My WebLink
|
Help
|
About
|
Sign Out
Home
Browse
Search
AGENDA PACKET_2021-09-21
Clerk
>
Agenda Packets / Staff Reports
>
City Council (2004 - Present)
>
2021
>
09/21/2021 Regular and Special
>
AGENDA PACKET_2021-09-21
Metadata
Thumbnails
Annotations
Entry Properties
Last modified
9/20/2021 9:20:28 AM
Creation date
9/20/2021 9:19:36 AM
Metadata
Fields
Template:
City Clerk
Doc Type
Agenda Packet
Date
9/21/2021
Jump to thumbnail
< previous set
next set >
There are no annotations on this page.
Document management portal powered by Laserfiche WebLink 9 © 1998-2015
Laserfiche.
All rights reserved.
/
535
PDF
Print
Pages to print
Enter page numbers and/or page ranges separated by commas. For example, 1,3,5-12.
After downloading, print the document using a PDF reader (e.g. Adobe Reader).
View images
View plain text
Public Works Agency <br />www.santa-ana.org/pw <br />Item # 21 <br />City of Santa Ana <br />20 Civic Center Plaza, Santa Ana, CA 92701 <br /> Staff Report <br />September 21, 2021 <br />TOPIC: Construction Funding and Construction Engineering Services <br />AGENDA TITLE <br />Approve Appropriation Adjustments and Amendments to the FY 2021-22 Capital <br />Improvement Program to Increase Project Contingencies and Construction Funding for <br />the South Main Street Corridor Improvements Project, and an Amendment to the <br />Agreement with Butier Engineering, Inc. to Increase the Agreement Amount by $200,000 <br />and the Agreement Contingency by $100,000, for a Total Amount not to Exceed <br />$1,236,924 (Project Nos. 18-6911, 20-6958, 21-6451, 21-6461) (Non-General Fund) <br />RECOMMENDED ACTION <br />1.Approve an appropriation adjustment to recognize $275,000 of prior year fund balance <br />in the Sanitary Sewer Fund, Capital Recovery Charges, Prior Year Carryforward <br />revenue account and appropriate the same amount to the Sanitary Sewer Fund, <br />Capital Recovery Charges, Improvements Other Than Building expenditure account. <br />2.Approve an appropriation adjustment to recognize $1,500,000 from prior year fund <br />balance in the Water Fund, Public Works Water Revenue, Prior Year Carryforward <br />and appropriate the same amount to the Acquisition & Construction, Water Utility <br />Capital Projects, Water Capital Project expenditure account. <br />3.Approve an appropriation adjustment to recognize $1,500,000 from prior year fund <br />balance in the Special Gas Tax Fund, Prior Year Carry Forward revenue account, <br />transferring the funds to the Select Street Construction revenue account, and <br />appropriating the same amount to the Select Street Construction, HUTA 2103 Gas <br />Tax, Improvements Other Than Building expenditure account. <br />4.Approve an amendment to the Fiscal Year 2021-22 Capital Improvement Program to <br />include $275,000 in construction funds for the South Main Street Sewer Improvements <br />Project (Project No. 21-6451). <br />5.Approve an amendment to the Fiscal Year 2021-22 Capital Improvement Program to <br />include $1,500,000 in construction funds for South Main Street Water Improvements <br />Project (Project No. 21-6461). <br /> <br />
The URL can be used to link to this page
Your browser does not support the video tag.