
Notice of Meeting:
I hereby give notice that an ordinary meeting of the Audit and Risk Subcommittee will be held on:
Date: Monday 1 September 2025
Time: 11.30 am
Venue: Council Chamber, Dunedin Public Art Gallery, The Octagon, Dunedin
Sandy Graham
Chief Executive Officer
Audit and Risk Subcommittee
PUBLIC AGENDA
MEMBERSHIP
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Chairperson |
Warren Allen |
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Deputy Chairperson |
Janet Copeland
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Members |
Cr Christine Garey |
Cr Cherry Lucas |
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Mayor Jules Radich |
Cr Lee Vandervis |
Senior Officer Carolyn Allan, Chief Financial Officer
Governance Support Officer Wendy Collard
Wendy Collard
Governance Support Officer
Telephone: 03 477 4000
Wendy.Collard@dcc.govt.nz
Note: Reports and recommendations contained in this agenda are not to be considered as Council policy until adopted.
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Audit and Risk Subcommittee 1 September 2025 |
ITEM TABLE OF CONTENTS PAGE
1 Apologies 4
2 Confirmation of Agenda 4
3 Declaration of Interest 5
4 Confirmation of Minutes 10
4.1 Audit and Risk Subcommittee meeting - 16 June 2025 10
Part A Reports (Committee has power to decide these matters)
5 Health, Safety and Wellbeing Monthly report for July 2025 21
6 Audit and Risk Subcommittee Work Plan 2025 40
7 Audit and Risk Subcommittee Updates Report - September 2025 44
8 DCC Policy Update Report 50
9 Financial Report - Period ended 30 June 2025 102
10 Financial Strategy Compliance 136
11 Waipori Fund - Quarter ending 30 June 2025 145
Resolution to Exclude the Public 150
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Audit and Risk Subcommittee 1 September 2025 |
At the close of the agenda no apologies had been received.
Note: Any additions must be approved by resolution with an explanation as to why they cannot be delayed until a future meeting.
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Audit and Risk Subcommittee 1 September 2025 |
EXECUTIVE SUMMARY
1. Members are reminded of the need to stand aside from decision-making when a conflict arises between their role as an elected or independent representative and any private or other external interest they might have.
2. Elected and Independent members are reminded to update their register of interests as soon as practicable, including amending the register at this meeting if necessary.
That the Subcommittee:
a) Notes/Amends if necessary the Elected or Independent Members' Interest Register attached as Attachment A; and
b) Confirms/Amends the proposed management plan for Elected or Independent Members' Interests.
Attachments
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Title |
Page |
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⇩a |
Register of Interest |
6 |
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Audit and Risk Subcommittee 1 September 2025 |
Audit and Risk Subcommittee meeting - 16 June 2025
That the Subcommittee:
a) Confirms the public part of the minutes of the Audit and Risk Subcommittee meeting held on 16 June 2025 as a correct record.
Attachments
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Title |
Page |
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A⇩ |
Minutes of Audit and Risk Subcommittee meeting held on 16 June 2025 |
11 |
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Audit and Risk Subcommittee 1 September 2025 |
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Audit and Risk Subcommittee
MINUTES
Minutes of an ordinary meeting of the Audit and Risk Subcommittee held in the Council Chamber, Dunedin Public Art Gallery, The Octagon, Dunedin on Monday 16 June 2025, commencing at 11.30 am
PRESENT
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Chairperson |
Mr Warren Allen
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Members |
Cr Christine Garey |
Cr Cherry Lucas |
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Cr Lee Vandervis |
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IN ATTENDANCE |
Sandy Graham (Chief Executive Officer), Rob West (General Manager Corporate Services), Hayden McAuliffe (Financial Services Manager), Hayley Knight (Assurance Manager), Mandy Grieve (Heath and Safety Advisor), Richard Davey (Treasurer, Dunedin City Holdings Ltd), Serge Kolman (Procurement and Contracts Manager), Jackie Harrison (Manager Governance), Cr Sophie Barker and Cr Carmen Houlahan |
Governance Support Officer Wendy Collard
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1 Apologies |
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Moved (Warren Allen/Cr Cherry Lucas): That the Subcommittee:
Accepts the apology from Janet Copeland (for absence) and Mayor Radich (for lateness)
Motion carried (AR/2025/014) |
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2 Confirmation of agenda |
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Moved (Warren Allen/Cr Cherry Lucas): That the Subcommittee:
Confirms the agenda without addition or alteration
Motion carried (AR/2025/015) |
3 Declarations of interest
Members were reminded of the need to stand aside from decision-making when a conflict arose between their role as an elected representative and any private or other external interest they might have.
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Moved (Warren Allen/Cr Cherry Lucas): That the Subcommittee:
a) Notes the Elected or Independent Members' Interest Register; and b) Confirms the proposed management plan for Elected or Independent Members' Interests.
Motion carried (AR/2025/016) |
4 Confirmation of Minutes
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4.1 Audit and Risk Subcommittee meeting - 10 March 2025 |
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Moved (Warren Allen/Cr Cherry Lucas): That the Subcommittee:
a) Confirms the public part of the minutes of the Audit and Risk Subcommittee meeting held on 10 March 2025 as a correct record. Motion carried (AR/2025/017) |
Part A Reports
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5 Audit and Risk Subcommittee Work Plan 2025 |
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A report from Civic provided the Audit and Risk Subcommittee Work Plan 2025 which has been aligned with work programme scheduling and decision making. The Chief Executive Officer (Sandy Graham) and the Assurance Manager (Hayley Knight) spoke to the report and responded to questions. |
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Moved (Warren Allen/Cr Cherry Lucas): That the Committee:
a) Notes the Audit and Risk Subcommittee Work Plan for 2025 Motion carried (AR/2025/018) |
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6 Audit and Risk Subcommittee Updates Report - June 2025 |
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A report from Civic provided updates on the progress of various sundry matters that have been noted by the Subcommittee. The Chief Executive Officer (Sandy Graham), the Financial Services Manager (Hayden McAuliffe) and the Assurance Manager (Hayley Knight) spoke to the report and responded to questions. |
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Moved (Warren Allen/Cr Cherry Lucas): That the Committee:
a) Notes the Audit and Risk Subcommittee Updates Report – June 2025
Motion carried (AR/2025/019) |
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7 Financial Report - Period ended 30 April 2025 |
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A report from Finance provided the financial results for the period ended 30 April 2025 and the financial position as at that date. It noted that the report was presented to the Finance and Council Controlled Committee meeting held on 11June 2025. The Financial Services Manager (Hayden McAuliffe) spoke to the report and responded to questions. |
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Moved (Warren Allen/Cr Cherry Lucas): That the Subcommittee:
a) Notes the Financial Performance for the period ended 30 April 2025 and the Financial Position as at that date. Motion carried (AR/2025/020) |
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8 Waipori Fund - Quarter Ending 31 March 2025 |
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A report from Dunedin City Treasury Limited provided information on the results of the Waipori Fund for the quarter ended 31 March 2025. It noted that the report was presented to the Finance and Council Controlled Committee meeting held on 11June 2025. The Treasurer, Dunedin City Treasury Limited (Richard Davey) spoke to the report and responded to questions.
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Moved (Warren Allen/Cr Cherry Lucas): That the Subcommittee:
a) Notes the report from Dunedin City Treasury Limited on the Waipori Fund for the quarter ended 31 March 2025 Motion carried (AR/2025/021) |
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9 Health, Safety and Wellbeing monthly report for April 2025 |
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A report from Health and Safety provided the monthly Health, Safety and Wellbeing report for April 2025 for the Subcommittee’s information. The General Manager Corporate (Robert West) and the Health and Safety Advisor (Mandy Grieve) spoke to the report and responded to questions.
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Moved (Warren Allen/Cr Christine Garey): That the Subcommittee:
a) Notes the monthly Health, Safety and Wellbeing report for April 2025.
Motion carried (AR/2025/022) |
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Resolution to Exclude the Public |
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Moved (Warren Allen/Cr Cherry Lucas): That the Subcommittee:
Pursuant to the provisions of the Local Government Official Information and Meetings Act 1987, exclude the public from the following part of the proceedings of this meeting namely:
This resolution is made in reliance on Section 48(1)(a) of the Local Government Official Information and Meetings Act 1987, and the particular interest or interests protected by Section 6 or Section 7 of that Act, or Section 6 or Section 7 or Section 9 of the Official Information Act 1982, as the case may require, which would be prejudiced by the holding of the whole or the relevant part of the proceedings of the meeting in public are as shown above after each item.
Motion carried (AR/2025/023) |
The meeting went into non-public at 12.36 pm and concluded at 3.02 pm.
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CHAIRPERSON
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Audit and Risk Subcommittee 1 September 2025 |
Health, Safety and Wellbeing Monthly report for July 2025
Department: Health and Safety
EXECUTIVE SUMMARY
1 The monthly Health, Safety and Wellbeing report for July 2025 is attached for consideration.
That the Subcommittee:
a) Notes the monthly Health, Safety and Wellbeing report for July 2025.
Signatories
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Author: |
Jane Pearce - Health and Safety Manager |
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Authoriser: |
David Ward - General Manager, 3 Waters and Transition |
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Title |
Page |
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⇩a |
Health, Safety and Wellbeing monthly report for July 2025 |
22 |
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Audit and Risk Subcommittee 1 September 2025 |
Audit and Risk Subcommittee Work Plan 2025
Department: Civic
EXECUTIVE SUMMARY
1 This report provides a copy of the Audit and Risk Subcommittee Work Plan 2025 which has been aligned with work programme scheduling and decision making.
2 Please note that the items without ticks shown have not been scheduled for action. A Deep Dive work programme will be developed after the Corporate Risk Register has been reviewed. Deep dive topics will reflect high or emerging risks.
3 As this is an administrative report only, the Summary of Consideration is not required.
That the Subcommittee:
a) Notes the Audit and Risk Subcommittee Work Plan for 2025.
Signatories
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Author: |
Wendy Collard - Governance Support Officer |
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Authoriser: |
Carolyn Allan - Chief Financial Officer |
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Title |
Page |
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⇩a |
Audit and Risk Subcommittee Work Plan |
41 |
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Audit and Risk Subcommittee 1 September 2025 |
Audit and Risk Subcommittee Updates Report - September 2025
Department: Finance
EXECUTIVE SUMMARY
1 This report provides updates on the progress of various sundry matters that have been noted by the Subcommittee.
That the Subcommittee:
a) Notes the Audit and Risk Subcommittee Updates Report – September 2025
DISCUSSION
2 The main insurance renewal occurred on 30 June 2025 and incorporated the following policies:
· Material Damage Above Ground
· Business Interruption Above Ground
· Material Damage Below Ground Infrastructure
· Annual Contract Works
· Fine Arts
· Civil Engineering – Taieri River Water Supply Viaduct Bridge
· Motor Vehicle
· Liability Policies – Internet, Crime, Directors, and Officers
· Travel and Personal Accident
3 The renewal process was completed on time with consistent terms and no changes to loss limits or deductibles. Insured values were updated in line with current above ground asset schedules and fleet assets. Cover under the annual contract works policy was increased to reflect the larger capital programme in 2025/26. Business interruption cover was updated based on recent modelling.
4 Overall, a 7% reduction in premiums was achieved, reflecting improved market conditions, saving approximately $400k on 2024/25 costs and approximately $500k against budget.
5 The remaining liability policies (general/public, statutory, professional indemnity and employer) are due for renewal 1 November 2025. The renewal proposal is currently being compiled in relation to these policies.
9-Year Plan
6 Audit of the 9-year plan by Audit NZ started on 9th June and finished on 30th June 2025, resulting in an unqualified audit opinion.
7 Following the audit process, Council adopted the plan on 30th June 2025.
8 Individual letters were sent in response to submissions from each Community Board, and to submitters with amenity or funding requests.
9 A digital version of the 9-year plan was made available on the DCC website in the week following its adoption. Two hard copies of the plan were sent to each DCC service centre in early August.
10 The interim audit was completed in May. All audit requests have been submitted and there are no outstanding requests.
11 Asset valuations have been scheduled for three departments with the following valuers:
· Transport – Beca
· Property (Investment Property portfolio only) – JLL
· Three Waters - Beca
12 Audit New Zealand will be engaging WSP as an auditors’ expert to assist with their audit of the Three Waters valuation. There will continue to be a strong focus between the Finance team and relevant departments to understand the rationale for valuation adjustments.
13 The final audit fieldwork will be commencing on the week of 15th September. The Finance Team will have the financial statements for Core Council delivered to Audit New Zealand on this date. The group consolidated financial statements will be delivered by 7th October after the completion of the DCHL audit.
14 Giving the time required to complete audits of DCHL and the group companies, the 2024/25 Annual Report will not be ready for adoption by Council before the local government elections on 11 October 2025.
15 Staff are looking at presenting a draft, unaudited version of some sections of the 2024/25 Annual Report to the Council meeting on 23 September 2025, enabling the current Council to review draft performance and results for the year ended 30 June 2025. The draft version would not include consolidated financial results.
16 Following audit, the 2024/25 Annual Report will be adopted by Council at its inaugural meeting of the new triennium on 31 October 2025.
17 The Communications and Marketing Team have again been engaged to improve the readability and presentation of the Annual Report document, building on work done during the development of the 2023/24 Annual Report. Suggested work to improve the presentation, accessibility and readability of the Annual Report and Summary includes adding a performance snapshot, which summarises overall performance of services and activities. Design elements will also be considered such as layout, themes, images, and graphics, with a view to make detailed reporting of service and activity performance more accessible to a general reader. The proposed changes align with examples of accessible and engaging Annual Reports and Summaries from the sector which have visual elements to aid understanding and transparency of performance results.
2026/27 Annual Plan
18 Initial work on the development of the 2026/27 Annual Plan has started. Staff will use the development of the Plan as an opportunity to identify new or improved revenue streams, and to review expenditure.
19 The schedule for development of the 2026/27 Annual Plan includes sufficient time for an amendment, including audit, should one be required to address a significant or material change from Year 2 of the 9 Year Plan. Community engagement is tentatively scheduled for March/April 2026.
20 The Annual Plan 2026/27 will be adopted by Council by 30 June 2026.
Elections Update
21 Nominations closed on 1st August with all areas requiring an election. We received record number of candidates for Mayor and Councillors.
22 Candidate Signs are now up, and full the campaigning has begun.
23 We are now moving into voting period with special voting beginning on 9th September, with an office opening in the plaza meeting room.
Local Water Done Well
25 The third stage of LWDW is in progress with the introduction of the Local Government (Water Services) Bill (the December Bill) on 10 December 2024. The December Bill provides the enduring settings for LWDW including the framework for economic regulation as well as the more detailed powers and duties for service delivery models. Council has made a submission on the Bill. The Bill which has now been separated into two Bills is expected to be enacted in August 2025. The Bills provide for:
a) Structural arrangements for water service delivery including establishment, ownership, and governance of water organisations.
b) Operational matters such as arrangements for charging, bylaws, and management of stormwater networks.
c) Planning, reporting, and financial management.
d) A new economic regulation and consumer protection regime.
e) Changes to the water quality regulatory framework and the water services regulator.
f) Repeals and amendments to other legislation resulting from the December Bill (separated into a second Bill now).
26 Following consultation on the Water Consultation Options, Council at its meeting on 26 May 2025 approved the in-house delivery option as the water services delivery model and that this decision would be reflected in the 9-year plan 2025-34.
27 At the Council meeting dated 12 August 2025 Council adopted the draft WSDP presented by staff subject to minor edits. Staff submitted the WSDP to the Secretary for Local Government on 25 August 2025.
28 Staff are currently working through the contents of the December Bills to identify further actions required.
Climate Mitigation and Adaptation Report
29 As requested by the ARS, Zero Carbon and South Dunedin Futures are developing a regular update report on climate change mitigation and adaptation. This report will cover the risks, controls, and planned improvement actions.
30 The aim will be to have the first high level version of this report to ARS at the December 2025 meeting and have this as a regular 6-monthly report.
OPTIONS
31 This is a noting report so there are no options.
Signatories
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Author: |
Hayley Knight - Assurance Manager |
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Authoriser: |
Carolyn Allan - Chief Financial Officer |
There are no attachments for this report.
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SUMMARY OF CONSIDERATIONS
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Fit with purpose of Local Government This report provides an update on various audit and risk related matters. |
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Fit with strategic framework
This report provides an update on the progress made by Council to deliver upon the activities identified by the Audit and Risk Subcommittee, which is a regulatory function and considered good quality and cost effective |
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Māori Impact Statement There are no known impacts for mana whenua |
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Sustainability There are no implications for sustainability |
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Zero carbon There are no implications for zero carbon |
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LTP/Annual Plan / Financial Strategy /Infrastructure Strategy There are no implications |
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Financial considerations No financial implications have been identified |
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Significance This report is rated low under the Council’s Significance and Engagement Policy |
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Engagement – external No external engagement has been undertaken |
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Engagement - internal Activities noted herein include cross Council engagement and collaboration |
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Risks: Legal / Health and Safety etc. No risks have been identified |
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Conflict of Interest There are no conflict of interest identified |
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Community Boards There have been no implications for Community Boards identified |
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Audit and Risk Subcommittee 1 September 2025 |
DCC Policy Update Report
Department: Finance
EXECUTIVE SUMMARY
1 This report provides an update on DCC policies as identified in the Audit and Risk Subcommittee (ARS) Workplan and ongoing audit and business improvement activities.
That the Subcommittee:
a) Notes the Policy Update Report – August 2025.
b) Provide feedback on the Sensitive Expenditure Policy (Attachment A clean, Attachment B track changes).
c) Notes the Sensitive Expenditure Guidelines (Attachment C).
d) Provide feedback on the Purchase Card Policy (Attachment D clean, Attachment E track changes).
e) Notes the Purchase Card Procedures (Attachment F).
DISCUSSION
2 The following policies are undergoing review:
a) Asset Disposal and Write-Off Policy
b) ICT Acceptable Use Policy
c) Information Management Policy
d) Staff Code of Conduct
e) Health, Safety and Wellbeing Policy
3 After the review process, updated copies of DCC policies will be provided to the Subcommittee for either feedback or noting.
Sensitive Expenditure Policy
4 The Office of the Auditor General (OAG) recommends that public sector have robust policies and procedures for managing sensitive expenditure as a way of promoting the public’s trust and confidence.
5 The reviewed policy (Attachment A and B) has been provided for feedback, and the guidelines (Attachment C) are presented to provide further context. Minor changes have been made to the policy to provide further details in line with guidance from the OAG. These changes include:
a) Updated the Responsible Officer to ‘Chief Financial Officer’
b) Changed the scheduled review date period from 2 to 3 years – reviews can be conducted at any stage as required to address substantial changes.
c) The Policy has been updated to follow the new template.
d) Updating the definition for employee to align with other policies.
e) Expanding what is meant by each of the six-principles required for sensitive expenditure.
6 The guidelines have used the six-principles approach to provide greater clarity on what is appropriate sensitive expenditure at the DCC.
Purchase Card Policy
7 A review has been undertaken on the Purchase Card Policy (Attachment D and E) as part of the regular scheduled review (review date scheduled for August 2023). The review has been undertaken by the Assurance Manager, with representatives from Finance and has incorporated recommendations from the recent Purchase Cards Internal Audit completed by Crowe.
8 The following updates have been made to the Purchase Card Policy:
a) Updated the Responsible Officer to ‘Chief Financial Officer’
b) Changed the scheduled review date period from 2 to 3 years – reviews can be conducted at any stage as required to address substantial changes.
c) The Policy has been updated to follow the new template.
d) Added detail about Mayoral purchase card to follow current practice.
e) Added details on the monthly limits which are applied to all DCC purchase cards.
f) Added details on the requirement for a signed declaration for transactions without receipts.
9 The Purchase Card Procedures (Attachment F) have also been updated based upon Audit recommendations - these are highlighted in the document.
NEXT STEPS
10 Feedback provided by ARS on policies presented will be considered. If the changes are major these will go back to the Executive Leadership Team for final review and approval.
Signatories
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Author: |
Hayley Knight - Assurance Manager |
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Authoriser: |
Carolyn Allan - Chief Financial Officer |
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Title |
Page |
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⇩a |
Policy Sensitive Expenditure August 2025 Clean |
55 |
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⇩b |
Policy Sensitive Expenditure August 2025 track changes |
61 |
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⇩c |
Guidelines Sensitive Expenditure August 2025 |
68 |
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⇩d |
Policy Purchase Card - August 2025 clean |
84 |
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⇩e |
Policy Purchase Card - August 2025 track changes |
87 |
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⇩f |
Purchase Card Procedures August 2025 |
90 |
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SUMMARY OF CONSIDERATIONS
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Fit with purpose of Local Government This report provides an update on Council Policy documents as identified by the Audit and Risk Subcommittee Workplan, which is a regulatory function considered good quality and cost effective. |
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Fit with strategic framework
The Audit and Risk Subcommittee monitors and provides assurance for the effective review and management of core Council Policies – thereby supporting business controls and delivery, governance and the realisation of strategic objectives. |
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Māori Impact Statement There are no know impacts for mana whenua. |
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Sustainability There are no implications for sustainability. |
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LTP/Annual Plan / Financial Strategy /Infrastructure Strategy There are no known implications. |
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Financial considerations No financial implications have been identified. |
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Significance This report is considered low in terms of the Council’s Significance and Engagement Policy. |
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Engagement – external The Serious Fraud Office was consulted on for the review of the Fraud, Bribery and Corruption Prevention Policy. Other local authorities were contacted to understand their threshold for declaring gifts and hospitality offered as a part of the Gifts and Hospitality Policy review process. |
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Engagement - internal Activities noted herein include cross Council engagement and collaboration on Policy review and development. |
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Risks: Legal / Health and Safety etc. A failure to maintain effective and appropriate Policy framework across core Council functions exposes the DCC to a range of operational and strategic risks, including financial, business and service performance, community, business and sector confidence, as well as potential fraud and litigation. |
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Conflict of Interest No conflicts of interest have been identified. |
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Community Boards There are no known implications for the Community Boards. |
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Audit and Risk Subcommittee 1 September 2025 |
Financial Report - Period ended 30 June 2025
Department: Finance
EXECUTIVE SUMMARY
1 This report provides the provisional financial results for the period ended 30 June 2025 and the financial position as at that date, noting the results presented are subject to final adjustments and external audit. The report was presented to the Council meeting held on Tuesday, 26 August 2025.
2 As this is an administrative report only, there are no options or Summary of Considerations.
Financial Overview
For the period ended 30 June 2025

That the Subcommittee:
a) Notes the Financial Performance for the period ended 30 June 2025 and the Financial Position as at that date.
b) Notes the 30 June 2025 result is subject to final adjustments and external audit, by Audit New Zealand.
BACKGROUND
3 This report provides the financial statements for the period ended 30 June 2025. It includes reports on financial performance, financial position, cashflows and capital expenditure. Summary information is provided in the body of this report with detailed results attached. The operating result is also shown by group, including analysis by revenue and expenditure type.
DISCUSSION
4 This report includes a high-level summary of the financial information to 30 June 2025. Please refer to Attachment I for the detailed financial update, including a summary of Better Off Funding expenditure for the quarter to 30 June 2025.
Statement of Financial Performance
5 Revenue was $405.040 million for the period or $3.716 million less than budget.
6 Operating revenue (external and internal combined) was unfavourable $739k, mainly due to lower-than-expected revenue from the Parking Services, Transport, Aquatic Services, Resource Consents and Building Services activities.
7 Grants revenue was unfavourable $924 reflecting funding decisions by NZTA under the National Land Transport Programme, and a reduction in the contractor work programme in specific areas to offset cost over runs in some activities. NZTA subsidy revenue totalling $2.250 million relating to the October rain event has been received, with a further $2.488 million approved which will be claimed as costs are incurred.
8 Expenditure was $425.489 million for the period, or $16.278 million less than budget.
9 Personnel costs was unfavourable $1.345 million, reflecting overtime payments for 3 waters and union negotiated contract increases, which is being managed with vacancy management. The month of June showed an unfavourable variance of $605k, mainly due to accrued leave adjustments.
10 Operations and maintenance expenditure was favourable $2.732 million; however, this favourable variance was offset by an unfavourable $1.283 million variance in internal costs, largely due largely to landfill disposal costs for kerbside collections now recorded as internal costs. Unfavourable Transport maintenance costs are more than offset by under expenditure in other activities, including Three Waters and Waste and Environmental Services. Transport costs included emergency works totalling $2.027 million associated with the October 2024 rain event.
11 Depreciation costs were favourable $12.599 million, mainly due to the revaluation of Three Waters assets, and to a lesser extent Property and Parks assets.
12 Interest costs were favourable $4.939 million, reflecting a lower interest rate than budgeted and lower debt.
13 The Waipori Fund has reported a net operating surplus for the year of $8.852 million, $4.427 million more than budget. Operating revenue was favourable $4.435 million. Australian, International and New Zealand equities saw an increase in value of $480k million during June. Fixed term investments values saw an increase in value for the month of $614k, maintaining favourable results for the year. Despite these results, year-end market volatility, influenced by tariff policies and geopolitical tensions, meant the Fund's value wasn't sufficiently above its inflation-adjusted capital base to support a distribution of $3 million or more.
Statement of Financial Position
14 Capital expenditure was $147.958 million or 71.5% of the full year budget. Capital expenditure in most activities was generally within budget for the period.
15 The loans balance at 30 June was $650.972 million which was $58.501 million less than budget. This a reflection of the capital expenditure programme, which was underspent by $58.925 million to June. Additional to the June loans balance there was accrued interest of $5.968 million.
16 Attachment B includes a chart showing actual group and DCC debt for the years ending June 2004-2025. It provides forecast information for the years ending June 2026 -2028 based on the current Statements of Intent (SOI), and the first two years of the draft 9-year plan.
Final Adjustments and External Audit
17 Final adjustments in addition to this report include:
· Completion of vested assets
· Revaluation of assets (Three Waters, Transport, Investment Property)
· Landfill aftercare provisions
· Depreciation
18 Audit New Zealand is scheduled to start their audit in early September 2025, with an expected signoff date of 31 October 2025.
OPTIONS
19 As this is an administrative report only, there are no options provided.
NEXT STEPS
20 Financial Result Reports continue be presented to future meetings of Council.
Signatories
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Author: |
Lawrie Warwood - Financial Analyst |
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Authoriser: |
Carolyn Allan - Chief Financial Officer |
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Title |
Page |
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⇩a |
Dashboard Summary Financial Information |
106 |
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⇩b |
Debt Graph |
107 |
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⇩c |
Statement of Financial Performance |
108 |
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⇩d |
Statement of Financial Position |
109 |
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⇩e |
Statement of Cashflows |
110 |
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⇩f |
Capital Expenditure Summary |
111 |
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⇩g |
Capital Expenditure Detailed Programme |
112 |
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⇩h |
Operating Variances |
121 |
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⇩i |
Detailed Financial Update |
122 |
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Audit and Risk Subcommittee 1 September 2025 |
Financial Strategy Compliance
Department: Finance
EXECUTIVE SUMMARY
1 The attached report provides a summary of rate and debt limits, including group debt limits. The purpose of the report is to monitor compliance against these limits.
2 As this is an administrative report only, the Summary of Considerations is not required.
That the Committee:
a) Notes the Financial Strategy Compliance Report.
BACKGROUND
3 A request was made by members of the Audit and Risk Subcommittee to provide a report showing compliance with Financial Strategy limits and group debt limits. The report provided in Attachment A summarises rates and debt limits as well as forecast rates and debt levels for the period of the 9 year plan.
NEXT STEPS
4 Financial Strategy Compliance Reports will be provided quarterly to the Audit and Risk Subcommittee.
Signatories
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Author: |
Tony Nelmes - Project Accountant |
|
Authoriser: |
Carolyn Allan - Chief Financial Officer |
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Title |
Page |
|
⇩a |
Financial Strategy Compliance |
137 |
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Audit and Risk Subcommittee 1 September 2025 |
Waipori Fund - Quarter ending 30 June 2025
Department: Finance
EXECUTIVE SUMMARY
1 The attached report from Dunedin City Treasury Limited provides information on the results of the Waipori Fund for the quarter ended 30 June 2025. This report was presented to the Council meeting held on 26 August 2025.
That the Subcommittee:
a) Notes the report from Dunedin City Treasury Limited on the Waipori Fund for the quarter ended 30 June 2025.
DISCUSSION
2 The Waipori Fund Statement of Investment Policy and Objectives (SIPO) requires quarterly reporting on the performance and financial position of the fund.
3 Dunedin City Treasury Limited has provided the Waipori Fund report for the June 2025 quarter. The report is provided as Attachment A.
4 The fund value at 30 June 2025 of $112 million exceeds the inflation adjusted capital base of $110 million. Despite this, year end market volatility meant that the Fund’s value was not sufficiently above the inflation adjusted capital base to support a distribution.
OPTIONS
5 As this is a noting report, no options are provided.
NEXT STEPS
6 Quarterly reporting on the performance and financial position of the fund will be provided to future meetings of either the Financial and Council Controlled Organisations Committee or Council.
Signatories
|
Authoriser: |
Carolyn Allan - Chief Financial Officer |
|
|
Title |
Page |
|
⇩a |
Waipori Fund- June 2025 Quarter |
146 |
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Audit and Risk Subcommittee 1 September 2025 |
Resolution to Exclude the Public
That the Audit and Risk Subcommittee:
Pursuant to the provisions of the Local Government Official Information and Meetings Act 1987, exclude the public from the following part of the proceedings of this meeting namely:
This resolution is made in reliance on Section 48(1)(a) of the Local Government Official Information and Meetings Act 1987, and the particular interest or interests protected by Section 6 or Section 7 of that Act, or Section 6 or Section 7 or Section 9 of the Official Information Act 1982, as the case may require, which would be prejudiced by the holding of the whole or the relevant part of the proceedings of the meeting in public are as shown above after each item.
That Rudie Tomlinson (Director, Audit New Zealand) and Monique Kruger (Manager, Audit New Zealand) be permitted to attend the meeting, after the public has been excluded, because of his knowledge of Items C4. This knowledge, which would been of assistance in relation to the matters discussed, was relevant because they would be reporting on the item under consideration.