HomeMy WebLinkAbout73-051RESOLUTION 73-51
A RESOLUTION OF THE CITY COUNCIL OF THE
CITY OF SANTA ANA REAFFIRMING ITS APPROVAL
OF THE PROPOSED EXPENDITURES OF FEDERAL
REVENUE SHARING FUNDS FOR THE ENTITLEMENT
PERIODS 91 AND ~2 FROM JANUARY 1, 1972,
THROUGH DECEMBER 31, 1972, AS ADJUSTED
AND INDICATED IN EXHIBIT "A" ATTACHED.
WHEREAS, the Congress of the United States enacted
Public Law 99512 called, "State and Local Assistance Fiscal
Act of 1972," which is commonly known as Revenue Sharing;
and
WHEREAS, pursuant to ~aid act certain entitlement pe-
riods were established. Entitlement period #1 running from
January 1, 1972, through June 30, 1972, and entitlement pe-
riod ~2 running from July 1, 1972, through December 31, 1972;
and
WHEREAS, the City Council has at an earlier time ap-
proved the expenditure of these funds as set forth in Exhibit
"A" attached hereto; and
WHEREAS, there has been minor modification and adjust-
ments of the expenditures as shown on Exhibit "A".
NOW, THEREFORE, BE IT RESOLVED that the City Council of
the City of Santa Ana hereby ratifies and approves the dispo-
sition of the Revenue Sharing Funds in the manner indicated in
Exhibit "A" attached hereto.
PASSED AND ADOPTED by the City Council of the City
of Santa Ana at its regular meeting held on the 21st
day of May , 1973.
ATTEST:
CLERK OF THE COUNCIL
STATE OF CALIFORNIA )
COUNTY OF ORANGE )
CITY OF SANTA ANA )
Ss
I, FLORENCE I. MALONE, do hereby certify that I am the
Clerk of the Council of the City of Santa Ana; that the fore-
going Resolution was introduced to said Council at its
regular meeting held on the Zlst day of May ,
1973, and was at said meeting passed and adopted by the
following vote, to wit:
RESOLUTION 53-51
AYES,
NOES,
ABSENT,
COUNCILMEN:'
COUNCILMEN:
COUNCILMEN:
Markel, Garthe, Yamamoto,
Patterson, Evans, Ward
None
Griset
CLERK OF THE COUNCIL
APPROVED AS TO FORM:
JAMES A. WITHERS, CITY ATTORNEY
A~ City Attorney
-2-
3/88 DUE TO POOR CONDITION ORIGINAL DESTROYED
PROPOSED USE OF FEDERAL REVES~3E SHARING FUNDS
EXHIBIT "A" FOR RESOLUTION 73-51
E,N?.ITLEMENT PERIODS
%1 a 92
1/1/72-6/30/72
&
7/1/72-12/31/72
ESTIMATED REVENUE:
91,485,575
PROPOSED EXPEND..ITURES (Estimates):
A. Fire Department:
1. Replace fire engine ~2 (1952 pumper)
B. Police Department:
1. Three additional unmarked cars
C. General Government:
1. Civic Center parking lot
Library:
1. Development of West Branch-
book stock & design
E. Museum:
1. Supplement for new addition
F. Public Works-Storm Drains:
Public Works-Sanitary Sewers:
1. Grand between Santa Clara &
Grovement
2. Fairview between Warner & St.
Gertrude
Public Works-Streets:
1. Lincoln between 17th & Fair-
haven
2. RR crossing Bristol & Alton
3. RR crossing Main & South
Open Space, Parks & Recreation:
1. D.P. one 10 acre site S. of
MacArthur
2. D.Po one 10 acre site N. of
MacArthur
3. Develop MacArthur & Towner
(Total $425,000)
4. Develop Thornton Site (Total $900,000)
5. Partial Development Tennis Center
(Total $400,000)
Matching Projects With County (50%):
1. Joint Fire Communications Center
2. Ballfields Spurgeon Intermediate
3. Riding trail & landscaping-
Centennial Park
SUBTOTALS
E~HIBIT "A." FOR RESOLUTION 73-51
$ 30,600
15,000
287,000
194,000
40,000
28,000
36,000
49,000
20,000
20,000
100,000
100,000
125,000
100,000
80,000
105,225
79,350
6,250
$1,415,425
%70
EXHIBIT "A" FOR RESOLUTION 73-51
Unallocated-Contingency for
Adjustments in Estimates:
TOTAL PROPOSED PROJECTS
70,150
~1,485,575
(4.7%)
EXHIBIT "A" FOR RESOLUTION 73-51
~70