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HomeMy WebLinkAbout1974-07-16; City Council; Resolution 3468I. 2 3 4 5 6 7 a 9 10 11 12 13 14 15 1E 17 1E 15 2c 21 2:: 21 21 2: 2t 2' 2: 3,: 3( 3: 31 RESOLUT I ON NO A RESOLUTION OF THE C C tTY OF CARLSBAD, CAI- AGREEMENT BETWEEN THE 3468 TY COUNC.IL OF THE FORNIA APPROVING AN CITY OF CARLSBAD . AND California Lutheran - Homes -- FOR AND AUTHORIZING THE MAYOR TO EXECUTE SAID participation in a future sewer -- assessment district -- - AGREEMENT. The City Council of the City of Carlsbad, California, does lei-eby resolv? as fol lows: 1. That that c-ertain agreement between the City of Zarlsbad and California Lutheran Homes for participation in a future Ocean St. area sewer assessmen't 3 copy of which is attached hereto marked Exhibit A and incorpor- ated herein by reference, district is hereby approved. 2, That the Mayor of the City of Carlsbad is hereby authorized and directed to execute said agreement for and on behal of the City of Carlsbad. PASSED, APPROVED AND ADOPTED at a regular meeting of the City Council of the City of Carlsbad, California, held on the -' 1974, by the foilowing vote, to wit: 16th day of - July AYES: Councilmen Frazee, Chase, McComas, Lewis and Skotnic NOES: None ABSENT: None ATTEST : (SEd!!) TO: FRGM : SUBJECT : DATE : FINANCE DIRECT02 ADDITI0;NS AND DELETIONS TO 1974-75 EJUDGET - LIST OF EXPENDITURES BY DEPARTMENTS JULY 16, 1974 . ATTACHED ARE EXHIBITS TO RES. S3467 AS FOLLOI$S: ! .. EXHIBIT A - ADDITIONS E DELETIONS TO BUDGET EXHIBIT B - EXPENDITURES BY DEPARTMENTS EXHIBIT C - GAS TAX FUNDS EXHIBIT D - REVENUE SHARING r i L 5. . . . - .. . . . . . EXPENDITURES \, ' c CITY COUNCIL $ 24,432 CITY MANAGER 73,128 CITY CLERK 54,577 INSURANCE & BONDS 245,000 GEN. GOYT. ADMIN. 75,300 CITY ATTORNEY 43,554 FINANCE 43,222 CITY TREASURER 3,478 , 3,500 1,000 LI FEL IN€ 1931 ACTS 4,928 PURCHASING 19,605 PERSONNEL 42,438 DUES 6,619 crmL DEFENSE 3,800 BUILDING INSPECTION 118,506 POLICE 694,209 FIRE 569,202 ENGINEERING 175,801 STREETS 285,392 MECH. MAINTENANCE 38,456 . PU5. WORKS ADMINISTRATION 22,941 UTILITY MAINTENANCE 15,895 WASTE COLLECTION 149,657 GEN. GOVT. BU I LD INGS 50,121 LEASES 235,458 CONTINGENCY 15,000 GAS TAX 285,000 PLANNING 150,319 PARKS 227,937 265,007 RECREATION LI BRARY COMMUNITY PROM. 30,000 EMPLOYEE'S RETIREMENT 295,000 S AN I TAT I ON 151,474 WATER POLLUTION 87,000 STREET LIGHTING 90,460 WATER 985,684 REVENUE SHARING 332,800 PARK-IN-LIEU 78,200 . AUDIT 7 ' 162,278 ... .- .. .. 4 I. i. : .. -. '. . .. - .. .. .. -. ., .. .-_ . .. .. .. ' .' . ._ .. _- -. . _- *, - - , -. .. .. .- .I ~ ..... .. ...... .. ._ . : .. -. .. .... -. .. , .- ..... . *. .. .. ... .... .. -. -. _. SU33EZT: GAS TAX FUNDS .. .. .. .B, Estimated Gas Tax Fiscal Year 1974-75 157,254 .. k ,*. . ' '$299,973 ... .. --. .- ..- ~CCX~-*~NDATIOXS FOX EXPELXDZTURES FY 1974-75 A, El Camino Real Payment - -. - . 83,050. B, General Engineering . .. _. .... -. . -. . -. 12,000 -. .. -. .- *. \. . -_ 6. Elm Street (Valley to Donna] 190,000 ... .... - . '285,008 _. ,. -. f . . $ 14,973 . .. .I Balance (Reserve) A, Elm Ave. (Valley to Donna) (2) 35,000 I_ €3. -NCR 500 Accounting Machine 15,000 . 78,400 D. Vapor Control Equipment .. 6,000 3,000 E, Equipment Shop Remodeling :' 20,000 -. 5-00,000 65,000 G, Street Overlay 10,400 .. , . C, Fire Station $3 (Structure and Equipment) . .. .. . . F, Tamarack Alignment Study . ~ .. H, Library 1,lezzanine .I .I. 2 Ton. dump and 314 Ton pickup .. .. 332,800 . $ 22,879 .- -- ~ .. .. Balancn, .. .. ., .- . .. . ... .. .: .- . (1) It is recommended because of revenue sharing time limitation that this must be funded out of General Fund Street Dept-, replacing S50,OOO (of $100,000) street overlay and $10,400 In vehicles which are now shown as items G, and I. of revenue snaring, . out of Gas Tax Additional $190,000 to be funded revenues previously proposed for Palornar Airport (140,000). Road and street overlay $5- I. . .. . .. : . .. .. .. . .. ...- ' . .. .. .: . . , 'PAUL D. BUSSEY ..