HomeMy WebLinkAboutItem 08 - Appropriation Adjustment to Carryover Unspent Amounts From Fiscal Year 2023-24 Finance and Management Services
www.santa-ana.org/finance
Item # 8
City of Santa Ana
20 Civic Center Plaza, Santa Ana, CA 92701
Staff Report
October 1, 2024
TOPIC: Carryover of Unspent Amounts from FY 2023-24 to FY 2024-25
AGENDA TITLE
Appropriation Adjustment to Carryover Unspent Amounts From Fiscal Year 2023-24 to
Fiscal Year 2024-25
RECOMMENDED ACTION
1. Approve an Appropriation Adjustment to reduce the FY 2023-24 budget for unspent
amounts to be carried over to FY 2024-25. (Requires five affirmative votes)
2. Approve an Appropriation Adjustment to increase the FY 2024-25 budget for
amounts carried forward from FY 2023-24. (Requires five affirmative votes)
GOVERNMENT CODE §84308 APPLIES: No
DISCUSSION
It is common for a City to budget for non-recurring (one-time) expenditures, such as
construction projects, not yet completed when the fiscal year ended on June 30. When
this happens, the City Council may approve the “carryover” of the unspent budget from
one fiscal year to the next to provide resources necessary for project completion. Staff
typically does not request carryover for recurring operating budget amounts because
each annual budget already includes provisions for ongoing operational expenses,
except for projects that have not yet begun.
The City Council adopts a budget one year at a time and the City’s Charter requires City
Council approval for appropriation adjustments. Increasing the current year’s budget for
unspent amounts carried over from the prior year constitutes an appropriation
adjustment. The General Fund comprises $66.6 million of the total $442.7 million in
carryover requests and the remainder is restricted funds. Budget staff reviewed and
analyzed all requests to ensure there is sufficient unspent budget available for
carryover.
The following is a summary of all the proposed carryovers from FY 2023-24 (FY 23-24)
to FY 2024-25 (FY 24-25):
Carry-Over of Unspent Amounts from FY 2023-24 to FY 2024-25
October 1, 2024
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5
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Staff has compiled a list of carryover requests (Exhibit 1). These include items such as
multi-year capital/grant projects, delayed purchases due to vendor availability issues,
and various one-time projects approved for FY 2023-24 that were not completed by the
fiscal year end on June 30, 2024.
The most significant carryovers follow, which account for half of the total.
•Safe Routes to Schools (Traffic Safety for School Children) $49.9M
•Bristol Street Projects $37.8M
•Main & Newhope Library Renovations $34.5M
•Warner Avenue Improvements $30.7M
•Swimming Pool & Facilities at Memorial Park $28.5M
•Third & Broadway Development $13.0M
•Santa Anita Park Improvements $9.1M
•Centennial Park Improvements $8.5M
•Zoo Improvements $8.5M
See Exhibit 1 for detailed information regarding each of the requested carryover
projects. This file lists the accounting unit, description, amount, project status, and
estimated completion date.
Because the City’s legal level of budgetary compliance is by fund and department, the
attached carryover lists include several negative amounts. These negative carryover
amounts are accompanied by positive carryover amounts within the same fund and
department. Essentially, these offsetting negative and positive amounts are being used
to align the budget between various accounting units within a single department and
fund to match remaining available resources such as grants.
Each amount on the list includes the amount available one month after the end of FY
23-24. Staff continued to pay FY 23-24 invoices through the end of August and will
complete the reconciliation of accounts in October. The FY 23-24 ledger will not be final
and closed until the financial statements have been audited in November. Therefore,
the requested carryovers are “maximum” amounts. The actual amounts processed for
carryover will be limited to the available budget once the FY 23-24 ledger is closed.
Carryovers are summarized by fund in Exhibit 2. Staff will update FY 2024-25 revenue
estimates for reimbursement grants tied to carryover amounts (i.e. CDBG) to reflect
reimbursement timing.
Carryover Type General Fund ARPA Restricted Total
CIP 42,408,082$ 53,450,290$ 275,306,449$ 371,164,821$
Equipment 4,862,756$ 513,970$ 7,216,104$ 12,592,830$
All Other 19,345,368$ 5,624,838$ 33,995,540$ 58,965,746$
Total 66,616,206$ 59,589,098$ 316,518,093$ 442,723,397$
Carry-Over of Unspent Amounts from FY 2023-24 to FY 2024-25
October 1, 2024
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ENVIRONMENTAL IMPACT
There is no environmental impact associated with this action.
FISCAL IMPACT
No fiscal impact is associated with the recommended actions to carry over unspent
appropriations. Spending for previously authorized expenditures will occur in a later
period, which only affects the timing of cash flow.
EXHIBIT(S)
1. List of Requests to Carryover Unspent Aappropriations
2. List of Requests to Carryover Unspent Appropriations by Fund
Submitted By: Kathryn Downs, Finance and Management Services Agency Executive
Director
Approved By: Alvaro Nuñez, City Manager
List of Requests to Carryover Unspent Appropriations
FY23-24 Balances to FY24-25
As of August 06, 2024
General Fund (Fund 11)
Accounting Unit Department Project
Activity #Fund Description Project Description Est. Completion Date Project Status
Increase from
Original
Funding
Amount
Change in
Purpose from
Original Funding
Source
Carry Forward
Up To Amount
01103010 City Manager 230152 GENERAL FUND 8th Floor Remodel 06/2025 Final phase of remodel, construction to commence January
2025.20,000
01103017 City Manager 230152 GENERAL FUND 8th Floor Remodel 06/2025 Final phase of remodel, construction to commence January
2025.100,000
01103010 City Manager 240100 GENERAL FUND Chinatown Memorial 06/2025 Design for memorial in progress, location in development.20,000
01105015 City Manager 230152 GENERAL FUND 8th Floor Remodel 06/2025 Final phase of remodel, construction to commence January
2025.170,000
01105015 Non-Departmental N/A GENERAL FUND Third & Broadway Development 06/2025 Project plan and scope is undergoing review. 13,000,000
01105015 Non-Departmental N/A GENERAL FUND Civic Center Modernization TBD Hiring a consultant to develop the RFP for planning and design 1,000,000
01108032 City Attorney N/A GENERAL FUND Williams and Maher Supplies 06/2025 Payment of invoice pending.25,235
01108032 City Attorney N/A GENERAL FUND New Office Furniture for City Attorney's Office 08/2024 Furniture order received on July 2024, payment of invoice is
pending. 271,210
01109050 Human Resources 240600 GENERAL FUND The Standard Life Insurance Implementation 06/2025
One-time implmentation credit from Standard Insurance will be
used for supplies, training, and support services for benefit
operations.
15,000
01109050 Human Resources N/A GENERAL FUND 4th Floor Remodel - Human Resources 06/2025 Purchase order will be issued for office furniture; remodel to
replace flooring begins March 2025. 90,000
01110100 Finance N/A GENERAL FUND Consulting Services for GASB Implementation and Financial
Reporting 12/2026
Request for Proposal will be issued in FY24-25. Additional
expenditure savings are being added to project after the
significant scope of work was carefully evaluated.
100,000
01110100 Finance N/A GENERAL FUND Current Office Furniture Replacement - Budget Office 06/2025 Furniture specs are in progress; Purchase Order will be issued in
September 2024 for the final phase of furniture order.25,000
01110100 Finance N/A GENERAL FUND 4th Floor Remodel - Purchasing Division 06/2025 Expected completion date is June 2025. 60,000
01110110 Finance N/A GENERAL FUND Accounting Office Supplies 06/2025 Expected completion date is June 2025. 38,000
01110110 Finance N/A GENERAL FUND 4th Floor Remodel - Purchasing Division 06/2025 Expected completion date is June 2025. 40,000
01110115 Finance N/A GENERAL FUND 4th Floor Remodel - Purchasing Division 06/2025 Expected completion date is June 2025. 25,000
01110130 Finance N/A GENERAL FUND Vehicle Replacement - Municipal Utility Services 06/2025 Expected completion date is June 2025. 62,000
01110130 Finance N/A GENERAL FUND Separation Cash Out for Long-Time Staff Retirement 06/2025 Expected completion date is June 2025. 20,000
01110131 Finance N/A GENERAL FUND Separation Cash Out for Long-Time Staff Retirement 06/2025 Expected completion date is June 2025. 22,000
01111110 Library N/A GENERAL FUND Main Library & Book Mobile Book Collections 06/2025 Purchase of new books and materials will be received by June
2025.185,000
01111190 Library N/A GENERAL FUND Main Library & Book Mobile Book Collections 06/2025 Purchase of new books and materials will be received by June
2025.50,000
01111110 Library N/A GENERAL FUND Newhope Library Renovation 06/2025 Expected completion date is June 2025. 200,000
01111017 Library N/A GENERAL FUND Garfield Community Center Supplies 06/2025 Expected completion date is June 2025. 61,000
01113017 Parks & Recreation 232601 GENERAL FUND Santa Ana Zoo-Construction Of New Zoo Educational Hub
Building 12/2025 In Progress; Submitted plans for review-Bid Scheduled for
December 2024.-Est Cmpl December 2025 125,013
01113017 Parks & Recreation N/A GENERAL FUND Vehicle Add-On Equipment 12/2024
Purchase order has been issued and once vehicles are delivered,
Fleet will equip the vehicles with the additional equipment by
December 2024.
30,000
01113200 Parks & Recreation N/A GENERAL FUND City-Wide Credit Card Terminal Project 06/2025
Hardware has been purchased and testing is in progress. City-
wide credit card terminals are expected to be installed in FY24-
25.
123,420
01113220 Parks & Recreation N/A GENERAL FUND Zoo Ticketing System 06/2025 In coordination with the City-wide credit card terminals. Credit
card terminals are expected to be installed in FY24-25. 62,000
EXHIBIT 1
List of Requests to Carryover Unspent Appropriations
FY23-24 Balances to FY24-25
As of August 06, 2024
Accounting Unit Department Project
Activity #Fund Description Project Description Est. Completion Date Project Status
Increase from
Original
Funding
Amount
Change in
Purpose from
Original Funding
Source
Carry Forward
Up To Amount
01114403 Police Department 234520 GENERAL FUND PD Fire Alarm System Upgrade (Phase II)06/2025
Project was delayed due to limited access to Jail mods during
specific hours only, coordination of movement of inmates, and
Building Maintenance staff shortages. Project is 52% complete
and expected to be completed by the end of FY24-25.
437,357
01114403 Police Department N/A GENERAL FUND PD Jail Access Control System 06/2027 To ensure jail security and continue accepting inmates from
federal and local agencies. 200,000
01114403 Police Department 234522 GENERAL FUND PD Gate Replacement 06/2025 Project was delayed due to staffing shortages. RFP to be
completed by June 2025. 95,287
01114403 Police Department 234519 GENERAL FUND PD Uninterruptible Power Supply (UPS) Equipment Installation 06/2025 UPS equipment was received and paid; pending payment for
installation of equipment. 76,740
01114403 Police Department 234521 GENERAL FUND PD Furniture Replacement 06/2025 Furniture was received in July 2024; pending payment for
installation of equipment. 200,000
01116570 Police Department N/A GENERAL FUND Healthcare & Emergency Animal Rescue Team (HEART)06/2025 Agreement fully executed at the end of FY23-24. Funds will be
expended throughout FY24-25. 74,243
01116500 Planning & Building N/A GENERAL FUND Conference Room 1600 Remodel 10/2024 Project in progress; 75% completed. 65,000
01116510 Planning & Building 255001 GENERAL FUND Historic Project Consultants 06/2025
Agreements have been fully executed; project consultants are
actively meeting to complete a historic citywide survey in
coordination with the General Plan and Zoning Code updates.
450,000
01116510 Planning & Building N/A GENERAL FUND General Plan Legal Consulting Services 06/2025 General Plan implementation and Zoning Code update work has
begun. Legal consulting will be required. 250,000
01116510 Planning & Building N/A GENERAL FUND PBx - Express Permit Service 12/2024
PBx Phase 1 implementation completed in August 2024. Phase 2
is in progress with an expected completion date of December
2024. Funds will be used to update signage, Qmatic software,
temp staffing, and training.
30,000
01116510 Planning & Building N/A GENERAL FUND Planning Workstations - Furniture 10/2024 Pending furniture installment and invoice processing. 116,000
01116510 Planning & Building N/A GENERAL FUND Zoning Code Update 06/2025 Agreements have been fully executed and work has
commenced. Zoning meetings are in progress. 775,981
01116520 Planning & Building 245005 GENERAL FUND Building Safety Ross Annex First Floor Remodel 06/2025 Construction Bid closes September 2024. In progress - estimated
completion date is June 2025. 538,000
01116530 Planning & Building N/A GENERAL FUND Seismic Retrofit Study 06/2025
Engineering consulting firm to survey and assess the City's
building inventory and implement a Seismic Retrofit Ordinance.
Building Safety is finalizing the RFP with the study scheduled to
be released in December 2024.
300,000
01116530 Planning & Building N/A GENERAL FUND Land Management System Upgrade 06/2025 Expected completion date is June 2025. 112,000
01116530 Planning & Building 245005 GENERAL FUND Building Safety Ross Annex First Floor Remodel 06/2025 Construction Bid closes September 2024. In progress - estimated
completion date is June 2025. 275,000
01116540 Planning & Building 245005 GENERAL FUND Code Enforcement Ross Annex First Floor Remodel 06/2025 Construction Bid closes September 2024. In progress - estimated
completion date is June 2025. 177,000
01117017 Public Works 222755 GENERAL FUND Centennial Park-Construction Of New Dog Park 08/2025 In Progress-In Design. Design work is 60% complete-Est Cmpl
August 2025 1,000,000
01117017 Public Works N/A GENERAL FUND Climate Action Plan 06/2025 In Progress-In Design. Design work is 60% complete-Est Cmpl
August 2025 750,000
01117017 Public Works N/A GENERAL FUND Economic Water Tower Feasibility Study 06/2025 Economic Study in progress with estimated completion date of
Spring 2025. 50,000
01117017 Public Works N/A GENERAL FUND Water Tower Feasibility Study 12/2024 Study for structural and architectual requirements in final
stages. Expected to be completed by early Fall 2024. 150,000
01117611 Public Works N/A GENERAL FUND CIP Engineering Field Devices 06/2025 New equipment for CIP Engineering team is expected to be
purchased in FY24-25. 30,000
01117650 Public Works 222755 GENERAL FUND Centennial Park-Construction Of New Dog Park 08/2025 In Progress-In Design. Design work is 60% complete-Est Cmpl
August 2025 2,600,000
01118017 Community Development N/A GENERAL FUND Sales Tax Rebate for Volvo and TAC Energy 06/2025 Expected completion date is June 2025. 60,000
01118017 Community Development 249005 GENERAL FUND Start-Up Grants for Non-Profits 06/2025
Agreements have been fully executed. The last agreement is
currently being paid since non-profits are due the balance on
agreements six months after full execution, which will be in
Septemeber and December 2024.
100,000
01118017 Community Development 249004 GENERAL FUND Arts and Culture Commission Special Events Funding
(Sponsorship)06/2025 Agreement has been fully executed. Pending payment
processing in October 2024. 54,060
01118017 Community Development 259002 GENERAL FUND 1st and 6th Floor Renovations 07/2025 Construction to begin in October 2024 with an expected
completion date of July 2025. 1,200,000
List of Requests to Carryover Unspent Appropriations
FY23-24 Balances to FY24-25
As of August 06, 2024
Accounting Unit Department Project
Activity #Fund Description Project Description Est. Completion Date Project Status
Increase from
Original
Funding
Amount
Change in
Purpose from
Original Funding
Source
Carry Forward
Up To Amount
01118017 Community Development N/A GENERAL FUND 3rd & Main Parking Lot Purchase 02/2025 Oversight Board of Successor Agency approval anticipated in
February 2025. 190,000
01118017 Community Development 249001 GENERAL FUND Youth Employment Program 06/2025 Funds to be expended in Fiscal Year 2024-2025 during non-peak
periods of the fiscal year during the fall, winter, and spring. 27,750
01118017 Community Development N/A GENERAL FUND Artist Grant Program 06/2025 Funds will be expended by June 2025. 200,000
01118017 Community Development 249003 GENERAL FUND Bridging the G.A.P. (Graffiti Arts Program)06/2025 Estimated project completion by September 2024. Upon
receiving the invoice, payment request will be submitted. 75,000
01118810 Community Development 259002 GENERAL FUND 1st and 6th Floor Renovations 07/2025 Construction to begin in October 2024 with an expected
completion date of July 2025. 400,000
01118810 Community Development 249006 GENERAL FUND Regional Assessment of Fair Housing 07/2025 Expected completion date is June 2025. 159,890
01118810 Community Development N/A GENERAL FUND Mural Restoration 06/2025 Program guidelines are being reviewed and finalized with funds
to be expended by June 2025. 50,000
01118825 Community Development N/A GENERAL FUND Sales Tax Rebate for Volvo and TAC Energy 06/2025 Expected completion date is June 2025. 271,731
01111017 Library 221380 General Fund Main Library Renovation 03/2026
Active; Construction Phase; Construction contingency, children's
exhibits, moving services, and various miscellaneous costs for
Main Library Renovation
3,889,803
01111017 Library 221381 General Fund Outdoor Library At Jerome Park 02/2025 Active; Construction Phase; Construction contingency and
signage design services for the Outdoor Library at Jerome Park 191,378
01111190 Library 221381 General Fund Outdoor Library At Jerome Park 02/2025 Active; Construction Phase; Book kiosk 100,000
01111017 Library 221382 General Fund Delhi Library Branch 03/2025
Active; Design Complete; Construction Phase to begin
September 2024; Furniture costs, construction engineering, and
various miscellaneous costs for Delhi Library Branch
400,000
01111017 Library 231382 General Fund Delhi Library Branch 03/2025 Active; Design Complete; Construction Phase to begin
September 2024; Design Services for Delhi Library Branch 56,175
01111110 Library 241602 General Fund Library Admin Projects 06/2025 Active; Security gates and cameras for new Delhi Library Branch 109,000
01111190 Library 241603 General Fund Library Tech Projects 06/2025 Active; Public access laptops for the Delhi Library Branch and
Library satellite locations during Main closure 57,000
01115330 Fire & EMS 246054 GENERAL FUND - FIRE Fire Station 71 Storage Tank 11/2026 Design - Final Plan Check 856,800
01115017 Fire & EMS 236626 GENERAL FUND - FIRE Fire Facilities Building Repairs & Improvements 01/2026 In Progress Fire Facilities Building Improvements 318,200
01115017 Fire & EMS 246626 GENERAL FUND - FIRE Fire Station 70 Kitchen and Dayroom ADA 06/2027 In progress; estimated to go out to bid August 2024. 650,000
01115330 Fire & EMS 246053 GENERAL FUND - FIRE Fire Station 74 Above Ground Storage Tank 11/2026 Design - Final Plan Check 72,700
01115330 Fire & EMS 226020 GENERAL FUND - FIRE Fire Station 75 Above Ground Storage Tank 06/2025 Design - Final Plan Check 946,400
01117017 Public Works 156827 PWA - SERVICE
ENHANCEMENT Fairview Bridge & Street Improvements 12/2024 5% Design 352,994
01117017 Public Works 179001 PWA - SERVICE
ENHANCEMENT South Main Street Corridor Public Improvements 06/2025 Project Complete; Project Balance Available 839,194
01117017 Public Works 226023 PWA - SERVICE
ENHANCEMENT Cypress Fire Station 06/2025 In Design 622,477
01117017 Public Works 236001 PWA - SERVICE
ENHANCEMENT Grand Central Art Center 09/2024 Pending Retention Release (4,594)
01117017 Public Works 236031 PWA - SERVICE
ENHANCEMENT Ross Annex HVAC Automation 06/2026 System Programming in Progress 110,920
01117017 Public Works 236032 PWA - SERVICE
ENHANCEMENT Corbin Center Improvements 01/2026 90% Design 217,460
01117017 Public Works 236039 PWA - SERVICE
ENHANCEMENT Salgado Center Floor Replacement 05/2027 Project in progress, construction 50% complete. 143,406
01117017 Public Works 236041 PWA - SERVICE
ENHANCEMENT Refurbishment of Neighborhood Entry Monument Signs 05/2027 Project Complete; Project Balance Available 18,916
01117017 Public Works 246027 PWA - SERVICE
ENHANCEMENT Police Building Maintenance Services 09/2026 Project designated to allocate building maintenance
constractual services for PWA. 124,906
01117017 Public Works 246046 PWA - SERVICE
ENHANCEMENT
City Hall Loading Dock Mechanical Room Sewer Pump
Replacement 07/2026 Installation of new pumps, piping, pit lid, control panels in
progress. 217,840
List of Requests to Carryover Unspent Appropriations
FY23-24 Balances to FY24-25
As of August 06, 2024
Accounting Unit Department Project
Activity #Fund Description Project Description Est. Completion Date Project Status
Increase from
Original
Funding
Amount
Change in
Purpose from
Original Funding
Source
Carry Forward
Up To Amount
01117017 Public Works 246047 PWA - SERVICE
ENHANCEMENT Ross Annex Basement - Drainage Repair/Replacement 07/2026 Installation of cast iron pipes in progress. 234,670
01117017 Public Works 246049 PWA - SERVICE
ENHANCEMENT Police Building Deferred Maintenance & Repairs 08/2026 PD Building ongoing repairs in progress. 422,746
01117620 Public Works 186919 PW-TRAFFIC/TRANS -
SERV ENHMNT Traffic Signal Modification: 1st to Jackson St & 5th to Euclid St 06/2025 99% Construction 40,542
01117620 Public Works 206963 PW-TRAFFIC/TRANS -
SERV ENHMNT Safe Routes to Schools: Kennedy & Villa 05/2027 84% Construction 130,000
01117620 Public Works 226018 PW-TRAFFIC/TRANS -
SERV ENHMNT Flower & 3rd St Traffic Safety 06/2025 Design Phase, 90% Complete 500,000
01117620 Public Works 226988 PW-TRAFFIC/TRANS -
SERV ENHMNT Main St Rehab: Macarthur-Dyer 06/2025 99% Construction 71,633
01117620 Public Works 226995 PW-TRAFFIC/TRANS -
SERV ENHMNT Bristol St & Santa Clara Signal Modification 06/2025 98% Construction 84,340
01117620 Public Works 236026 PW-TRAFFIC/TRANS -
SERV ENHMNT Citywide Parking Study 09/2025 Project is ongoing with community outreach and data collection
being finalized; Program recommendations to follow. 310,211
01117620 Public Works 236034 PW-TRAFFIC/TRANS -
SERV ENHMNT Traffic Calming Improvements Phase I 06/2025
Projects at following locations completed: Grovemont St, Civic
Center Dr, Walnut St, Myrtle St, Adams St & Cypress Ave. Project
Balance Available
36,475
01117620 Public Works 236036 PW-TRAFFIC/TRANS -
SERV ENHMNT Traffic Calming Improvements Phase II: Cubbon & Birch St 04/2027 Construction Phase ongoing, 1% complete 802,132
01117620 Public Works 236037 PW-TRAFFIC/TRANS -
SERV ENHMNT Traffic Calming: Memory & Flower Bikeway 04/2027 Environmental Phase, 100% complete. Design Phase, 30%
complete. 850,743
01117620 Public Works 246045 PW-TRAFFIC/TRANS -
SERV ENHMNT Segerstrom/Spruce Traffic Signal 09/2026 Construction Phase, 5% Complete 671,402
01117620 Public Works 246005 PW-TRAFFIC/TRANS -
SERV ENHMNT Traffic Calming FY23/24 04/2027 Project is ongoing with scope locations and design work
underway. Advertising project expected in March 2025. 1,000,000
01117620 Public Works 246008 PW-TRAFFIC/TRANS -
SERV ENHMNT Traffic Signal Maintenance Staff 06/2026 Project designated to allocate Traffic Engineering Staff Costs. 89,197
01117622 Public Works 226999 PWA RIGHT-OF-WAY Project W Bus Shelter Project 09/2025 98% Construction 166,034
01117622 Public Works 246900 PWA RIGHT-OF-WAY Right of Way Management FY23/24 09/2025 Project in Design phase. 4,800
01117630 Public Works 226017 PW-ST LIGHT MAINT.
SERV ENHCMN Saddleback Street Light Project 06/2025 99% Construction 90,029
01117630 Public Works 236045 PW-ST LIGHT MAINT.
SERV ENHCMN Street Lighting Master Plan 06/2026 Construction Phase, 99% Complete 19,347
01117630 Public Works 236030 PW-ST LIGHT MAINT.
SERV ENHCMN Riverview Neighborhood Street Lighting 12/2026 99% Construction 124,206
01117630 Public Works 236033 PW-ST LIGHT MAINT.
SERV ENHCMN Street Light Poles Replacement 06/2026 97% Construction 863,820
01117660 Public Works 236910 PUB WKS-ROAD
MAINTENANCE Alley Improvement Program FY23/24 06/2025 95% Construction 724,526
01117660 Public Works 246910 PUB WKS-ROAD
MAINTENANCE Alley Improvement Program FY23/24 09/2025 Ongoing; Project Balance Available 1,422,135
01117660 Public Works 226989 PUB WKS-ROAD
MAINTENANCE Westminster Rehab: Newhope to Harbor 06/2025 99% Construction 800,000
01117660 Public Works 146802 PUB WKS-ROAD
MAINTENANCE Warner Ave Widening: Main to Oak Phase I 09/2026 90% Construction 1,200,000
01117650 Public Works 246007 SARTC MAINTENANCE-
SERV ENHCMT SARTC Fan Coil Replacements 04/2027 Fan coil replacements 95% complete 82,155
01117650 Public Works 246058 SARTC MAINTENANCE-
SERV ENHCMT SARTC Outdoor Fountain Renovation 01/2026 Construction to begin August 2024 100,823
01117650 Public Works 246059 SARTC MAINTENANCE-
SERV ENHCMT SARTC Grease Interceptors 02/2027 95% Construction 54,714
01117650 Public Works 226024 SARTC MAINTENANCE-
SERV ENHCMT SARTC Deferred Maintenance 03/2027 Ongoing project to conduct required repairs. 591,673
01113220 Parks & Recreation 162658 General Fund Santa Ana Zoo-Construction Of New Otter Habitat 12/2024 In Progress-Construction-70% Complete-Est. Cmpl December
2024 1,300,000
01113017 Parks & Recreation 212750 General Fund PRCSA-City Hall Renovation 12/2024 Complete-Final payment pending 88,699
01113017 Parks & Recreation 221415 General Fund Memorial Park-Construction Of New Aquatic Facilities 10/2026 In Progress-Pending Contract Award for October 2024-Est Cmpl
October 2026 10,000,000
List of Requests to Carryover Unspent Appropriations
FY23-24 Balances to FY24-25
As of August 06, 2024
Accounting Unit Department Project
Activity #Fund Description Project Description Est. Completion Date Project Status
Increase from
Original
Funding
Amount
Change in
Purpose from
Original Funding
Source
Carry Forward
Up To Amount
01113220 Parks & Recreation 222764 General Fund Santa Ana Zoo-Construction Of New Walkways 06/2025
In Progress-Received Bids, but scope will need to be adjusted
and re-bid as cost came in above available funding. Est. Cmpl
June 2025
392,940
01113017 Parks & Recreation 242602 General Fund Santa Ana Stadium-Replacement Of Bleachers 03/2025 In Progress-Purchase Order Issued, installation expected for
December 2024 50,715
01113017 Parks & Recreation 242603 General Fund Santa Ana Stadium-Design For Additional Seating 03/2025 In Progress-Design only-10% Complete-Est Cmpl March 2025 430,000
01113230 Parks & Recreation 242604 General Fund PRCSA-New Workstations & Offices 12/2024 In Progress-furniture delivered-Pending payment. Additional
office equipment to be ordered-Est Cmpl December 2024
510,406
01111017 Library N/A General Fund Ford F-59 Book Mobile 02/2025 2nd Book Mobile expected February 2025 414,922
01113017 Parks & Recreation 222001 General Fund 2023 Chevrolet Colorado Truck 08/2025 Payment Pending 229,213
01113017 Parks & Recreation 242602 General Fund Stadium Seating 12/2025 Expect to receive by September 2025 499,285
01114403 Police Department 234515 General Fund Split System HVAC Replacement 10/2024 Invoices were submitted in September 2024 34,864
01114470 Police Department N/A General Fund Security Camera System 10/2024 Items not received with no current estimated arrival date 96,733
01114475 Police Department N/A General Fund 2024 Ford Transit Passenger Wagon 06/2025 Items not received with no current estimated arrival date 103,659
01115017 Fire & EMS 236626 General Fund New Skylight Tops and Replacement of AC Condensing Unit 06/2025 Items not received with no current estimated arrival date 15,328
01116540 Planning & Building N/A General Fund 2023 Chevrolet Colorado Truck 10/2024 Goods received. Pending invoice processing. 71,949
01116540 Planning & Building N/A General Fund 2024 Chevrolet Blazer EV 10/2024 Goods received. Pending invoice processing. 70,907
01116540 Planning & Building N/A General Fund 2024 Chevrolet Equinox EV SUV 10/2024 Goods received. Pending invoice processing. 94,254
01117017 Public Works 236001 General Fund Fan Coil Replacement 09/2024 Invoices were submitted in September 2024 37,856
01117017 Public Works N/A General Fund 2023 Chevrolet Traverse 10/2024 All vehicles received; payment pending 40,107
01117017 Public Works N/A General Fund Commerical Diesel Generator Set 12/2024 Items not received with no current estimated arrival date 376,712
01117017 Public Works N/A General Fund Development Impact Fees Consultants 06/2025 Services not yet performed 101,500
01117017 Public Works 246027 General Fund Stairwell Renovation 11/2024 Items not received or services not performed 21,470
01117611 Public Works N/A General Fund 2024 Chevrolet Colorado 10/2024 Vehicle received; payment pending 47,123
01117620 Public Works N/A General Fund Streetlight Poles 06/2025 Items not received with no current estimated arrival date 217,404
01117620 Public Works 236026 General Fund Traffic Parking Study 06/2025 Multi-year study still underway 210,212
01117620 Public Works 236045 General Fund Street Light Master Plan 06/2025 Two year study expected to be complete June 2025. 159,874
01117620 Public Works N/A General Fund EYEP Solutions Inc. Cameras and Laptop Setup 06/2025 Items not received with no current estimated arrival date 66,108
01117630 Public Works N/A General Fund Ford F550 Boom Truck 06/2026 Estimated arrival is June 2026 150,000
01117630 Public Works N/A General Fund Streetlight Poles 06/2025 Items not received with no current estimated arrival date 107,080
01117630 Public Works 236045 General Fund Street Light Master Plan 06/2025 Two year study expected to be complete June 2025. 102,472
01117643 Public Works N/A General Fund Aerial/Tree Trimmer Combo Truck 06/2026 Estimated arrival is June 2026 406,129
01117650 Public Works 226024 General Fund Fan Coil Replacement 09/2024 Items received; payment pending 184,234
01117651 Public Works N/A General Fund Ford F550 Boom Truck 10/2025 Estimated arrival is October 2025 232,506
01117651 Public Works N/A General Fund 2023 Chevrolet 2500HD Truck 06/2025 Items not received with no current estimated arrival date 92,377
01117651 Public Works N/A General Fund Ford Transit Plumbers Van 10/2024 Item received; payment pending 94,058
01117651 Public Works N/A General Fund 2024 Chevrolet Colorado 10/2024 Item received; payment pending 45,423
List of Requests to Carryover Unspent Appropriations
FY23-24 Balances to FY24-25
As of August 06, 2024
Accounting Unit Department Project
Activity #Fund Description Project Description Est. Completion Date Project Status
Increase from
Original
Funding
Amount
Change in
Purpose from
Original Funding
Source
Carry Forward
Up To Amount
01117651 Public Works N/A General Fund Terex Hi-Ranger Bucket Truck 06/2025 Items not received with no current estimated arrival date 241,107
01117652 Public Works N/A General Fund Barrier Free Park Installation 06/2025 Project still in progress 18,337
American Rescue Plan Act (ARPA)
18103013 City Manager 221306 ARPA - CMO Digital Marquees Throughout City 12/2026 Completed less than 50% 1,861,910
18103013 City Manager 221365 ARPA - CMO Federal Grant Compliance Consultant 12/2026 Completed less than 50% 172,930
18110013 Finance 221362 ARPA - FMSA Accounting & Compliance 12/2026 Completed less than 50% (170,250)
18111013 Library 221380 ARPA - LIBRARY Main Library Renovation 12/2026 Completed less than 50% 13,443,780
18111013 Library 221381 ARPA - LIBRARY Jerome Park - Library In The Park 12/2026 Completed less than 50% 2,927,580
18111013 Library 221382 ARPA - LIBRARY Delhi Center Library Branch 12/2026 Completed less than 50% 3,372,900
18113013 Parks & Recreation 221320 ARPA - PRCSA Childhood Support/Head Start 09/2024 Complete-Pending Final Payment 90,720
18113013 Parks & Recreation 221321 ARPA - PRCSA After School/Youth Sport Program 09/2024 Complete-Pending Final Payment 41,190
18113013 Parks & Recreation 221327 ARPA - PRCSA Youth Violence Prevention Prgm 09/2024 Complete-Pending Final Payment 332,960
18113013 Parks & Recreation 221342 ARPA - PRCSA 10th & Flower Park Improvements 12/2026 Completed 50% or more 2,766,970
18113013 Parks & Recreation 221348 ARPA - PRCSA Windsor Park Restroom 12/2026 Completed less than 50% 211,020
18113013 Parks & Recreation 221349 ARPA - PRCSA Angels Park Renovation 12/2026 Completed less than 50% 428,630
18113013 Parks & Recreation 221350 ARPA - PRCSA Heritage Park Restroom 12/2026 Completed less than 50% 61,960
18113013 Parks & Recreation 221353 ARPA - PRCSA Madison & Windsor Park Security Cameras 12/2026 Completed less than 50% 213,970
18114013 Police Department 221310 ARPA - PD Covid Emergency Preparedness 12/2026 Completed less than 50% (31,570)
18116013 Planning & Building 221346 ARPA - PBA Property Compliance/Assistance Program 12/2026 Completed 50% or more 48,700
18117013 Public Works 182681 ARPA - PWA Centennial Lake Renovation 10/2024 In Progress-Construction-90% Complete- October 2024 1,266,180
18117013 Public Works 196951 ARPA - PWA Safe Routes to Schools: Davis Elementary 09/2021 Completed 50% or more 65,920
18117013 Public Works 221309 ARPA - PWA Sanitation & Prevention - Right of Way Maintenance 12/2026 Completed less than 50% (155,780)
18117013 Public Works 221341 ARPA - PWA First St Slope Stabilization 12/2026 Completed less than 50% 2,686,350
List of Requests to Carryover Unspent Appropriations
FY23-24 Balances to FY24-25
As of August 06, 2024
Accounting Unit Department Project
Activity #Fund Description Project Description Est. Completion Date Project Status
Increase from
Original
Funding
Amount
Change in
Purpose from
Original Funding
Source
Carry Forward
Up To Amount
18117013 Public Works 221344 ARPA - PWA Open Space Land Acquisition - 4404 W 1st St 12/2026 Completed 50% or more 100,680
18117013 Public Works 221358 ARPA - PWA Public Health & Wellness Plaza 12/2026 Completed less than 50% 920,880
18117013 Public Works 221365 ARPA - PWA Federal Grant Compliance Consultant 12/2026 Completed less than 50% (192,480)
18117013 Public Works 221378 ARPA - PWA Santa Anita Park Community Center Renovation 12/2026 Completed less than 50% 7,856,770
18117013 Public Works 221387 ARPA - PWA Neighborhood Safety Streetlights Phase I 12/2026 Completed less than 50% 834,630
18117013 Public Works 221388 ARPA - PWA Neighborhood Safety Streetlights Phase II 12/2026 Completed less than 50% 1,071,050
18117013 Public Works 221402 ARPA - PWA Sanitation & Pressure Washing 12/2027 Completed 50% or more 43,000
18117013 Public Works 221403 ARPA - PWA Bus Shelter Cleaning 12/2027 Completed less than 50% (12,010)
18117013 Public Works 221405 ARPA - PWA Pedestrian & Mobility Improvements Phase I 12/2027 Completed less than 50% 202,500
18117013 Public Works 221406 ARPA - PWA Pedestrian & Mobility Improvements Phase II 12/2027 Completed less than 50% 2,827,250
18117013 Public Works 221407 ARPA - PWA Pedestrian & Mobility Improvements Phase III 12/2027 Completed less than 50% 322,120
18117013 Public Works 221408 ARPA - PWA Bristol Recreation Corridor 12/2027 Completed less than 50% 628,260
18117013 Public Works 221410 ARPA - PWA Warner Linear Park 12/2027 Completed less than 50% 48,790
18117013 Public Works 221412 ARPA - PWA Riverview Park Restroom 12/2027 Completed 50% or more 102,720
18117013 Public Works 221415 ARPA - PWA Memorial Park & Aquatics Facility Renovation 12/2027 Completed less than 50% 5,242,910
18117013 Public Works 221418 ARPA - PWA Stormwater Channel Fencing Phase III 02/2026 Not Started 350,000
18117013 Public Works 221420 ARPA - PWA Bike Trail Security Cameras 06/2025 RFP in development and expected to be awarded by December
2024. 300,000
18117013 Public Works 221421 ARPA - PWA Angels Park Lights 12/2026 Not Started 500,000
18117013 Public Works 221422 ARPA - PWA Centennial Park Lights 12/2026 Not Started 250,000
18117013 Public Works 221423 ARPA - PWA Delhi Park Lights 12/2026 Not Started 600,000
18117013 Public Works 221424 ARPA - PWA Centennial Park Restrooms 12/2026 Not Started 400,000
18118013 Community Development 221301 ARPA - CDA Mental Health Recovery 12/2026 Completed less than 50% (22,950)
List of Requests to Carryover Unspent Appropriations
FY23-24 Balances to FY24-25
As of August 06, 2024
Accounting Unit Department Project
Activity #Fund Description Project Description Est. Completion Date Project Status
Increase from
Original
Funding
Amount
Change in
Purpose from
Original Funding
Source
Carry Forward
Up To Amount
18118013 Community Development 221323 ARPA - CDA Business/Non-Profit Assistance 12/2026 Completed 50% or more 70,680
18118013 Community Development 221370 ARPA - CDA Parking Structure Improvement/Safety 12/2026 Completed less than 50% 216,280
18118013 Community Development 221802 ARPA - CDA Newhope Project Construction 12/2025 Not Started 3,604,970
18120013 Information Technology 221385 ARPA - IT Information Technology Process Upgrades 12/2026 Completed less than 50%1,585,150
18114013 Police Department 221327 ARPA - PD PAAL Supplies 06/2025 Items not received with no current estimated arrival date 337,198
18120013 Information Technology 221385 ARPA - IT Aruba Quickstart Consulting 06/2025 Services not yet performed 13,608
18118013 Community Development 221301 ARPA - CDA Mental Health Services 06/2025 Services not yet performed 688,913
18103013 City Manager 221322 ARPA - CMO Food Distribution Program 06/2025 Services not yet performed 116,357
18110013 Finance 221362 ARPA - FMSA Guidehouse Accounting & Compliance Services 12/2025 ARPA compliance is contracted through December 2025 386,243
18118013 Community Development 221370 ARPA - CDA Downtown Santa Ana Security Services 03/2026 Contracted through March 2026 159,551
18111013 Library 221380 ARPA - LIBRARY Group 4 Architecture Services 04/2026 Contracted through April 2026 284,493
18117013 Public Works 221403 ARPA - PWA Focus Media Group - Bus Shelter 04/2025 Contracted through April 2025 115,466
Equipment
01211020 Library 241801 CANNABIS PUBLIC
BENEFIT FUND Library Programs 06/2025 Ongoing book mobile and youth programs to be completed by
FY 24-25 213,758
01214010 Police Department 234604 CANNABIS PUBLIC
BENEFIT FUND PD Mobile Data Computer Equipment & Installation 10/2024 Agreement has been fully executed and purchase order was
issued. Installation to be completed in October 2024. 163,568
10920149 Information Technology N/A INFORMATION
TECHNOLOGY Photocopier Refresh 06/2025 To replace a portion of copier fleet; expected to be completed
by June 2025. 54,130
10920149 Information Technology N/A INFORMATION
TECHNOLOGY PC Refresh Program 06/2025 To replace a portion of computer equipment; expected to be
completed by June 2025. 150,000
01214010 Police Department 234600 CANNABIS PUBLIC
BENEFIT FUND Ford F550 Boom Truck 06/2025 Items not received with no current estimated arrival date 98,636
01216010 Planning & Building N/A CANNABIS PUBLIC
BENEFIT FUND 2024 Chevrolet Equinox EV SUV 10/2024 Goods received. Pending invoice processing. 94,254
01211020 Library 221801 CANNABIS PUBLIC
BENEFIT FUND Ford F-59 Chassis Book Mobile 06/2025 Services not yet performed 16,930
01214010 Police Department 234600 CANNABIS PUBLIC
BENEFIT FUND GrayKey Unit Forensics Tool 10/2024 Item received; payment pending 601
02718131 Community Development N/A PARKING FUND 2024 Chevrolet Colorado Truck 10/2024 Item received; payment pending 50,674
02917620 Public Works 246720 SPECIAL GAS TAX Econolite Preassembled Cabinets 06/2025 Items not received with no current estimated arrival date 229,106
03116510 Planning & Building N/A AIR QUALITY IMPR. (AB
2766)2024 Chevrolet Blazer EV 10/2024 Goods received. Pending invoice processing. 107,000
03117101 Public Works N/A AIR QUALITY IMPR. (AB
2766)Rizon E18L EV Stake Bed Truck 07/2024 Item received; payment pending 217,588
03117101 Public Works N/A AIR QUALITY IMPR. (AB
2766)2024 Chevrolet Blazer EV 08/2024 Item received; payment pending 194,362
List of Requests to Carryover Unspent Appropriations
FY23-24 Balances to FY24-25
As of August 06, 2024
Accounting Unit Department Project
Activity #Fund Description Project Description Est. Completion Date Project Status
Increase from
Original
Funding
Amount
Change in
Purpose from
Original Funding
Source
Carry Forward
Up To Amount
03117101 Public Works N/A AIR QUALITY IMPR. (AB
2766)2024 Ford Lightning EV Truck 01/2025 Item expected January 2025 148,287
03117101 Public Works 236479 AIR QUALITY IMPR. (AB
2766)Opal Fuels Station Services 12/2026 Contracted through December 2026 143,870
05617640 Public Works N/A SANITARY SEWER
SERVICE Sewage Degreaser Supplies 10/2024 Items received; payment pending 3,205
05617640 Public Works N/A SANITARY SEWER
SERVICE 2024 Ford F-650 Cement Truck 02/2025 Item expected February 2025 149,989
05617640 Public Works N/A SANITARY SEWER
SERVICE Storage Containers 10/2024 Items received; payment pending 14,297
06017640 Public Works N/A WATER Ford F550 Boom Truck 06/2026 Item expected June 2026 89,838
06017646 Public Works N/A WATER 2023 Chevrolet Silverado 1500 10/2024 Item received; payment pending 61,389
06017641 Public Works N/A WATER Custom Saw Trailer 10/2024 Item received; payment pending 46,681
06017641 Public Works N/A WATER 2024 Ford F550XL Full-Size Truck 12/2024 Item expected December 2024 673,276
06017640 Public Works N/A WATER 10' Container W/ Roll Up Doors 10/2024 Items received; payment pending 5,911
06017640 Public Works N/A WATER 40' Container W/ Cargo Doors 10/2024 Items received; payment pending 48,625
06017641 Public Works N/A WATER 40' Container W/ Roll Up Doors 10/2024 Items received; payment pending 21,018
06017645 Public Works N/A WATER 10' Container W/ Roll Up Doors 10/2024 Items received; payment pending 5,859
06017646 Public Works N/A WATER 20' Container W/ Roll Up Doors 10/2024 Items received; payment pending 7,457
06917640 Public Works N/A REFUSE COLLECTION
SERVICE 2024 Chevrolet Equinox 10/2024 Item received; payment pending 37,057
07017100 Public Works N/A EQUIPMENT
REPLACEMENT 2024 Chevrolet Silverado 2500HD 10/2024 Item expected October 2024 658,710
07017100 Public Works N/A EQUIPMENT
REPLACEMENT 2024 Chevrolet Equinox EV SUV 10/2024 Item received; payment pending 188,506
07017100 Public Works N/A EQUIPMENT
REPLACEMENT 2024 Ford Super Duty F-550 DRW 06/2025 Item not received with no current estimated arrival date 180,647
07017100 Public Works N/A EQUIPMENT
REPLACEMENT 2025 Ford Interceptor SUV 12/2024 Item expected December 2024 849,506
07017100 Public Works N/A EQUIPMENT
REPLACEMENT Ford Interceptor Utility SUV 12/2024 Item expected December 2024 1,040,647
07017100 Public Works N/A EQUIPMENT
REPLACEMENT 2024 Chevrolet Silverado Truck 10/2024 Item received; payment pending 100,522
07017100 Public Works N/A EQUIPMENT
REPLACEMENT Toro GTX Electric Cart 11/2024 Item expected November 2024 81,165
12218715 Community Development 217751 EMERGENCY AND
HEALTH GRANTS 2024 Ford F-150 Police Responder 06/2025 Item not received with no current estimated arrival date 58,399
14018760 Community Development N/A HOUSING AUTHORITY-
VOUCHER ADM 2024 Chevrolet Blazer EV 10/2024 Item received; payment pending 129,575
Construction Projects
01211020 Library 221802 CANNABIS PUBLIC
BENEFIT FUND Newhope Library Renovation 12/2025
Active; Design Complete; Construction Phase to begin March
2025; Construction management, moving services, construction
contingency, furniture for Newhope Library Renovation
1,530,343
01211020 Library 221380 CANNABIS PUBLIC
BENEFIT FUND Main Library Renovation 12/2026 Active; Construction Phase; Construction contignency for the
Main Library Renovation 1,401,776
01211020 Library 221382 CANNABIS PUBLIC
BENEFIT FUND Delhi Library Branch 12/2026
Active; Design Complete; Construction Phase to begin
September 2024; Construction contingency for Delhi Library
Branch
474,830
List of Requests to Carryover Unspent Appropriations
FY23-24 Balances to FY24-25
As of August 06, 2024
Accounting Unit Department Project
Activity #Fund Description Project Description Est. Completion Date Project Status
Increase from
Original
Funding
Amount
Change in
Purpose from
Original Funding
Source
Carry Forward
Up To Amount
01213020 Parks & Recreation 182681 CANNABIS PUBLIC
BENEFIT FUND Centennial Park-Lake Renovation 10/2024 In Progress-Construction-90% Complete- October 2024 2,045,131
01213020 Parks & Recreation 20250x CANNABIS PUBLIC
BENEFIT FUND Construction of Splash Pads 06/2025 In Progress-Award of Madison Park Splash Pad expected for
October. Design of remaining locations 95% Complete. 6,435,621
01213020 Parks & Recreation 202730 CANNABIS PUBLIC
BENEFIT FUND Ed Caruthers Park-Construction Of New Park 09/2024 Complete-Pending Final Payment 11,961
01213020 Parks & Recreation 212744 CANNABIS PUBLIC
BENEFIT FUND Santa Ana Zoo-Construction Of Goat Encounters 09/2024 Complete-Pending Final Payment 19,353
01213020 Parks & Recreation 212745 CANNABIS PUBLIC
BENEFIT FUND Santa Anita Park-Construction Of New Soccer Field 03/2025 In Progress-Pending Completion of Community Center; est. cmpl
March 2025 393,850
01213020 Parks & Recreation 221415 CANNABIS PUBLIC
BENEFIT FUND Memorial Park-Construction Of New Aquatic Facilities 10/2026 In Progress-Pending Contract Award for October 2024-Est Cmpl
October 2026 3,260,000
01213020 Parks & Recreation 222508 CANNABIS PUBLIC
BENEFIT FUND Santa Ana Zoo-Construction Of New North Wall 06/2025 In Progress-In Design and expecting to issue an Invitation for Bid
in November 2024-Est Cmpl June 2025 57,209
01213020 Parks & Recreation 222766 CANNABIS PUBLIC
BENEFIT FUND Centennial Park-Installation Of New Synthetic Turf 09/2024 Complete-Pending Final Payment 121,464
01213020 Parks & Recreation 222768 CANNABIS PUBLIC
BENEFIT FUND Jerome Park-Installation Of New Irrigation 11/2024 In Progress-Construction-95% Complete-Est Cmpl November
2024 78,495
01213020 Parks & Recreation 232601 CANNABIS PUBLIC
BENEFIT FUND
Santa Ana Zoo-Construction Of New Zoo Educational Hub
Building 12/2025 In Progress; Submitted plans for review-Bid Scheduled for
December 2024.-Est Cmpl December 2025 689,128
01213020 Parks & Recreation 232602 CANNABIS PUBLIC
BENEFIT FUND Thornton Park-Construction Of New Playground 12/2024 In Progress-Construction-50% complete-Est Cmpl December
2024 191,017
01213020 Parks & Recreation 222766 CANNABIS PUBLIC
BENEFIT FUND Synthetic Field Turf 06/2025 Item not received with no current estimated arrival date 121,263
01213020 Parks & Recreation 212745 CANNABIS PUBLIC
BENEFIT FUND Synthetic Field Turf 06/2025 Item not received with no current estimated arrival date 28,430
01213020 Parks & Recreation 232602 CANNABIS PUBLIC
BENEFIT FUND Barrier Free Park Installation 06/2025 Item not received with no current estimated arrival date 39,234
01216010 Planning & Building 245005 CANNABIS PUBLIC
BENEFIT FUND Code Enforcement Ross Annex First Floor Remodel 06/2025 Construction Bid closes September 2024. In progress - estimated
completion date is June 2025. 102,000
02213200 Parks & Recreation 212744 Fees & Donations Santa Ana Zoo-Construction Of Goat Encounters 09/2024 Complete-Pending Final Payment 3,076
02213200 Parks & Recreation 232603 Fees & Donations Santiago Park-Renovation Of Lawn Bowling Center 06/2025 In Progress-Additional work to be completed-50% complete-Est
Cmpl June 2025 91,067
02917660 Public Works 226970 ROADWAY
MAINTENANCE Omnibus Concrete Program FY21/22 09/2025 Ongoing; Project Balance Available 74,639
03117101 Public Works 236070 AIR QUALITY IMPR. (AB
2766)Electric Vehicles: Charging Stations 05/2027 In Progress - Project is continuous as EV sites are identified and
EV charging stations are installed. 143,020
03217662 Public Works 146802 MEASURE M-STREET
CONSTRUCTION Warner Ave Widening: Main-Oak Phase I 01/2025 90% Construction (1,955)
03217662 Public Works 176802 MEASURE M-STREET
CONSTRUCTION Lincoln Pedestrian Trail 12/2024 99% Construction 43,028
03217662 Public Works 176889 MEASURE M-STREET
CONSTRUCTION Fairview Traffic Signal Synchronization 10/2024 Construction Complete, Pending Final Pymt, City of Costa Mesa
Led project 56,614
03217662 Public Works 176894 MEASURE M-STREET
CONSTRUCTION Euclid St & Hazard Ave Traffic Signal Modification 06/2025 Project Complete; Project Balance Available 7,936
03217662 Public Works 186912 MEASURE M-STREET
CONSTRUCTION Bike Racks Throughout City 06/2025 Ongoing 127,800
03217662 Public Works 186913 MEASURE M-STREET
CONSTRUCTION Bear St Traffic Signal Modification 12/2024 Construction Complete, Pending Final Pymt, City of Costa Mesa
Led project 4,480
03217662 Public Works 186918 MEASURE M-STREET
CONSTRUCTION Main St & 15th St Traffic Sign 06/2022 Project Complete; Project Balance Available 13,516
03217662 Public Works 196923 MEASURE M-STREET
CONSTRUCTION Mcfadden Rehab Fairview to Raitt 06/2028 90% Design 1,004,536
03217662 Public Works 206899 MEASURE M-STREET
CONSTRUCTION Project Development FY21/22 07/2022 Project Complete; Project Balance Available (3,160)
03217662 Public Works 206959 MEASURE M-STREET
CONSTRUCTION Main St Slurry Seal & Resurfacing 06/2028 60% Design 385,824
03217662 Public Works 206960 MEASURE M-STREET
CONSTRUCTION Bedford Rehab: Main Place to City Limit 06/2028 60% Design 40,000
03217662 Public Works 206963 MEASURE M-STREET
CONSTRUCTION Safe Routes to Schools: Kennedy & Villa 10/2024 84% Construction 238,049
03217662 Public Works 206967 MEASURE M-STREET
CONSTRUCTION Edinger Ave Traffic Signal Synchronization 06/2026 Construction, 50% complete, OCTA led Project 100,000
03217662 Public Works 206968 MEASURE M-STREET
CONSTRUCTION Warner Ave Traffic Signal Synchronization 06/2025 Construction, 99% complete, OCTA led Project 100,000
List of Requests to Carryover Unspent Appropriations
FY23-24 Balances to FY24-25
As of August 06, 2024
Accounting Unit Department Project
Activity #Fund Description Project Description Est. Completion Date Project Status
Increase from
Original
Funding
Amount
Change in
Purpose from
Original Funding
Source
Carry Forward
Up To Amount
03217662 Public Works 206969 MEASURE M-STREET
CONSTRUCTION MacArthur Blvd Traffic Signal Synchronization 06/2025 Construction, 80 complete, OCTA led Project 100,000
03217662 Public Works 216982 MEASURE M-STREET
CONSTRUCTION Segerstrom Ave & Dyer Rd Traffic Signal Synchronization 06/2026 Construction, 75% complete, City of Irvine led Project 245,768
03217662 Public Works 216983 MEASURE M-STREET
CONSTRUCTION Tustin Ave Traffic Signal Synchronization 06/2026 Construction, 80% complete, City of Orange led Project 92,404
03217662 Public Works 226898 MEASURE M-STREET
CONSTRUCTION FY21/22 Pavement Management 06/2022 Ongoing; Project Balance Available 51,871
03217662 Public Works 226899 MEASURE M-STREET
CONSTRUCTION Project Development FY21/22 06/2025 Complete; Project Balance Available for Appropriation (18,433)
03217662 Public Works 226900 MEASURE M-STREET
CONSTRUCTION Right Of Way Management FY21/22 06/2025 Complete; Project Balance Available for Appropriation (2,938)
03217662 Public Works 226993 MEASURE M-STREET
CONSTRUCTION First St Corridor Traffic Signal Synchronization 09/2024 Construction, 75% complete, OCTA led Project 339,849
03217662 Public Works 236898 MEASURE M-STREET
CONSTRUCTION FY22/23 Pavement Management 09/2024 Ongoing; Project Balance Available 846
03217662 Public Works 236900 MEASURE M-STREET
CONSTRUCTION Right Of Way Management FY22/23 09/2024 Ongoing; Project Balance Available 670
03217662 Public Works 236904 MEASURE M-STREET
CONSTRUCTION Bike Lane Project Development FY22/23 09/2025 Ongoing project 48,162
03217662 Public Works 236997 MEASURE M-STREET
CONSTRUCTION Santa Clara Ave Bike Lane: Lincoln to Tustin 09/2025 98% Construction 96,029
03217662 Public Works 236700 MEASURE M-STREET
CONSTRUCTION Grand Ave Rehab: Edinger to McFadden 06/2028 10% Design 1,153,408
03217662 Public Works 236721 MEASURE M-STREET
CONSTRUCTION Euclid St Corridor Traffic Signal Synchronization 09/2025 Design, 80% complete, City of La Habra Led project 120,000
03217662 Public Works 236897 MEASURE M-STREET
CONSTRUCTION Traffic Management Plans FY22/23 09/2025 On-going project 18,638
03217662 Public Works 236905 MEASURE M-STREET
CONSTRUCTION Traffic Safety Project Development FY22/23 09/2025 On-going project 50,000
03217662 Public Works 246700 MEASURE M-STREET
CONSTRUCTION Residential Street Repair: Heninger Park 07/2026 Construction phase to be completed by September 2024 286,271
03217662 Public Works 246898 MEASURE M-STREET
CONSTRUCTION Pavement Management 09/2025 Project complete. Balance available. 135,666
03217662 Public Works 246899 MEASURE M-STREET
CONSTRUCTION Project Development 09/2025 Ongoing; Project Balance Available 39,339
03217662 Public Works 246900 MEASURE M-STREET
CONSTRUCTION Right-Of-Way Management 09/2025 Project complete. Balance available. 155,136
03217662 Public Works 246907 MEASURE M-STREET
CONSTRUCTION Local Street Preventative Maintenance 10/2024 Ongoing project 3,280,907
03217662 Public Works 156827 MEASURE M-STREET
CONSTRUCTION Fairview Bridge & Street Improvements 07/2027 5% Design 470,042
03217662 Public Works 186901 MEASURE M-STREET
CONSTRUCTION Warner Ave Improvements Phase II- Oak To Grand 06/2028 90% Design 1,287,170
03217662 Public Works 246916 MEASURE M-STREET
CONSTRUCTION Bristol St Protected Bike Lanes - 1St To Civic Center 07/2027 Project Complete; Project Balance Available 17,110
03217662 Public Works 116741 MEASURE M-STREET
CONSTRUCTION Bristol St Protected Bike Lanes - St. Andrew To Edinger 06/2026 Design Complete; 0% Construction 11,380
03217662 Public Works 206971 MEASURE M-STREET
CONSTRUCTION Warner Ave Protected Bike Lanes - Oak To Grand 06/2027 Ongoing project 313,260
03217662 Public Works 246904 MEASURE M-STREET
CONSTRUCTION Bike Lane Project Development 09/2026 Ongoing project 80,000
03217662 Public Works 246897 MEASURE M-STREET
CONSTRUCTION Traffic Management Plans 09/2026 Project complete. Balance available. 50,000
03217662 Public Works 246905 MEASURE M-STREET
CONSTRUCTION Traffic Safety Project Development 09/2026 Ongoing project 50,000
03217662 Public Works 246914 MEASURE M-STREET
CONSTRUCTION Traffic Signal Equipment Replacement 09/2026 Design Ongoing 100,000
03217663 Public Works 136792 MEASURE M-STREET
CONSTRUCTION Bristol Widening: Civic Center To Washington Phase III A 07/2027 Design Complete; 0% Construction 5,434,958
03217663 Public Works 116741 MEASURE M-STREET
CONSTRUCTION Bristol Widening: Warner To St Andrew Phase IV 06/2026 Design Complete; 0% Construction 12,230,549
03217663 Public Works 146802 MEASURE M-STREET
CONSTRUCTION Warner Ave Widening: Main To Oak Phase I 01/2025 90% Construction 1,892,144
03217663 Public Works 156827 MEASURE M-STREET
CONSTRUCTION Fairview Bridge & Street Improvements 07/2027 5% Design 3,775,259
03217663 Public Works 176883 MEASURE M-STREET
CONSTRUCTION Bristol St & Memory Lane Intersection Widening 06/2028 50% Design 1,709,930
List of Requests to Carryover Unspent Appropriations
FY23-24 Balances to FY24-25
As of August 06, 2024
Accounting Unit Department Project
Activity #Fund Description Project Description Est. Completion Date Project Status
Increase from
Original
Funding
Amount
Change in
Purpose from
Original Funding
Source
Carry Forward
Up To Amount
03217663 Public Works 186901 MEASURE M-STREET
CONSTRUCTION Warner Ave Imprv Ph2-Oak-Grand 06/2028 90% Design 13,085,452
03217663 Public Works 226999 MEASURE M-STREET
CONSTRUCTION Project W Bus Shelter 06/2025 85% Construction 110,981
03217663 Public Works 236701 MEASURE M-STREET
CONSTRUCTION Fairview St Imps 17Th To Trask 06/2028 Ongoing Design 653,432
03217664 Public Works 176766 MEASURE M-STREET
CONSTRUCTION OC Streetcar 12/2025 Ongoing project 648,907
03417660 Public Works 146802 New Transpo Sys Impr
Area E Warner Ave Wdng:Main-Oak Ph I 09/2024 90% Construction 209,899
03417660 Public Works 206971 New Transpo Sys Impr
Area E Warner Protect Bk Ln:Oak-Grand 07/2024 95% Design 8,793
03517660 Public Works 116741 New Transpo Sys Impr
Area F Bristol Widening - Warner To St Andrew Phase IV 06/2026 Design Complete; 0% Construction 530,056
03517660 Public Works 136792 New Transpo Sys Impr
Area F Bristol Widening - Civic Center To Washington 06/2025 Design Complete; 0% Construction 333,850
03517660 Public Works 156827 New Transpo Sys Impr
Area F Fairview Brdge & Street Imprv 03/2024 5% Design 826
03517660 Public Works 176883 New Transpo Sys Impr
Area F Bristol St&Memory Ln Inter Wid 06/2025 50% Design 20,603
05117620 Public Works 186065 General Fund -
STREETLIGHTS Streetlight Acq & Upgr Proj 06/2025 Completed in July 2023; carryfoward for project budget
reallcoation 1,268,870
05105015 Public Works 236069 Non-Departmental Ada Transition Plan 06/2026 Currently conducting site assessments for ADA compliance 63,980
05113263 Parks & Recreation 152646 Capital Outlay Sasser Park-Various Park Improvements 09/2024 Complete-Fountain repair completed-Pending final payment 36,840
05113263 Parks & Recreation 202709 Capital Outlay Adams Park-Various Park Improvements 06/2025 Complete-Pending Final Payment 49,700
05113263 Parks & Recreation 222755 Capital Outlay Centennial Park-Construction Of New Dog Park 08/2025 In Progress-In Design. Design work is 60% complete-Est Cmpl
August 2025 400,042
05113263 Parks & Recreation 232604 Capital Outlay Santa Ana Stadium-Installation Of Additional Lights 09/2024 Complete-Pending Final Payment 25,508
05113263 Parks & Recreation 236999 Capital Outlay Santa Ana Zoo - Renovation of Intersection 01/2027 In Progress-10% Complete-Est Cmpl January 2027 25,000
05113263 Parks & Recreation 242600 Capital Outlay Prcsa-Deferred Maintenance Funding 06/2025 In Progress-on going use of funds for deferred maintenance
improvements until depleted 399,809
05417647 Public Works 063510 SANITARY SEWER
CAPITAL Segerstrom/San Lorenzo S Lift 06/2025 Construction 100%. Currently in litigation 81,518
05417647 Public Works 166466 SANITARY SEWER
CAPITAL Willard Nh Sewer Main Improv 06/2027 Active, Construction, 90% complete 399,272
05417647 Public Works 176471 SANITARY SEWER
CAPITAL Sewer Lateral Bristol Phase 3A 09/2024 Active, Design 100% Complete 888,893
05417647 Public Works 186498 SANITARY SEWER
CAPITAL Washngtn Square Sewer Main Imp 09/2025 On Hold, Design, 100% complete 1,403,609
05417647 Public Works 196430 SANITARY SEWER
CAPITAL Wright St Sewer Main Improve 09/2024 Active, Design, 90% complete 2,977,181
05417647 Public Works 196497 SANITARY SEWER
CAPITAL Sa Memorl Nghbrhd Swr Main Imp 09/2025 Active, Design, 30% complete 335,175
05417647 Public Works 216447 SANITARY SEWER
CAPITAL Rene Dr Sewer Improvements 09/2025 Active, Design,30% complete 75,809
05417647 Public Works 216448 SANITARY SEWER
CAPITAL Bristol-Warner Nh Sewer Improv 09/2025 Active Design, 10% complete 97,528
05417647 Public Works 216449 SANITARY SEWER
CAPITAL Fairhaven Nh Sewer Imp 09/2025 Active Design, 0% complete 299,831
05417647 Public Works 216450 SANITARY SEWER
CAPITAL Casa Bonita Nh Sewer Improv 09/2025 Active Design, 10% complete 177,861
05417647 Public Works 216451 SANITARY SEWER
CAPITAL South Main St Sewer Impr 09/2024 Active, Construction, 100% complete, Pending As-builts 32,999
05417647 Public Works 216619 SANITARY SEWER
CAPITAL Ne Annexation Sewer Impr 09/2024 85% Complete 2,426,527
05417647 Public Works 226620 SANITARY SEWER
CAPITAL Lincoln Ave Sewer Main Impr 09/2024 Active, Construction, 99% complete 51,705
05517660 Public Works 063510 SEWER CONNECTION
PROJECTS Segerstrom/San Lorenzo S Lift 06/2027 Active, Construction, 95% complete 336,081
05517660 Public Works 196430 SEWER CONNECTION
PROJECTS Wright St Sewer Main Improve 09/2024 Active, Design, 90% complete 798,296
05517660 Public Works 216447 SEWER CONNECTION
PROJECTS Rene Dr Sewer Improvements 09/2025 Active, Design, 30% complete 590,000
List of Requests to Carryover Unspent Appropriations
FY23-24 Balances to FY24-25
As of August 06, 2024
Accounting Unit Department Project
Activity #Fund Description Project Description Est. Completion Date Project Status
Increase from
Original
Funding
Amount
Change in
Purpose from
Original Funding
Source
Carry Forward
Up To Amount
05517660 Public Works 216619 SEWER CONNECTION
PROJECTS Northeast Annexation Sewer Improvements 09/2025 Active, Bidding in progress 1,031,325
05517660 Public Works 236601 SEWER CONNECTION
PROJECTS Hazard Ave Sewer Improvements 09/2025 Active, Design, 90% complete 300,000
05517660 Public Works 236602 SEWER CONNECTION
PROJECTS Maxine Sewer Lift Station Imps 09/2025 On Hold, Planning 100,000
05717640 Public Works 226469 FED CLEAN WATER
PROTECTION ENT Stormwater Channel Fencing 06/2025 Active, Construction, 70% complete 39,353
05717640 Public Works 226622 FED CLEAN WATER
PROTECTION ENT Downtown Santa Ana Flood Reduction & Stormwater Infiltration 12/2024 Active, Construction, 0% complete 571,628
05717640 Public Works 236458 FED CLEAN WATER
PROTECTION ENT Fiscal Year 22/23 Stormdrain Repairs 10/2024 Active, Project out to bid, 0% complete 98,457
05717640 Public Works 236482 FED CLEAN WATER
PROTECTION ENT Repair Culvert St Gert & Ornge 06/2025 Active, Construction, 0% complete 36,258
05717640 Public Works 236625 FED CLEAN WATER
PROTECTION ENT King Street Urban Greening Project 10/2024 Active, Construction, 95% complete. Processing final Prog Pay. 176,113
05817660 Public Works 236907 RESIDENTIAL STREET
IMPROVEMENT Local Street Preventative Maintenance FY22/23 09/2025 Construction 98% Complete. 6,162
05817660 Public Works 246918 RESIDENTIAL STREET
IMPROVEMENT Glenwood Place Street Imps 11/2025 Project Ongoing. 9,000
05817660 Public Works 196948 RESIDENTIAL STREET
IMPROVEMENT W Willits Protected Bike Lanes 09/2024 Construction 98% Complete. 5,000
05917660 Public Works 116741 SELECT STREET
CONSTRUCTION Bristol Widening: Warner To St Andrew Phase IV 06/2026 Design Complete; 0% Construction 88,000
05917660 Public Works 136792 SELECT STREET
CONSTRUCTION Bristol Widening: Civic Center To Washington Phase III A 07/2027 Design Complete; 0% Construction 793,760
05917660 Public Works 146802 SELECT STREET
CONSTRUCTION Warner Ave Wdng:Main-Oak Ph I 01/2025 90% Construction 1,602,654
05917660 Public Works 156825 SELECT STREET
CONSTRUCTION Westminster Rehab: Harbor To Clinton 06/2025 98% Construction 35,139
05917660 Public Works 156827 SELECT STREET
CONSTRUCTION Fairview Brdge & Street Imprv 12/2024 5% Design 50,325
05917660 Public Works 176766 SELECT STREET
CONSTRUCTION OC Streetcar 12/2025 80% Construction 205,775
05917660 Public Works 176881 SELECT STREET
CONSTRUCTION Fairview St Rehab: Segerstrom To North City Limits 06/2025 Ongoing 312
05917660 Public Works 186902 SELECT STREET
CONSTRUCTION Westminster Rehab: Clinton To Fairview 06/2025 Ongoing Design 102,720
05917660 Public Works 186903 SELECT STREET
CONSTRUCTION Hazard Ave Protected Bike Lane 06/2025 Ongoing Design 111,868
05917660 Public Works 186906 SELECT STREET
CONSTRUCTION Bristol & Edinger Class II Bike Lanes 06/2024 Project Complete; Project Balance Available 70,474
05917660 Public Works 186908 SELECT STREET
CONSTRUCTION Bristol St Protected Bike Lanes - Edinger To 1st 09/2024 99% Construction 1,699
05917660 Public Works 206971 SELECT STREET
CONSTRUCTION Warner Ave Protected Bike Lanes - Oak To Grand 06/2027 Ongoing 1,022,289
05917660 Public Works 186912 SELECT STREET
CONSTRUCTION Bike Racks Throughout City 06/2025 Ongoing 8,605
05917660 Public Works 236997 SELECT STREET
CONSTRUCTION Santa Clara Ave Bike Lane- Lincoln To Tustin 09/2025 98% Construction 160,224
05917660 Public Works 246985 SELECT STREET
CONSTRUCTION Bus Stop Improvements 06/2025 Advertised inviting bids April 2024 396,955
05917660 Public Works 226999 SELECT STREET
CONSTRUCTION Project W Bus Shelter 06/2025 85% Construction 114,000
05917660 Public Works 226989 SELECT STREET
CONSTRUCTION Westminster Rehab: Newhope To Harbor 09/2024 Construction phase 50% complete 488,453
05917660 Public Works 246710 SELECT STREET
CONSTRUCTION North East Annexation Imps 11/2027 Construction phase 60% complete 711,814
05917660 Public Works 246916 SELECT STREET
CONSTRUCTION Bristol St Bike Lanes: 1st to Civic Center 06/2026 Project Complete; Project Balance Available 125,000
05917661 Public Works 116741 SELECT STREET
CONSTRUCTION Bristol Widening: Warner To St Andrew Phase IV 06/2026 Design Complete; 0% Construction 267,874
05917661 Public Works 136792 SELECT STREET
CONSTRUCTION Bristol Widening: Civic Center To Washington Phase III A 07/2027 Design Complete; 0% Construction 45,129
05917661 Public Works 176887 SELECT STREET
CONSTRUCTION Bristol Corridor Right of Way General Property Management 06/2025 95% Design (14,048)
05917661 Public Works N/A SELECT STREET
CONSTRUCTION Bristol Corridor Improvement - Warner & 17th 06/2025 PWA will go to Council for funding appropriation and assign a
project#. 550,000
List of Requests to Carryover Unspent Appropriations
FY23-24 Balances to FY24-25
As of August 06, 2024
Accounting Unit Department Project
Activity #Fund Description Project Description Est. Completion Date Project Status
Increase from
Original
Funding
Amount
Change in
Purpose from
Original Funding
Source
Carry Forward
Up To Amount
05917661 Public Works N/A SELECT STREET
CONSTRUCTION Bristol Corridor Improvement - Warner & 17th 06/2025 PWA will go to Council for funding appropriation and assign a
project#. 1,175,622
05917661 Public Works N/A SELECT STREET
CONSTRUCTION Bristol Corridor Improvement - Warner & 17th 06/2025 PWA will go to Council for funding appropriation and assign a
project#. 4,123,966
05917661 Public Works N/A SELECT STREET
CONSTRUCTION Bristol Corridor Improvement - Warner & 17th 06/2025 PWA will go to Council for funding appropriation and assign a
project#. 129,246
05917661 Public Works N/A SELECT STREET
CONSTRUCTION Bristol Corridor Improvement - Warner & 17th 06/2025 PWA will go to Council for funding appropriation and assign a
project#. 250,000
05917661 Public Works N/A SELECT STREET
CONSTRUCTION Land Transfer to Expand City's Parks 06/2025 PWA will go to Council for funding appropriation and assign a
project#. 91,304
05917663 Public Works 116741 SELECT STREET
CONSTRUCTION Bristol Widening: Warner To St Andrew Phase IV 06/2026 Design Complete; 0% Construction 679,881
05917663 Public Works 136792 SELECT STREET
CONSTRUCTION Bristol Widening: Civic Center To Washington Phase III A 07/2027 Design Complete; 0% Construction 1,861,450
05917663 Public Works 156827 SELECT STREET
CONSTRUCTION Fairview Bridge & Street Improvements 12/2024 5% Design (14,964)
05917663 Public Works 216986 SELECT STREET
CONSTRUCTION Bridge Peventative Maint Prog 06/2024 Ongoing, Project Balance Available 32,000
05917663 Public Works 226989 SELECT STREET
CONSTRUCTION Westminster Rehab: Newhope-Harbor 09/2024 99% Construction 6,636
05917663 Public Works 176883 SELECT STREET
CONSTRUCTION Bristol St & Memory Lane Intersection Widening 06/2025 50% Design 400,000
05917663 Public Works 236702 SELECT STREET
CONSTRUCTION Grand Ave Rehab - Mcfadden-1St 09/2025 Design Complete; 0% Construction 452
05917663 Public Works 236701 SELECT STREET
CONSTRUCTION Fairview St Imps 17Th To Trask 06/2028 Ongoing Design 24,917
05917663 Public Works 236708 SELECT STREET
CONSTRUCTION Santiago Creek Ped Bridge Impr 09/2025 Ongoing Design 740,000
05917663 Public Works 236722 SELECT STREET
CONSTRUCTION Residential Street Repair FYE 23 09/2025 Ongoing 200,000
05917664 Public Works 246701 SELECT STREET
CONSTRUCTION Industrial St Repair Pro 23/24 06/2026 Ongoing Design 2,407,200
05917665 Public Works 146802 SELECT STREET
CONSTRUCTION Warner Ave Widening:Main-Oak Ph I 01/2025 90% Construction 42,652
05917665 Public Works 186901 SELECT STREET
CONSTRUCTION Warner Ave Imprv Ph2-Oak-Grand 06/2028 90% Design 500,000
05917665 Public Works 196921 SELECT STREET
CONSTRUCTION First St Slurry & Resurfacing 09/2024 Ongoing Design 20,197
05917665 Public Works 196923 SELECT STREET
CONSTRUCTION Mcfadden Rehb Fairview - Raitt 06/2028 90% Design 37,380
05917665 Public Works 196945 SELECT STREET
CONSTRUCTION Raitt Slurry & Resurfacing: Edinger-Mcfadden 09/2024 Ongoing Design 81,101
05917665 Public Works 196947 SELECT STREET
CONSTRUCTION Raitt St Rehab: Mcfadden To Civic Center 06/2025 Ongoing Design 903,228
05917665 Public Works 206953 SELECT STREET
CONSTRUCTION Macarthur Rehab: Sariver-Harbor 07/01/205 Ongoing Design 10,415
05917665 Public Works 206954 SELECT STREET
CONSTRUCTION Euclid St Rehab: Mcfadden To1St 07/2026 90% Design 804,828
05917665 Public Works 206955 SELECT STREET
CONSTRUCTION Euclid St Rehab: 1St To Hazard 06/2025 90% Design 226,236
05917665 Public Works 206958 SELECT STREET
CONSTRUCTION Main St Rehab: Warner-Edinger 06/2025 Ongoing Design 90,264
05917665 Public Works 206961 SELECT STREET
CONSTRUCTION Euclid Rehab: City Limit-Mcfadden 07/2027 90% Design 1,043,113
05917665 Public Works 206964 SELECT STREET
CONSTRUCTION Safe Routes to Schools: Fremont & Spurgeon 07/2026 Construction phase in progress 1,586,507
05917665 Public Works 216975 SELECT STREET
CONSTRUCTION Alton Ave Rahab: Main-Standard 06/2025 99% Construction 321,900
05917665 Public Works 216977 SELECT STREET
CONSTRUCTION Mcarthur Rehab: Fairvew-Raitt 07/2025 Ongoing Design 820,408
05917665 Public Works 216978 SELECT STREET
CONSTRUCTION Fairview A Rehab: City Limit-Seger 09/2025 Ongoing Design 2,405,122
05917665 Public Works 216979 SELECT STREET
CONSTRUCTION 17th St Rehab: Bristol-Flower 07/2025 95% Construction 225,634
05917665 Public Works 216980 SELECT STREET
CONSTRUCTION 17th St Rehab:Fairview-Bristol 09/2025 Ongoing Design 285,843
05917665 Public Works 226990 SELECT STREET
CONSTRUCTION Bristol St Rehab: Santa Clara-Memory 09/2024 Design complete; construction to begin Fall 2024 1,504,110
List of Requests to Carryover Unspent Appropriations
FY23-24 Balances to FY24-25
As of August 06, 2024
Accounting Unit Department Project
Activity #Fund Description Project Description Est. Completion Date Project Status
Increase from
Original
Funding
Amount
Change in
Purpose from
Original Funding
Source
Carry Forward
Up To Amount
05917665 Public Works 226987 SELECT STREET
CONSTRUCTION Grand Ave Rehab: Warner-Edinger 09/2024 5% Construction 116,875
05917665 Public Works 226988 SELECT STREET
CONSTRUCTION Main St Rehab: MacArthur-Dyer 09/2024 99% Construction 56,064
05917665 Public Works 226989 SELECT STREET
CONSTRUCTION Westminster Rehab: Newhope-Harbor 09/2024 99% Construction 386,799
05917665 Public Works 236702 SELECT STREET
CONSTRUCTION Grand Ave Rehab: McFadden-1st 09/2025 Design Complete; 0% Construction 518,120
05917665 Public Works 236704 SELECT STREET
CONSTRUCTION 1st St Rehab: Grand-Tustin 09/2025 Ongoing Design 843,041
05917665 Public Works 236705 SELECT STREET
CONSTRUCTION Mcfadden Rehab: Harbor-Fairview 09/2025 90% Design 848,483
05917665 Public Works 236706 SELECT STREET
CONSTRUCTION Mcfadden Rehab: Raitt To Grand 09/2025 90% Design 2,509,550
05917665 Public Works 236707 SELECT STREET
CONSTRUCTION Standard Ave Rehab: 1st-Warner 09/2025 95% Design 1,900,000
05917667 Public Works 176893 SELECT STREET
CONSTRUCTION Warner Ave & Flower Intersection Improvements 07/2025 Ongoing Design 5,555
05917667 Public Works 186922 SELECT STREET
CONSTRUCTION Citywide Bike Lane Stripng & Maintenance 06/2025 Ongoing Design 29,357
05917668 Public Works 186901 SELECT STREET
CONSTRUCTION Warner Ave Improvements Ph2: Oak-Grand 06/2028 90% Design 1,937,489
06017645 Public Works 166460 WATER Advanced Meter Infrastructure (Non-Loan)06/2025 Active, 70% complete 344,130
06617647 Public Works 116413 ACQUISITION &
CONSTRUCTION Sa-5 Vault Modifications 09/2024 Active, Construction, 95% complete 323,844
06617647 Public Works 136433 ACQUISITION &
CONSTRUCTION Well 32 Rehab (Non-Loan)07/2025 Active, Construction, 60% complete 1,322,500
06617647 Public Works 136433 ACQUISITION &
CONSTRUCTION Well 32 Rehab (Srf Loan)07/2025 Active, Construction, 60% complete 7,378,650
06617647 Public Works 156445 ACQUISITION &
CONSTRUCTION Bristol Phase 3A Water 09/2025 Active, Construction, Starts Fall 2024 800,143
06617647 Public Works 156446 ACQUISITION &
CONSTRUCTION Grand & St Gertrude Water Imp 09/2024 Active, Construction, 100% complete, Pending final payment 706,955
06617647 Public Works 166460 ACQUISITION &
CONSTRUCTION Advanced Meter Infrastructure (Non-Loan)06/2025 Active, 70% complete 406,516
06617647 Public Works 186424 ACQUISITION &
CONSTRUCTION Advanced Meter Infrastructure (SRF Loan)12/2025 Active, Construction, 85% complete 960,910
06617647 Public Works 186491 ACQUISITION &
CONSTRUCTION Warner Ave Widening Water Maintenance Improvements 03/2026 Active, Construction, 90% complete 3,288,892
06617647 Public Works 196423 ACQUISITION &
CONSTRUCTION Grand Ave Water Maintenance Improvements 09/2025 Active, Construction, 90% complete 1,138,277
06617647 Public Works 196429 ACQUISITION &
CONSTRUCTION Well 29 Improvements 06/2025 Active, Design, 100% complete (700,000)
06617647 Public Works 196433 ACQUISITION &
CONSTRUCTION Washington Well Site Improvements 06/2025 Active, Design, 90% Complete (410,015)
06617647 Public Works 196438 ACQUISITION &
CONSTRUCTION French Park Neighborhood Water Improvements 09/2025 Active, Design, 30% complete 955,828
06617647 Public Works 196439 ACQUISITION &
CONSTRUCTION Lacy Neighborhood Water Improvements 09/2025 Active, Construction, 75% complete 864,239
06617647 Public Works 196440 ACQUISITION &
CONSTRUCTION Fisher Park Neighborhood Water Improvements 09/2025 Active, Construction, 95% complete 715,737
06617647 Public Works 196496 ACQUISITION &
CONSTRUCTION East Station Security Improvements 06/2025 Active, Design, 30% complete (314,253)
06617647 Public Works 196499 ACQUISITION &
CONSTRUCTION Ritchey St Water Main Relocation (OCTA)09/2025 Active, Design, 100% complete, begin construction Winter 2024 518,853
06617647 Public Works 216453 ACQUISITION &
CONSTRUCTION SA-7 Pressure Reducing Relocation (OCTA)09/2024 Active, Construction, 95% complete 1,251,529
06617647 Public Works 216461 ACQUISITION &
CONSTRUCTION SR-55 Water Main Relocation (OCTA)09/2024 Active, Construction, 95% complete 73,538
06617647 Public Works 216462 ACQUISITION &
CONSTRUCTION SA-2 Vault Improvements 09/2026 Active, Design, 60% Complete (250,000)
06617647 Public Works 226468 ACQUISITION &
CONSTRUCTION Bristol Wtr Main Imp-Phase4 09/2024 Project complete; remaining balance to be reconciled. 56,380
06617647 Public Works 226470 ACQUISITION &
CONSTRUCTION Warner Main Imp Bristol-Oak 12/2024 Active, Construction, 70% complete 1,000,000
06617647 Public Works 226474 ACQUISITION &
CONSTRUCTION Cambridge Pump Station Impr 06/2025 Active Design, 0% complete 20,906
List of Requests to Carryover Unspent Appropriations
FY23-24 Balances to FY24-25
As of August 06, 2024
Accounting Unit Department Project
Activity #Fund Description Project Description Est. Completion Date Project Status
Increase from
Original
Funding
Amount
Change in
Purpose from
Original Funding
Source
Carry Forward
Up To Amount
06617647 Public Works 236476 ACQUISITION &
CONSTRUCTION Ne Annexation Septic Sewer Imp 06/2027 Active, Bidding, Bid due August 2024 99,300
06717650 Public Works 246058 REGIONAL TRANSP
CENTER SARTC Outdoor Fountain Renovation 12/2024 In Progress; Completion Date December 2024 480,000
06717650 Public Works 246060 REGIONAL TRANSP
CENTER SARTC Exterior Painting 12/2024 In Progress; Completion Date December 2024 969,426
06717650 Public Works 246061 REGIONAL TRANSP
CENTER SARTC Fencing 12/2024 In Progress; Completion Date December 2024 322,249
06817641 Public Works 236481 PUB WKS-ROADWAY
CLEANING Workspace Restoration Remodel 06/2025 In Progress; Completion Date June 2025 109,546
10920149 Information Technology 221201 INFORMATION
TECHNOLOGY IT - 2nd Floor Remodel 12/2024 Remodel is in the final phase and expected to be completed by
December 2024. 214,170
12015330 Fire & EMS 236626 FIRE FACILITIES FUND Fire Facilities Bldg Rep/Imps 01/2026 Project in progress for multiple building improvements. 1,377,600
12015330 Fire & EMS 246053 FIRE FACILITIES FUND Fire Station 74 Storage Tank 11/2026 Design Phase 1,185,900
13518783 Community Development 237537 COMMUNITY DEV
BLOCK GRANT/ESG Sidewalk Improvement 12/2024 Grant Year 2021; Active in Construction Engineering phase 75,049
13518783 Community Development 237539 COMMUNITY DEV
BLOCK GRANT/ESG Active Transp Safety Imp-Warner 06/2025 Grant Year 2020; Active in Design phase 506,072
13518783 Community Development 237540 COMMUNITY DEV
BLOCK GRANT/ESG Newhope Library Ada & Facility Imp 11/2025
Grant Year 2018; Active; Design Phase Complete; Construction
Phase to begin March 2025; Windows/Roof Replacement
(2/2022-11/2025)
31,222
13518783 Community Development 237540 COMMUNITY DEV
BLOCK GRANT/ESG Newhope Library Ada & Facility Imp 11/2025
Grant Year 2019; Active; Design Phase Complete; Construction
Phase to begin March 2025; Windows/Roof Replacement
(2/2022-11/2025)
375,653
13518783 Community Development 237540 COMMUNITY DEV
BLOCK GRANT/ESG Newhope Library Ada & Facility Imp 11/2025
Grant Year 2020; Active; Design Phase Complete; Construction
Phase to begin March 2025; Windows/Roof Replacement
(2/2022-11/2025)
124,375
13518783 Community Development 237543 COMMUNITY DEV
BLOCK GRANT/ESG Street Improvement - Heninger 06/2025
Grant Year 2020; project completed. Requested warranty bonds
and to file N.O.C. Pending release retention but no other
invoices to pay.
16,126
13518783 Community Development 237543 COMMUNITY DEV
BLOCK GRANT/ESG Street Improvement - Heninger 06/2025
Grant Year 2020; project completed. Requested warranty bonds
and to file N.O.C. Pending release retention but no other
invoices to pay.
29,592
13518783 Community Development 247528 COMMUNITY DEV
BLOCK GRANT/ESG PAAL Restroom Construction Project 06/2025 Grant Year 2023; Construction to begin in Fiscal Year 2025 500,000
13518783 Community Development 247529 COMMUNITY DEV
BLOCK GRANT/ESG Cool Pavement Treatment - Madison Park 06/2025
GY23; Active; Project contractor selected, working with the
contractor to start construction, NIES working with PWA (8/2023-
6/2025)
62,500
13518783 Community Development 247530 COMMUNITY DEV
BLOCK GRANT/ESG Cool Pavement Treatment - Campesino Park 06/2025
GY23; Active; Project contractor selected, working with the
contractor to start construction, NIES working with PWA (7/2023-
6/2025)
62,500
13518783 Community Development 247531 COMMUNITY DEV
BLOCK GRANT/ESG Parking Lot Main Libr 03/2026 Grant Year 2023; Active; Construction Phase; New parking lot at
Main Library (4/2022-3/2026) 300,237
13518783 Community Development 247533 COMMUNITY DEV
BLOCK GRANT/ESG Logan/Chepas Master De 06/2025 Grant Year 2023; Construction to begin in Fiscal Year 2025 313,685
13518783 Community Development 257528 COMMUNITY DEV
BLOCK GRANT/ESG Park Improvement/Main Lib 03/2026 Grant Year 2019; Active; Construction Phase; Window repair and
restoration at Main Library (4/2022-3/2026) 13,574
13518783 Community Development 257528 COMMUNITY DEV
BLOCK GRANT/ESG Park Improvement/Main Lib 03/2026 Grant Year 2020; Active; Construction Phase; Window repair and
restoration at Main Library (4/2022-3/2026) 264,443
13518783 Community Development 257528 COMMUNITY DEV
BLOCK GRANT/ESG Park Improvement/Main Lib 03/2026 Grant Year 2021; Active; Construction Phase; Window repair and
restoration at Main Library (4/2022-3/2026) 28,661
13518783 Community Development 257528 COMMUNITY DEV
BLOCK GRANT/ESG Park Improvement/Main Lib 03/2026 Grant Year 2022; Active; Construction Phase; Window repair and
restoration at Main Library (4/2022-3/2026) 131,154
13518783 Community Development 257528 COMMUNITY DEV
BLOCK GRANT/ESG Park Improvement/Main Lib 03/2026 Grant Year 2022; Active; Construction Phase; Window repair and
restoration at Main Library (4/2022-3/2026) 262,168
13518783 Community Development 257529 COMMUNITY DEV
BLOCK GRANT/ESG Logan/Chepas Master De 06/2025 Grant Year 2022; Construction to begin in Fiscal Year 2025 166,735
14717611 Public Works 176894 FEDERAL AID SAFETY
PROGRAM Euclid St & Hazard Ave Sigl Mo 06/2024 Project Complete. Balance remaining for reconciliation 10,865
14717611 Public Works 186918 FEDERAL AID SAFETY
PROGRAM Main St & 15Th St Traffic Sign 09/2025 99% Construction 9,485
14717611 Public Works 186919 FEDERAL AID SAFETY
PROGRAM 1St/Jackson & 5Th/Euclid Signl 09/2024 99% Construction 77,311
14717612 Public Works 226995 FEDERAL AID SAFETY
PROGRAM Bristol St & Santa Cl Sign Mod 09/2024 98% Construction 55,154
List of Requests to Carryover Unspent Appropriations
FY23-24 Balances to FY24-25
As of August 06, 2024
Accounting Unit Department Project
Activity #Fund Description Project Description Est. Completion Date Project Status
Increase from
Original
Funding
Amount
Change in
Purpose from
Original Funding
Source
Carry Forward
Up To Amount
14817613 Public Works 176801 TRAFFIC SYSTEM MGMT
GRANT Civic Center Drive Bike Blvd 06/2023 Project Complete; project balance for reconciliation 61,320
14817613 Public Works 176802 TRAFFIC SYSTEM MGMT
GRANT Lincoln Pedestrian Trail 09/2024 99% Construction 26,404
14817613 Public Works 176880 TRAFFIC SYSTEM MGMT
GRANT Santa Ana Blvd & 5Th Bike Lane 01/2024 Project Complete; project balance for reconciliation 85,704
14817613 Public Works 176885 TRAFFIC SYSTEM MGMT
GRANT Edinger Protected Bike Lanes 06/2023 Project Complete; project balance for reconciliation 10,551
14817613 Public Works 236998 TRAFFIC SYSTEM MGMT
GRANT Raitt St Protected And Buffered Bikeway 09/2025 60% Design Phase; ancticipated construction start in Fall 2025 809,655
14817613 Public Works 236037 TRAFFIC SYSTEM MGMT
GRANT Trfc Calm/Memry & Flwr Bikeway 04/2027 In Progress; 40% Design Phase 450,000
14817613 Public Works 246000 TRAFFIC SYSTEM MGMT
GRANT Safe Routes to Schools: Mendez/ALA/Santiago/Siera 01/2027 Ongoing Design 9,969,276
14817613 Public Works 246001 TRAFFIC SYSTEM MGMT
GRANT Safe Routes to Schools: Macarthur Int & Taft Elementary 01/2027 Ongoing Design 4,885,381
14817613 Public Works 246002 TRAFFIC SYSTEM MGMT
GRANT Safe Routes to Schools: Madison/Roosevelt/Century 01/2027 Ongoing Design 9,982,170
14817613 Public Works 246003 TRAFFIC SYSTEM MGMT
GRANT Safe Routes to Schools: Santa Ana High & Heninger Elementary 01/2027 Ongoing Design 8,212,004
14817613 Public Works 246004 TRAFFIC SYSTEM MGMT
GRANT Safe Routes to Schools: Jackson/Diamond Elementary 01/2027 Ongoing Design 8,249,583
14817613 Public Works 246709 TRAFFIC SYSTEM MGMT
GRANT Orange Ave Complete Streets 09/2026 Ongoing Design 81,591
14817614 Public Works 196951 TRAFFIC SYSTEM MGMT
GRANT Safe Routes to Schools: Davis Elementary 06/2025 83% Construction; project balance for reconciliation 119
14817614 Public Works 206962 TRAFFIC SYSTEM MGMT
GRANT Mcfadden Prot Bik Ln Har-Grand 05/2027 90% Design 5,952,598
14817614 Public Works 206963 TRAFFIC SYSTEM MGMT
GRANT Safe Routes to Schools: Kennedy & Villa 05/2027 84% Construction 776,761
14817614 Public Works 206964 TRAFFIC SYSTEM MGMT
GRANT Safe Routes to Schools: Fremont & Spurgeon 07/2026 70% Construction 3,923,788
14817614 Public Works 206965 TRAFFIC SYSTEM MGMT
GRANT Standard Ave Prot Bk Ln: 3-War 02/2025 95% Design 5,473,046
14817615 Public Works 196951 TRAFFIC SYSTEM MGMT
GRANT Safe Routes to Schools: Davis Elementary 05/2027 83% Construction 1,844,526
14817615 Public Works 196948 TRAFFIC SYSTEM MGMT
GRANT W Willits Protected Bike Lanes 01/2026 60% Construction 99,329
15211154 Library 221380 PUBLIC LIBRARY GRANT
FUND Main Library Renovation 12/2026
Active; Construction Phase; Grant admin, construction
management, construction, and construction contingency for
Main Library Renovation
4,499,519
15211154 Library 221380 PUBLIC LIBRARY GRANT
FUND Main Library Renovation 12/2026
Active; Construction Phase; Future grant funds to be dispersed
for grant admin, construction management, construction, and
contingency for Main Library Renovation
4,664,986
15211154 Library 221802 PUBLIC LIBRARY GRANT
FUND Newhope Library Renovation 12/2025
Active; Design Complete; Construction Phase to begin March
2025; Grant admin, construction, and construction contingency
for Newhope Library Renovation
543,377
15211154 Library 221802 PUBLIC LIBRARY GRANT
FUND Newhope Library Renovation 12/2025
Active; Design Complete; Construction Phase to begin March
2025; Future grant funds to be dispersed for grant admin,
construction, and construction contingency for Newhope Library
Renovation
543,377
16113264 Parks & Recreation 202729 Parks State Grant
Capital Fund Gerardo Mouet Park-Construction Of New Park 12/2024 In Progress-Construction-80% Complete-Est Cmpl December
2024 1,351,843
16113264 Parks & Recreation 202730 Parks State Grant
Capital Fund Ed Caruthers Park-Construction Of New Park 09/2024 Complete-Pending Final Payment 19,509
16113262 Parks & Recreation 232601 Parks State Grant
Capital Fund
Santa Ana Zoo-Construction Of New Zoo Educational Hub
Building 12/2025 In Progress; Submitted plans for review-Bid Scheduled for
December 2024.-Est Cmpl December 2025 1,775,573
16113262 Parks & Recreation 232602 PRCSA CAPITAL GRANTS Barrier Free Park Installation 06/2025 Project still in progress 943,126
16117263 Public Works 246603 Parks State Grant
Capital Fund Walnut Street Urban Greening 12/2026 In Design. Construction set to begin Fall 2024. 2,199,000
16117263 Public Works 246601 Parks State Grant
Capital Fund Santiago Park Trail & Habitat 09/2026 In Design, 40% complete. 270,017
16417640 Public Works 236627 Public Works-Water
Quality & Control Rouselle St Flood Protection 06/2027 Active, Design, 5% complete 4,518,034
16417640 Public Works 236628 Public Works-Water
Quality & Control Warner Ave Flood Protection 06/2027 Active, Design complete, Construction starting January 2024 1,080,000
List of Requests to Carryover Unspent Appropriations
FY23-24 Balances to FY24-25
As of August 06, 2024
Accounting Unit Department Project
Activity #Fund Description Project Description Est. Completion Date Project Status
Increase from
Original
Funding
Amount
Change in
Purpose from
Original Funding
Source
Carry Forward
Up To Amount
16417640 Public Works 246600 Public Works-Water
Quality & Control Bristol-Tolliver St Urbn Green 08/2027 Active, Design, 5% complete 3,406,733
16417641 Public Works 216462 WaterSMART-
Watershed Mgmt Prog Sa-1 Hydrogenerator Upgrade 09/2026 Active, Design, 75% complete 299,000
16417641 Public Works 226470 WaterSMART-
Watershed Mgmt Prog Well 38 Pfas Facility 12/2024 Active, Construction to begin fall 2023 2,000,000
16417642 Public Works 166460 CA Natural Resources
Grant Advanced Meter Infrastructure 06/2025 Active, Construction, 20% complete 115,706
16417643 Public Works 226621 Prop 1 IRWM Program Raitt & Myrtle Park Project 12/2025 Active, Construction, 90% complete 62,028
16417644 Public Works 226622 CNRA Urban Flood
Protection Dtsa Flood Red & Storwtr Infil 09/2024 Active, Design complete, Construction starting August 2023 1,339,799
16417641 Public Works 246602 WaterSMART-
Watershed Mgmt Prog Agreement For Landscape Svcs 12/2024 Active, ongoing project for landscaping services. 75,000
16417643 Public Works 196423 Prop 1 IRWM Program Washington Well Site Improveme 09/2025 Active, Construction to Begin Fall 2024 3,394,743
16417643 Public Works 246604 Prop 1 IRWM Program Sa Zoo Strmwtr Cap & Diversion 06/2027 Active, Design complete, Construction starting Fall 2024 2,603,525
22317660 Public Works 236907 Local Drainage Area IV Loc St Prevent Maint Fy 22/23 09/2025 Ongoing; Project Balance Available 69,446
22417660 Public Works 206618 Local Drainage Area IV Warner Storm Drain Imp: Ph1 06/2025 60% Construction 2,768
22417660 Public Works 146802 Local Drainage Area IV Warner Ave Wdng:Main-Oak Ph I 06/2025 90% Construction 21,320
22417660 Public Works 116741 Local Drainage Area IV Bristol Widening: Warner To St Andrew Phase IV 06/2026 Design Complete; 0% Construction 372,967
22617660 Public Works 236458 Local Drainage Area VI Misc Strmdrn Repairs Fy 22/23 09/2025 99% Construction 99,629
31113260 Parks & Recreation 236625 Acquisition &
Development- District 1 King Street Park-Construction Of New Park 09/2024 Complete-Pending Final Payment 172,362
31213260 Parks & Recreation 222765 Acquisition &
Development- District 2 Santiago Park-Renovation Of New Eco-Center 06/2025 In Progress-Under Renovation at 40% Complete; Est. cmpl
December 2024 819,000
31213260 Parks & Recreation 242601 Acquisition &
Development- District 2 Santiago Park-Installation Of New Lighting 10/2024 In Progress-40% Complete-Est Cmpl October 2024 95,604
31213260 Parks & Recreation 246601 Acquisition &
Development- District 2 Santiago Park-Design For Restoration Of Trail And Habitat 10/2024 In Progress-Design only-60% Complete-Est Cmpl October 2024 51,305
31313260 Parks & Recreation 162658 Acquisition &
Development- District 3 Santa Ana Zoo-Construction Of New Otter Habitat 12/2024 In Progress-Construction-70% Complete-Est. Cmpl December
2024 1,286,500
31313260 Parks & Recreation 202729 Acquisition &
Development- District 3 Gerardo Mouet Park-Construction Of New Park 12/2024 In Progress-Construction-80% Complete-Est Cmpl December
2024 834,500
31313260 Parks & Recreation 212726 Acquisition &
Development- District 3 Pacific/Electric Bike Trail-Improvements 06/2025 In Progress-Additional Funding Needed; est cmpl June 2025 449,202
31313260 Parks & Recreation 212740 Acquisition &
Development- District 3 Flower Street Bike Trail-Improvements 10/2024 In Progress-PWA Installing final Landscape work-Est Cmpl
October 2024 146,805
31213260 Parks & Recreation 242601 RESIDENTIAL DEVELOP
DISTRICT 2 Sports Lighting At Santiago Park 06/2025 Project still in progress 637,351
31313260 Parks & Recreation 221415 Acquisition &
Development- District 3 Memorial Park-Construction Of New Aquatic Facilities 10/2026 In Progress-Pending Contract Award for October 2024-Est Cmpl
October 2026 9,998,300
31313260 Parks & Recreation 232601 Acquisition &
Development- District 3
Santa Ana Zoo-Construction Of New Zoo Educational Hub
Building 12/2025 In Progress; Submitted plans for review-Bid Scheduled for
December 2024.-Est Cmpl December 2025 230,300
31313261 Parks & Recreation 162658 Acquisition &
Development- District 3 Santa Ana Zoo-Construction Of New Otter Habitat 12/2024 In Progress-Construction-70% Complete-Est. Cmpl December
2024 41,031
List of Requests to Carryover Unspent Appropriations
FY23-24 Balances to FY24-25
As of August 06, 2024
Accounting Unit Department Project
Activity #Fund Description Project Description Est. Completion Date Project Status
Increase from
Original
Funding
Amount
Change in
Purpose from
Original Funding
Source
Carry Forward
Up To Amount
31313261 Parks & Recreation 221415 Acquisition &
Development- District 3 Memorial Park-Construction Of New Aquatic Facilities 10/2026 In Progress-Pending Contract Award for October 2024-Est Cmpl
October 2026 41,829
31413260 Parks & Recreation 182681 Acquisition &
Development- District 4 Centennial Park-Lake Renovation 10/2024
In Progress-Construction-90% Complete- October 2024
26,344
31413260 Parks & Recreation 197527 Acquisition &
Development- District 4 Santa Anita Park-Construction Of New Soccer Field 03/2025 In Progress-Pending Completion of Community Center; est. cmpl
March 2025 42,378
31413260 Parks & Recreation 222755 Acquisition &
Development- District 4 Centennial Park-Construction Of New Dog Park 08/2025 In Progress-In Design. Design work is 60% complete-Est Cmpl
August 2025 400,000
31513260 Parks & Recreation 197527 Acquisition &
Development- District 5 Santa Anita Park-Construction Of New Soccer Field 03/2025 In Progress-Pending Completion of Community Center; est. cmpl
March 2025 762,502
41818830 Community Development 179001 CDA CAPITAL PROJECTS Main St Corridor Public Improvements 06/2025 In Progress; estimated to be completed in June 2025 36,484
41818832 Community Development 229001 CDA CAPITAL PROJECTS Legacy Square Transportation Improvements Project 06/2025 Constrcution in progress; agreement for project awarded. 100%
design completed. 1,804,580
41818833 Community Development 249002 CDA CAPITAL PROJECTS Modernization of Santa Ana Civic Center 06/2026 In Progress to award agreement for construction management 5,161,840
99117950 Public Works 236999 TRAN SYS IMP AUT
AREA A Trf Signl Install Chestnut/Zoo 01/2027 10% Design 834,051
99217950 Public Works 146802 TRAN SYS IMP AUT
AREA B TUSTIN Warner Ave Wdng:Main-Oak Ph I 06/2025 90% Construction 1,716,942
99217950 Public Works 186901 TRAN SYS IMP AUT
AREA B TUSTIN Warner Ave Imprv Ph2-Oak-Grand 06/2025 90% Design 391,323
05113263 Parks & Recreation 242600 CAPITAL OUTLAY FUND George Upton Park Sports Lighting 06/2025 Item not received with no current estimated arrival date 1,154
05113263 Parks & Recreation 232604 CAPITAL OUTLAY FUND Santa Ana Stadium Sports Lighting 11/2024 Expected completion November 2024; Retention invoices
submitted 14,950
05113263 Parks & Recreation 222766 CAPITAL OUTLAY FUND Synthetic Field Turf 06/2024 Item not received with no current estimated arrival date 133,794
05113263 Parks & Recreation 202709 CAPITAL OUTLAY FUND Steel Benches 10/2024 Item received; payment pending 12,775
All Other Funds
02213200 Parks & Recreation 222503 Fees & Donations Program-Afterschool Adventure Funding 06/2025 In Progress: On-going program 24,374
02213200 Parks & Recreation 242605 Fees & Donations PRCSA Aquatics Program Grant 06/2025 In Progress-On going program. Continue to use funds until
depleted 75,000
05105015 Public Works N/A CAPITAL OUTLAY FUND ADA Transition Plan 06/2026 Development of plan to continue in FY24-25. 63,980
06917640 Public Works 236431 Refuse Collection
Service Calrecycle- Ccp Fy 22/23 09/2025 In Progress; Completion September 2025 76,316
06917640 Public Works 246431 Refuse Collection
Service Calrecycle- Ccp Fy 23/24 03/2026 In Progress; Completion Date March 2026 75,160
06917640 Public Works 246432 Refuse Collection
Service Oil Payment Prog #14 Fy 23/24 08/2025 In Progress; Completion Date August 2025 40,372
06917640 Public Works 246480 Refuse Collection
Service Calrecycle Senate Bill 1383 04/2026 In Progress; Completion Date April 2026 783,881
06917640 Public Works 236480 Refuse Collection
Service Calrecycle Senate Bill (Sb) 1383 04/2027 In Progress; Completion Date April 2027 435,450
10117601 Public Works N/A PUB WKS-ADMIN &
PLANNING The Solis Group Agreement 06/2025 Outstanding project permit invoices to be paid in FY24-25 once
received. 159,257
10920149 Information Technology N/A INFORMATION
TECHNOLOGY City ERP System Replacement 01/2028 Staff is working on evaluations of shortlisted firms for Financial
and HR/Payroll systems. 688,000
10920149 Information Technology N/A INFORMATION
TECHNOLOGY Replacement of mySantaAna Application 06/2025 RFP released in August 2024. Proposals being reviewed by
selection committee. 200,000
10920149 Information Technology N/A INFORMATION
TECHNOLOGY Land Management System Replacement 06/2025 A new LMS solution has been identified. Expected completion
date is June 2025. 720,000
List of Requests to Carryover Unspent Appropriations
FY23-24 Balances to FY24-25
As of August 06, 2024
Accounting Unit Department Project
Activity #Fund Description Project Description Est. Completion Date Project Status
Increase from
Original
Funding
Amount
Change in
Purpose from
Original Funding
Source
Carry Forward
Up To Amount
10920149 Information Technology N/A INFORMATION
TECHNOLOGY Cybersecurity Additions 06/2025 Currently in planning phase; expected to be completed by June
2025. 217,728
10920149 Information Technology N/A INFORMATION
TECHNOLOGY Timekeeping System 06/2025 Currently in configuration. Testing to begin October 2024. 50,000
10920149 Information Technology N/A INFORMATION
TECHNOLOGY Business License Tax Software Modernization 12/2024 Agreement is in progress; expected to be completed by
December 2025. 300,000
12218715 Community Development 217751 EMERGENCY AND
HEALTH GRANTS Homeless Housing Assistance & Prevention Plan 06/2025 In progress; to fund operation of Navigation Center 77,343
12218715 Community Development 217751 EMERGENCY AND
HEALTH GRANTS Homeless Housing Assistance & Prevention Vehicle Purchase 06/2025 In progress; pending notification of vehicle delivery 44,602
12218715 Community Development 247751 EMERGENCY AND
HEALTH GRANTS Intergenerational Housing Project N Bewley St 06/2025 In progress to award agreement for development of Permanent
Housing (Youth) at 918 N Bewley 673,773
12218716 Community Development 227752 EMERGENCY AND
HEALTH GRANTS Homeless Housing Assistance & Prevention Program Admin 09/3025 In progress; used as projects are being managed 6,554
12218716 Community Development 247751 EMERGENCY AND
HEALTH GRANTS Intergenerational Housing Project N Bewley St 06/2026 In progress to award agreement for development of Permanent
Housing (Youth) at 918 N Bewley 200,941
12218717 Community Development 227750 EMERGENCY AND
HEALTH GRANTS Carnegie Shelter Supplies 06/2026 In progress; for various navigation center expenses 55,457
12218717 Community Development 227750 EMERGENCY AND
HEALTH GRANTS Carnegie Shelter Utilities 06/2026 In progress; for utility expenses of navigation center 47,440
12218717 Community Development 227757 EMERGENCY AND
HEALTH GRANTS Homeless Housing Assistance & Prevention Program Admin 06/2026 In progress; used as projects are being managed 291,294
12218717 Community Development 227757 EMERGENCY AND
HEALTH GRANTS SAPD Quality of Life Team 06/2026 In progress; for SAPD Quality of Life Team 2,868
12218717 Community Development 227757 EMERGENCY AND
HEALTH GRANTS Homeless Housing Assistance & Prevention Systems Support 06/2026 In progress; for Racial Equity Committee-Systems Support 485
12218717 Community Development 247751 EMERGENCY AND
HEALTH GRANTS Intergenerational Housing Project N Bewley St 06/2026 In progress to award agreement for development of Permanent
Housing (Youth) at 918 N Bewley 1,029,035
12218718 Community Development 237753 EMERGENCY AND
HEALTH GRANTS Carnegie Shelter - Illumination Foundation 04/2025 In progress with optional two 2-year renewals for operation of
Navigation Center 34,032
12218718 Community Development 237761 EMERGENCY AND
HEALTH GRANTS Homeless Housing Assistance & Prevention Program Admin 06/2026 In progress; used as projects are being managed 178,253
12218718 Community Development 237761 EMERGENCY AND
HEALTH GRANTS Homeless Housing Assistance & Prevention Program 06/2026 To be appropriated as projects are identified 1,590,221
12218718 Community Development 237761 EMERGENCY AND
HEALTH GRANTS Homeless Housing Assistance & Prevention Program Outreach 12/2024 In progress for program outreach with City Net 949,482
12218718 Community Development 247757 EMERGENCY AND
HEALTH GRANTS Homeless Housing Assistance & Prevention Rapid Rehousing 06/2026 RFP in process 45,000
12218718 Community Development 247757 EMERGENCY AND
HEALTH GRANTS
Homeless Housing Assistance & Prevention Rapid Rehousing For
Youth 06/2026 RFP in process 225,000
12218718 Community Development 247757 EMERGENCY AND
HEALTH GRANTS
Homeless Housing Assistance & Prevention Rapid Rehousing
Rapid Rehousing Youth Services Coordination 06/2026 In progress; projects to be identified 150,000
12218718 Community Development 247758 EMERGENCY AND
HEALTH GRANTS Homeless Housing Assistance & Prevention Services Coordination 06/2026 In progress; projects to be identified 89,295
12318751 Community Development 247003
Workforce Innovation
and Opportunity Act
(WIOA)
One Stop Program 06/2025 Ongoing project; used as projects are being managed 90,750
12318752 Community Development 247009
Workforce Innovation
and Opportunity Act
(WIOA)
One Stop Admin 06/2025 Ongoing project; used as projects are being managed 9,009
12318753 Community Development 247016
Workforce Innovation
and Opportunity Act
(WIOA)
WIOA Adult Intensive 06/2025 Ongoing project; used as projects are being managed 247,320
12318754 Community Development 247017
Workforce Innovation
and Opportunity Act
(WIOA)
OS DW Training 06/2025 Ongoing project; used as projects are being managed 43,739
12318754 Community Development 247017
Workforce Innovation
and Opportunity Act
(WIOA)
WIOA DW Intensive 06/2025 Ongoing project; used as projects are being managed 141,002
List of Requests to Carryover Unspent Appropriations
FY23-24 Balances to FY24-25
As of August 06, 2024
Accounting Unit Department Project
Activity #Fund Description Project Description Est. Completion Date Project Status
Increase from
Original
Funding
Amount
Change in
Purpose from
Original Funding
Source
Carry Forward
Up To Amount
12318756 Community Development 247007
Workforce Innovation
and Opportunity Act
(WIOA)
OS RR Undesig (Formu 09/2024 Ongoing project 37,121
12318762 Community Development 247004
Workforce Innovation
and Opportunity Act
(WIOA)
NDWG Admin 09/2024 Grant project end date is September 2024 115,761
12318763 Community Development 247010
Workforce Innovation
and Opportunity Act
(WIOA)
WIOA Youth Undesigna 06/2025 Ongoing project; used as projects are being managed 369,241
12318763 Community Development 247010
Workforce Innovation
and Opportunity Act
(WIOA)
WIOA Yth In-Sch-OCCT 12/2024 Ongoing project; end date is December 2024 107,484
12318763 Community Development 247010
Workforce Innovation
and Opportunity Act
(WIOA)
WIOA Yth ISY WEX-CTA 12/2024 Ongoing project; end date is December 2024 9,342
12318763 Community Development 247010
Workforce Innovation
and Opportunity Act
(WIOA)
WIOA Yth Out-Sch-CTA 12/2024 Ongoing project; end date is December 2024 33,467
12318763 Community Development 247010
Workforce Innovation
and Opportunity Act
(WIOA)
WIOA Yth OSY WEX-CTA 12/2024 Ongoing project; end date is December 2024 52,413
12514407 Police Department 224260 OES UASI FY21 UASI J 001 05/2025 0% of grant funds expended; 11 months of performance period
remaining (321,020)
12514407 Police Department 224261 OES UASI FY21 UASI J 002 05/2025 0% of grant funds expended; 11 months of performance period
remaining 25,000
12514407 Police Department 224262 OES UASI FY21 UASI J 003 05/2025 98% of grant funds expended; 11 months of performance period
remaining 9,967
12514407 Police Department 224265 OES UASI FY21 UASI J 006 05/2025 67% of grant funds expended; 11 months of performance period
remaining 500
12514407 Police Department 224266 OES UASI FY21 UASI J 007 05/2025 66% of grant funds expended; 11 months of performance period
remaining 58,212
12514407 Police Department 224267 OES UASI FY21 UASI J 008 05/2025 99% of grant funds expended; 11 months of performance period
remaining 345
12514407 Police Department 224268 OES UASI FY21 UASI J 009 05/2025 26% of grant funds expended; 11 months of performance period
remaining 36,804
12514407 Police Department 224269 OES UASI FY21 UASI J 010 05/2025 14% of grant funds expended; 11 months of performance period
remaining 8,602
12514407 Police Department 224270 OES UASI FY21 UASI J 011 05/2025 101% of grant funds expended; 11 months of performance
period remaining (193)
12514407 Police Department 224280 OES UASI FY21 UASI C 012 05/2025 0% of grant funds expended; 11 months of performance period
remaining 201,165
12514407 Police Department 224281 OES UASI FY21 UASI C 013 05/2025 100% of grant funds expended; 11 months of performance
period remaining 44
12514407 Police Department 224283 OES UASI FY21 UASI C 015 05/2025 91% of grant funds expended; 11 months of performance period
remaining 13,731
12514407 Police Department 224284 OES UASI FY21 UASI C 016 05/2025 21% of grant funds expended; 11 months of performance period
remaining 150,950
12514407 Police Department 224285 OES UASI FY21 UASI C 017 05/2025 92% of grant funds expended; 11 months of performance period
remaining 4,236
12514407 Police Department 224290 OES UASI FY21 UASI O 018 05/2025 0% of grant funds expended; 11 months of performance period
remaining 265,000
12514407 Police Department 224291 OES UASI FY21 UASI O 019 05/2025 0% of grant funds expended; 11 months of performance period
remaining 35,000
12514407 Police Department 224292 OES UASI FY21 UASI O 020 05/2025 0% of grant funds expended; 11 months of performance period
remaining 80,000
12514407 Police Department 224293 OES UASI FY21 UASI O 021 05/2025 34% of grant funds expended; 11 months of performance period
remaining 3,288
12514407 Police Department 224294 OES UASI FY21 UASI O 022 05/2025 0% of grant funds expended; 11 months of performance period
remaining 30,000
12514407 Police Department 224295 OES UASI FY21 UASI O 023 05/2025 96% of grant funds expended; 11 months of performance period
remaining 7,346
List of Requests to Carryover Unspent Appropriations
FY23-24 Balances to FY24-25
As of August 06, 2024
Accounting Unit Department Project
Activity #Fund Description Project Description Est. Completion Date Project Status
Increase from
Original
Funding
Amount
Change in
Purpose from
Original Funding
Source
Carry Forward
Up To Amount
12514407 Police Department 224297 OES UASI FY21 UASI O 025 05/2025 1% of grant funds expended; 11 months of performance period
remaining 45,870
12514407 Police Department 224300 OES UASI FY21 UASI E 026 05/2025 98% of grant funds expended; 11 months of performance period
remaining 4,790
12514407 Police Department 224301 OES UASI FY21 UASI E 027 05/2025 104% of grant funds expended; 11 months of performance
period remaining (1,751)
12514407 Police Department 224302 OES UASI FY21 UASI E 028 05/2025 42% of grant funds expended; 11 months of performance period
remaining 75,365
12514407 Police Department 224304 OES UASI FY21 UASI E 030 05/2025 85% of grant funds expended; 11 months of performance period
remaining 15,500
12514407 Police Department 224305 OES UASI FY21 UASI E 031 05/2025 104% of grant funds expended; 11 months of performance
period remaining (1,549)
12514407 Police Department 224306 OES UASI FY21 UASI E 032 05/2025 83% of grant funds expended; 11 months of performance period
remaining 32,998
12514407 Police Department 224310 OES UASI FY21 UASI G 034 05/2025 91% of grant funds expended; 11 months of performance period
remaining 9,000
12514407 Police Department 224311 OES UASI FY21 UASI G 035 05/2025 105% of grant funds expended; 11 months of performance
period remaining (2,013)
12514407 Police Department 224312 OES UASI FY21 UASI G 036 05/2025 50% of grant funds expended; 11 months of performance period
remaining 40,675
12514407 Police Department 224314 OES UASI FY21 UASI G 041 TR 05/2025 102% of grant funds expended; 11 months of performance
period remaining (2,540)
12514407 Police Department 224315 OES UASI FY21 UASI G 041 EX 05/2025 102% of grant funds expended; 11 months of performance
period remaining (1,625)
12514407 Police Department 224320 OES UASI FY21 UASI P 038 05/2025 20% of grant funds expended; 11 months of performance period
remaining 211,695
12514407 Police Department 224322 OES UASI FY21 UASI P 040 I 05/2025 76% of grant funds expended; 11 months of performance period
remaining 23,998
12514407 Police Department 224323 OES UASI FY21 UASI P 040 II 05/2025 75% of grant funds expended; 11 months of performance period
remaining 24,915
12514407 Police Department 224324 OES UASI FY21 UASI P 040 III 05/2025 76% of grant funds expended; 11 months of performance period
remaining 24,819
12514407 Police Department 224330 OES UASI FY21 UASI L 042 05/2025 1% of grant funds expended; 11 months of performance period
remaining 102,120
12514407 Police Department 224331 OES UASI FY21 UASI L 043 05/2025 89% of grant funds expended; 11 months of performance period
remaining 11,981
12514491 Police Department 244200 OES UASI FY22 UASI J 009 03/2025 0% of grant funds expended; 9 months of performance period
remaining 10,000
12514491 Police Department 244201 OES UASI FY22 UASI J 010 03/2025 0% of grant funds expended; 9 months of performance period
remaining 10,000
12514491 Police Department 244210 OES UASI FY22 UASI E 015 03/2025 0% of grant funds expended; 9 months of performance period
remaining 60,580
12514491 Police Department 244211 OES UASI FY22 UASI E 015 TEMC 03/2025 0% of grant funds expended; 9 months of performance period
remaining 90,000
12514491 Police Department 244212 OES UASI FY22 UASI E 017 03/2025 0% of grant funds expended; 9 months of performance period
remaining 54,000
12514491 Police Department 244213 OES UASI FY22 UASI E 026 03/2025 98% of grant funds expended; 9 months of performance period
remaining 4,790
12514491 Police Department 244214 OES UASI FY22 UASI E 027 03/2025 43% of grant funds expended; 9 months of performance period
remaining 25,435
12514491 Police Department 244215 OES UASI FY22 UASI E 032 03/2025 0% of grant funds expended; 9 months of performance period
remaining 200,000
12514491 Police Department 244216 OES UASI FY22 UASI E 033 03/2025 42% of grant funds expended; 9 months of performance period
remaining 11,589
12514491 Police Department 244217 OES UASI FY22 UASI E 034 03/2025 52% of grant funds expended; 9 months of performance period
remaining 51,315
12514491 Police Department 244218 OES UASI FY22 UASI E 035 03/2025 0% of grant funds expended; 9 months of performance period
remaining 184,803
12514491 Police Department 244220 OES UASI FY22 UASI O 020 03/2025 0% of grant funds expended; 9 months of performance period
remaining 80,000
12514491 Police Department 244221 OES UASI FY22 UASI O 021 03/2025 0% of grant funds expended; 9 months of performance period
remaining 5,000
12514491 Police Department 244230 OES UASI FY22 UASI G 030 03/2025 0% of grant funds expended; 9 months of performance period
remaining 100,000
12514491 Police Department 244231 OES UASI FY22 UASI G 031 03/2025 65% of grant funds expended; 9 months of performance period
remaining 12,395
12514491 Police Department 244232 OES UASI FY22 UASI G 036 03/2025 0% of grant funds expended; 9 months of performance period
remaining 100,000
List of Requests to Carryover Unspent Appropriations
FY23-24 Balances to FY24-25
As of August 06, 2024
Accounting Unit Department Project
Activity #Fund Description Project Description Est. Completion Date Project Status
Increase from
Original
Funding
Amount
Change in
Purpose from
Original Funding
Source
Carry Forward
Up To Amount
12514491 Police Department 244233 OES UASI FY22 UASI G 037 03/2025 63% of grant funds expended; 9 months of performance period
remaining 12,999
12514491 Police Department 244234 OES UASI FY22 UASI G 038 03/2025 0% of grant funds expended; 9 months of performance period
remaining 97,330
12514491 Police Department 244235 OES UASI FY22 UASI G 039 03/2025 0% of grant funds expended; 9 months of performance period
remaining 51,165
12514491 Police Department 244236 OES UASI FY22 UASI G 046 03/2025 0% of grant funds expended; 9 months of performance period
remaining 13,050
12514491 Police Department 244250 OES UASI FY22 UASI L 040 TR 03/2025 61% of grant funds expended; 9 months of performance period
remaining 51,507
12514491 Police Department 244251 OES UASI FY22 UASI L 040 EX 03/2025 68% of grant funds expended; 9 months of performance period
remaining 28,531
12514491 Police Department 244252 OES UASI FY22 UASI L 045 03/2025 25% of grant funds expended; 9 months of performance period
remaining 84,858
12714406 Police Department 244601 D.O.J. GRANT FUND OVW GRANT 2022 09/2025 24% of grant funds expended; 15 months of performance period
remaining 64,407
12814407 Police Department 204600 LAW ENFORCEMENT
GRANTS SLESA 19/20 09/2024 99.5% of grant funds expended; 3 months of performance
period remaining; Just need final grant reconciliation 3,819
12814407 Police Department 214506 LAW ENFORCEMENT
GRANTS SLESA FY20-21 06/2025 83% of grant funds expended; PD has plans to expend remaining
balance in FY 24/25 141,904
12814407 Police Department 224503 LAW ENFORCEMENT
GRANTS FY 21-22 SLESA 06/2025 15% of grant funds expended; PD has plans to expend remaining
balance in FY 24/25 707,558
12814407 Police Department 234614 LAW ENFORCEMENT
GRANTS FY 22-23 SLESA 06/2026 0% of grant funds expended; 3 months of performance period
remaining 886,882
12814409 Police Department 224507 LAW ENFORCEMENT
GRANTS JAG 2021 09/2024 99% of grant funds expended; 3 months of performance period
remaining 1,363
12814409 Police Department 234616 LAW ENFORCEMENT
GRANTS JAG 2022 09/2025 77% of grant funds expended; 15 months of performance period
remaining 23,645
12814409 Police Department 244606 LAW ENFORCEMENT
GRANTS JAG 2023 09/2026 4% of grant funds expended; 27 months of performance period
remaining 105,591
12814413 Police Department 244602 LAW ENFORCEMENT
GRANTS BSCC WELLNESS GRANT 12/2025 35% of grant funds expended; 17 months of performance period
remaining 76,228
12814417 Police Department 214601 LAW ENFORCEMENT
GRANTS SAE PROGRAM GRANT 06/2025 64% of grant funds expended; 12 months of performance period
remaining 18,787
13018780 Community Development Various Home Program Federal
Grant Home Grant Program 08/2026 Grant Year 2018; period of performance ends August 2026 185,090
13018780 Community Development Various Home Program Federal
Grant Home Grant Program 08/2027 Grant Year 2019; period of performance ends August 2027 501,212
13018780 Community Development Various Home Program Federal
Grant Home Grant Program 08/2028 Grant Year 2020; period of performance ends August 2028 1,687,985
13018780 Community Development Various Home Program Federal
Grant Home Grant Program 08/2029 Grant Year 2021; period of performance ends August 2029 2,283,671
13018780 Community Development Various Home Program Federal
Grant Home Grant Program 08/2030 Grant Year 2022; period of performance ends August 2030 2,321,107
13018780 Community Development Various Home Program Federal
Grant Home Grant Program 08/2031 Grant Year 2023; period of performance ends August 2031 1,605,671
13116500 Planning & Building N/A CA Automated Permit
Program Solar Automated Permit Program 06/2025
Phase 1 implementation to be completed by November 2024.
Working with IT and new Land Management system to complete
the project.
100,000
13518780 Community Development Various COMMUNITY DEV
BLOCK GRANT/ESG Community Development Block Grant Administration 08/2030 Grant Year 2023; period of performance ends August 2030 32,544
13518782 Community Development Various COMMUNITY DEV
BLOCK GRANT/ESG Community Development Block Grant-Housing 08/2026 Grant Year 2019; period of performance ends August 2026 4,690
13518782 Community Development Various COMMUNITY DEV
BLOCK GRANT/ESG Community Development Block Grant-Housing 08/2027 Grant Year 2020; period of performance ends August 2027 168,705
13518782 Community Development Various COMMUNITY DEV
BLOCK GRANT/ESG Community Development Block Grant-Housing 08/2028 Grant Year 2021; period of performance ends August 2028 16,294
13518782 Community Development Various COMMUNITY DEV
BLOCK GRANT/ESG Community Development Block Grant-Housing 08/2029 Grant Year 2022; period of performance ends August 2029 47,500
13518782 Community Development Various COMMUNITY DEV
BLOCK GRANT/ESG Community Development Block Grant-Housing 08/2030 Grant Year 2023; period of performance ends August 2030 100,000
13518782 Community Development Various COMMUNITY DEV
BLOCK GRANT/ESG Community Development Block Grant-Housing 08/2030 Grant Year 2023; period of performance ends August 2030 245,992
13518788 Community Development 219500 COMMUNITY DEV
BLOCK GRANT/ESG CDBG-CV3 Admin GY20 09/2026 GY20; Admin 129,809
13518788 Community Development 219509 COMMUNITY DEV
BLOCK GRANT/ESG CDBG-CV UNAPP GY20 09/2026 GY20; In progress. Projects to be identified. 17,879
List of Requests to Carryover Unspent Appropriations
FY23-24 Balances to FY24-25
As of August 06, 2024
Accounting Unit Department Project
Activity #Fund Description Project Description Est. Completion Date Project Status
Increase from
Original
Funding
Amount
Change in
Purpose from
Original Funding
Source
Carry Forward
Up To Amount
14318763 Community Development 247800 CALHOME PROGRAM CalHome Grant Admin 06/2025 Program in progress 12,979
14318763 Community Development 247801 CALHOME PROGRAM CalHome Grant Unappropriated 06/2025 Program in progress 4,800
14318763 Community Development 247806 CALHOME PROGRAM Homebuyer Down Payment Assistance Loan Program FY23-24 07/2024 Paid out down payment assistance client 120,000
14318763 Community Development 247807 CALHOME PROGRAM Homebuyer Down Payment Assistance Loan Program FY23-24 07/2024 Paid out down payment assistance client 120,000
14318763 Community Development 247808 CALHOME PROGRAM Homebuyer Down Payment Assistance Loan Program FY23-24 09/2024 Paid out down payment assistance client 120,000
14418760 Community Development 247101
PRISON TO
EMPLOYMENT
PROGRAM
Prison To Employment Program 12/2025 Program in progress 259,692
14518760 Community Development 227700 RENTAL
REHABILITATION GRANT Rental Rehab Program - House Loan 06/2030 Remaining funds to be disbursed on or before September 2024. 38,652
15816501 Planning & Building 225000 PLANNING GRANTS
PROGRAM LEAP Grant 09/2024 All funds were expended and the final reimbursement request
was submitted to HCD on September 2024. 318,300
16514414 Police Department 244604 OFFICE OF SAFETY
GRANT FY24 OTS STEP Grant 09/2024 68% of grant funds expended; 3 months of performance period
remaining 43,900
17718701 Community Development 227753 EMERGENCY RENTAL
ASSISTANCE PG Emergency Rental Assistance Program 09/2025 Ongoing; POP through September 2025 569,100
18218780 Community Development 227400 HOME-ARP PROGRAM
FEDERAL GRANT HOME - ARP Federal Grant Program - Admin 09/2030 In Progress; used as projects are being managed 691,106
18218780 Community Development 237401 HOME-ARP PROGRAM
FEDERAL GRANT N Broadway Housing Partners 09/2030 Program in progress 1,464,630
01214010 Police Department 234604 CANNABIS PUBLIC
BENEFIT FUND GETAC Computers and Warranty 10/2024 Item received; payment pending 836,462
01213020 Parks & Recreation 242400 CANNABIS PUBLIC
BENEFIT FUND Signage & Graphics Design At Zoo 12/2024 Items expected December 2024 7,400
10920149 Information Technology N/A INFORMATION
TECHNOLOGY Aruba Quickstart Consulting 06/2025 Services not yet performed 42,130
12218717 Community Development 227757 EMERGENCY AND
HEALTH GRANTS City Net Agreement 10/2026 HHAP Agreement is valid through October 2026 2,000,398
12218717 Community Development 227750 EMERGENCY AND
HEALTH GRANTS Carnegie Shelter Security 06/2025 Initial term of agreement valid through June 2025 105,376
12218718 Community Development 237753 EMERGENCY AND
HEALTH GRANTS Carnegie Shelter Illumination Services 04/2025 Grant Subrecipient 1,585,057
12318763 Community Development Various WORKFORCE INNOV
AND OPP ACT OC Childrens 06/2025 Grant Subrecipient 107,859
12514407 Police Department 224312 OES UASI Utility Response Training 05/2025 Services not yet provided 13,460
12814409 Police Department 234616 LAW ENFORCEMENT
GRANTS PAAL Refrigerator, Freezer, Table, and Custom Canopy 12/2024 Items expected December 2024 6,358
12814407 Police Department 224503 LAW ENFORCEMENT
GRANTS The Wrap Safe Restraints 12/2024 Item not received with no current estimated arrival date 43,652
13518780 Community Development 247503 COMMUNITY DEV
BLOCK GRANT/ESG Fair Housing Services 09/2024 CDBG Grant sub-receipient 25,574
13518782 Community Development 247526 COMMUNITY DEV
BLOCK GRANT/ESG Habitat For Humanity Services 12/2024 CDBG Grant sub-receipient 415,625
13518783 Community Development Various COMMUNITY DEV
BLOCK GRANT/ESG Delhi Community Center Services 09/2024 CDBG Grant sub-receipient 27,821
13518783 Community Development 247505 COMMUNITY DEV
BLOCK GRANT/ESG Radiant Health Services 09/2024 CDBG Grant sub-receipient 5,905
List of Requests to Carryover Unspent Appropriations
FY23-24 Balances to FY24-25
As of August 06, 2024
Accounting Unit Department Project
Activity #Fund Description Project Description Est. Completion Date Project Status
Increase from
Original
Funding
Amount
Change in
Purpose from
Original Funding
Source
Carry Forward
Up To Amount
13518783 Community Development Variou COMMUNITY DEV
BLOCK GRANT/ESG Wise Place Services 09/2024 CDBG Grant sub-receipient 12,286
13518783 Community Development 247515 COMMUNITY DEV
BLOCK GRANT/ESG Human Options Services 09/2024 CDBG Grant sub-receipient 12,231
13518783 Community Development 247520 COMMUNITY DEV
BLOCK GRANT/ESG Orange County Children Services 09/2024 CDBG Grant sub-receipient 40,016
13518783 Community Development 247511 COMMUNITY DEV
BLOCK GRANT/ESG Legal Aid Society of Orange County Services 09/2024 CDBG Grant sub-receipient 10,716
13518783 Community Development 247507 COMMUNITY DEV
BLOCK GRANT/ESG Boys & Girls Club Services 09/2024 CDBG Grant sub-receipient 3,566
13518783 Community Development 247524 COMMUNITY DEV
BLOCK GRANT/ESG The Cambodian Fam Services 09/2024 CDBG Grant sub-receipient 9,019
13518783 Community Development 247521 COMMUNITY DEV
BLOCK GRANT/ESG Public Law Center Services 09/2024 CDBG Grant sub-receipient 29,388
13518783 Community Development 247518 COMMUNITY DEV
BLOCK GRANT/ESG Natis House Services 09/2024 CDBG Grant sub-receipient 16,472
13518783 Community Development 247510 COMMUNITY DEV
BLOCK GRANT/ESG Community Health Services 09/2024 CDBG Grant sub-receipient 15,969
13518783 Community Development 247509 COMMUNITY DEV
BLOCK GRANT/ESG Community Action Services 09/2024 CDBG Grant sub-receipient 17,105
13518783 Community Development 247516 COMMUNITY DEV
BLOCK GRANT/ESG Lutheran Social Services 09/2024 CDBG Grant sub-receipient 23,012
13518783 Community Development 247514 COMMUNITY DEV
BLOCK GRANT/ESG Girls Incorporate Services 09/2024 CDBG Grant sub-receipient 17,394
13518783 Community Development 247508 COMMUNITY DEV
BLOCK GRANT/ESG Casa De La Familia Services 09/2024 CDBG Grant sub-receipient 13,447
13518783 Community Development 247517 COMMUNITY DEV
BLOCK GRANT/ESG Moms Orange County Services 09/2024 CDBG Grant sub-receipient 9,030
13518783 Community Development 247522 COMMUNITY DEV
BLOCK GRANT/ESG Standup For Kids Services 09/2024 CDBG Grant sub-receipient 470
13518785 Community Development 247603 COMMUNITY DEV
BLOCK GRANT/ESG Interval House Services 09/2025 CDBG Grant sub-receipient 39,135
13518785 Community Development 247602 COMMUNITY DEV
BLOCK GRANT/ESG United Way Of Orange County Services 09/2025 CDBG Grant sub-receipient 43,933
13518785 Community Development 247605 COMMUNITY DEV
BLOCK GRANT/ESG Wise Place Services 09/2025 CDBG Grant sub-receipient 22,133
13518785 Community Development Various COMMUNITY DEV
BLOCK GRANT/ESG The Illumination Services 12/2024 CDBG Grant sub-receipient 91,610
14817615 Public Works 196948 TRAFFIC SYSTEM MGMT
GRANT Walk 'N Rollers 02/2026 Item not received with no current estimated arrival date 91,300
16517611 Public Works 246984 OFFICE OF SAFETY
GRANT Charitable Ventures of Orange County 12/2025 Grant sub-receipient 99,903
16913265 Parks & Recreation N/A RECREATION GRANTS
FUND PRCSA Health Grant (NRPA)12/2024 Pending final purchase of a refrigerator.4,087
18318763 Community Development 237051 ARPA - CA FOR ALL
YOUTH WDP Orange County Conservation Corps 09/2024 Grant sub-receipient 250,000
18318763 Community Development 237051 ARPA - CA FOR ALL
YOUTH WDP Working Wardrobes 09/2024 Grant sub-receipient 120,000
List of Requests to Carryover Unspent Appropriations
FY23-24 Balances to FY24-25
As of August 06, 2024
Accounting Unit Department Project
Activity #Fund Description Project Description Est. Completion Date Project Status
Increase from
Original
Funding
Amount
Change in
Purpose from
Original Funding
Source
Carry Forward
Up To Amount
Summary By Department
Department Sum of Carry Forward
City Attorney 296,445
City Manager 2,461,197
Community Development 42,778,549
Finance 607,993
Fire & EMS 5,422,928
Human Resources 105,000
Information Technology 4,234,916
Library 39,631,927
Non-Departmental 14,000,000
Parks & Recreation 52,911,207
Planning & Building 4,096,345
Police Department 7,423,904
Public Works 268,752,985
Grand Total 442,723,397
List of Requests to Carryover Unspent Appropriations by Fund
FY23-24 Balances to FY24-25
As of August 6, 2024
FY23-24
Fund Fund Name Budget Expenditures Available Balance as
of August 06, 2024
Carry Forward
Up To Amount
011 General Fund - City Manager 3,637,880 3,496,476 141,404 140,000
011 General Fund - General Non-Departmental 50,423,979 33,546,550 16,877,429 14,170,000
011 General Fund - City Attorney 4,470,880 3,279,935 1,190,945 296,445
011 General Fund - Human Resources Services 4,490,140 3,819,208 670,932 105,000
011 General Fund - Finance 12,867,132 11,962,177 904,955 392,000
011 General Fund - Library Services 13,040,751 7,317,610 5,723,141 5,714,278
011 General Fund - Recreation & Community Services 29,403,747 15,562,022 13,841,725 13,841,691
011 General Fund - Police Department 152,846,595 151,208,370 1,638,225 1,244,640
011 General Fund - Fire Department 48,316,904 44,799,124 3,517,780 2,859,428
011 General Fund - Planning & Building 23,029,319 17,970,653 5,058,666 3,400,334
011 General Fund - PWA 76,756,578 54,470,236 22,286,342 21,663,959
011 General Fund - Community Development 8,408,776 4,760,970 3,647,806 2,788,431
012 Cannabis Set-Aside - Library 4,516,771 879,135 3,637,636 3,637,637
012 Cannabis Set-Aside - Parks, Rec, & Comm Serv 20,889,355 7,389,540 13,499,815 13,499,556
012 Cannabis Set-Aside - Police 4,619,536 2,866,652 1,752,884 1,099,267
012 Cannabis Set-Aside - Planning & Building 1,387,520 929,326 458,194 196,254
022 PRCSA FEES & DONATION 1,060,935 833,245 227,690 193,517
027 PARKING FUND 4,914,080 4,549,423 364,657 50,674
029 SPECIAL GAS TAX 45,151,871 18,123,316 27,028,555 303,745
031 AIR QUALITY IMPR. (AB 2766)2,070,114 756,218 1,313,896 954,127
032 MEASURE M-STREET CONSTRUCTION 59,397,409 8,799,539 50,597,870 50,230,835
034 NEW TRANSPO SYS IMPR AREA E 1,489,166 2,617 1,486,549 218,692
035 NEW TRANSPO SYS IMPR AREA F 1,680,937 219,161 1,461,776 885,335
051 CAPITAL OUTLAY FUND 3,942,266 1,509,847 2,432,419 2,496,402
054 SANITARY SEWER CAPITAL 13,148,985 2,266,611 10,882,374 9,247,908
055 SEWER CONNECTION FEE 4,004,743 823,305 3,181,438 3,155,702
056 SANITARY SEWER SERVICE 11,123,288 7,935,760 3,187,528 167,490
057 FED CLEAN WATER PROTECTION ENT 6,958,605 4,736,092 2,222,513 921,809
058 RESIDENTIAL STREET IMPROVEMENT 1,078,870 1,058,708 20,162 20,162
059 SELECT STREET CONSTRUCTION 54,484,254 13,106,595 41,377,659 39,107,002
060 WATER REVENUE 94,191,431 87,858,919 6,332,512 1,304,183
(A)066 ACQUISITION & CONSTRUCTION 44,454,759 27,052,270 17,402,489 20,208,729
067 REGIONAL TRANSP CENTER 3,854,447 2,082,772 1,771,675 1,771,675
068 SANITATION FUND 8,416,093 7,693,386 722,707 109,546
069 REFUSE COLLECTION SERVICE 22,145,892 19,669,984 2,475,908 1,448,236
070 EQUIPMENT REPLACEMENT 4,973,829 1,666,205 3,307,624 3,099,703
101 PUB WKS-ADMIN & PLANNING 9,227,160 7,879,644 1,347,516 159,257
109 INFORMATION TECHNOLOGY 17,845,708 9,306,056 8,539,652 2,636,158
120 FIRE FACILITIES FUND 3,537,959 974,489 2,563,470 2,563,500
122 EMERGENCY AND HEALTH GRANTS 16,084,584 6,104,338 9,980,246 9,440,305
123 WORKFORCE INNOV AND OPP ACT 4,100,968 2,583,801 1,517,167 1,364,508
125 OES UASI 6,883,646 3,472,388 3,411,258 2,576,032
127 D.O.J. GRANT FUND 224,378 50,593 173,785 64,407
128 LAW ENFORCEMENT GRANTS 2,679,661 663,873 2,015,788 2,015,787
130 HOME PROGRAM FEDERAL GRANT 8,969,319 384,583 8,584,736 8,584,736
131 MISC GRANTS 100,000 - 100,000 100,000
135 COMMUNITY DEV BLOCK GRANT 10,733,347 6,054,014 4,679,333 4,929,014
140 HOUSING AUTHORITY-VOUCHER ADM 4,767,570 4,495,395 272,175 129,575
143 CALHOME MFGD HSG LOAN 762,979 487,810 395,169 377,779
144 PRISON TO EMPLOYMENT PROGRAM 927,350 96,879 830,471 259,692
145 RENTAL REHABILITATION GRANT 38,653 - 38,653 38,652
147 FEDERAL AID SAFETY PROGRAM 794,129 641,315 152,814 152,815
148 TRAFFIC SYSTEM MGMT GRANT 67,355,466 7,000,079 60,986,634 60,985,106
152 PUBLIC LIBRARY GRANT FUND 10,402,144 150,884 10,251,260 10,251,259
158 PLANNING GRANTS PROGRAM 7,681,403 7,215,686 465,717 318,300
161 PRCSA CAPITAL GRANTS 10,638,376 3,940,131 6,698,245 6,559,068
EXHIBIT 2
List of Requests to Carryover Unspent Appropriations by Fund
FY23-24 Balances to FY24-25
As of August 6, 2024
FY23-24
Fund Fund Name Budget Expenditures Available Balance as
of August 06, 2024
Carry Forward
Up To Amount
164 PUB WKS-WTR QUALITY & CONTROL 27,032,328 8,137,758 18,894,570 18,894,568
165 OFFICE OF SAFETY GRANT 1,181,557 857,889 323,668 143,803
169 RECREATION GRANTS FUND 812,567 282,514 530,053 4,087
177 EMERGENCY RENTAL ASSISTANCE PG 2,966,378 18,466 2,947,912 569,100
181 AMERICAN RESCUE PLAN ACT(ARPA)95,617,153 32,480,024 63,137,129 59,589,098
182 HOME-ARP PROGRAM FEDERAL GRANT 2,228,935 9,109 2,219,826 2,155,736
183 ARPA - CA FOR ALL YOUTH WDP 3,325,242 2,343,123 982,119 370,000
223 LOCAL DRAINAGE AREA III 287,000 217,554 69,446 69,446
224 LOCAL DRAINAGE AREA IV 399,105 2,046 397,059 397,055
226 LOCAL DRAINAGE AREA VI 150,000 50,371 99,629 99,629
311 RESIDENTIAL DEVELOP DISTRICT 1 685,251 127,638 557,613 172,362
312 RESIDENTIAL DEVELOP DISTRICT 2 2,073,108 436,191 1,636,917 1,603,260
313 RESIDENTIAL DEVELOP DISTRICT 3 14,634,975 1,331,950 13,303,025 13,028,467
314 RESIDENTIAL DEVELOP DISTRICT 4 468,722 - 468,722 468,722
315 RESIDENTIAL DEV HARBOR SPECFIC 1,433,482 670,980 762,502 762,502
418 CDA CAPITAL PROJECTS 10,859,703 3,856,799 7,002,904 7,002,904
991 TRAN SYS IMP AUT Area A 839,168 5,117 834,051 834,051
992 TRAN SYS IMP AUT AREA B 2,697,817 589,553 2,108,264 2,108,265
Total 1,199,095,128 687,921,000 511,925,375 442,723,397
Notes:
(A)Projects are funded by Water Revenue Fund. Water Revenue Fund has enough balance available for carryover.