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2021-09-21 Regular and Special
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2021-09-21 Regular and Special
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Clerk of the Council
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9/21/2022
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Consultant Services, and a $311,882 project contingency for unanticipated or <br />unforeseen work. <br />MINUTES: This consent Item - Agreement No. 2021-185 was approved. <br />21. Approve Appropriation Adjustments and Amendments to the FY 2021-22 Capital <br />Improvement Program to Increase Project Contingencies and Construction Funding <br />for the South Main Street Corridor Improvements Project, and an Amendment to the <br />Agreement with Butier Engineering, Inc. to Increase the Agreement Amount by <br />$200,000 and the Agreement Contingency by $100,000, for a Total Amount not to <br />Exceed $1,236,924 (Project Nos. 18-6911, 20-6958, 21-6451, 21-6461) (Non - <br />General Fund) <br />Department(s): Public Works Agency <br />Recommended Action: 1. Approve an appropriation adjustment (2022-033) to <br />recognize $275,000 of prior year fund balance in the Sanitary Sewer Fund, Capital <br />Recovery Charges, Prior Year Carryforward revenue account and appropriate the <br />same amount to the Sanitary Sewer Fund, Capital Recovery Charges, Improvements <br />Other Than Building expenditure account. (Requires five affirmative votes) <br />2. Approve an appropriation adjustment (2022-033) to recognize $1,500,000 from <br />prior year fund balance in the Water Fund, Public Works Water Revenue, Prior Year <br />Carryforward and appropriate the same amount to the Acquisition & Construction, <br />Water Utility Capital Projects, Water Capital Project expenditure account. (Requires <br />five affirmative votes) <br />3. Approve an appropriation adjustment (2022-033) to recognize $1,500,000 from <br />prior year fund balance in the Special Gas Tax Fund, Prior Year Carry Forward <br />revenue account, transferring the funds to the Select Street Construction revenue <br />account, and appropriating the same amount to the Select Street Construction, HUTA <br />2103 Gas Tax, Improvements Other Than Building expenditure account. (Requires <br />five affirmative votes) <br />4. Approve an amendment to the Fiscal Year 2021-22 Capital Improvement <br />Program to include $275,000 in construction funds for the South Main Street Sewer <br />Improvements Project (Project No. 21-6451). <br />5. Approve an amendment to the Fiscal Year 2021-22 Capital Improvement <br />Program to include $1,500,000 in construction funds for South Main Street Water <br />Improvements Project (Project No. 21-6461). <br />6. Approve an amendment to the Fiscal Year 2021-22 Capital Improvement <br />Program to include $750,000 in construction funds for Main Street Rehabilitation from <br />Edinger Avenue to First Street (Project No. 18-6911). <br />7. Approve an amendment to the Fiscal Year 2021-22 Capital Improvement <br />Program to include $750,000 in construction funds for Main Street Rehabilitation from <br />Warner Avenue to Edinger Avenue (Project No. 20-6958). <br />8. Authorize the City Manager to execute an amendment to the agreement with <br />City Council 14 9/21/2021 <br />
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