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R 4561 RESOLUTION NO.4561 A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF ARROYO GRANDE ACCEPTING THE STATUS REPORT ON DEVELOPMENT IMPACT FEES (AB-1600) WHEREAS, Government Code Section 66001 (d) requires the City to make findings once every five fiscal years with respect to any portion of a development impact fee remaining unexpended in its account five or more years after deposit of the fee, and to identify the purpose to which the fee is to be put, and to demonstrate a reasonable relationship between the fee and the purpose for which it was charged; and WHEREAS, the Council has reviewed the development impact fees collected between July 1, 2004 and June 30, 2013 to determine if any such development impact fees remain unexpended; and WHEREAS, the Council finds that expenditures made on public improvements funded from development impact fees are consistent with the requirements of Government Code Section 66006. NOW, THEREFORE, BE IT RESOLVED that the City Council of the City of Arroyo Grande hereby accepts and files this Status Report on development impact fees. On motion of Council Member Barneich, seconded by Council Member Guthrie, and on the following roll call vote, to wit: AYES: Council Members Bameich, Guthrie, Costello, Brown, and Mayor Ferrara NOES: None ABSENT: None The foregoing Resolution was passed and adopted this 14th day of January 2014. RESOLUTION NO. 4542 PAGE 2 I TONY FE j r , MOR ATTEST: i(40-6C-R_ KELLY W MO% , CITY CLERK APPROVED AS TO CONTENT: STEVEN ADAMS, CITY MANAGER APPROVED AS TO FORM: . n,� / L TIMO/14Y J. CARMEL, CITY ATTORNEY • ATTACHMENTS A - H ATTACHMENT A . CITY OF ARROYO GRANDE • Traffic Signalization Fund Comparative Statement of Revenues, Expenditures and Changes in Fund Balances Fiscal Years Ending June 30,2004-2013 FY 03-04 FY 04-05 FY 05-06 FY 06-07 FY 07-08 FY 08-09 FY 09-10 FY 10-11 FY 11-12 FY 12-13 Actual Actual Actual Actual Actual Actual Actual Actual Actual Actual Revenues: Traffic Signal Assessments , $ 94,817 $ 67,189 $ 62,842 $ 86,169 $ 97,803 $ 3,602 $ 30,709 $ 96,409 $ 16,561 $ .80,982 Interest Income 6,706 11,147 21,649 24,705 18,464 8,359 2,513 2,479 • 2,365 2,167 Total Revenues $101,523 $ 78,336 $ 84,491 $110,874 $116,267 $ 11,961 $ 33,222 $ 98;888 $ 18,926 $ 83,149 • Expenditures: Operating Expenses - - - - - - - - - - Excess of Revenues Over Expenditures 101,523 78,336 84,491 110,874, 116,267 11,961 33,222 98,888 18,926 83,149 Other Financing Uses: Capital Projects - 13,282 169,672 313,851 61,795 13,926 57,572 - - - Excess of Revenues Over, (Under)Expenditures and . Other Financing Uses 101,523 65,054 (85,180) (202,977-) 54,472 (1,965) (24,350) 98,888 18,926, 83,149 Fund Balance, Beginning of Year 486,696 588,219 653,273 568,092 365,116 419,588 417,623 393,27-3 .492,16.1 511,087 Fund Balance, End of Year $588,219 $653,273 $568,092 $365,116 '$419,588 $ 417,623 $ 393,273 $ 492,161 $ '511,087 $ 594,236 Capital Project Detail Grand/Halcyon Traffic Signal $ - $ 13,282 $137,135 $ 29,190 $ - $ - $ - $ - $ - $ - . Fair Oaks/Halcyon Rd Traffic Signal 8,905 '13,926 57,572 West Branch St/Camino Mercado 32,537 ' West Branch Traffic Signal 284,661 52,890 . Total Capital Projects $ - $ 13,282 $1'69,672 $313,851 $ 61,795, $ 13,926 $ 57,572 $ - $ . - '$ -, AITACHMENT '1:3 7 . CITY:OF ARROYO GRANDE Transportatid,n'Facility,Impact Fee ComparativeStatement of Revenues,Expenditures and Changes in Fund Balances Fiscal Years Ending June 30,2004-2013 FY 03-04 -) FY FY 05-06 FY 06-07 FY 0,7-0S FY 08-09 FY 09=10, FY 10-11 FY 11-12 FY 12-13 • Actual , Actual Actual Actual Actual Actual Actual Actual Actual ' Actual Revenues: Transportation Impact Fees $ 258,987 $ 171,926 $ 172,840 $ 236,436 $ 269,079 $ 13,031 S. 87,928 $ 267,489 $ 48,385 $ 221,532 Interest income 26,058 ,40,565 57,246 64,353, 116,192 58;888 16;824 15;937 13,203 8,657 Total Revenues 285,045- 212,491 230,086 300,789 385,271 71,919 104,752 283,426 61,588 230,189 Expenditures; Operating Expenses - - - - - - - - - -. Excess of Revenues Over Expenditures 285,045 212,491 230,086 300,789 385,271 71,919 104,752 283,426 61,588 230,189 Other Financing Uses: Capital Projects 39;798 44,702 93,288 103,120 49,536 199,802 177,415 253,718 739,974 231,184 Excess of Revenues Oyer (Under)Expenditures and Other Financing Uses 245,247 167,789, 136,798 197,6,69 335,735 (127,883) (72,663) 29,708 (678,386) (995) Fund Balance,Beginning,of Year 1;857,887 2,103,134 2,270;923 2,407;721. 2,605;390 2,941,125 2,813,242 2,740,579 2,770,287 2,091;901 Fund Balance,End of Year $2,103,134 $2;270,923. I 2,407,721, $2,605;390 $2,941,125 $2,813,242 '$2,740,579 $2,770,287 $2,091,901 r $2;090,906 Capital Project Detail: Brisco Road/101 Interchange $ - $ 29,76a 1 44,336 $ 85,271 $ 37;384 $ 46,002 '$ 177,415 $ 253,718 $ 267,448 $ 189,091 Pavement Mgmt,Project 1,7,849 EI-Campo Road/Route 101 Alt. 9,746 771, Traffic Count Prog/Traffic Model 30,053 14,133 Brisco Road Pavement Rehab 12,152 Grand Avenue&Halcyon Signal 48,952 East Branch Streetscape 113;800 • Traffic Way Streetscape 40,000. Le.Point Parking Lot, 121,231 El Camino Real`Rehabilitation 351,295' 42,093 Total Capital Projects $ 39,799 $ 44,702 $ 93,288 $ 103,120 $ 49,536 $ 199,802 $ • 177,415. ' $ 253,718 $ 739,974 $ 231,184 '$1,229,829 will be used to,finance,erisco Rd-Halcyon/'Route 101 jnterchangeas detailed in:the CIP;within the budgetfor FY 2013-14. ATTACHMENT C C/7 Y OF ARROYO GRANDE • , Drainage Facility Fees - 'Comparative Statement of Revenues, Expenditures and Changes in Fund Balances Fiscal Years Ending June 30,2004-2013 FY 03-04 ,FY 04-05 FY 05-06 FY 06-07 FY 07-08 FY 08-09 FY 09-10 ' FY 10-11 FY 1-1-12 FY-12-13 Actual Actual Actual Actual Actual • Actual Actual Actual Actual Actual • Revenues: Drainage Fees $ 4,725 • 12,619 $ 47 $ - $ 178 $ • 312 $ 21,975 $ - $ - $ 20,648 Interest Income . 363 734 834_ 453, 846 :232 162 7 2 15 ' Total Revenues 5;088 13,353 881 453 1,024 ' 544 22,137 7' 2 20,663 Expenditures:, • , Operating Expenses - - - - ,- - - • 1,;575 - - Exc_ess of1Revenues Over Expenditures 5,088 13,353 881 453 1,024 544 22,137 (1,568) 2 ' 20,663 • Other Financing Uses: Capital Projects 800 19,300 15,525 10,600 9,913 - •32,076 - - - Excess:of'Revenues Over (Under)Expenditures-and Other Financing Uses 4,288 (5,947), (14,644) (10,147) (8,889) 544 (9,939) (1,568) 2 20,663 • Fund Balance, Beginning of Year 46,762 '51,050 45,103 30,459, 20,312 11;423 11,967 ' 2,028 460 452 'Fund Balance, End of Year $ 51,050 $ 45,103 $ 30,459 $ 20,312 $ 11,423 $ 11,967 $ 2',028 $ 460 $ 462 $ 21,125 Capital Project;Detall: Storm Drain Erosion Mitigation $ - $ - $ ' - $ - $' - "$ - $ 20,176 $, - $ - $ - Drainage Master Plan 1,163 Newsom Springs Drainage- 1,000 11,900, - - - PccpularStreet Drainage Basin im,f 800 19;300 11,150 8,750 Storm Water Study- 4,375, $,6,00, Total Capital Projects $ 50,0 $ 19,300 $ 15,525 $ 10,600, $ 9,913 '$ - $ 32,076 $ - . $ - '$ _ -, ATTACHMENT 0 CITY OF ARROYO,GRANDE • Water Neutralization,Fees Comparative Statement of Revenues, Expenditures, and Changes in Fund Balances Fiscal Years Ending June 30,2004-2013 FY 03-04 FY 04-05 FY.05-06 FY 06-07 FY 07-08 FY 08-09 FY 09-10 FY 10-11 FY 11-12 FY 12-13 Actual' Actual Actual Actual Actual Actual, Actual Actual Actual Actual - Revenues;, Water Neutralization Fee $109,398 $ 231,430 $ '181,152 $ 206,676 ,$ 130,454 $ 9,930 $ 3,3,594 $ 85;473 $ 44,557 $ 75,308 Interest Income 10,333 16,293 '27,365 30,300 34,865 16,379 3,789, 2,761 1,975 1,597 Total Revenues _119,731' 247,723 208,517 236,976 1,65;319 -26,30,9 37;383 88,234 46,532 76,905 Expenditures: Operating Expenses 16,638 8,259 _ 79,598 190,381 197,568 49,209 87,011 Excess of Revenues Over Expenditures 103,093 239,464 206,517 236,976 165,319 (53,289) (152,998) '('109,334) ' (2,677) (10,106) • Other Financing Uses' Capital projects 97,252 228,823 350,005 _ 88,080, . 64;987 88,794 • - 11,325 44,990 Excess of Revenues Over (Under)Expenditures,and Other Financing Uses 5,841 10,641 (141,488) 148,896 100,332 (142,083), (152,998) (120,659) (2,677) (55,096) • Fund Balance, Beginning of Year 713,282 719,123 '729,764 588,276 737,172 837,504 695,421 542;423 421,764. 419,087 Fund Balance, End'of'Year $719,123 $ 729,764 $ 588,276 -$ 737,172 $ 837,504 <;$695,421 $:542,423 $421,764 $419,087 * $363;991 Capital Project,Detail: Water Conservation Program $ 97,252 $- 228,823 $ 350,005 $ '88,080 "$ 64,987 $ 88,794 $ - $ - $ - $ - Short Street Bathroom Retrofit 11,325 Central lrrigation,System _ _ . 44,990 Total Capital Projects $; 97,252 $ 228,823. $ -350,005 $ 88,0,80 I$ 64,987 $ 88,794 $ - $ 11,325 $ - $ 44,990 • *$105,900 of this fund balance.is to be used to finance the Water',Conservation Program. ATTACHMENT E CITY OF ARROYO GRANDE , Fire Protection Fee Comparative Statement of Revenues,Expenditures . and Changes in Fund Balances Fiscal Years Ending June 30,2004-2013 FY 03-04 • FY 04-05 FY 05-06 FY 06-07 FY 07-08 FY 08-09 FY 09-10 FY 10-11 FY 1,1-12 FY 12-13 Actual Actual Actual Actual Actual Actual Actual Actual Actual Actual Revenues: Impact Fees $ 44,861 •$ 10.4,568 $ 86,450 $ 73,360 $ 15,741 $ 9,802 $ 18,263 $ 21,150 $ 22,802 $ 40,042 Interest Income 2,537 5,276 6,150 13,060 248 120 125 180, 270 343 Transfers in-operating 100,800 Total Revenues 47,398 169,844 92,600, 187,220 15,989 9,922 18,388 21,330 23,072 40,385 Expenditures: Operating'Expenses - - - 409;465 Excess of Revenues Over Expenditures 47,398 109,844 92,600 (222,245) 15,989 9,922 18,388 21,330 23,072 40,385 Other Financing Uses: Capital Transfers Out - 173,271 7,206 14,385 12,572 2,723 6,380 - - - • Excess of Revenues Over (Under)Expendiutres and Other Financing Uses 47,398 (63,427) 85,395 (236,629) 3,417 7,200 12,009 _ 21,331 '23,072 40,385 Fund Balance,Beginning.of Year 167,269 214,667- 151,240 236;635 6 • 3,423 10,623 22;632 43,963 67,035 Fund Balance,End of Year $ 214,667 $ 151;240 $ 236,635 $ >6 $ 3,423 $ 10,623 $ 22;632 $ 43,963 $ 67,035 $ 107,420 Capital Project Detail: Fire Station Addition $ - $ 173,271 $ 7,206 ,$ 14,385 $ 12;572 $ 2;723 ,$ 6,380 $ - $ - $' - . .$ - $ 173,271 $ 7,206 $ 14,385 $ 12,572 $ 2,723 $ 6;380 $ - • $ $ - ATTACHMENT F CITY OF ARROYO GRANDE' Police Protection Fee Comparative Statement:of Revenues,Expenditures and'Changes in FundiBalances Fiscal Years Ending June'30,2004-2013 FY 03-04 FY 04-05 FY'05-06 FY 06-07 FY•07408 FY,08-09. FY 09-10 FY 10-11 FY 11-12 FY 12-13 Actual Actual Actual Actual Actual Actual Actual Actual Actual Actual Revenues: Impact Fees $ ' 15,464 $' 10,588 $ 11,205 $ 12,980 $ 13;218 $ 515 $, 3,778 '$ 12,479 •$ 3,418 $ 20,809 Interest Income 531 984 1,994 615 1,700 .904 . 280 320 308 292 Total Revenues 15;995 11,572 13,199 13;595 14,918 1,419 4,058 12,799 '3,726 21,101 Expenditures.' Operating Expenses - 4,802 - - - - - - - - Excess-of Revenues Over Expenditures 15,995 6,770 13,199 13,595 14,918 1,419 4,058 12,799 3,726 21,101 Other Financing Uses: •Capital Transfers,Out - - 58,073 1,927 - - - - - - Excess of Revenues Over . (Under)Expendiutres:and Other Financing Uses 15,995 6,770 (44,873), _ 11,669 _ 14,918 1,419 4,058 12,799. $1726 21,101 Fund Balance,,Beginning of Year 40,820 56,815 63,585 18,712 30,381 45,299 46,718 50,776 63,575 67,301 Fund Balance,End of Year $ 56,815 $ 63,585 '$ 18,712 $ 30,381 $ 45,299 $ 46,718 $ 50,776- $ 63,575 •$ 67,301 $ 88,402 Capital Project Detail:, Parking Lot $ $ - $ 58,073 $ 1,927 .$ -- $ •- $ - $ - $ - -$ - $ - - $ - $ 58,073 $ 1,927 $ - $ - $ - $ - ' $ _ - $ _- • ---- ---- --- I . . ATTACHMENT 0 - CLTY'OF,ARROYO GRANDE • Community Center Fee • comparative Statement of Revenues, Expenditures , and Changes in Fund Balances Fiscal Years Ending June 30,2004=2013 FY 03-04 FY 04-05 FY 05-06, FY 06-07 'FY 07-08 FY 08=09. FY'09-10 FY 10-11 FY 11-12 FY 12-13 -Actual Actual Actual Actual Actual ,Actual, Actual Actual Actual - Actual Revenues: Impact Fees $ 4,828 $ 8', 61 $ 8,882 $ 8,779 $ 774 $ 728• $ 1,275 '$ 1,420 ,$ 1,623 $ 2,744 Interest.lncome 134 '323 830 1,580 1,695 865 254 209 218, 190 Expense Recovery 6,082 TotaiRevenues 4;962 8,68,4 9,712 10;369 2,469 _ 1,593, 1,529 7,711 1,841 2;934 Expenditures: • Operating Expenses - - - - - 3,0,00 - - - - Excess of Revenues Over Expenditures 4,962 8,684 9,712 10,359 2,469, (1,407) 1,529 7,711 1,841 2;934, Other Financing Uses. ' Capital Transfers Out - _ - - - - - 6,082 - - _ 324 Excess of Revenues Over (Under)Expendiutres'and Other Financing Uses 4,9,62 '8,684, 9,712, 10,359 2,469 (1,407) (4,553) 7,7-11 1;841 2;610 Fund Balance,Beginning of Year 7,205 12,167 20,851 • 30,563 40,922, 43,391 41,984 ,37,431 45,142 46,983 Fund Balance,End of'Year $ 12,167 $ , 20,85,1 '$ 30,563 $ 40,922 $ - 43,391 $ 41,984 $_ 37,431 -$ 45;142 ,$ 46;983 • $ 49,593 Capital Project Detail: ADA Improvements $ - $' - ;$ - $ - $ - $ - $ 6,082 $ - $ - $ - , Elm,Strect Roof Replacement $ 324 • $ - $ - $ - $ - $ - $ - -$ '6,082 '$ , - '$ - $ 324 $15,000,of the•fund balance is budgeted for the Elm Street-roof replacement in FY 20.12-13 ATTACHMENT H CITY'OFARROYO GRANDE Park Improvement Fee C omparative Statement of Revenues,Eipenditures and Changes in Fund Balances Fiscal Years Ending June 30,2004-2013 • FY 03-04 FY 04-05 FY 05-06 FY 06-07 FY 07-08 FY 08-09 FY 09-10 FY 10-11 FY 11-12 FY 12-13 _ Actual Actual Actual Actual Actual Actual Actual Actual Actual Actual Revenues. Impact Fees $ 83,378 $ 149,138 $ 154,861, $ 118,152 $ 13,367 $ 12,514 $ 21,920 $ 24,646 $ 27,874 $ 94,540 Interest Income 1,755 4,826 12,922 25,483 24,564- '10,920 2,427 1,938 1,721 1,482 Total Revenues 85,133 153,964 167,783 143,635 37,931 23,434 24,347 26,584 29,595 96,022 Expenditures: Operating Expenses - - - - - - - - - Excess of Revenues Over Expenditures• 85,133 153,964 167,783 143,635 37,931 23,434 24;347 26;584 29,595 96,022 • Other Financing Uses: Capital Transfers Out - 1,319 8,263' 14,263 101,618 174;427 77,817 -20,192 20,749 359,289 Excess of Revenues Over (Under)Expendiutres and . Other Financing Uses 85,133 ' 152,645 159,520 129,372 _(63,687) (150,993) (53,470) • 6,392 8,846 (263,267) Fund Balance,Beginning of Year 83,104 168,237 320,882 480,402 609,774 546,087 395,094 341,624 348,016 356,862 - Fund Balance,End of Year $ 168,237 $ 320,882' $ 480,402 $ 609,774 $ 546.087 $ 395,094 $ 34,1,624 $ 348,016 $ 35,6,862 ' $ 93,595 • Capital Project Detail: Park Equipment Installation $ 1,319 '$ - $ $ - $ - $ - $ - $ - $ - Turf Renovations 3,000 21,792 24,917 Park Improvements 263 3,051 7,591 2,455 23,832 14,329 19,060 • 20,614 • Replacement pump&pipe 5,000 Fence Replacement 17,631 Village Green Master Plan, 22,709 115,976 33,985 . . Picnic Shelter @'Elm St park 11;212 31,895 Irrigation System Replacement,@ Elm St park 3,295 235 Picnic Table Replacement 4,263 - Resurface courts 23,232 Replace fencing @ Porter Field 289 20,000 Soto Pond Fence'Replacement 5,628 Replacement lighting-lowerbasin fields 1,689 290,360 Central Irrigation System '_ 48,315 $ - $ 1,31,9 $ 86263 $' 14,263 $ 101,618 $ 174,427 •$ 77;817' $ '20,192 $ 20,749 $ 359,289- `$356,862 of the fund balance is budgeted for Park Improvements,Replacement lighting, and a Central Irrigation System in FY 2012-1,3 • OFFICIAL CERTIFICATION I, KELLY WETMORE, City Clerk of the City of Arroyo Grande, County of San Luis Obispo, State of California, do hereby certify under penalty of perjury, that the attached Resolution No. 4561 is a true, full, and correct copy of said Resolution passed and adopted at a Regular meeting of the City Council of the City of Arroyo Grande on the 14th day of January, 2014. WITNESS my hand and the Seal of the City of Arroyo Grande affixed this 16th day of January 2014. a lest KELLY % , CITY CLERK