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HomeMy WebLinkAboutCC Resolution 3112EXHIBIT L-5 RESOLUTION WHEREAS the Collier -Unruh Local Transportation Development Act provides that' "Within 60 days following the close of each fiscal year each county, city, or city and county shall file with the Department a report in a form prescribed by the Department and certified by the local governing body showing its expenditures of funds during the preceding fiscal year pursuant to Sections 186.1 through 186.7:"; and WHEREAS the attached report, compiled in the form prescribed by the Department:from records maintained by this city _-. (City or County) and showing expenditures during the 1963-64 fiscal year pursuant to Sections 186.1 through 186.7 of ,the Streets and Highways Code, has been examined by this council and is determined to (Council'or Board) be factual; now THEREFORE BE IT RESOLVED: that the. City Council (City, Council or of the -_-- Board of Supervisors) (County) (City of San Rafael hereby.` certifies the attached report to be a r true record of -exp'enditures by the city _ _ during the County) (City) 1963-64 _ fiscal year in conformance with the rcgUirements of the Collier' -Unruh Local. -Transportation Development Act; and BE IT FURTHER RESOLVED that the — City Clerk _ is hereby instructed to transmit six copies -•-of the report and three certified copies of this resolution to the State of California, Department of Public Works, Division of Highways, in care of the Engineer in charge of its local District office. ORIGINAL I, W. L. MORGAN, Clerk of the City of San Rafael, hereby certify that the foregoing Resolution was duly and regularly introduced at a regular meeting of the Council of said City held on Monday, the 17th day of August , 1964, by the following vote, to -wit: AYES: COUNCILMEN Aby, W Barbier, lelsen, and Mayor 'Nelonis NOES: COUNCILEN ABSENT: COUNCILEN� V., Le MORGAN W. L. MORGAN, City Clerk W. —2— RNWELL — Deputy C 1► V, Clerk ��✓. Exhibit L-1 Form CU -5a COLLIER-UNRUH LOCAL TRANSPORTATION DEVELOPMENT ACT ANNUAL REPORT OF'EXPENDITURES FOR IMPROVING THE SELECT SYSTEM FISCAL YEAR ENDING JUNE 30, 19 64 (Report due within 60 days of close of year) To: State of California Department of Public Works From: City ® County ❑ of Division of Highways (Through District Engineer) BAN ' In accordance with the requireb.-,nts of Section 186.8 of the Streets and Highways Code the following summary and attached detail is submitted to indicate the expenditures by or on behalf of this agency for improving the Select System during the past fiscal year. STATUS OF SECTION 186.1 (1.04¢) FUNDS 1.(a) Unobligated Balance as of 6/30/63 (b) Unexpended Balance as of 6/30/ 63 *2.(a) Allocations During Fiscal Year,(Col.l & 2) ** (b) Other Receipts (Col. 1 & 2) 3. Total Available (Item 1 plus Item 2) ***4.(a) Obligations During Year (Sec. 186.7 a & b) (b) Expenditures During Year 5.(a) Unobl4ated as of 6/30/64 (Item 3 less Item 4a) (b) Unexpended as of 6/30/,t4 (Item 3 less Item 4b) SUMMARY OF MATCHING AND OTHER FUNDS OBLIGATLD or.. MCPENDED FOR CONSTRUCTION'S ON SELECT SYSTEM DURING YEAR ***6.(a) Matching Obligations by Agency (See. 186. 7-a & b) 0 (b) Matching Expenditures by Agency'(Sec. 186.5) 0 7. Expenditures by Subdividers (Col. 1 & 2). 0 0 8. Total Matching Obligations & Expenditures 0 9. Other (has Tax Expenditures (S*c. 21041 2107 & 2107.5) 10. Other Funds Expended 0 11. Total of All S'zpenditures'for construction on Select System 0 ( Total of Items .4 & 8 through 11) Any additional information needed by the Depa rtment to verify that the requirements of Sections 186.2 through 186.8,' Section 195, or Section 2105 have been met is available in the office of the undersigned. +Inoludels all funds apportioned under Sec. 186.1(a) and (b). sWature(Aut,6orized Official Dominic J. elmi **Hight of Way Rentals do Sale$ orQITY .� Interest from Section 186.1 official Title fund investments. Record contract totals plus amounts actually expended _for Engineering, Contingencies and Supplemental and. Day Labor Work. Attach Resolution of Board of Supervisors or City Council certifying report. If expenditures reported herein differ from those in July 15 report, attach a revision of July 15 report. 49,669.70 SUMMARY OF MATCHING AND OTHER FUNDS OBLIGATLD or.. MCPENDED FOR CONSTRUCTION'S ON SELECT SYSTEM DURING YEAR ***6.(a) Matching Obligations by Agency (See. 186. 7-a & b) 0 (b) Matching Expenditures by Agency'(Sec. 186.5) 0 7. Expenditures by Subdividers (Col. 1 & 2). 0 0 8. Total Matching Obligations & Expenditures 0 9. Other (has Tax Expenditures (S*c. 21041 2107 & 2107.5) 10. Other Funds Expended 0 11. Total of All S'zpenditures'for construction on Select System 0 ( Total of Items .4 & 8 through 11) Any additional information needed by the Depa rtment to verify that the requirements of Sections 186.2 through 186.8,' Section 195, or Section 2105 have been met is available in the office of the undersigned. +Inoludels all funds apportioned under Sec. 186.1(a) and (b). sWature(Aut,6orized Official Dominic J. elmi **Hight of Way Rentals do Sale$ orQITY .� Interest from Section 186.1 official Title fund investments. Record contract totals plus amounts actually expended _for Engineering, Contingencies and Supplemental and. Day Labor Work. Attach Resolution of Board of Supervisors or City Council certifying report. If expenditures reported herein differ from those in July 15 report, attach a revision of July 15 report.