HomeMy WebLinkAbout2014-077 - Santa Ana Adopting the FY 2013/14RESOLUTION NO. 2014 -077
A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF
SANTA ANA ADOPTING THE FY 2013/14 MEASURE M2
EXPENDITURE REPORT FOR THE CITY OF SANTA ANA
BE IT RESOLVED BY THE CITY COUNCIL OF THE CITY OF SANTA ANA
AS FOLLOWS:
Section 1: The City Council of the City of Santa Ana hereby finds, determines
and declares as follows:
A. Orange County Local Transportation Authority Ordinance No. 3 requires
local jurisdictions to adopt an annual Expenditure Report to account for
Net Revenues, developer /traffic impact fees, and funds expended by local
jurisdictions which satisfy the Measure M2 Maintenance of Effort
requirements.
B. The Expenditure Report shall include all Net Revenue fund balances,
interest earned and expenditures identified by type and program or
project.
C. The Expenditure Report must be adopted and submitted to the Orange
County Transportation Authority each year within six months of the end of
the City's fiscal year to be eligible to receive Net Revenues as part of
Measure M2.
Section 2: The City Council of the City of Santa Ana hereby finds that the
FY 2013/14 Annual Expenditure Report, attached hereto as Exhibit 1, is in
conformance with the M2 Expenditure Report Template provided in the Renewed
Measure M Eligibility Guidelines and accounts for Net Revenues including interest
earned, expenditures during the fiscal year and balances at the end of fiscal year.
Section 3: The City Council adopts the Annual Expenditure Report, and
directs the Executive Director of the Public Works Agency, or his designee, to submit
the Expenditure Report to the Orange County Transportation Authority.
Section 4: This Resolution shall take effect immediately upon its adoption
by the City Council, and the Clerk of the Council shall attest to and certify the vote
adopting this Resolution.
ADOPTED this 181h day of November 2014.
Resolution No. 2014 -077
Page 1 of 2
APPROVED AS TO FORM:
Sonia R. Carvalho, City Attorney
AYES: Councilmembers: Amezcua, Benavides, Martinez, Pulido, Reyna,
Sarmiento (6)
NOES: Councilmembers: None (0)
ABSTAIN: Councilmembers: None (0)
NOT PRESENT: Councilmembers: Tinaiero (1)
CERTIFICATE OF ORIGINALITY
I, MARIA D. HUIZAR, Clerk of the Council, do hereby attest to and certify the
attached Resolution No. 2014 -077 to be the original resolution adopted by the City
Council of the City of Santa Ana on November 18, 2014.
Date: l ��y %rviy
Resolution No. 2014 -077
Page 2 of 2
Clerk of the Council
City of Santa Ana
City of Santa Ana
Schedule 1
M2 Expenditure Report
Fiscal Year Ended June 30, 2024
Beginning and Ending Balances
Description
Line No.
Amount
Balances at Beginning of Fiscal Year
M2 Fair share
1
$ 6,664,205
.50,911
.... ...................._----. .,..............---------- '-....
M2 Falrshare Interest
.._.� ,...$..,,.........
M2 CTFP
3 ..
$.......... (518.....
M2 CTFP Interest
4
$ 10,631
;Other M2 Funding
5
.................,......-
......
... . ............. .......... —1--_.....-.._.....•..,
Other M2lnterest
7
;Other'
Balances ak Beginning of Fiscal Year (Sum Lines 1 to 7)
8
$ 6,206,968
M onies Made Avaiiahle During Fiscal Year
... 9
$ 5,626,417
---'-`'---'-"•• ................ ...............................
Total Monies Available (Sum tines 8 & 9)
10
$ 11,833,385
;Expenditures During Fiscal Year
11
$ 6,146,718
Balances at End of Fiscal Year
;M2 Falrshare
12
.....-
$ 7,433,623
...............- .4,40 .
..............Inte,r ,t_........., ,..,....................-
;M2 Falrshare Interest
13
$ 84,408
;,M2 CTFP-
14
$ (1,950,195)
---- -- --- -- - - --
jM2 CTFP Interest
15
$ 20,093
....... M2 .... Fund i.... . ng ....... ...............,..._...........
Other
_.16....$_......._....97,098
Other rest
17
$ 1,639
..............'-... ..............
Other*
18
..................
" Please provide a specific description
CTFP - Combined Transportation Funding Program
55C -5
Revision No. 2
4114114
Schedule 2
City of Santa Ana
M2 Expenditure Report
Fiscal Year Ended June 30, 2014
Sources and Uses
Description
Line Amount No.
Revenues:
................................................. ............ ................................. ...................... ...............................
1
$ 4,064,201
M2 Fairshare
._.....Z.., ......................33,497..
R
......M2 Fairshare Interest ........................................................ ..............._.........._.... ...1.................1....."
Transit Extensions to Metrolink
— ,..............
........; ... ...........................__.. ) ................................................. ...............................
'M2 roJect 0) .......................... .....................4........$
3
$ 1,148,018
.._......._.......9,462
W2CTFP Interest
Senlor Mobility Program or Senior Norn Emergency Medical Program
....._.........................
., ;1 .tI.. ... ,..12.1 ..... .......................... ................._....,......., .......................................................................
'Other M2 Funding ** .................
...... 5.......
$, 36....—
1 ...... ........ .. ............._...........................................................
........ i Other M2 Interest ............................ _......................
6
$...........,........1,639..
..............
Other*
7
X
TOTAL REVENUES (Sum lines 1 to 7)
8
$ 5,626,417
p es:
Ex en tur ...............................
.......�MiT� s.h ..................................................._........................,............
Fairshare.
9
$ 3,294,782
.. ,..,........................
t.......... ......... ............_...... ........._ .......... .................... ...............................
tM2 Fairshare Interest
10
$ ...........................:.
......................................... ......... ..... �..............�.
iM2C7FP ( Project. 0) ...................................................
11 ......................,........
$ 2,579,434
..........
...... ...............................
.......... ........,..,,,..In. .,..._._..,...,.
iM2CTFPInterest........................................._......................................,.
1z
..,.............,............`.
:Other M2 Fundin8 ""' ,,,,,,,,,,,_,,,,,,,,,,
111.11
,,,__33 .......$........
272.502
........................
:Other M2 Interest ...............................
14
�..........................
................................ ............................... ............................. ..........................................._.........
::Other'
15
TOTAL EXPENDITURES
(sum Ilnes 9 to is)
16
S 6,146,718
TOTAL BALANCE (Subtract line 16 from 8)
17
$ (520,301)
-Please provide a specific description
--Please provide breakdown of "Other M2 Funding ". Other M2 Fun ding includes funding received and /or funds expended by Local Agencies from any
nrhpr M2 program besides Project O (Regional Capacity Program) and Project Q (Local Fair Share Program).
Revenues
Regional Traffic Signal Synchroolzatlon Program
P
$ '
High Frequency Metrolink Service
R
$ '
Transit Extensions to Metrolink
S
$ -
Convert Metrolink Station (s) to Regional Gateways that connect Orange County with
High -speed Rail Systems
T
$
Senlor Mobility Program or Senior Norn Emergency Medical Program
U
$ 170,681
Community eased Tra nsit /circulators
v
$ -
SafeTransitStops
W
$
Water Quality Program
X
$ 198,919
Expenditures
Regional Traffic Signal Synchronization Program
P
$ "
High Frequency Metrolink Service
R
$ -
TransltExtensionstoMetrolink
S
$
Convert Metrollnk Station(sl to Regional Gateways that connect Orange County with
High-Speed Fall Systems
T
$
Senior Mobility Program or Senior Non - Emergency Medical Program
U
$ 172,317
Community Based Transit /Circulators
V
$
Safe Transit Stops
W
$
Water Quality Program
X
$ 100,185
55C -6
Revision No. 2
4114/14
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Schedule 4
City of Santa Ana
M2 Expenditure Report
Fiscal Year Ended June 30, 2014
Fairshare Project List
PROJECT NAME
AMOUNT EXPENDED
061724 ENHANCEMENTS FOR 2ND RR TRACK
"----......-.,_. .---............,.............. ........,...,...,1,.183.....
9,898.00
.............................
081732 GRAND AVENUE WIDENING ..... . .
.. 1,310310, 183.75
...
1111 - 1118 .... .........- - -•'----- '---..................
0917450CTARRGRADECROSSINGENHCMNT
11,647.00
................. ........................ ...
1067197RAFFIC5IGNALEQUIPftEPLACMNT
1A8 685.54
• ---1181. 8118 - .,..---
116743 BROADWAY IMPRV:CC -SNTA CLARA 2111
568 124 8 .92 . .
__ „ _..,
.................... ............................... 1182--- ........-•"----.....
126757 TRAFFIC MGMENT PLANS FY 11/12
28,288.00
29
- ....._.,.•.. -.,- / ... ... .......................
126762 ROW MANAGEMENT FY10/11 & 11/12
. 95,106,89
................ ,
........_..---`---...,..--'-' ................ ........................._,....
126763 BRISTOL S7 BIKE LANE EXTENSION
334,00
126774 PROD DEVELPMNT FY10 /11 & 11/12
7,547.46
126775 LYON ST IMPRV:CHESTNUT - FIRST --...-
, 9,137.55
- ---....- ...............
1.2..6.7.7..6 . .M..C.F.A..D..D.E.N .. .IM... P1R1V12:E6 CLI6- ,NEW b PE --------------------
:.- 307757.81
126777 MCFADDEN IMPRV:HARBOR- FAI RVIEW
3,624.75
1367$0 OMNIBUS CONCRETE FY 12/13
20,520.28
.............•,.......,,..,.. .............-- -.•-..'-�--'-'-- "222"2--'-” 2222
136782 PAVEMENT MANAGEMENT FY12/13 2111
...,....---,...,........,
245,314,80
... y . .................._..... .........-..---.....,..,.._....
1.36783 Righ4 of Way Management
44,596.23
136784 MCFADDEN AVE: WCLTO EUCLID
40,427.66
_............,,.......
............. 1112 „... -----.....-----.,.---` --. ...------ �'-'--•--------.......
136785 Project Development FY 12/13
............................... .......,.......111.......,..8
55 , 628.65
-• --„ ” _.
„ . .............._ .........-....,
1367$7 LOCAL ST PREVENTATIVE MAINT
2221 -, (35,147.72)
................................................ ...- ----....................._-
136788 ARTERIAL ST PREVENTATIVE MAINT
67,376.11
136795 LINCOLN /FAIRHAVEN ACCESS TRAIL
47,262.21
146798 OMNIBUS CONCRETE FY 13/14 -`- -' '
78 645.31
- .......c........
................................ ............................... 1188..,
146799 NEW TRFFC SGL @ NWHOPE /CAMILLE ............... ..........................,_..
1.484.29
.,....- .- _..'- --......---- 11'12- -.....-- ----.. _..._
i46800TRFFCSGLMOD @BEAR /SEGERSTRO
_ _.1,4944 .29-
146$06 PROJECT DEVELOPMENT FY 13)14
102 177.93
146808 PAVEMENT MANAGEMENT FY 13/10.
7,473.92
146$09 A RiE R A L 5T PREVENTATIVE MAINT ...........................,.--
58,666.90
28-4
............................................................_..
146810 TRAFFIC SIGNAL PRO) DEVELOPMNT 2111
7,551.84
....._. -- ._....---' --�
................................................ ...............................
146818 NEWHOPE ST BIKE LN:STH- WESTMNS
1 067.35
146819 TRAFFIC MANAGMNT PLANS FY33 &14
27 288.00
00
1111..
................................................... .......- .....,.....,.........c-
156823 PROJECT DEVELOPMENT FY 14/15
_.., . - -.... _ .................... ............................... 8111. _...,................c..,....
.............................................. ................_....,..,.....- 11_12 1111.. -............
............._ -.• -. _--..-. ..................- ...........- 1111.. _ _ - ........,. _-
... _....., ................ ........ ........................ ......-.-................
.._ ................. .......................... ..... _....... ., ...... ......... ...... ..,...-
....... ............. 1111- .......- _�........- 1111 -.. _................... .._..,... -.
- 1111..._ 2211 ... ........... 2122 1111.., --. ........ . - - _1111 -, . ....,...
............................... _.... ...... ..... ,....... ......,..,..,.....,... _..-_.
..,._ ..................... 211_1. ..........- 1111_.,. -.. ._ ..............- 281_1.
- `--.....- 11.11. _. _1112 1111 2181,_ ..- 1121 -- 1112 ................... .............
..408.75
111.- ........
..- .........- ..,.............,
...................,... -..
..,.......... _. 1111... -.
8211_ 1_211 _.......,.,.
.................... ...
- ......._.... _1111. -..
........ 1111. 1111...
$ 3,294,782.49
Revision No. 2
66C-8 4/14/14