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RES-2013-180RESOLUTION NO. 2013 -180 A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF ANAHEIM ADOPTING THE MEASURE M2 EXPENDITURE REPORT AND AUTHORIZING THE CITY OF ANAHEIM FINANCE DIRECTOR TO SIGN AND SUBMIT THE EXPENDITURE REPORT TO THE ORANGE COUNTY TRANSPORTATION AUTHORITY ON BEHALF OF THE CITY OF ANAHEIM. WHEREAS, Orange County Transportation Authority ( "OCTA ") Local Transportation Authority Ordinance No. 3, "Renewed Measure M Transportation Ordinance and Investment Plan," requires local jurisdictions to adopt an annual Expenditure Report to account for Net Revenues, developer /traffic impact fees, and funds expended by local jurisdiction with respect to transportation improvements; and WHEREAS, the Expenditure Report includes all Net Revenue fund balances, interest earned and expenditures identified by type and program or project; and WHEREAS, the Expenditure Report must be adopted and submitted to OCTA each year within six months of the end of the City of Anaheim's (the "City ") fiscal year to be eligible to receive Net Revenues as part of Measure M2. NOW, THEREFORE, BE IT RESOLVED by the City Council of the City of Anaheim that: a) The Measure M2 Expenditure Report is in conformance with the Measure M2 Expenditure Report Template provided in the Renewed Measure M Eligibility Guidelines and accounts for Net Revenues including interest earned, expenditares during the fiscal year and balances at the end of fiscal year. b) The Measure M2 Expenditure Report is hereby adopted by the City of Anaheim. c) The City of Anaheim Finance Director is hereby authorized and directed to sign and submit the Measure M2 Expenditure Report to OCTA on behalf of the City of Anaheim. THE FOREGOING RESOLUTION is approved and adopted by the City Council of the Cit.; of Anaheim this 10 day of December, 2013, by the following roll call vote: AYES: Council Members Eastman, Murray, Brandman and Kring NOES: None ABSENT: None ABSTAIN: Mayor Tait CITY. -0 ANAHfiI e Z r-- MAYOR OF THE CITY OF ANAHEIM ATTEST: "Y CITY CLERK OF THE CITY OF — ANA — HTTM 98862.1 /bmorley City of Anaheim M2 Expenditure Report Fiscal Year Ended June 30, 2013 Beginning and Ending Balances Description L Line A Amount No. Balances at Beginning of Fiscal Year ------------ ------- . . - ..._._. - -_._. -- -------- M2 Fairshare 1 1 $ $ 651,919 - -- - - - - - -- - - -- ------ - - - - -- - - -- M2 CTFP 3 $ — 3 M2 CTFP Interest 4 4 $ $ Other M2 Funding w 5 5 ------ - - - - -- - - - -6 - -- - --------- - -- - -- - - - - -- * Please provide a specific description CTFP - Combined Transportation Funding Program Schedule 1 Revision No. 1 4/9/13 City of Anaheim M2 Expenditure Report Fiscal Year Ended June 30, 2013 Sources and Uses Description Line Amount 226,155 No. 8,766,102 Revenues: 9,085,071 ---- -- - M2 Fairshare -------- ----------------- - - - - -- 1 $ 3,788, -.---- M2 Fairshare Interest ------- - - - - -- - - - ------------- - ---.. 2 -- - - - -_. --- $ 17,267 .--- --------- ... M2 CTFP -. , .- -- - - - - - - -- ... 3.._ - - - - -- - .$.--- - -. - -_ _ 509,423 M2 CTFP Interest ------- .------------------------ 4 - ------------ , Other M2 Funding 5 -- - - - - -- $ 9,085,071 - Other M2 Interest 6 - - - -- - - - - -- ;Other * ............. .... _ _... -- -- ._.. _ 7 - - -- -_ -- - - - - - - -- TOTAL REVENUES (Sum lines 1 to 7) 8 $ 13,399,794 Expenditures: ,M2 Fairshare - ----------- 9 $ 805,311 ;M2 Fairshare Interest ---------- 10 - - - - -- M2 CTFP _, _- _...__..__._._.....__ -- - - -._- - - $ 1,220,711 IM2 CTFP Interest --------------------------- 12 ... -- ;Other M2 Funding - - -. -- - - - - -- 13 ••---------------- - -.... $ 9,085,071 < Other M2 Interest 14 _ -------------- ;Other* 15 TOTAL EXPENDITURES (Sum lines 9 to 15) 116 1 $ 11,111,093 TOTAL BALANCE (Subtract line 16 from 8) 17 1 $ 2,288,701 * Please provide a specific description Notes: Other M2 Funding Project X / revenue Project U /Senior Mobility revenue Project T / Artic revenue Other * ARTIC Land Acquisition and Financing from OCTA. $ 92,814 $ 226,155 $ 8,766,102 $ 9,085,071 OCTA will deduct annual payments from the bi- monthly fair share revenue. FY 2013 a total of $1,000,002 was deducted from fair share payments. This amount is not reflected in the M2 Expenditures report. Schedule 2 Revision No. 1 4/9/13 M OJ 7 d u H E Ol L N C Q 0 N C a-I W t N O N d M D N C N 3 M 41 y � •tj � N w W Q ` O X W N � C C C to V H C w E d 6 v W O 2 t N O u = E 0J C f0 y = O 4 a N � � O @ -� `l L ar u � � v w a v V N u u J �- C O N -' N 00 O rl� L6 N N n O) co 00 00 01 III M � SIN rl NiLDW. a c Oi O O: iO: 0 n 00 O F 00 :M;'-1 N: : N: 0) .0) ;N: ;N; n ;N M J Ln: 4) ;0); OO;N n C -W; M: N: :n: N. N :n :N ' M): -4T O) - N l D:' -I; M: -i; M : :M ;N': N:N 01 M: M :M:N; LO: O) 0) 00 : W 00 ' Ln : N ti CJ: an;in[Vl- In : in 1^ - - anV�:v*;an;vn: in'tn v� N N L d cn Go f L (n O O O 0) Lf� ` 4.n 1. � C w E d 6 v W O 2 t N O u = E 0J C f0 y = O 4 a N � � O @ -� `l L ar u � � v w a v V N u u J �- C O N -' N 00 O rl� L6 N N n O) co 00 00 01 III M � SIN a c O 0 £ E < � N O F X t d LL Ol C L d 0 Z O O a a` a H 4) C 0 s' 00 : W 00 ' Ln : N C CJ: C4 N N cn Go f (n O O 00 0) Lf� ` 4.n � u N C N ;N: 0)• n ti . N ti ` u �o d i t M « N C ` 0) V;CO N: N ':O i n 4. lD : N : co: O0 .' O M N .m N N; n: N � :N LL N : N : M : : M : N 00 N � ur v�E4n: : vf; to :vt in LL N: n: O: co M :lD: lD. O .k 01i -4: ti N 11 N iO: i :n; O: n: N N c E r•I ('4 : 0 0 : N: O; O :N' M: N.. N :lD' •N. 00 n 00 :.-� : a!! n W 0 n 'M _a n n .N. 0): e-1' l0 Q1 : 00 M. ' : tD . N . N ' N ! l0 N C Z : N; M N: W n 00 0) : N M: V N lD : n o0 N 04 a -E: V) 0) >, >,' Oi LU 3 L o d O 1 > 0'6 �+ y _ N . O 0J : H 00 � : 0D d C CL Ww iT C L OO: U : p w �.- � .. =.. m E E O, C 3 O: t., E y : � : u. v on m =, o f0 C, m E E: $sL v, > O 5: C O V « ar:. « �: o E a , ns: : Z a O: Q v' O 12: C7 C w E d 6 v W O 2 t N O u = E 0J C f0 y = O 4 a N � � O @ -� `l L ar u � � v w a v V N u u J �- C O N -' N 00 O rl� L6 N N n O) co 00 00 01 III M � SIN M O Z C .N m a c O 0 £ E < y „a N O F X t d LL Ol Ol 01 01 d 0 Z O O a a` a H M O Z C .N m City of Anaheim Schedule 4 M2 Expenditure Report Fiscal Year Ended June 30, 2013 Fairshare Project List PROJECT NAME AMOUNT EXPENDED AND L PROJECTS ADMINISTRATION 250,000 WIDENING - CRESCENT TO WESTMONT 227,139 /LA PALMA IMPROVEMENTS 1,130 L AGENCY COORDINATION FDRE 38,762 P DRIVE HANDICAP RAMP AT CANYON RESERVOIR 11,057 (BALL RD TO CERRITOS AVE) 5,076 LE AVE /TUSTIN AVE 22,211 AY - ANAHEIM BLVD TO 200' W/O HARBOR BLVD 28,731 AK RD -SANTA ANA CANYON RD TO NOHL RANCH RD 1,860 MAGNOLIA AVE - BROADWAY TO ORANGE AVE 331 RIVERDALE AVE - LAKEVIEW AVE' TO TUSTIN AVE 2,328 LINCOLN AVE MAGNOLIA ST TO BROOKHURST ST 5,533 LINCOLN AVE BROOKHURST ST TO EUCLID ST 8,082 ANAHEIM BLVD -1 -5 FWY TO BALL RD 34,107 OPERATIONS STREET REHAB PROJECTS -GROUP 2 33,428 KNOTT AVE IMPROVEMENTS FROM ORANGE AVE TO LINCOLN AVE 20,448 ORANGE AVE IMPROVEMENTS FROM KNOTT AVE TO WESTERN AVE 6,456 BROADWAY IMPROVEMENTS FROM DALE ST TO MAGNOLIA AVE 3,371 GROUP 111- DESIGN SERVICES CO -OP W /OPERATIONS 7,466 _ 97,795 $ 805,311 Revision No. 1 4/9/13 City of Anaheim M2 Expenditure Report Fiscal Year Ended June 30, 2013 Signature Page I certify that the interest earned on Net Revenues allocated pursuant to the Ordinance shall be expended only for those purposes for which the Net Revenues were allocated and all the information attached herein is true and accurate to the best of my knowledge: Director of Finance Revision No. 1 4/9/13