HomeMy WebLinkAbout73-053RESOLUTION 73-53
A RESOLUTION OF THE CITY COUNCIL OF THE
CITY OF SANTA ANA APPROVING CERTAIN PRO-
POSED PROJECTS FOR ENTITLEMENT PERIOD #4
AND THE DISBURSEMENT OF REVENUE SHARING
FUNDS IN ACCORDANCE THEREWITH.
WHEREAS, the Congress of the United States enacted
Public Law 92512 called, "State and Local Assistance Fiscal
Act of 1972," which is commonly known as Revenue Sharing;
and
WHEREAS, the City Council of the City of Santa Ana has
reviewed Exhibit "A" attached hereto and the recommended ex-
penditures as shown thereunder; and
WHEREAS, entitlement period #4 runs from July 1, 1973,
to June 30, 1974.
NOW, THEREFORE, BE IT RESOLVED by the City Council of
the City of Santa Ana that the Revenue Sharing program and
proposed expenditures as set forth in Exhibit "A" is hereby
approved and adopted.
PASSED AND ADOPTED by the City Council of the City
of Santa Ana at its regular meeting held on the 21st
day of ~ay , 1973.
ATTEST:
CLERK OF THE COUNCIL
STATE OF CALIFORNIA )
COUNTY OF ORANGE )
CITY OF SANTA ANA )
I, FLORENCE I. MALONE, do hereby certify that I am the
Clerk of the Council of the City of Santa Aha; 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:
AYES,
NOES,
ABSENT,
COUNCILMEN: Markel, Garthe, Yamamoto,
Patterson, Evans, Ward
COUNCILMEN: ~qone
COUNCILMEN: Gris et
CLERK OF THE COUNCIL
APPROVED AS TO FORM:
~t
3/$8 'DUE TO POOR CONDITION ORIGINAL DESTROYED
PLANNED USE REPORT FOR REVENUE SHARING FUNDS
EXHIBIT "A" FOR RESOLUTION 73-53
ENTITLEMENT PERIOD
~4
,,,7/1/73-6/30/74
ESTIM~.TED REVENUE:
PROPOSED EXPENDITURES (Estimate. s):
$1,840,000
ae
Fire Department
1. Relocation station %l-complete
site acquisition only
2. Site for relocating sta. ~4
in vicinity of Flower & St. Andrews
3. Architect fees for design sra. ~4
4. Drafting pit at training center
5. Balance needed to construct sta. ~6
at MacArthur Park
$ 12,500
75,000
16,000
28,000
123,100
Be
Police Department
1. Crime lab equipment and
police facility rennovation
& improvements
75,000
Ce
General Government:
1. civic Center Improvements-
common areas
200,000
De
Library:
1. Development of West Branch-
complete construction
238,000
E. Museum:
F. Public Works-Storm Drains:
1. C-5-F in Harbor-Camille/5th
200,000
Public Works-Sanitary Sewers:
1. Replacement of old concrete
lines
2. 4th between Grand & McClay
3. Rene between Warner & St. Andrew
200,000
10,000
44,000
H. Public Works-Streets:
Open Space, Parks & Recreation:
1. D.P. one 10 acre site S. of
MacArthur
2. D.P. one 10 acre site N. of
MacArthur
3. Develop MacArthur & Towner
(Total $425,000)
4. Partial Development Tennis 'Center
(Total $400,000)~
100,000
100,000
125,000
153,000
EXHIBIT "A" FOR RESOLUTION 73-53 %70
EXHIBIT "A" FOR RESOLUTION 73-53
Matching Projects With County
1. Develop bike trail system
(50%)
125,000
SUBTOTALS
Unallocated-Contingency for
Adjustments in Estimates:
TOTAL PROPOSED PROJECTS
$1,824,600
15,400
~1,840,000
(0.8%)
~XHI.BIT "A" FOR RESOLUT!ON..73253
%70