

173


3220 - Buildings & Facilities Description

Original Adopted Budget 2022/23

Current Revised Budget 2022/23

Original Budget 2023/24

0

0

0

Income Rates Income Annual Charges

0

0

0

User Charges

0

0

0

Statutory & Regulatory User Charges

0

0

0

General User Fees

0

0

0

Interest Income

0

0

0

Operating Grants & Contributions Other Revenue

0

0

0

(198,478)

(198,478)

(206,416)

Net Gains from Disposal of Assets

0

0

0

Internal Income

0

0

0

ABC Recovery

(266,907)

(266,907)

(277,581)

0

0

0

(465,385)

(465,385)

(483,997)

797,816

797,816

410,348

0

0

0

Borrowing Costs

11,687

11,687

7,680

Materials

3,072

3,072

3,195

Internal Plant Hire Total Income (Excluding Capital Grants & Contributions)

Expenditure Salaries, Wages & Oncosts Other Employee Costs

Contracts & Consultancies

86,447

86,447

89,905

Legal Expenses

22,909

22,909

23,825

1,287,114

1,287,114

1,335,212

171,516

171,516

197,244

0

0

0

Depreciation Insurance Expenses Donations, Contributions & Taxes Administration Expenses Other Operating Expenses Subscriptions & Memberships

174

288

288

300

305,724

305,724

321,009

0

0

0

Internal Expenses

409,079

409,079

121,790

ABC Distribution

184,009

184,009

191,827

Internal Plant Hire

0

0

0

Total Expenditure

3,279,661

3,279,661

2,702,335

Net Operating Result for the year before Grants & Contributions provided for capital purposes

2,814,276

2,814,276

2,218,338

Capital Grants & Contributions

(2,678,689)

(2,678,689)

(21,055,193)

Operating Result for the Year

135,587

135,587

(18,836,855)

Clarence Valley Council


Description

Original Adopted Budget 2022/23

Current Revised Budget 2022/23

Original Budget 2023/24

1,678,689

1,678,689

21,864,286

268,600

268,600

65,000

0

0

0

Capital Works - Renewal

2,253,188

2,253,188

9,091,104

Depreciation

(1,335,212)

Balance Sheet Movements / Non-Cash Adjustments Capital Works - New Capital Works - Upgrade Capital Works - Expansion

(1,287,115)

(1,287,115)

Employee Leave Accruals

0

0

0

Employee Leave Paid

0

0

0

0

0

1,115,301

33,321

33,321

22,408

Loan Funds Received Loan Repayments (Principal Only) Long Term Debtor Repayments Total Balance Sheet Movements / Non-Cash Adjustments

0

0

0

2,946,683

2,946,683

30,822,887

(720,099)

(720,099)

(4,940,000)

Adjust for Transfers to/from Reserves Internal Reserves External Reserves

0

0

0

Unspent Loans

0

0

0

Unexpended Grant Reserves

0

0

0

S64 / S94 Contribution Reserves Net Service Result after Transfers to/from Reserves

NET RESULT

0

0

(3,049,896)

(720,099)

(720,099)

(7,989,896)

2,362,171

2,362,171

3,996,136

Summary Income Statement

Budget 2023/2024

175


3250 - Saleyards Description

Original Adopted Budget 2022/23

Current Revised Budget 2022/23

Original Budget 2023/24

0

0

0

Income Rates Income Annual Charges

0

0

0

User Charges

0

0

0

Statutory & Regulatory User Charges

0

0

0

General User Fees

(289,988)

(289,988)

(301,588)

Interest Income

(4,607)

(4,607)

(4,745)

Operating Grants & Contributions Other Revenue

0

0

0

(1,288)

(1,288)

(1,340)

Net Gains from Disposal of Assets

0

0

0

Internal Income

0

0

0

ABC Recovery

0

0

0

Internal Plant Hire

0

0

0

(295,883)

(295,883)

(307,673)

156,636

156,636

141,897

0

0

0

Total Income (Excluding Capital Grants & Contributions)

Expenditure Salaries, Wages & Oncosts Other Employee Costs Borrowing Costs

2,996

2,996

0

Materials

5,181

5,181

5,388

102,061

102,061

106,144

0

0

0

105,504

105,504

120,485

4,210

4,210

4,842

0

0

0

Contracts & Consultancies Legal Expenses Depreciation Insurance Expenses Donations, Contributions & Taxes Administration Expenses Other Operating Expenses

0

0

10,522

10,994

Subscriptions & Memberships

1,944

1,944

2,022

Internal Expenses

24,127

24,127

25,448

ABC Distribution

22,072

22,072

22,996

Internal Plant Hire

0

0

0

Total Expenditure

435,253

435,253

440,216

Net Operating Result for the year before Grants & Contributions provided for capital purposes

139,370

139,370

132,543

0

0

0

139,370

139,370

132,543

Capital Grants & Contributions

Operating Result for the Year

176

0 10,522

Clarence Valley Council


Description

Original Adopted Budget 2022/23

Current Revised Budget 2022/23

Original Budget 2023/24

0

0

50,000

Balance Sheet Movements / Non-Cash Adjustments Capital Works - New Capital Works - Upgrade

158,000

158,000

0

Capital Works - Expansion

0

0

0

Capital Works - Renewal

0

0

0

(105,504)

(105,504)

(120,485)

Employee Leave Accruals

Depreciation

0

0

0

Employee Leave Paid

0

0

0

Loan Funds Received Loan Repayments (Principal Only) Long Term Debtor Repayments Total Balance Sheet Movements / Non-Cash Adjustments

0

0

0

13,906

13,906

0

0

0

0

66,402

66,402

(70,485)

(205,772)

(205,772)

(62,058)

Adjust for Transfers to/from Reserves Internal Reserves External Reserves

0

0

0

Unspent Loans

0

0

0

Unexpended Grant Reserves

0

0

0

S64 / S94 Contribution Reserves Net Service Result after Transfers to/from Reserves

NET RESULT

0

0

0

(205,772)

(205,772)

(62,058)

0

0

0

Summary Income Statement

Budget 2023/2024

177


3110 - Regional Airport Description

Original Adopted Budget 2022/23

Current Revised Budget 2022/23

Original Budget 2023/24

0

0

0

Income Rates Income Annual Charges

0

0

0

User Charges

0

0

0

Statutory & Regulatory User Charges

0

0

0

(36,452)

(36,452)

(37,910)

0

0

0

Operating Grants & Contributions

(17,565)

(17,565)

0

Other Revenue

(3,056)

(3,056)

(3,178)

General User Fees Interest Income

Net Gains from Disposal of Assets

0

0

0

Internal Income

0

0

0

ABC Recovery

0

0

0

Internal Plant Hire

0

0

0

(57,073)

(57,073)

(41,088)

162,157

162,157

166,701

0

0

0

Total Income (Excluding Capital Grants & Contributions)

Expenditure Salaries, Wages & Oncosts Other Employee Costs Borrowing Costs

22,758

22,758

4,872

Materials

3,023

3,023

3,144

Contracts & Consultancies

15,546

15,546

16,168

0

0

0

215,588

215,588

243,700

3,603

3,603

4,143

0

0

0

Legal Expenses Depreciation Insurance Expenses Donations, Contributions & Taxes Administration Expenses Other Operating Expenses

0

0

14,459

15,182

Subscriptions & Memberships

2,153

2,153

2,239

Internal Expenses

17,445

17,445

17,627

ABC Distribution

20,613

20,613

21,479

Internal Plant Hire

0

0

0

Total Expenditure

477,345

477,345

495,255

Net Operating Result for the year before Grants & Contributions provided for capital purposes

420,272

420,272

454,167

0

0

0

420,272

420,272

454,167

Capital Grants & Contributions

Operating Result for the Year

178

0 14,459

Clarence Valley Council


Description

Original Adopted Budget 2022/23

Current Revised Budget 2022/23

Original Budget 2023/24

0

0

Balance Sheet Movements / Non-Cash Adjustments Capital Works - New

0

Capital Works - Upgrade

0

0

0

Capital Works - Expansion

0

0

0

Capital Works - Renewal

0

0

200,000 (243,700)

(215,588)

(215,588)

Employee Leave Accruals

Depreciation

0

0

0

Employee Leave Paid

0

0

0

Loan Funds Received Loan Repayments (Principal Only) Long Term Debtor Repayments Total Balance Sheet Movements / Non-Cash Adjustments

0

0

0

115,670

115,670

130,696

0

0

0

(99,918)

(99,918)

86,996

0

0

(200,000)

Adjust for Transfers to/from Reserves Internal Reserves External Reserves

0

0

0

Unspent Loans

0

0

0

Unexpended Grant Reserves

0

0

0

S64 / S94 Contribution Reserves

0

0

0

Net Service Result after Transfers to/from Reserves

0

0

(200,000)

320,354

320,354

341,163

NET RESULT

Summary Income Statement

Budget 2023/2024

179


3260 - Holiday Parks Description

Original Adopted Budget 2022/23

Current Revised Budget 2022/23

Original Budget 2023/24

0

0

0

Income Rates Income Annual Charges

0

0

0

User Charges

0

0

0

Statutory & Regulatory User Charges

0

0

0

General User Fees

(4,250,284)

(4,250,284)

(8,702,151)

Interest Income

(57,730)

(57,730)

(59,462)

Operating Grants & Contributions

(25,224)

(25,224)

(26,233)

0

0

0

Other Revenue Net Gains from Disposal of Assets

0

0

0

Internal Income

0

0

0

ABC Recovery

0

0

0

Internal Plant Hire

0

0

0

(4,333,238)

(4,333,238)

(8,787,846)

119,179

119,179

194,819

0

0

0

Total Income (Excluding Capital Grants & Contributions)

Expenditure Salaries, Wages & Oncosts Other Employee Costs Borrowing Costs Materials Contracts & Consultancies Legal Expenses

0

0

210,415

367,256

2,614,342

2,614,342

2,966,099

198

198

26,781

Depreciation

698,477

698,477

706,486

Insurance Expenses

39,900

39,900

45,885

Donations, Contributions & Taxes

430,663

430,663

474,777

Administration Expenses

107,644

107,644

128,256

Other Operating Expenses

378,045

378,045

401,503

Subscriptions & Memberships

8,673

8,673

0

Internal Expenses

1,306,478

1,496,978

1,302,970

ABC Distribution

124,164

124,164

129,214

Internal Plant Hire

2,370

2,370

0

Total Expenditure

6,040,548

6,231,048

6,744,046

Net Operating Result for the year before Grants & Contributions provided for capital purposes

1,707,310

1,897,810

(2,043,800)

0

0

0

1,707,310

1,897,810

(2,043,800)

Capital Grants & Contributions

Operating Result for the Year

180

0 210,415

Clarence Valley Council


Description

Original Adopted Budget 2022/23

Current Revised Budget 2022/23

Original Budget 2023/24

205,000

400,000

Balance Sheet Movements / Non-Cash Adjustments Capital Works - New Capital Works - Upgrade

55,000 1,660,000

0

0

0

0

0

Capital Works - Renewal

1,670,000

3,180,000

1,180,000

Depreciation

Capital Works - Expansion

(698,477)

(698,477)

(706,486)

Employee Leave Accruals

0

0

0

Employee Leave Paid

0

0

0

Loan Funds Received

0

0

0

Loan Repayments (Principal Only)

0

0

0

Long Term Debtor Repayments

0

0

0

2,686,523

2,686,523

873,514

Internal Reserves

0

0

0

External Reserves

1,170,286

Total Balance Sheet Movements / Non-Cash Adjustments

Adjust for Transfers to/from Reserves (4,393,833)

(4,584,333)

Unspent Loans

0

0

0

Unexpended Grant Reserves

0

0

0

S64 / S94 Contribution Reserves Net Service Result after Transfers to/from Reserves

NET RESULT

0

0

0

(4,393,833)

(4,584,333)

1,170,286

0

0

0

Summary Income Statement

Budget 2023/2024

181


3300 - Watercycle Description

Original Adopted Budget 2022/23

Current Revised Budget 2022/23

Original Budget 2023/24

0

0

0

Income Rates Income Annual Charges

(2,575,008)

(2,575,008)

(3,082,036)

User Charges

(15,764,000)

(15,764,000)

(12,372,749)

(40,700)

(40,700)

(42,328)

General User Fees

(2,292,235)

(2,292,235)

(2,314,677)

Interest Income

(632,081)

(632,081)

(651,043)

(2,319,347)

(2,319,347)

(364,684)

(140,596)

(140,596)

(146,220)

Statutory & Regulatory User Charges

Operating Grants & Contributions Other Revenue Net Gains from Disposal of Assets

(449,382)

(449,382)

(76,701)

Internal Income

(727,573)

(727,573)

(737,489)

ABC Recovery

0

0

0

Internal Plant Hire

0

0

0

(24,940,922)

(24,940,922)

(19,787,927)

3,244,701

3,244,701

3,157,749

400

400

550

Total Income (Excluding Capital Grants & Contributions)

Expenditure Salaries, Wages & Oncosts Other Employee Costs Borrowing Costs

1,546,764

1,546,764

1,302,043

Materials

1,332,054

1,332,054

1,104,504

Contracts & Consultancies

1,583,047

1,583,047

1,645,813

7,000

7,000

5,000

6,688,985

6,688,985

7,170,668

81,888

81,888

94,172

0

0

0

Legal Expenses Depreciation Insurance Expenses Donations, Contributions & Taxes Administration Expenses

24,839

24,839

904

Other Operating Expenses

258,258

258,258

271,171

Subscriptions & Memberships

17,143

17,143

22,792

Internal Expenses

912,274

912,274

1,203,027

ABC Distribution

2,559,113

2,559,113

2,664,178

Internal Plant Hire

579,750

579,750

567,986

Total Expenditure

18,836,216

18,836,216

19,210,557

Net Operating Result for the year before Grants & Contributions provided for capital purposes

(6,104,706)

(6,104,706)

(577,370)

Capital Grants & Contributions

(2,259,796)

(2,259,796)

(1,993,807)

(8,364,502)

(8,364,502)

(2,571,177)

Operating Result for the Year

182

Clarence Valley Council


Description

Original Adopted Budget 2022/23

Current Revised Budget 2022/23

Original Budget 2023/24

Balance Sheet Movements / Non-Cash Adjustments Capital Works - New

1,260,000

3,270,000

12,590,000

Capital Works - Upgrade

4,932,000

877,000

325,000

0

0

0

Capital Works - Renewal

8,329,761

11,404,761

13,609,480

Depreciation

(7,170,668)

Capital Works - Expansion

(6,688,986)

(6,688,986)

Employee Leave Accruals

0

0

0

Employee Leave Paid

0

0

0

Loan Funds Received Loan Repayments (Principal Only) Long Term Debtor Repayments

0

0

0

1,086,588

1,086,588

1,352,974

0

0

0

8,919,363

9,949,363

20,706,786

Internal Reserves

0

0

0

External Reserves

(18,135,609)

Total Balance Sheet Movements / Non-Cash Adjustments

Adjust for Transfers to/from Reserves (1,814,657)

(2,844,657)

Unspent Loans

0

0

0

Unexpended Grant Reserves

0

0

0

S64 / S94 Contribution Reserves

1,259,796

1,259,796

0

Net Service Result after Transfers to/from Reserves

(554,861)

(1,584,861)

(18,135,609)

0

0

0

NET RESULT

Summary Income Statement

Budget 2023/2024

183


3310 - Sewer Services Description

Original Adopted Budget 2022/23

Current Revised Budget 2022/23

Original Budget 2023/24

0

0

0

Annual Charges

(18,610,383)

(18,610,383)

(21,066,852)

User Charges

(2,240,000)

(2,240,000)

(1,299,052)

(40,400)

(40,400)

(42,016)

Income Rates Income

Statutory & Regulatory User Charges General User Fees

(636,757)

(636,757)

(697,672)

Interest Income

(230,286)

(230,286)

(259,326)

Operating Grants & Contributions

(366,690)

(366,690)

(352,377)

Other Revenue

(25,285)

(25,285)

(6,254)

Net Gains from Disposal of Assets

(48,005)

(193,863)

(53,564)

Internal Income

(496,028)

(496,028)

(525,613)

ABC Recovery

0

0

0

Internal Plant Hire

0

0

0

(22,693,834)

(22,839,692)

(24,302,726)

1,180,407

1,180,407

1,316,276

0

0

0

Total Income (Excluding Capital Grants & Contributions)

Expenditure Salaries, Wages & Oncosts Other Employee Costs Borrowing Costs

3,797,628

3,797,628

3,030,208

Materials

1,467,000

1,467,000

1,480,514

Contracts & Consultancies

1,249,000

1,249,000

1,118,575

0

100,000

0

Legal Expenses

9,112,699

9,112,699

8,648,103

Insurance Expenses

Depreciation

0

0

0

Donations, Contributions & Taxes

0

0

0

Administration Expenses Other Operating Expenses Subscriptions & Memberships Internal Expenses

576

0

682,795

716,935

0

0

0

285,782

285,782

232,688

ABC Distribution

36,918

36,918

38,436

Internal Plant Hire

598,815

598,815

424,219

Total Expenditure

18,411,620

18,511,620

17,005,954

Net Operating Result for the year before Grants & Contributions provided for capital purposes

(4,282,214)

(4,328,072)

(7,296,772)

Capital Grants & Contributions

(1,442,787)

(1,442,787)

(743,004)

(5,725,001)

(5,770,859)

(8,039,776)

Operating Result for the Year

184

576 682,795

Clarence Valley Council


Description

Original Adopted Budget 2022/23

Current Revised Budget 2022/23

Original Budget 2023/24

2,626,358

2,045,000

Balance Sheet Movements / Non-Cash Adjustments Capital Works - New Capital Works - Upgrade

80,500 1,659,000

0

0

0

0

0

Capital Works - Renewal

4,012,368

3,025,510

10,049,672

Depreciation

Capital Works - Expansion

(9,112,700)

(9,112,700)

(8,648,103)

Employee Leave Accruals

0

0

0

Employee Leave Paid

0

0

0

Loan Funds Received Loan Repayments (Principal Only) Long Term Debtor Repayments

0

0

0

5,247,500

5,247,500

5,194,850

0

0

0

1,886,668

1,786,668

8,641,419

Internal Reserves

0

0

0

External Reserves

(1,344,647)

Total Balance Sheet Movements / Non-Cash Adjustments

Adjust for Transfers to/from Reserves 2,395,546

2,541,404

Unspent Loans

0

0

0

Unexpended Grant Reserves

0

0

0

S64 / S94 Contribution Reserves

1,442,787

1,442,787

743,004

Net Service Result after Transfers to/from Reserves

3,838,333

3,984,191

(601,643)

0

0

0

NET RESULT

Summary Income Statement

Budget 2023/2024

185


3320 - Floodplain & Estuary Management Description

Original Adopted Budget 2022/23

Current Revised Budget 2022/23

Original Budget 2023/24

0

0

0

Income Rates Income Annual Charges

0

0

0

User Charges

0

0

0

Statutory & Regulatory User Charges

0

0

0

General User Fees

0

0

0

Interest Income

0

0

0

(491,200)

(491,200)

0

0

0

0

Operating Grants & Contributions Other Revenue Net Gains from Disposal of Assets Internal Income

0

0

0

(97,883)

(97,883)

0

ABC Recovery

0

0

0

Internal Plant Hire

0

0

0

(589,083)

(589,083)

0

863,284

863,284

579,551

0

0

0

Total Income (Excluding Capital Grants & Contributions)

Expenditure Salaries, Wages & Oncosts Other Employee Costs Borrowing Costs

40,287

40,287

20,812

Materials

14,610

74,610

15,194

Contracts & Consultancies

460,136

460,136

62,541

0

0

0

Legal Expenses

1,699,557

1,699,557

1,731,860

Insurance Expenses

Depreciation

0

0

0

Donations, Contributions & Taxes

0

0

0

Administration Expenses

288

288

300

Other Operating Expenses

6,944

6,944

7,291

Subscriptions & Memberships

2,266

2,266

2,357

Internal Expenses

33,916

33,916

33,953

ABC Distribution

208,235

208,235

216,941

Internal Plant Hire

0

0

0

Total Expenditure

3,329,523

3,389,523

2,670,800

Net Operating Result for the year before Grants & Contributions provided for capital purposes

2,740,440

2,800,440

2,670,800

Capital Grants & Contributions

(800,000)

(2,477,805)

(1,684,551)

1,940,440

322,635

986,249

Operating Result for the Year

186

Clarence Valley Council


Description

Original Adopted Budget 2022/23

Current Revised Budget 2022/23

Original Budget 2023/24

0

30,000

340,000

320,000

300,000

0

0

0

0

710,000

2,377,805

2,074,078 (1,731,860)

Balance Sheet Movements / Non-Cash Adjustments Capital Works - New Capital Works - Upgrade Capital Works - Expansion Capital Works - Renewal

(1,699,557)

(1,699,557)

Employee Leave Accruals

Depreciation

0

0

0

Employee Leave Paid

0

0

0

Loan Funds Received Loan Repayments (Principal Only) Long Term Debtor Repayments Total Balance Sheet Movements / Non-Cash Adjustments

0

0

0

215,265

215,265

60,732

0

0

0

(454,292)

1,223,513

742,950

(116,000)

(116,000)

0

Adjust for Transfers to/from Reserves Internal Reserves External Reserves

0

0

0

Unspent Loans

0

0

0

Unexpended Grant Reserves

0

0

0

S64 / S94 Contribution Reserves Net Service Result after Transfers to/from Reserves

NET RESULT

0

0

0

(116,000)

(116,000)

0

1,370,148

1,430,148

1,729,199

Summary Income Statement

Budget 2023/2024

187


4000 - Environment & Planning Description

Original Adopted Budget 2022/23

Current Revised Budget 2022/23

Original Budget 2023/24

0

0

0

Income Rates Income Annual Charges

0

0

0

User Charges

0

0

0

Statutory & Regulatory User Charges

0

0

0

General User Fees

0

0

0

Interest Income

0

0

0

Operating Grants & Contributions

0

0

0

Other Revenue

0

0

0

0

0

0

Internal Income

Net Gains from Disposal of Assets

(43,304)

(43,304)

0

ABC Recovery

(376,806)

(376,806)

(391,879)

0

0

0

(420,110)

(420,110)

(391,879)

431,842

431,842

492,490

0

0

0

Internal Plant Hire Total Income (Excluding Capital Grants & Contributions)

Expenditure Salaries, Wages & Oncosts Other Employee Costs Borrowing Costs

0

0

0

Materials

0

0

0

Contracts & Consultancies

0

0

0

Legal Expenses

0

0

0

Depreciation

0

0

0

Insurance Expenses

0

0

0

Donations, Contributions & Taxes

0

0

0

Administration Expenses

0

0

0

Other Operating Expenses

0

0

0

0

0

0

Internal Expenses

Subscriptions & Memberships

8,000

8,000

8,000

ABC Distribution

382,136

382,136

397,463

Internal Plant Hire

0

0

0

Total Expenditure

821,978

821,978

897,953

Net Operating Result for the year before Grants & Contributions provided for capital purposes

401,868

401,868

506,074

0

0

0

401,868

401,868

506,074

Capital Grants & Contributions

Operating Result for the Year

188

Clarence Valley Council


Description

Original Adopted Budget 2022/23

Current Revised Budget 2022/23

Original Budget 2023/24

0

0

Balance Sheet Movements / Non-Cash Adjustments Capital Works - New

0

Capital Works - Upgrade

0

0

0

Capital Works - Expansion

0

0

0

Capital Works - Renewal

0

0

0

Depreciation

0

0

0

Employee Leave Accruals

0

0

0

Employee Leave Paid

0

0

0

Loan Funds Received

0

0

0

Loan Repayments (Principal Only)

0

0

0

Long Term Debtor Repayments

0

0

0

Total Balance Sheet Movements / Non-Cash Adjustments

0

0

0

(129,911)

(129,911)

0

Adjust for Transfers to/from Reserves Internal Reserves External Reserves

0

0

0

Unspent Loans

0

0

0

Unexpended Grant Reserves

0

0

0

S64 / S94 Contribution Reserves Net Service Result after Transfers to/from Reserves

NET RESULT

0

0

0

(129,911)

(129,911)

0

271,957

271,957

506,074

Summary Income Statement

Budget 2023/2024

189


4120 - Environmental Services Description

Original Adopted Budget 2022/23

Current Revised Budget 2022/23

Original Budget 2023/24

0

0

0

Income Rates Income Annual Charges

0

0

0

User Charges

0

0

0

(398,309)

(398,309)

(414,241)

(1,150)

(1,150)

(1,196)

0

0

0

Statutory & Regulatory User Charges General User Fees Interest Income Operating Grants & Contributions Other Revenue

0

0

0

(11,109)

(11,109)

(11,553)

Net Gains from Disposal of Assets

0

0

0

Internal Income

0

0

0

ABC Recovery

0

0

0

Internal Plant Hire

0

0

0

(410,568)

(410,568)

(426,990)

548,235

548,235

427,211

0

0

0

Total Income (Excluding Capital Grants & Contributions)

Expenditure Salaries, Wages & Oncosts Other Employee Costs Borrowing Costs Materials Contracts & Consultancies Legal Expenses

0

0

1,200

1,248

190,000

190,000

292,200

0

0

0

Depreciation

0

0

0

Insurance Expenses

0

0

0

Donations, Contributions & Taxes

0

0

0

Administration Expenses

0

0

0

Other Operating Expenses

0

0

0

Subscriptions & Memberships

0

0

0

Internal Expenses

35,000

35,000

35,000

ABC Distribution

378,129

378,129

393,545

Internal Plant Hire

0

0

0

Total Expenditure

1,152,564

1,152,564

1,149,204

741,996

741,996

722,214

0

0

0

741,996

741,996

722,214

Net Operating Result for the year before Grants & Contributions provided for capital purposes Capital Grants & Contributions

Operating Result for the Year

190

0 1,200

Clarence Valley Council


Description

Original Adopted Budget 2022/23

Current Revised Budget 2022/23

Original Budget 2023/24

0

0

Balance Sheet Movements / Non-Cash Adjustments Capital Works - New

0

Capital Works - Upgrade

0

0

0

Capital Works - Expansion

0

0

0

Capital Works - Renewal

0

0

0

Depreciation

0

0

0

Employee Leave Accruals

0

0

0

Employee Leave Paid

0

0

0

Loan Funds Received

0

0

0

Loan Repayments (Principal Only)

0

0

0

Long Term Debtor Repayments

0

0

0

Total Balance Sheet Movements / Non-Cash Adjustments

0

0

0

(368,347)

(368,347)

(287,034)

Adjust for Transfers to/from Reserves Internal Reserves External Reserves

0

0

0

Unspent Loans

0

0

0

Unexpended Grant Reserves

0

0

0

S64 / S94 Contribution Reserves

(150,000)

(150,000)

0

Net Service Result after Transfers to/from Reserves

(518,347)

(518,347)

(287,034)

223,649

223,649

435,180

NET RESULT

Summary Income Statement

Budget 2023/2024

191


4110 - Regulatory Services Description

Original Adopted Budget 2022/23

Current Revised Budget 2022/23

Original Budget 2023/24

0

0

0

Income Rates Income Annual Charges

0

0

0

User Charges

0

0

0

Statutory & Regulatory User Charges

0

0

0

General User Fees

0

0

0

Interest Income

0

0

0

Operating Grants & Contributions

(75,000)

(75,000)

0

Other Revenue

(122,654)

(122,654)

(127,560)

Net Gains from Disposal of Assets

0

0

0

Internal Income

0

0

0

ABC Recovery

0

0

0

Internal Plant Hire

0

0

0

(197,654)

(197,654)

(127,560)

878,998

878,998

940,463

0

0

0

Total Income (Excluding Capital Grants & Contributions)

Expenditure Salaries, Wages & Oncosts Other Employee Costs

978

978

252

Materials

Borrowing Costs

14,507

14,507

15,087

Contracts & Consultancies

160,200

160,200

93,608

0

0

0

Legal Expenses Depreciation

698

698

735

Insurance Expenses

259

259

298

0

0

0

Donations, Contributions & Taxes Administration Expenses Other Operating Expenses Subscriptions & Memberships

0

0

5,318

5,584

0

0

0

Internal Expenses

104,028

104,028

104,262

ABC Distribution

151,546

151,546

157,897

Internal Plant Hire

0

0

0

Total Expenditure

1,316,532

1,316,532

1,318,186

Net Operating Result for the year before Grants & Contributions provided for capital purposes

1,118,878

1,118,878

1,190,626

0

0

0

1,118,878

1,118,878

1,190,626

Capital Grants & Contributions

Operating Result for the Year

192

0 5,318

Clarence Valley Council


Description

Original Adopted Budget 2022/23

Current Revised Budget 2022/23

Original Budget 2023/24

10,000

0

Balance Sheet Movements / Non-Cash Adjustments Capital Works - New

10,000

Capital Works - Upgrade

0

0

0

Capital Works - Expansion

0

0

0

Capital Works - Renewal

0

0

0 (735)

Depreciation

(699)

(699)

Employee Leave Accruals

0

0

0

Employee Leave Paid

0

0

0

Loan Funds Received Loan Repayments (Principal Only) Long Term Debtor Repayments Total Balance Sheet Movements / Non-Cash Adjustments

0

0

0

3,854

3,854

736

0

0

0

13,155

13,155

1

0

0

0

Adjust for Transfers to/from Reserves Internal Reserves External Reserves

0

0

0

Unspent Loans

0

0

0

(10,000)

(10,000)

0

Unexpended Grant Reserves S64 / S94 Contribution Reserves Net Service Result after Transfers to/from Reserves

NET RESULT

0

0

0

(10,000)

(10,000)

0

1,122,033

1,122,033

1,190,627

Summary Income Statement

Budget 2023/2024

193


3210 - Natural Resource Management Description

Original Adopted Budget 2022/23

Current Revised Budget 2022/23

Original Budget 2023/24

0

0

0

Income Rates Income Annual Charges

0

0

0

User Charges

0

0

0

Statutory & Regulatory User Charges

0

0

0

0

0

0

Interest Income

General User Fees

(51,807)

(51,807)

(53,361)

Operating Grants & Contributions

(357,000)

(357,000)

(284,493)

0

0

0

Other Revenue Net Gains from Disposal of Assets

0

0

0

Internal Income

0

0

0

ABC Recovery

0

0

0

Internal Plant Hire

0

0

0

(408,807)

(408,807)

(337,854)

576,571

576,571

297,087

1,800

1,800

1,872

Total Income (Excluding Capital Grants & Contributions)

Expenditure Salaries, Wages & Oncosts Other Employee Costs

0

0

0

Materials

Borrowing Costs

375,566

250,566

260,587

Contracts & Consultancies

162,833

277,833

302,571

0

0

0

Legal Expenses

288

288

183

Insurance Expenses

Depreciation

0

0

0

Donations, Contributions & Taxes

0

0

0

Administration Expenses

0

0

0

Other Operating Expenses

0

0

0

Subscriptions & Memberships Internal Expenses

0

0

16,000

16,000

ABC Distribution

129,441

129,441

135,076

Internal Plant Hire

107,800

107,800

112,112

Total Expenditure

1,370,299

1,360,299

1,125,488

Net Operating Result for the year before Grants & Contributions provided for capital purposes

961,492

951,492

787,634

Capital Grants & Contributions

(131,000)

(131,000)

(43,025)

830,492

820,492

744,609

Operating Result for the Year

194

0 16,000

Clarence Valley Council


Description

Original Adopted Budget 2022/23

Current Revised Budget 2022/23

Original Budget 2023/24

131,000

0

Balance Sheet Movements / Non-Cash Adjustments Capital Works - New

131,000

Capital Works - Upgrade

0

0

0

Capital Works - Expansion

0

0

0

Capital Works - Renewal

0

0

0 (183)

Depreciation

(288)

(288)

Employee Leave Accruals

0

0

0

Employee Leave Paid

0

0

0

Loan Funds Received

0

0

0

Loan Repayments (Principal Only)

0

0

0

Long Term Debtor Repayments Total Balance Sheet Movements / Non-Cash Adjustments

0

0

0

130,712

130,712

(183)

43,386

43,386

(50,000)

Adjust for Transfers to/from Reserves Internal Reserves External Reserves

0

0

0

Unspent Loans

0

0

0

(25,000)

(25,000)

0

Unexpended Grant Reserves S64 / S94 Contribution Reserves Net Service Result after Transfers to/from Reserves

NET RESULT

0

0

0

18,386

18,386

(50,000)

979,590

969,590

694,426

Summary Income Statement

Budget 2023/2024

195


3230 - Waste Services Description

Original Adopted Budget 2022/23

Current Revised Budget 2022/23

Original Budget 2023/24

0

0

0

Income Rates Income

(10,255,117)

(10,255,117)

(10,676,529)

User Charges

Annual Charges

0

0

0

Statutory & Regulatory User Charges

0

0

0

General User Fees

(5,836,055)

(5,836,055)

(6,069,498)

Interest Income

(184,679)

(184,679)

(209,688)

Operating Grants & Contributions

(186,100)

(186,100)

(193,544)

Other Revenue

(782,235)

(782,235)

(764,412)

Net Gains from Disposal of Assets Internal Income

(141)

(141)

(55,487)

(3,338,971)

(3,338,971)

(3,105,211)

ABC Recovery

0

0

0

Internal Plant Hire

0

0

0

(20,583,298)

(20,583,298)

(21,074,369)

1,322,524

1,320,475

1,196,715

0

0

0

Total Income (Excluding Capital Grants & Contributions)

Expenditure Salaries, Wages & Oncosts Other Employee Costs Borrowing Costs

331,477

331,477

240,988

Materials

308,290

308,290

102,804

9,977,435

9,977,435

7,363,014

0

0

0

1,260,217

1,260,217

633,654

20,470

20,470

23,540

3,227,017

3,227,017

3,356,098

Contracts & Consultancies Legal Expenses Depreciation Insurance Expenses Donations, Contributions & Taxes Administration Expenses

13,222

13,222

13,752

Other Operating Expenses

86,769

86,769

90,318

Subscriptions & Memberships Internal Expenses

45,496

47,316

3,235,888

3,025,502

ABC Distribution

513,669

513,669

534,631

Internal Plant Hire

203,975

203,975

212,134

Total Expenditure

20,546,449

20,544,400

16,840,466

Net Operating Result for the year before Grants & Contributions provided for capital purposes

(36,849)

(38,898)

(4,233,903)

Capital Grants & Contributions

(500,000)

0

0

(536,849)

(38,898)

(4,233,903)

Operating Result for the Year

196

45,496 3,235,888

Clarence Valley Council


Description

Original Adopted Budget 2022/23

Current Revised Budget 2022/23

Original Budget 2023/24

4,290,000

5,603,320

3,000,000

2,468

2,468

0

0

0

0

120,000

120,000

1,421,197 (633,654)

Balance Sheet Movements / Non-Cash Adjustments Capital Works - New Capital Works - Upgrade Capital Works - Expansion Capital Works - Renewal

(1,260,218)

(1,260,218)

Employee Leave Accruals

Depreciation

0

0

0

Employee Leave Paid

0

0

0

Loan Funds Received Loan Repayments (Principal Only) Long Term Debtor Repayments

0

0

0

609,751

609,751

703,241

0

0

0

3,762,001

5,075,321

4,490,784

Internal Reserves

(325,164)

(1,739,138)

(3,365,710)

External Reserves

3,108,829

Total Balance Sheet Movements / Non-Cash Adjustments

Adjust for Transfers to/from Reserves (2,899,988)

(3,297,285)

Unspent Loans

0

0

0

Unexpended Grant Reserves

0

0

0

S64 / S94 Contribution Reserves Net Service Result after Transfers to/from Reserves

NET RESULT

0

0

0

(3,225,152)

(5,036,423)

(256,881)

0

0

0

Summary Income Statement

Budget 2023/2024

197


3240 - Cemeteries Description

Original Adopted Budget 2022/23

Current Revised Budget 2022/23

Original Budget 2023/24

0

0

0

Income Rates Income Annual Charges

0

0

0

User Charges

0

0

0

Statutory & Regulatory User Charges

0

0

0

(618,460)

(618,460)

(653,198)

0

0

0

General User Fees Interest Income Operating Grants & Contributions Other Revenue

0

0

0

(1,309)

(1,309)

(1,361)

Net Gains from Disposal of Assets

0

0

0

Internal Income

0

0

0

ABC Recovery

0

0

0

Internal Plant Hire

0

0

0

(619,769)

(619,769)

(654,559)

1,322,524

1,320,475

1,196,715

0

0

0

Total Income (Excluding Capital Grants & Contributions)

Expenditure Salaries, Wages & Oncosts Other Employee Costs Borrowing Costs

331,477

331,477

240,988

Materials

308,290

308,290

102,804

9,977,435

9,977,435

7,363,014

0

0

0

1,260,217

1,260,217

633,654

20,470

20,470

23,540

3,227,017

3,227,017

3,356,098

Contracts & Consultancies Legal Expenses Depreciation Insurance Expenses Donations, Contributions & Taxes Administration Expenses

13,222

13,222

13,752

Other Operating Expenses

86,769

86,769

90,318

Subscriptions & Memberships Internal Expenses

45,496

47,316

3,235,888

3,025,502

ABC Distribution

513,669

513,669

534,631

Internal Plant Hire

203,975

203,975

212,134

Total Expenditure

20,546,449

20,544,400

16,840,466

187,695

187,695

168,730

0

0

0

187,695

187,695

168,730

Net Operating Result for the year before Grants & Contributions provided for capital purposes Capital Grants & Contributions

Operating Result for the Year

198

45,496 3,235,888

Clarence Valley Council


Description

Original Adopted Budget 2022/23

Current Revised Budget 2022/23

Original Budget 2023/24

0

0

0

Balance Sheet Movements / Non-Cash Adjustments Capital Works - New

20,000

20,000

0

Capital Works - Expansion

Capital Works - Upgrade

0

0

0

Capital Works - Renewal

0

0

40,000 (37,538)

(33,949)

(33,949)

Employee Leave Accruals

Depreciation

0

0

0

Employee Leave Paid

0

0

0

Loan Funds Received Loan Repayments (Principal Only) Long Term Debtor Repayments Total Balance Sheet Movements / Non-Cash Adjustments

0

0

0

1,390

1,390

0

0

0

0

(12,559)

(12,559)

2,462

(20,000)

(20,000)

(40,000)

Adjust for Transfers to/from Reserves Internal Reserves External Reserves

0

0

0

Unspent Loans

0

0

0

Unexpended Grant Reserves

0

0

0

S64 / S94 Contribution Reserves Net Service Result after Transfers to/from Reserves

NET RESULT

0

0

0

(20,000)

(20,000)

(40,000)

155,136

155,136

131,192

Summary Income Statement

Budget 2023/2024

199


4200 - Building & Planning Services Description

Original Adopted Budget 2022/23

Current Revised Budget 2022/23

Original Budget 2023/24

0

0

0

Income Rates Income Annual Charges

0

0

0

User Charges

0

0

0

(2,251,750)

(2,251,750)

(2,441,820)

General User Fees

(108,749)

(108,749)

(113,098)

Interest Income

(30,627)

(30,627)

(31,546)

Statutory & Regulatory User Charges

Operating Grants & Contributions Other Revenue

0

0

0

(11,762)

(11,762)

(40,087)

Net Gains from Disposal of Assets

0

0

0

Internal Income

0

0

0

ABC Recovery

0

0

0

Internal Plant Hire

0

0

0

(2,402,888)

(2,402,888)

(2,626,551)

2,764,075

2,764,075

2,792,987

0

0

0

Total Income (Excluding Capital Grants & Contributions)

Expenditure Salaries, Wages & Oncosts Other Employee Costs

0

0

0

Materials

Borrowing Costs

6,581

6,581

6,844

Contracts & Consultancies

88,431

88,431

70,768

Legal Expenses

6,451

46,451

6,709

Depreciation

12,111

12,111

11,505

0

0

0

178,823

178,823

185,976

Insurance Expenses Donations, Contributions & Taxes Administration Expenses

0

0

0

Other Operating Expenses

0

0

0

Subscriptions & Memberships

11,796

11,796

12,268

Internal Expenses

69,500

69,500

69,500

ABC Distribution

755,321

755,321

786,410

Internal Plant Hire

0

0

0

Total Expenditure

3,893,089

3,933,089

3,942,967

Net Operating Result for the year before Grants & Contributions provided for capital purposes

1,490,201

1,530,201

1,316,416

Capital Grants & Contributions

(216,191)

(216,191)

(159,875)

1,274,010

1,314,010

1,156,541

Operating Result for the Year

200

Clarence Valley Council


Description

Original Adopted Budget 2022/23

Current Revised Budget 2022/23

Original Budget 2023/24

0

0

Balance Sheet Movements / Non-Cash Adjustments Capital Works - New

0

Capital Works - Upgrade

0

0

0

Capital Works - Expansion

0

0

0

Capital Works - Renewal

0

0

0 (11,505)

(12,111)

(12,111)

Employee Leave Accruals

Depreciation

0

0

0

Employee Leave Paid

0

0

0

Loan Funds Received

0

0

0

Loan Repayments (Principal Only)

0

0

0

Long Term Debtor Repayments Total Balance Sheet Movements / Non-Cash Adjustments

0

0

0

(12,111)

(12,111)

(11,505)

(15,000)

(15,000)

0

Adjust for Transfers to/from Reserves Internal Reserves External Reserves

0

0

0

Unspent Loans

0

0

0

Unexpended Grant Reserves

0

0

0

S64 / S94 Contribution Reserves

246,818

246,818

0

Net Service Result after Transfers to/from Reserves

231,818

231,818

0

1,493,717

1,533,717

1,145,036

NET RESULT

Summary Income Statement

Budget 2023/2024

201


4100 - Land Use Planning Description

Original Adopted Budget 2022/23

Current Revised Budget 2022/23

Original Budget 2023/24

0

0

0

Income Rates Income Annual Charges

0

0

0

User Charges

0

0

0

(154,500)

(142,700)

(160,680)

Statutory & Regulatory User Charges General User Fees

0

0

0

(1,044)

(1,044)

(1,075)

Operating Grants & Contributions

(22,879)

(172,879)

(7,610)

Other Revenue

(78,227)

(2,773)

(80,317)

Interest Income

Net Gains from Disposal of Assets

0

0

0

Internal Income

0

0

0

ABC Recovery

0

0

0

Internal Plant Hire

0

0

0

(256,650)

(319,396)

(249,682)

1,048,120

1,048,120

1,051,054

300

300

312

Total Income (Excluding Capital Grants & Contributions)

Expenditure Salaries, Wages & Oncosts Other Employee Costs

0

0

0

Materials

Borrowing Costs

51,578

41,675

53,641

Contracts & Consultancies

299,500

441,000

176,880

0

0

0

Legal Expenses Depreciation

0

0

0

Insurance Expenses

0

0

0

Donations, Contributions & Taxes

0

0

0

5,609

0

5,833

0

0

0

Administration Expenses Other Operating Expenses

0

0

0

Internal Expenses

Subscriptions & Memberships

63,978

48,000

63,997

ABC Distribution

197,097

127,860

205,562

Internal Plant Hire

0

0

0

Total Expenditure

1,666,182

1,706,955

1,557,279

Net Operating Result for the year before Grants & Contributions provided for capital purposes

1,409,532

1,387,559

1,307,597

0

0

0

1,409,532

1,387,559

1,307,597

Capital Grants & Contributions

Operating Result for the Year

202

Clarence Valley Council


Description

Original Adopted Budget 2022/23

Current Revised Budget 2022/23

Original Budget 2023/24

0

0

Balance Sheet Movements / Non-Cash Adjustments Capital Works - New

0

Capital Works - Upgrade

0

0

0

Capital Works - Expansion

0

0

0

Capital Works - Renewal

0

0

0

Depreciation

0

0

0

Employee Leave Accruals

0

0

0

Employee Leave Paid

0

0

0

Loan Funds Received

0

0

0

Loan Repayments (Principal Only)

0

0

0

Long Term Debtor Repayments

0

0

0

Total Balance Sheet Movements / Non-Cash Adjustments

0

0

0

0

0

0

Adjust for Transfers to/from Reserves Internal Reserves External Reserves

0

0

0

Unspent Loans

0

0

0

Unexpended Grant Reserves

0

0

0

S64 / S94 Contribution Reserves

(61,743)

(61,743)

0

Net Service Result after Transfers to/from Reserves

(61,743)

(61,743)

0

1,347,789

1,325,816

1,307,597

NET RESULT

Summary Income Statement

Budget 2023/2024

203


www.clarence.nsw.gov.au


Issuu converts static files into: digital portfolios, online yearbooks, online catalogs, digital photo albums and more. Sign up and create your flipbook.