09/27/2011 0
41. «
PENDING CRA APPROVAL
CITY OF GRAND TERRACE
COMMUNITY REDEVELOPMENT AGENCY MINUTES ,
REGULAR MEETING - SEPTEMBER 27, 2011
A regular meeting of the Community Redevelopment Agency; City of Grarid;'Terrace, was
held in the Council Chambers, Grand Terrace Civic Center, 22795 Barton Road, Grand
Terrace, California, on September 27, 2011 at 6:00 p.m.
PRESENT: Lee Ann.Garcia, Vice-Chairman
Darcy McNaboe, Agency Member
Bernardo Sandoval, Agency Member
Gene Hays, Agency Member •
Betsy M. Adams, City Manager
Tracey:Martinez, Interim City Clerk
Bernie Simon, Finance Director
Joyce Powers, Community & Economic Development Director
Richard Shields, Building & Safety Director
John Harper, City Attorney
Lt. Steve Dorsey, San Bernardino County Sheriff's Department
Sgt. Ed Finneran, San Bernardino County Sheriff's Department
Rick McClintock, San Bernardino County Fire Department
ABSENT: Walt Stanckiewitz, Chairman •
CONVENE COMMUNITY REDEVELOPMENT AGENCY AT 7:50 P.M.
1. APPROVAL OF 09-13-2011 MINUTES
CRA-2011-48 MOTION BY AGENCY MEMBER HAYS, SECOND BY AGENCY
MEMBER SANDOVAL, CARRIED 4-0-1-0(CHAIRMAN STANCKIEWITZ
WAS ABSENT), to approve the September 13, 2011 Minutes.
2. AGREEMENT TO TRANSFER AGENCY PROPERTY TAX INCREMENT TO
THE.CITY TO PARTICIPATE IN THE ALTERNATIVE REDEVELOPMENT '
PROGRAM.
CRA-2011-49 MOTION BY AGENCY MEMBER MCNABOE,'SECOND.BY AGENCY
MEMBER HAYS, CARRIED 4-0-1-0 (CHAIRMAN STANCKIEWITZ WAS
ABSENT), to adopt a Resolution of the of the Community Redevelopment
Agency of the City of Grand Terrace Approving the Agreement to
Transfer Tax Increment by and between the Agency and the City of
Grand Terrace and Making Certain Findings in Connection Therewith.
3. ADOPTION OF THE INITIAL.RECOGNIZED OBLIGATION PAYMENT
SCHEDULE
CRA AGENDA ITEM NO.
S.
Community Redevelopment Agency Minutes
September 27, 2011
Page 2
CRA 2011-50 MOTION BY AGENCY MEMBER SANDOVAL,.SECOND BY AGENCY
MEMBER HAYS, CARRIED 4-0-1-0 (CHAIRMAN STANCKIEWITZ WAS
ABSENT), to adopt a Resolution approving the initial Recognized
Obligation Payment Schedule Required by State Assembly Bill 1X 26 and
authorize the Executive Director to make any changes to the schedule
necessary to ensure on-going accuracy.
4. LEGAL SERVICES AGREEMENT FOR THE CITY OF GRAND TERRACE
AND THE CITY OF-GRAND TERRACE COMMUNITY REDEVELOPMENT •
AGENCY
CRA-2011-51 MOTION BY AGENCY MEMBER MCNABOE, SECOND BYAGENCY
MEMBER SANDOVAL, CARRIED 4-0-1-0 (CHAIRMAN
STANCKIEWITZ WAS ABSENT), to approve the Legal Services
Agreement between the City of Grand Terrace, the Grand Terrace
Community Redevelopment Agency and Jones. and Mayer and
authorize the City Manager and Executive Director to execute the
Agreement on behalf of the City and the Agency.
Vice-Chairman Garcia adjourned.the Community Redevelopment Agency Meeting at 7:55 •
p.m.., until the next CRA/City Council Meeting that is scheduled to be held on Tuesday,
October 11, 2011 at 6:00 p.m.
SECRETARY of the Community Redevelopment
Agency of the City of Grand Terrace
CHAIRMAN of the Community Redevelopment
Agency of the City of Grand Terrace ,
Y
M.
CRA-2011-49 MOTION BY AGENCY MEMBER MCNABOE,'SECOND.BY AGENCY
MEMBER HAYS, CARRIED 4-0-1-0 (CHAIRMAN STANCKIEWITZ WAS
ABSENT), to adopt a Resolution of the of the Community Redevelopment
Agency of the City of Grand Terrace Approving the Agreement to
Transfer Tax Increment by and between the Agency and the City of
Grand Terrace and Making Certain Findings in Connection Therewith.
3. ADOPTION OF THE INITIAL.RECOGNIZED OBLIGATION PAYMENT
SCHEDULE
CRA AGENDA ITEM NO.
The staff report for CRA Item 2. Agreement to Transfer Agency Property
Tax Increment to the City to Participate in the Alternative Redevelopment
Program is under Item 8C.
CRA AGENDA ITEM NO.
'fhe IAue 11uunt in Pile
Grand TerraceIFORNIA AGENDA REPORT
CAL
MEETING DATE: September 27, 2011 Council Item ( ) CRA Item (X .)
TITLE: Adoption of the Initial Recognized Obligation Payment Schedule
PRESENTED BY: Joyce Powers, Community and Economic Development Director
RECOMMENDATION: Adopt a Resolution approving the Initial Recognized Obligation
Payment Schedule required by State Assembly Bill 1X 26 and
authorize the Executive Director to make any changes to the
schedule necessary to ensure on-going accuracy.
BACKGROUND:
On July 26, 2011, the City Council adopted an ordinance declaring the City's decision to
comply with ABX1 27, the Continuation Act, and has taken several actions to comply with its
requirements to preserve our options to allow the Agency to resume its redevelopment
activities.
On August 11, 2011, the Supreme Court stayed the effectiveness of all of the Continuation
Act, and some of the Dissolution Act (AB1X 26) pending their review of a legal challenge filed
by the California Redevelopment Association and the League of California Cities to the two
Assembly Bills. The portion of the Dissolution Act that was not stayed creates uncertainties
and left intact the provisions allowing agencies to only make payments listed in an adopted
Enforceable Obligation Payment Schedule (EOPS) and payments for bonded indebtedness.
Therefore, the Agency adopted the EOPS on August 23, 2011,. and posted and delivered the
document in accordance with the stated requirements of AB1X 26. This action would allow
any successor agency, if the Redevelopment Agency is dissolved, to make the indicated
payments with Agency funds.
DISCUSSION:
In addition, under the effective provisions of AB1X 26, the Agency is now required to adopt
the Initial Recognized Obligation Payment Schedule (IROPS) covering the period beginning
October 1, 2011, through June 30, 2012. The Agency is to submit the IROPS to the
Successor Agency by September 30, 2011, who would then use it to create the Recognized
Obligations Schedule (ROPS) to wind down the financial obligations of the Agency. A new
ROPS would be then be prepared for each successive six-month period, which are subject to
approval by an oversight board, the County Auditor-Controller, the State Controller, and the
State Department of Finance.
CRA AGENDA ITEM NO3
Due to the stay issued by the Supreme Court, the Agency is now suspended from activities,
but not dissolved, and a Successor Agency has not been created or appointed. However,
staff is recommending that the IROPS be adopted and filed with the City Clerk to recognize
the Agency's on-going financial obligations, pending the Court's determination. A draft of the
Agency's ROPS is attached for the Council's review and approval.
FISCAL IMPACT:
There is no fiscal impact other than staff time and cost for RSG to complete the payment
schedule (under the existing contract).
Respectfully submitted,
Joyce Powers
Community and Economic Development Director
Manager Approval: / s/)m2p_‘
Betsy . Ada
City Manager
ATTACHMENT:
Resolution and Exhibit "A," the Preliminary Draft Initial Recognized Obligation
Payment Schedule dated September 15, 2011 (Exhibit A to the Resolution)
•
AGENCY RESOLUTION NO.
A RESOLUTION OF THE COMMUNITY REDEVELOPMENT AGENCY
OF THE CITY OF GRAND TERRACE APPROVING AND ADOPTING A
PRELIMINARY DRAFT INITIAL RECOGNIZED OBLIGATION
PAYMENT SCHEDULE PURSUANT TO AB 1X 26
WHEREAS, pursuant to the Community Redevelopment Law (Health and Safety Code
Sections 33000 et seq.), the City Council of the City of Grand Terrace ("City") created the
Community Redevelopment Agency of the City of Grand Terrace ("Agency"); and
WHEREAS, the Agency has been responsible for implementing the Redevelopment
Plan for the Grand Terrace Community Redevelopment Project covering certain properties
within the City("Project Area"); and
WHEREAS, as part of the 2011-2012 State budget bill, the California State Legislature
recently enacted, and the Governor signed, companion bills AB 1X 26 and AB 1X 27, which
eliminate every redevelopment agency unless the community that created it adopts an ordinance
("Continuation Ordinance") agreeing to participate in an Alternative Voluntary Redevelopment
Program ("Alternate Redevelopment Program") which requires the payment of an annual
"community remittance"payment; and
1
WHEREAS, AB 1X 26 also requires redevelopment agencies to adopt, by September
30, 2011, a Preliminary Draft Initial Recognized Obligation Payment Schedule ("IROPS"),
covering the period October 1, 2011 through June 30, 2012 which will serve as the basis for the
payment of the Agency's outstanding financial obligations if the City does not adopt an
ordinance electing to participate in the Alternate Redevelopment Program and the Agency is
dissolved; and
WHEREAS, the City held a first reading of the Continuation Ordinance on July 26,
2011 and a second reading on August 9, 2011; and
WHEREAS, the California League of Cities and the California Redevelopment
Association filed suit in the Supreme Court of the State of California challenging the
constitutionality of AB 1X 26 and AB 1X 27; and
WHEREAS, on August 11, 2011, the Supreme Court agreed to take the case and issued
an immediate stay of AB 1X 27 in its entirety and a partial stay of AB 1X 26; and
WHEREAS, because AB 1X 27, the statutory scheme which the City and Agency had
opted into through the adoption of the Continuation Ordinance, has been stayed, it appears the
Agency must adopt an IROPS at this time because the Court's stay left in place Health and
Safety Code Section 34169 which requires redevelopment agencies to prepare a preliminary draft
of the IROPS; and
Page 2
Agency Resolution 2011-
WHEREAS, the Agency may file a copy of the IROPS with the City Clerk to keep in
their records and forward to the Successor Agency should it ever be necessary in the future
pursuant to AB 1X 26.
NOW, THEREFORE, THE COMMUNITY REDEVELOPMENT AGENCY OF
THE CITY OF GRAND TERRACE DOES HEREBY RESOLVE AS FOLLOWS:
Section 1. Recitals. The Recitals set forth above are true and correct and
incorporated herein by reference.
Section 2. Approval of IROPS. The Agency hereby approves and adopts the
Preliminary Draft Initial Recognized Obligation Payment Schedule, in substantially the form
attached hereto as Exhibit A, as required by the recently enacted legislation AB 1X 26.
Section 3. Transmittal to Appropriate Agencies. The Executive Director is hereby
authorized and directed to forward a copy of the Preliminary Draft Initial Recognized Obligation
Payment Schedule to the City Clerk for filing.
PASSED AND ADOPTED by the Community Redevelopment Agency of the City of Grand
Terrace, California at a regular meeting held on the 27th day of September 2011 by the following
vote:
ATTEST:
Interim Secretary of the Community Chairperson of the Community
Redevelopment Agency of the City of Redevelopment Agency of the City of
Grand Terrace Grand Terrace
Resolution No. 2011-
I, Tracey R. Martinez, Interim Secretary of the Community Redevelopment Agency of the City
of Grand Terrace, do hereby certify that the foregoing Resolution was introduced and adopted at
a regular meeting of the Community Redevelopment Agency of the City of Grand Terrace held
on the 27th day of September 2011, by the following vote:
f the Continuation Ordinance on July 26,
2011 and a second reading on August 9, 2011; and
WHEREAS, the California League of Cities and the California Redevelopment
Association filed suit in the Supreme Court of the State of California challenging the
constitutionality of AB 1X 26 and AB 1X 27; and
WHEREAS, on August 11, 2011, the Supreme Court agreed to take the case and issued
an immediate stay of AB 1X 27 in its entirety and a partial stay of AB 1X 26; and
WHEREAS, because AB 1X 27, the statutory scheme which the City and Agency had
opted into through the adoption of the Continuation Ordinance, has been stayed, it appears the
Agency must adopt an IROPS at this time because the Court's stay left in place Health and
Safety Code Section 34169 which requires redevelopment agencies to prepare a preliminary draft
of the IROPS; and
r a
Page 3
Agency Resolution 2011-
AYES:
NOES:
ABSENT:
ABSTAIN:
Tracey R. Martinez
Interim Agency Secretary
Approved as to form:
Agency Counsel
h the City Clerk to recognize
the Agency's on-going financial obligations, pending the Court's determination. A draft of the
Agency's ROPS is attached for the Council's review and approval.
FISCAL IMPACT:
There is no fiscal impact other than staff time and cost for RSG to complete the payment
schedule (under the existing contract).
Respectfully submitted,
Joyce Powers
Community and Economic Development Director
Manager Approval: / s/)m2p_‘
Betsy . Ada
City Manager
ATTACHMENT:
Resolution and Exhibit "A," the Preliminary Draft Initial Recognized Obligation
Payment Schedule dated September 15, 2011 (Exhibit A to the Resolution)
f 0
EXHIBIT A
ENFORCEABLE OBLIGATION PAYMENT SCHEDULE
ABSENT:
ABSTAIN:
Tracey R. Martinez
Interim Agency Secretary
Approved as to form:
Agency Counsel
h the City Clerk to recognize
the Agency's on-going financial obligations, pending the Court's determination. A draft of the
Agency's ROPS is attached for the Council's review and approval.
FISCAL IMPACT:
There is no fiscal impact other than staff time and cost for RSG to complete the payment
schedule (under the existing contract).
Respectfully submitted,
Joyce Powers
Community and Economic Development Director
Manager Approval: / s/)m2p_‘
Betsy . Ada
City Manager
ATTACHMENT:
Resolution and Exhibit "A," the Preliminary Draft Initial Recognized Obligation
Payment Schedule dated September 15, 2011 (Exhibit A to the Resolution)
City of Grand Terrace Community Redevelopment Agency Page 1 of 2 Pages
PRELIMINARY DRAFT OF THE INITIAL RECOGNIZED OBLIGATION PAYMENT SCHEDULE
Per AB 26-Section 34169(h)*
Payments by Period
Project Name/Debt Obligation Payee Description Total Outstanding Total Due During
Debt or Obligation Fiscal Year 10/1/11 to 1/1/12 to Total
12/31/11 6/30/12
1) 2004 Tax Allocation Bond** US Bank Bonds for housing&non-housing projects 3,790,812 1,803,889 0 15,464 15,464
2)2011 A Tax Allocation Bond US Bank Bonds for non-housing projects 29,163,212 598,586 0 299,293 299,293
3)2011 B Tax Allocation Bond US Bank Bonds for non-housing projects 9,698,770 298,011 0 149,005 149,005
4)Trustee Fees US Bank Trustee fees on bonds 266,530 12,115 0 0 0
5)Zion Loan Zion First National Bank Refinanced refunding of bonds for projects 2,421,052 254,848 0 127,424 127,424
6) SERAF Transfer Housing Fund Repayment of loan for SERAF 448,636 112,159 112,159 0 112,159
7) Repayment of Water District*** SB Valley Muni Water Repayment of incorrect tax distribution 2,295,360 242,000 0 242,000 242,000
8) Repayment to Housing Fund Non-Housing Fund Housing Fund overpayment due to SBVMWD 459,072 459,072 0 0 0
9) Stater Brothers OPA Stater Brothers Markets Payment on participation agreement 1,207,500 241,500 120,750 120,750 241,500
10) Commercial Exteriors Viking Investment Prop Shopping center rehabilitation 220,429 220,429 220,429 0 220,429
11) Neighborhood Imp.Grant Qualified residents Exterior improvements/correct violations 39,035 39,035 23,421 0 23,421
12) Baseball Field Improvements Rock Bottom Construction of baseball field 42,469 42,469 0 0 0
13) Dog Park Improvements Foundation of GT Installation of park improvements 35,000 35,000 35,000 0 35,000
14) Mich/Barton/LaPaix Lee and Stires/Webb Ass Infrastructure improvements 535,671 535,671 0 265,671 265,671
15) Residual Receipts City of Grand Terrace Affordable housing payment agreement 3,000,000 300,000 300,000 0 300,000
16) Developer MOU Grand Terr Partners LLC Terminate development agreement 375,000 375,000 0 0 0
17) Employee Costs City of Grand Terrace Agency employee costs 12,187,608 529,896 132,474 309,106 441,580
18) Office Rent/Cost Allocation City of Grand Terrace Office space and operations 7,371,638 320,506 80,127 186,961 267,088
19) Consulting Services RAMS Required annual auditing services 10,000 10,000 10,000 0 10,000
20) Consulting Services RSG Annual reporting requirements/administration 13,500 13,500 0 0 0
21) Consulting Services San Bernardino Sun Advertising/Noticing 10,000 10,000 2,499 5,835 8,334
22) Consulting Services Smothers Appraisers Property Appraisals 13,400 13,400 4,400 0 4,400
23) Consulting Services Webb&Associates Traffic Engineering 125,000 50,000 12,000 30,000 42,000
24) Consulting Services ACE Weed Abatement Weed abatement for Agency property 36,000 12,000 6,000 5,500 11,500
25).Consulting Services K&A Engineering Infrastructure study/design 30,442 30,442 30,000 442 30,442
26).Consulting Services Chamber of Commerce Business development services 10,300 10,300 2,580 6,000 8,580
0 0 0
0 0 0
0 0 0
0 0 0
Totals-This Page $ 73,806,436 $ 6,569,828 $ 1,091,839 $1,763,451 $ 2,855,290
Totals-Other Obligations $ 123,366,703 $ 3,891,000 $ 2,185,500 $1,705,500 $ 3,891,000
Grand total-All Pages $ 197,173,139 $ 10,460,828 $ 3,277,339 $3,468,951 1$ 6,746,290
* This Preliminary Draft Initial Recognized Obligation Payment Schedule is to be adopted by the redevelopment agency no later than 9/30/2011.It is valid through 6/30/12.
**Debt service payment of$1,788,425 made 9/1/2011 so not reflected in"10/1/11 through 12/31/11"expenditures. �! .S J/• /
***This payment will be made as soon as the Agency is no longer precluded from doing so.
City of Grand Terrace Community Redevelopment Agency Page 2 of 2 Pages
DRAFT OTHER OBLIGATION PAYMENT SCHEDULE
Per AB 26 -Section 34167 and 34169 (*)
Payments by Period
Project Name I Debt Total Outstanding Total Due During
Obligation Payee Description Debt or Obligation Fiscal Year 10/1/11 to 1/1/12 to
12/31/11 6/30/12 Total
1) Statutory Pass Through City of Grand Terrace Statutory payment obligation 4,800,000 80,000 80,000 .0 80,000
2) Statutory Pass Through San Bernardino Comm Coll Statutory payment obligation 4,800,000 80,000 80,000 0 80,000
3) Negotiated Pass Through Colton Joint USD Payment per agreement 10,402,888 320,000 320,000 0 320,000
4) Pass Through pd by County Taxing entities Payment per agreement 59,855,506 2,000,000 1,000,000 1,000,000 2,000,000
5) Housing Fund Deposit Low/Mod Housing Fund Statutory housing set aside 40,208,309 1,300,000 650,000 650,000 1,300,000
6) County Administration Fee San Bernardino Co Auditor Property tax apportionment admin fee 3,300,000 111,000 55,500 55,500 111,000
7)
8)
9)
10)
11)
12) -
13)
14)
15)
16)
17)
18)
19)
20)
21)
22) -
23)
24)
25)
26).
27).
28)
Totals-Other Obligations I$ 123,366,703 I $ 3,891,000 $ 2,185,500 $1,705,500 $3,891,000
* This Preliminary Draft Initial Recognized Obligation Payment Schedule is to be adopted by the redevelopment agency no later than 9/30/2011.It is valid through /
6/30/12. 9/5/4
20,429
11) Neighborhood Imp.Grant Qualified residents Exterior improvements/correct violations 39,035 39,035 23,421 0 23,421
12) Baseball Field Improvements Rock Bottom Construction of baseball field 42,469 42,469 0 0 0
13) Dog Park Improvements Foundation of GT Installation of park improvements 35,000 35,000 35,000 0 35,000
14) Mich/Barton/LaPaix Lee and Stires/Webb Ass Infrastructure improvements 535,671 535,671 0 265,671 265,671
15) Residual Receipts City of Grand Terrace Affordable housing payment agreement 3,000,000 300,000 300,000 0 300,000
16) Developer MOU Grand Terr Partners LLC Terminate development agreement 375,000 375,000 0 0 0
17) Employee Costs City of Grand Terrace Agency employee costs 12,187,608 529,896 132,474 309,106 441,580
18) Office Rent/Cost Allocation City of Grand Terrace Office space and operations 7,371,638 320,506 80,127 186,961 267,088
19) Consulting Services RAMS Required annual auditing services 10,000 10,000 10,000 0 10,000
20) Consulting Services RSG Annual reporting requirements/administration 13,500 13,500 0 0 0
21) Consulting Services San Bernardino Sun Advertising/Noticing 10,000 10,000 2,499 5,835 8,334
22) Consulting Services Smothers Appraisers Property Appraisals 13,400 13,400 4,400 0 4,400
23) Consulting Services Webb&Associates Traffic Engineering 125,000 50,000 12,000 30,000 42,000
24) Consulting Services ACE Weed Abatement Weed abatement for Agency property 36,000 12,000 6,000 5,500 11,500
25).Consulting Services K&A Engineering Infrastructure study/design 30,442 30,442 30,000 442 30,442
26).Consulting Services Chamber of Commerce Business development services 10,300 10,300 2,580 6,000 8,580
0 0 0
0 0 0
0 0 0
0 0 0
Totals-This Page $ 73,806,436 $ 6,569,828 $ 1,091,839 $1,763,451 $ 2,855,290
Totals-Other Obligations $ 123,366,703 $ 3,891,000 $ 2,185,500 $1,705,500 $ 3,891,000
Grand total-All Pages $ 197,173,139 $ 10,460,828 $ 3,277,339 $3,468,951 1$ 6,746,290
* This Preliminary Draft Initial Recognized Obligation Payment Schedule is to be adopted by the redevelopment agency no later than 9/30/2011.It is valid through 6/30/12.
**Debt service payment of$1,788,425 made 9/1/2011 so not reflected in"10/1/11 through 12/31/11"expenditures. �! .S J/• /
***This payment will be made as soon as the Agency is no longer precluded from doing so.
The Blue;loualain Cilc
CALIFORNIAGrand Terrace. AGENDA REPORT
MEETING DATE: September 27, 2011 Council Item (X) CRA Item ( )
TITLE: Check Register No. 09-27-2011
PRESENTED BY: Bernie Simon, Finance Director
RECOMMENDATION: Approve
BACKGROUND:
The Check Register for September 27, 2011 is presented in accordance with
Government Code §37202.
The attached index to the warrant register is a guideline account list only and is not
intended to replace the voluminous list of accounts used by the City and CRA.
Expenditure account number formats are XX-XXX-XXX [Fund-Depart-General Account].
Expenditures may be made from trust/agency accounts (fund 23-xxx-) or temporary
clearing accounts which do not have budgetary considerations.
DISCUSSION:
A total of $99,995.88 in accounts payable checks was issued during the period for
services, reimbursements, supplies and contracts and are detailed in the attached
Check Register sections. Payroll costs for the period amounted to $65,622.42 and are
summarized below.
Some of the non-routine items include:
67206 Barr Door Inc Additional repairs to front door at Child Care $250.55
Center
67209 City Clerk's FY 2011-12 Annual Membership for City Clerk $120.00
Assoc. of CA
67213 Costco FY 2011-12 Membership Renewal $200.00
COUNCIL AGENDA ITEM NOaR
24)
25)
26).
27).
28)
Totals-Other Obligations I$ 123,366,703 I $ 3,891,000 $ 2,185,500 $1,705,500 $3,891,000
* This Preliminary Draft Initial Recognized Obligation Payment Schedule is to be adopted by the redevelopment agency no later than 9/30/2011.It is valid through /
6/30/12. 9/5/4
20,429
11) Neighborhood Imp.Grant Qualified residents Exterior improvements/correct violations 39,035 39,035 23,421 0 23,421
12) Baseball Field Improvements Rock Bottom Construction of baseball field 42,469 42,469 0 0 0
13) Dog Park Improvements Foundation of GT Installation of park improvements 35,000 35,000 35,000 0 35,000
14) Mich/Barton/LaPaix Lee and Stires/Webb Ass Infrastructure improvements 535,671 535,671 0 265,671 265,671
15) Residual Receipts City of Grand Terrace Affordable housing payment agreement 3,000,000 300,000 300,000 0 300,000
16) Developer MOU Grand Terr Partners LLC Terminate development agreement 375,000 375,000 0 0 0
17) Employee Costs City of Grand Terrace Agency employee costs 12,187,608 529,896 132,474 309,106 441,580
18) Office Rent/Cost Allocation City of Grand Terrace Office space and operations 7,371,638 320,506 80,127 186,961 267,088
19) Consulting Services RAMS Required annual auditing services 10,000 10,000 10,000 0 10,000
20) Consulting Services RSG Annual reporting requirements/administration 13,500 13,500 0 0 0
21) Consulting Services San Bernardino Sun Advertising/Noticing 10,000 10,000 2,499 5,835 8,334
22) Consulting Services Smothers Appraisers Property Appraisals 13,400 13,400 4,400 0 4,400
23) Consulting Services Webb&Associates Traffic Engineering 125,000 50,000 12,000 30,000 42,000
24) Consulting Services ACE Weed Abatement Weed abatement for Agency property 36,000 12,000 6,000 5,500 11,500
25).Consulting Services K&A Engineering Infrastructure study/design 30,442 30,442 30,000 442 30,442
26).Consulting Services Chamber of Commerce Business development services 10,300 10,300 2,580 6,000 8,580
0 0 0
0 0 0
0 0 0
0 0 0
Totals-This Page $ 73,806,436 $ 6,569,828 $ 1,091,839 $1,763,451 $ 2,855,290
Totals-Other Obligations $ 123,366,703 $ 3,891,000 $ 2,185,500 $1,705,500 $ 3,891,000
Grand total-All Pages $ 197,173,139 $ 10,460,828 $ 3,277,339 $3,468,951 1$ 6,746,290
* This Preliminary Draft Initial Recognized Obligation Payment Schedule is to be adopted by the redevelopment agency no later than 9/30/2011.It is valid through 6/30/12.
**Debt service payment of$1,788,425 made 9/1/2011 so not reflected in"10/1/11 through 12/31/11"expenditures. �! .S J/• /
***This payment will be made as soon as the Agency is no longer precluded from doing so.
67224 Inter. Institute of Annual Membership Fees for Tracey Martinez $135.00
Municipal Clerks
67229 Nichols SB90 Filing Cost Reimbursement Payment# 2 $1,200.00
Consulting
Some the larger items include:
67220 Harper& August Legal Services $12,705.00
Burns
Payroll costs processed for period ending September 2, 2011:
Date Period Payroll and payroll costs
9/2/2011 Biweekly $65,622.42
FISCAL IMPACT:
All disbursements are made in accordance with the adopted budget for FY 2011-12.
Respectfully submitted,
Bernie Simon
Finance Director
Manager Approval:
Betsy �I Ada s
City Manager
ATTACHMENTS:
Check Register— September 27, 2011
e Preliminary Draft Initial Recognized Obligation
Payment Schedule dated September 15, 2011 (Exhibit A to the Resolution)
I certify that to the best of my knowledge, the afore-listed checks Tor payment of City and
Community Redevelopment Agency liabilities have been audited by me and are necessary and
appropriate for the operation of City and Agency.
Bernie Simon, Finance Director
rvices $12,705.00
Burns
Payroll costs processed for period ending September 2, 2011:
Date Period Payroll and payroll costs
9/2/2011 Biweekly $65,622.42
FISCAL IMPACT:
All disbursements are made in accordance with the adopted budget for FY 2011-12.
Respectfully submitted,
Bernie Simon
Finance Director
Manager Approval:
Betsy �I Ada s
City Manager
ATTACHMENTS:
Check Register— September 27, 2011
e Preliminary Draft Initial Recognized Obligation
Payment Schedule dated September 15, 2011 (Exhibit A to the Resolution)
vchlist Voucher List Page: 1•
09/20/2011 4:04:24PM CITY OF GRAND TERRACE
Bank code : bofa
Voucher Date Vendor Invoice Description/Account Amount
67186 9/7/2011 010996 CA PUB EMPLOYEES' RET SYSTEM H20110914930C SEPT EMPLOYEE/DEPENDENT HEALTH INSURAP
10-022-55-00 1,539.29
10-022-61-00 4,993.52
10-120-142-000-000 363.45
10-140-142-000-000 962 07
10-172-142-000-000 406.19
10-175-142-000-000 577.24
10-190-265-000-000 52.69
10-370-142-000-000 641.36
10-380-142-000-000 320.68
10-440-142-000-000 2,256 70
10-450-142-000-000 171 02
10-625-142-000-000 194 55
16-175-142-000-000 513.10
21-175-142-000-000 299.32
32-200-142-000-000 555.84
21-625-142-000-000 83 36
32-370-142-000-000 256.55
34-400-142-000-000 299.33
Total : 14,486.26
67187 9/7/2011 001699 CALIF STATE CONTROLLER 09072011 FY 10-11 Audit Confirmation Fees
10-140-250-000-000 100 00
Total : 100.00
67188 9/8/2011 011196 FIDELITY SECURITY LIFE 4216901 SEPTEMBER EMPLOYEE PAID VISION INSURANC
10-022-61-00 134.40
Total : 134.40
67189 9/12/2011 011092 METLIFE SBC KM05736710 00 SEPT EMPLOYEE/DEPENDENT DENTAL INS
10-022-61-00 1,142.56
10-125-142-000-000 406.68
Total : 1,549.24
67190 9/12/2011 011194 AMERICAN FIDELITY ASSURANCE CO 96162 Septemb( EMP PAID ACCIDENT/SUPP LIFE/SUPP STD INS
23-250-20-00 503 56
Page: 1
g Park Improvements Foundation of GT Installation of park improvements 35,000 35,000 35,000 0 35,000
14) Mich/Barton/LaPaix Lee and Stires/Webb Ass Infrastructure improvements 535,671 535,671 0 265,671 265,671
15) Residual Receipts City of Grand Terrace Affordable housing payment agreement 3,000,000 300,000 300,000 0 300,000
16) Developer MOU Grand Terr Partners LLC Terminate development agreement 375,000 375,000 0 0 0
17) Employee Costs City of Grand Terrace Agency employee costs 12,187,608 529,896 132,474 309,106 441,580
18) Office Rent/Cost Allocation City of Grand Terrace Office space and operations 7,371,638 320,506 80,127 186,961 267,088
19) Consulting Services RAMS Required annual auditing services 10,000 10,000 10,000 0 10,000
20) Consulting Services RSG Annual reporting requirements/administration 13,500 13,500 0 0 0
21) Consulting Services San Bernardino Sun Advertising/Noticing 10,000 10,000 2,499 5,835 8,334
22) Consulting Services Smothers Appraisers Property Appraisals 13,400 13,400 4,400 0 4,400
23) Consulting Services Webb&Associates Traffic Engineering 125,000 50,000 12,000 30,000 42,000
24) Consulting Services ACE Weed Abatement Weed abatement for Agency property 36,000 12,000 6,000 5,500 11,500
25).Consulting Services K&A Engineering Infrastructure study/design 30,442 30,442 30,000 442 30,442
26).Consulting Services Chamber of Commerce Business development services 10,300 10,300 2,580 6,000 8,580
0 0 0
0 0 0
0 0 0
0 0 0
Totals-This Page $ 73,806,436 $ 6,569,828 $ 1,091,839 $1,763,451 $ 2,855,290
Totals-Other Obligations $ 123,366,703 $ 3,891,000 $ 2,185,500 $1,705,500 $ 3,891,000
Grand total-All Pages $ 197,173,139 $ 10,460,828 $ 3,277,339 $3,468,951 1$ 6,746,290
* This Preliminary Draft Initial Recognized Obligation Payment Schedule is to be adopted by the redevelopment agency no later than 9/30/2011.It is valid through 6/30/12.
**Debt service payment of$1,788,425 made 9/1/2011 so not reflected in"10/1/11 through 12/31/11"expenditures. �! .S J/• /
***This payment will be made as soon as the Agency is no longer precluded from doing so.
vchlist Voucher List Page: 2
09/20/2011 4:04:24PM CITY OF GRAND TERRACE
Bank code : bofa
Voucher Date Vendor Invoice Description/Account Amount
67190 9/12/2011 011194 AMERICAN FIDELITY ASSURANCE CO (Continued) Total : 503.56
67191 9/12/2011 011195 AMERICAN FIDELITY ASSURANCE CO 684188A Sept EMP PAID FLEX SPENDING/DEPENDENT CARE
23-250-10-00 1,662.00
Total : 1,662.00
67193 9/13/2011 011206 AUL 3121 TRUST PRend 8-5-11 APPLE CONTRIBUTIONS FOR PREND 8-5-11
10-022-68-00 218.33
Total : 218.33
67194 9/13/2011 011206 AUL 3121 TRUST PRend 8-19-11 APPLE Contributions for PRend 8-19-11
10-022-68-00 283.55
Total : 283.55
67195 9/13/2011 011206 AUL 3121 TRUST PRend 9-2-11 APPLE Contributions for PRend 9-2-11
10-022-68-00 331.18
Total : 331.18
67196 9/13/2011 006720 SO.CA.EDISON COMPANY August 2011 August Energy Usage
10-805-238-000-000 1,488.11
26-600-238-000-000 49.80
26-602-238-000-000 58.10
16-510-238-000-000 5,789 48
10-190-238-000-000 270.23
10-450-238-000-000 539.74
10-172-238-000-000 141.06
10-175-238-000-000 141.07
26-601-238-000-000 41.50
Total : 8,519.09
67197 9/13/2011 006720 SO CA.EDISON COMPANY August 2011 August Energy Usage
10-190-238-000-000 4,362.48
10-440-238-000-000 1,880.11
10-450-238-000-000 673.46
16-510-238-000-000 245 19
Total : 7,161.24
67198 9/15/2011 001907 COSTCO#478 0478 09 0053 9z C CARE SUPPLIES
Page: 2
of GT Installation of park improvements 35,000 35,000 35,000 0 35,000
14) Mich/Barton/LaPaix Lee and Stires/Webb Ass Infrastructure improvements 535,671 535,671 0 265,671 265,671
15) Residual Receipts City of Grand Terrace Affordable housing payment agreement 3,000,000 300,000 300,000 0 300,000
16) Developer MOU Grand Terr Partners LLC Terminate development agreement 375,000 375,000 0 0 0
17) Employee Costs City of Grand Terrace Agency employee costs 12,187,608 529,896 132,474 309,106 441,580
18) Office Rent/Cost Allocation City of Grand Terrace Office space and operations 7,371,638 320,506 80,127 186,961 267,088
19) Consulting Services RAMS Required annual auditing services 10,000 10,000 10,000 0 10,000
20) Consulting Services RSG Annual reporting requirements/administration 13,500 13,500 0 0 0
21) Consulting Services San Bernardino Sun Advertising/Noticing 10,000 10,000 2,499 5,835 8,334
22) Consulting Services Smothers Appraisers Property Appraisals 13,400 13,400 4,400 0 4,400
23) Consulting Services Webb&Associates Traffic Engineering 125,000 50,000 12,000 30,000 42,000
24) Consulting Services ACE Weed Abatement Weed abatement for Agency property 36,000 12,000 6,000 5,500 11,500
25).Consulting Services K&A Engineering Infrastructure study/design 30,442 30,442 30,000 442 30,442
26).Consulting Services Chamber of Commerce Business development services 10,300 10,300 2,580 6,000 8,580
0 0 0
0 0 0
0 0 0
0 0 0
Totals-This Page $ 73,806,436 $ 6,569,828 $ 1,091,839 $1,763,451 $ 2,855,290
Totals-Other Obligations $ 123,366,703 $ 3,891,000 $ 2,185,500 $1,705,500 $ 3,891,000
Grand total-All Pages $ 197,173,139 $ 10,460,828 $ 3,277,339 $3,468,951 1$ 6,746,290
* This Preliminary Draft Initial Recognized Obligation Payment Schedule is to be adopted by the redevelopment agency no later than 9/30/2011.It is valid through 6/30/12.
**Debt service payment of$1,788,425 made 9/1/2011 so not reflected in"10/1/11 through 12/31/11"expenditures. �! .S J/• /
***This payment will be made as soon as the Agency is no longer precluded from doing so.
vchlist Voucher List Page: 3
09/20/2011 4:04:24PM CITY OF GRAND TERRACE
Bank code : bofa
Voucher Date Vendor Invoice Description/Account Amount
67198 9/15/2011 001907 COSTCO#478 (Continued)
10-440-220-000-000 202.42
Total : 202.42
67199 9/15/2011 006730 SO.CA.GAS COMPANY August 2011 August CNG Fuel/Natural Gas Usage
10-190-238-000-000 17.55
10-440-238-000-000 48.42
10-175-272-000-000 7.80
10-440-272-000-000 2.60
34-800-272-000-000 2.60
Total : 78.97
67200 9/19/2011 011138 SPARKLETTS 9637116 090111 August Bottled Water
10-190-238-000-000 54.29
10-450-238-000-000 6.88
10-805-238-000-000 11.37
10-440-238-000-000 66.78
Total : 139.32
67201 9/20/2011 011110 TIME WARNER CABLE Sep 844840 ..72 Sep/Oct Cable & Internet-Sr Cntr
10-805-238-000-000 121.28
Total : 121.28
67202 9/20/2011 010218 CHEVRON &TEXACO CARD SERVICES 31345845 August Vehicle Fuel
10-175-272-000-000 263.70
10-440-272-000-000 67.61
34-800-272-000-000 49.42
Total : 380.73
67203 9/20/2011 010664 SHELL FLEET MANAGEMENT 8000209687109 August Vehicle Fuel
10-175-272-000-000 771.18
Total : 771.18
67204 9/27/2011 001072 ADT SECURITY SERVICES 55282700 2nd Qtr C Care Monitoring
10-440-247-000-000 375.00
Total : 375.00
67205 9/27/2011 010293 AVAYA, INC. 2731325100 Sep/Oct Phone&Voice Mail Maint
Page: 3
09 0053 9z C CARE SUPPLIES
Page: 2
of GT Installation of park improvements 35,000 35,000 35,000 0 35,000
14) Mich/Barton/LaPaix Lee and Stires/Webb Ass Infrastructure improvements 535,671 535,671 0 265,671 265,671
15) Residual Receipts City of Grand Terrace Affordable housing payment agreement 3,000,000 300,000 300,000 0 300,000
16) Developer MOU Grand Terr Partners LLC Terminate development agreement 375,000 375,000 0 0 0
17) Employee Costs City of Grand Terrace Agency employee costs 12,187,608 529,896 132,474 309,106 441,580
18) Office Rent/Cost Allocation City of Grand Terrace Office space and operations 7,371,638 320,506 80,127 186,961 267,088
19) Consulting Services RAMS Required annual auditing services 10,000 10,000 10,000 0 10,000
20) Consulting Services RSG Annual reporting requirements/administration 13,500 13,500 0 0 0
21) Consulting Services San Bernardino Sun Advertising/Noticing 10,000 10,000 2,499 5,835 8,334
22) Consulting Services Smothers Appraisers Property Appraisals 13,400 13,400 4,400 0 4,400
23) Consulting Services Webb&Associates Traffic Engineering 125,000 50,000 12,000 30,000 42,000
24) Consulting Services ACE Weed Abatement Weed abatement for Agency property 36,000 12,000 6,000 5,500 11,500
25).Consulting Services K&A Engineering Infrastructure study/design 30,442 30,442 30,000 442 30,442
26).Consulting Services Chamber of Commerce Business development services 10,300 10,300 2,580 6,000 8,580
0 0 0
0 0 0
0 0 0
0 0 0
Totals-This Page $ 73,806,436 $ 6,569,828 $ 1,091,839 $1,763,451 $ 2,855,290
Totals-Other Obligations $ 123,366,703 $ 3,891,000 $ 2,185,500 $1,705,500 $ 3,891,000
Grand total-All Pages $ 197,173,139 $ 10,460,828 $ 3,277,339 $3,468,951 1$ 6,746,290
* This Preliminary Draft Initial Recognized Obligation Payment Schedule is to be adopted by the redevelopment agency no later than 9/30/2011.It is valid through 6/30/12.
**Debt service payment of$1,788,425 made 9/1/2011 so not reflected in"10/1/11 through 12/31/11"expenditures. �! .S J/• /
***This payment will be made as soon as the Agency is no longer precluded from doing so.
vchlist Voucher List Page: 4
09/20/2011 4:04:24PM CITY OF GRAND TERRACE
Bank code : bofa
Voucher Date Vendor Invoice Description/Account Amount
67205 9/27/2011 010293 AVAYA, INC (Continued)
10-190-246-000-000 183 46
Total : 183.46
67206 9/27/2011 001383 BARR DOOR INC. 15109 Add't Repairs-C Care Front Door
10-440-245-000-000 250.55
Total : 250.55
67207 9/27/2011 001705 CA. STATE DEPT OF JUSTICE 866371 August Fingerprints-Verhelle
10-190-226-000-000 32.00
Total : 32.00
67208 9/27/2011 011031 CINTAS CORPORATION #150 150433110 C Care Paper& Cleaning Supplies
10-440-228-000-000 200.55
150442026 C Care Paper& Cleaning Supplies
10-440-228-000-000 200.55
150451008 C.Care Paper&Cleaning Supplies
10-440-228-000-000 200.55
Total : 601.65
67209 9/27/2011 001762 CITY CLERKS ASSOC/CALIFORNIA 09152011 FY11-12 Annual Membership-T. Martinez
10-125-265-000-000 120.00
Total : 120.00
67210 9/27/2011 001840 CITY OF COLTON June 2011 June Wastewater Balance Due
21-570-802-000-000 1,732.35
Total : 1,732.35
67211 9/27/2011 010866 CIVIC PLUS 91694 SEPT WEBSITE MAINTENANCE FEE
10-125-250-000-000 652.25
Total : 652.25
67212 9/27/2011 011166 CORNERSTONE RECORDS MANAGEMEI 0167507 August Archive Tape Storage
10-140-250-000-000 56.65
10-380-250-000-000 56.65
Total : 113.30
67213 9/27/2011 001907 COSTCO MEMBERSHIP Nov 2011 2011-12 Membership Renewal
Page: 4
9z C CARE SUPPLIES
Page: 2
of GT Installation of park improvements 35,000 35,000 35,000 0 35,000
14) Mich/Barton/LaPaix Lee and Stires/Webb Ass Infrastructure improvements 535,671 535,671 0 265,671 265,671
15) Residual Receipts City of Grand Terrace Affordable housing payment agreement 3,000,000 300,000 300,000 0 300,000
16) Developer MOU Grand Terr Partners LLC Terminate development agreement 375,000 375,000 0 0 0
17) Employee Costs City of Grand Terrace Agency employee costs 12,187,608 529,896 132,474 309,106 441,580
18) Office Rent/Cost Allocation City of Grand Terrace Office space and operations 7,371,638 320,506 80,127 186,961 267,088
19) Consulting Services RAMS Required annual auditing services 10,000 10,000 10,000 0 10,000
20) Consulting Services RSG Annual reporting requirements/administration 13,500 13,500 0 0 0
21) Consulting Services San Bernardino Sun Advertising/Noticing 10,000 10,000 2,499 5,835 8,334
22) Consulting Services Smothers Appraisers Property Appraisals 13,400 13,400 4,400 0 4,400
23) Consulting Services Webb&Associates Traffic Engineering 125,000 50,000 12,000 30,000 42,000
24) Consulting Services ACE Weed Abatement Weed abatement for Agency property 36,000 12,000 6,000 5,500 11,500
25).Consulting Services K&A Engineering Infrastructure study/design 30,442 30,442 30,000 442 30,442
26).Consulting Services Chamber of Commerce Business development services 10,300 10,300 2,580 6,000 8,580
0 0 0
0 0 0
0 0 0
0 0 0
Totals-This Page $ 73,806,436 $ 6,569,828 $ 1,091,839 $1,763,451 $ 2,855,290
Totals-Other Obligations $ 123,366,703 $ 3,891,000 $ 2,185,500 $1,705,500 $ 3,891,000
Grand total-All Pages $ 197,173,139 $ 10,460,828 $ 3,277,339 $3,468,951 1$ 6,746,290
* This Preliminary Draft Initial Recognized Obligation Payment Schedule is to be adopted by the redevelopment agency no later than 9/30/2011.It is valid through 6/30/12.
**Debt service payment of$1,788,425 made 9/1/2011 so not reflected in"10/1/11 through 12/31/11"expenditures. �! .S J/• /
***This payment will be made as soon as the Agency is no longer precluded from doing so.
vchlist Voucher List Page: 5
09/20/2011 4:04:24PM CITY OF GRAND TERRACE .
Bank code : bofa
Voucher Date Vendor Invoice Description/Account Amount
67213 9/27/2011 001907 COSTCO MEMBERSHIP (Continued)
10-440-228-000-000 100.00
10-190-265-000-000 100.00
Total : 200.00
67214 9/27/2011 001930 DAILY JOURNAL CORPORATION B2163903 Public Notice Ordinance 256
10-125-230-000-000 68.20
B2163907 Public Notice-Ordinance 257
10-125-230-000-000 72.60
B2163909 Public Notice Ordinance 258
10-125-230-000-000 74.80
B2163911 Public Notice Ordinance 259
10-125-230-000-000 66 00
Total : 281.60
67215 9/27/2011 002301 FEDEX 7-623-11361 August Document Delivery
10-370-210-000-000 31.17
Total : 31.17
67216 9/27/2011 002710 FOX OCCUPATIONAL MEDICAL CT 68679-33719 Aug New Employee Physicals
10-190-224-000-000 244.00
Total : 244.00
67217 9/27/2011 002740 FRUIT GROWERS SUPPLY 90846011 Maint Supplies-Gloves
10-450-245-000-000 23.60
90846942 Maint Supplies-Weed Eater Filters
10-450-246-000-000 28.04
Total : 51.64
67218 9/27/2011 002909 GRAND TERRACE WOMAN'S CLUB, TH FY 2011-12 FY 2011-12 Annual Yearbook Ad
10-190-220-000-000 45.00
Total : 45.00
67219 9/27/2011 010164 GREAT-WEST PR End 9/2/11 Contributions for PR End 9/2/11
10-022-63-00 i 4,04161
Total : 4,041.61
Page: 5
011-12 Membership Renewal
Page: 4
9z C CARE SUPPLIES
Page: 2
of GT Installation of park improvements 35,000 35,000 35,000 0 35,000
14) Mich/Barton/LaPaix Lee and Stires/Webb Ass Infrastructure improvements 535,671 535,671 0 265,671 265,671
15) Residual Receipts City of Grand Terrace Affordable housing payment agreement 3,000,000 300,000 300,000 0 300,000
16) Developer MOU Grand Terr Partners LLC Terminate development agreement 375,000 375,000 0 0 0
17) Employee Costs City of Grand Terrace Agency employee costs 12,187,608 529,896 132,474 309,106 441,580
18) Office Rent/Cost Allocation City of Grand Terrace Office space and operations 7,371,638 320,506 80,127 186,961 267,088
19) Consulting Services RAMS Required annual auditing services 10,000 10,000 10,000 0 10,000
20) Consulting Services RSG Annual reporting requirements/administration 13,500 13,500 0 0 0
21) Consulting Services San Bernardino Sun Advertising/Noticing 10,000 10,000 2,499 5,835 8,334
22) Consulting Services Smothers Appraisers Property Appraisals 13,400 13,400 4,400 0 4,400
23) Consulting Services Webb&Associates Traffic Engineering 125,000 50,000 12,000 30,000 42,000
24) Consulting Services ACE Weed Abatement Weed abatement for Agency property 36,000 12,000 6,000 5,500 11,500
25).Consulting Services K&A Engineering Infrastructure study/design 30,442 30,442 30,000 442 30,442
26).Consulting Services Chamber of Commerce Business development services 10,300 10,300 2,580 6,000 8,580
0 0 0
0 0 0
0 0 0
0 0 0
Totals-This Page $ 73,806,436 $ 6,569,828 $ 1,091,839 $1,763,451 $ 2,855,290
Totals-Other Obligations $ 123,366,703 $ 3,891,000 $ 2,185,500 $1,705,500 $ 3,891,000
Grand total-All Pages $ 197,173,139 $ 10,460,828 $ 3,277,339 $3,468,951 1$ 6,746,290
* This Preliminary Draft Initial Recognized Obligation Payment Schedule is to be adopted by the redevelopment agency no later than 9/30/2011.It is valid through 6/30/12.
**Debt service payment of$1,788,425 made 9/1/2011 so not reflected in"10/1/11 through 12/31/11"expenditures. �! .S J/• /
***This payment will be made as soon as the Agency is no longer precluded from doing so.
vchlist Voucher List Page: 6
09/20/2011 4:04:24PM CITY OF GRAND TERRACE
Bank code : bofa
Voucher Date Vendor Invoice Description/Account Amount
67220 9/27/2011 003152 HARPER & BURNS LLPN August 2011 August Legal Services
32-200-251-000-000 6,352.50
10-160-250-000-000 6,352.50
Total : 12,705.00
67221 9/27/2011 010632 HIGH TECH SECURITY SYSTEMS 97488 Oct Security Camera Maint Agreement
10-450-246-000-000 60.00
10-195-247-000-000 20.00
Total : 80.00
67222 9/27/2011 003213 HONEYWELL ACS SERVICE 3549753 2nd Qtr HVAC Maint Agreement
10-195-257-000-000 5,743.00
Total : 5,743.00
67223 9/27/2011 003224 HYDRO-SCAPE PRODUCTS INC. 06782239-00 Maintenance Supplies-Parks
10-450-245-000-000 46.27
Total : 46.27
67224 9/27/2011 003540 INTERNATIONAL INSTITUTE 09152011 Annual Membership Fee-T. Martinez
10-125-265-000-000 135.00
Total : 135.00
67225 9/27/2011 002727 J R. FREEMAN COMPANY 470008-0 Office Supplies-Calendars
10-120-210-000-000 47.28
Total : 47.28
67226 9/27/2011 010773 KELLAR SWEEPING INC. 6196 August Street Sweeping Services
16-900-254-000-000 4,200.00
Total : 4,200.00
67227 9/27/2011 011158 L-1 ENROLLMENT SERVICES Aug 360910764 Aug Fingerprints-S Leen
10-440-221-000-000 92.00
Total : 92.00
67228 9/27/2011 004670 MIRACLE MILE CAR WASH 779559 May/June Car Maint-C Care
10-440-272-000-000 6.00
Total : 6.00
Page: 6
Page: 4
9z C CARE SUPPLIES
Page: 2
of GT Installation of park improvements 35,000 35,000 35,000 0 35,000
14) Mich/Barton/LaPaix Lee and Stires/Webb Ass Infrastructure improvements 535,671 535,671 0 265,671 265,671
15) Residual Receipts City of Grand Terrace Affordable housing payment agreement 3,000,000 300,000 300,000 0 300,000
16) Developer MOU Grand Terr Partners LLC Terminate development agreement 375,000 375,000 0 0 0
17) Employee Costs City of Grand Terrace Agency employee costs 12,187,608 529,896 132,474 309,106 441,580
18) Office Rent/Cost Allocation City of Grand Terrace Office space and operations 7,371,638 320,506 80,127 186,961 267,088
19) Consulting Services RAMS Required annual auditing services 10,000 10,000 10,000 0 10,000
20) Consulting Services RSG Annual reporting requirements/administration 13,500 13,500 0 0 0
21) Consulting Services San Bernardino Sun Advertising/Noticing 10,000 10,000 2,499 5,835 8,334
22) Consulting Services Smothers Appraisers Property Appraisals 13,400 13,400 4,400 0 4,400
23) Consulting Services Webb&Associates Traffic Engineering 125,000 50,000 12,000 30,000 42,000
24) Consulting Services ACE Weed Abatement Weed abatement for Agency property 36,000 12,000 6,000 5,500 11,500
25).Consulting Services K&A Engineering Infrastructure study/design 30,442 30,442 30,000 442 30,442
26).Consulting Services Chamber of Commerce Business development services 10,300 10,300 2,580 6,000 8,580
0 0 0
0 0 0
0 0 0
0 0 0
Totals-This Page $ 73,806,436 $ 6,569,828 $ 1,091,839 $1,763,451 $ 2,855,290
Totals-Other Obligations $ 123,366,703 $ 3,891,000 $ 2,185,500 $1,705,500 $ 3,891,000
Grand total-All Pages $ 197,173,139 $ 10,460,828 $ 3,277,339 $3,468,951 1$ 6,746,290
* This Preliminary Draft Initial Recognized Obligation Payment Schedule is to be adopted by the redevelopment agency no later than 9/30/2011.It is valid through 6/30/12.
**Debt service payment of$1,788,425 made 9/1/2011 so not reflected in"10/1/11 through 12/31/11"expenditures. �! .S J/• /
***This payment will be made as soon as the Agency is no longer precluded from doing so.
vchlist Voucher List Page: 7
09/20/2011 4:04:24PM CITY OF GRAND TERRACE
Bank code : bofa
Voucher Date Vendor Invoice Description/Account Amount
67229 9/27/2011 011205 NICHOLS CONSULTING 2012-9836337-0 SB90 Cost Reim Filing Payment#2
10-190-220-000-000 1,200.00
Total : 1,200.00
67230 9/27/2011 005586 PETTY CASH 09152011 Replenish C Care Petty Cash
10-440-220-000-000 9.06
10-440-228-000-000 38.87
10-440-221-000-000 134 86
Total : 182.79
67231 9/27/2011 006285 RIVERSIDE HIGHLAND WATER CO 2293 June/July Sewer Billing
21-572-255-000-000 2,480 95
Total : 2,480.95
67232 9/27/2011 006310 ROADRUNNER SELF STORAGE INC 13426 FY 2011-12 STORAGE RENTAL
10-140-241-000-000 119.00
Total : 119.00
67233 9/27/2011 006341 ROSENOW SPEVACEK GROUP INC. 0027111 August Consulting Services
33-140-250-000-000 5,077.59
Total : 5,077.59
67234 9/27/2011 007005 SO CAL LOCKSMITH 16802 Keys for Cleaning Crew
10-195-245-000-000 7.27
Total : 7.27
67235 9/27/2011 006720 SO CA.EDISON COMPANY August 2011 August Energy Usage
26-600-238-000-000 49.80
26-601-238-000-000 41.50
26-602-238-000-000 58.10
10-440-238-000-000 1,880 11
10-172-238-000-000 141 06
10-175-238-000-000 141.07
10-805-238-000-000 1,488.11
10-190-238-000-000 4,632 71
10-450-238-000-000 1,213.20
16-510-238-000-000 6,034 67
Page: 7
Page: 4
9z C CARE SUPPLIES
Page: 2
of GT Installation of park improvements 35,000 35,000 35,000 0 35,000
14) Mich/Barton/LaPaix Lee and Stires/Webb Ass Infrastructure improvements 535,671 535,671 0 265,671 265,671
15) Residual Receipts City of Grand Terrace Affordable housing payment agreement 3,000,000 300,000 300,000 0 300,000
16) Developer MOU Grand Terr Partners LLC Terminate development agreement 375,000 375,000 0 0 0
17) Employee Costs City of Grand Terrace Agency employee costs 12,187,608 529,896 132,474 309,106 441,580
18) Office Rent/Cost Allocation City of Grand Terrace Office space and operations 7,371,638 320,506 80,127 186,961 267,088
19) Consulting Services RAMS Required annual auditing services 10,000 10,000 10,000 0 10,000
20) Consulting Services RSG Annual reporting requirements/administration 13,500 13,500 0 0 0
21) Consulting Services San Bernardino Sun Advertising/Noticing 10,000 10,000 2,499 5,835 8,334
22) Consulting Services Smothers Appraisers Property Appraisals 13,400 13,400 4,400 0 4,400
23) Consulting Services Webb&Associates Traffic Engineering 125,000 50,000 12,000 30,000 42,000
24) Consulting Services ACE Weed Abatement Weed abatement for Agency property 36,000 12,000 6,000 5,500 11,500
25).Consulting Services K&A Engineering Infrastructure study/design 30,442 30,442 30,000 442 30,442
26).Consulting Services Chamber of Commerce Business development services 10,300 10,300 2,580 6,000 8,580
0 0 0
0 0 0
0 0 0
0 0 0
Totals-This Page $ 73,806,436 $ 6,569,828 $ 1,091,839 $1,763,451 $ 2,855,290
Totals-Other Obligations $ 123,366,703 $ 3,891,000 $ 2,185,500 $1,705,500 $ 3,891,000
Grand total-All Pages $ 197,173,139 $ 10,460,828 $ 3,277,339 $3,468,951 1$ 6,746,290
* This Preliminary Draft Initial Recognized Obligation Payment Schedule is to be adopted by the redevelopment agency no later than 9/30/2011.It is valid through 6/30/12.
**Debt service payment of$1,788,425 made 9/1/2011 so not reflected in"10/1/11 through 12/31/11"expenditures. �! .S J/• /
***This payment will be made as soon as the Agency is no longer precluded from doing so.
vchlist Voucher List Page: 8
VI
09/20/2011 4:04:24PM CITY OF GRAND TERRACE
Bank code : bofa
Voucher Date Vendor Invoice Description/Account Amount
67235 9/27/2011 006720 SO.CA.EDISON COMPANY (Continued) Total : 15,680.33
67236 9/27/2011 006778 STAPLES 1866311001 Copy Paper
10-190-212-000-000 588 10
1866311011 $25 Off Coupon-Copy Paper
10-190-212-000-000 -26.94
51111 Printer-C.Care
10-440-700-000-000 172.77
Total : 733.93
67237 9/27/2011 006898 SYSCO FOOD SERVICES OF L.A. 108313031 8 C. Care Food &Supplies
10-440-220-000-000 542.29
109071160 5 C.Care Food & Supplies
10-440-220-000-000 507.49
109141467 0 C.Care Food & Supplies
10-440-220-000-000 616.42
Total : 1,666.20
67238 9/27/2011 007034 TRANSPORTATION ENGINEERING 1148 July Traffic Engineering Services
10-175-255-000-000 3,393.00
Total : 3,393.00
67239 9/27/2011 007220 UNDERGROUND SERVICE ALERT 820110293 August Dig Alert Tickets
16-900-220-000-000 60 00
Total : 60.00
67240 9/27/2011 010693 UNITED WAY PR End 8/5 & 8/ PR End 8/5 &8/19/11 Donations
10-022-65-00 95.00
PR End 9/2/11 PR End 9/2/11 Donations
10-022-65-00 32.50
Total : 127.50
67241 9/27/2011 007579 VARELA, CATALINA 09152011 Reimburse-C.Care Playground Lights
10-440-228-000-000 77.58
Total : 77.58
67242 9/27/2011 007880 WEST GROUP 823371642 July/Aug CA Code Updates
Page. 8
RE SUPPLIES
Page: 2
of GT Installation of park improvements 35,000 35,000 35,000 0 35,000
14) Mich/Barton/LaPaix Lee and Stires/Webb Ass Infrastructure improvements 535,671 535,671 0 265,671 265,671
15) Residual Receipts City of Grand Terrace Affordable housing payment agreement 3,000,000 300,000 300,000 0 300,000
16) Developer MOU Grand Terr Partners LLC Terminate development agreement 375,000 375,000 0 0 0
17) Employee Costs City of Grand Terrace Agency employee costs 12,187,608 529,896 132,474 309,106 441,580
18) Office Rent/Cost Allocation City of Grand Terrace Office space and operations 7,371,638 320,506 80,127 186,961 267,088
19) Consulting Services RAMS Required annual auditing services 10,000 10,000 10,000 0 10,000
20) Consulting Services RSG Annual reporting requirements/administration 13,500 13,500 0 0 0
21) Consulting Services San Bernardino Sun Advertising/Noticing 10,000 10,000 2,499 5,835 8,334
22) Consulting Services Smothers Appraisers Property Appraisals 13,400 13,400 4,400 0 4,400
23) Consulting Services Webb&Associates Traffic Engineering 125,000 50,000 12,000 30,000 42,000
24) Consulting Services ACE Weed Abatement Weed abatement for Agency property 36,000 12,000 6,000 5,500 11,500
25).Consulting Services K&A Engineering Infrastructure study/design 30,442 30,442 30,000 442 30,442
26).Consulting Services Chamber of Commerce Business development services 10,300 10,300 2,580 6,000 8,580
0 0 0
0 0 0
0 0 0
0 0 0
Totals-This Page $ 73,806,436 $ 6,569,828 $ 1,091,839 $1,763,451 $ 2,855,290
Totals-Other Obligations $ 123,366,703 $ 3,891,000 $ 2,185,500 $1,705,500 $ 3,891,000
Grand total-All Pages $ 197,173,139 $ 10,460,828 $ 3,277,339 $3,468,951 1$ 6,746,290
* This Preliminary Draft Initial Recognized Obligation Payment Schedule is to be adopted by the redevelopment agency no later than 9/30/2011.It is valid through 6/30/12.
**Debt service payment of$1,788,425 made 9/1/2011 so not reflected in"10/1/11 through 12/31/11"expenditures. �! .S J/• /
***This payment will be made as soon as the Agency is no longer precluded from doing so.
vchlist Voucher List Page: 9
09/20/2011 4:04:24PM CITY OF GRAND TERRACE
Bank code : bofa
Voucher Date Vendor Invoice Description/Account Amount
67242 9/27/2011 007880 WEST GROUP (Continued)
10-125-250-000-000 536.86
Total : 536.86
56 Vouchers for bank code: bofa Bank total : 99,995.88
56 Vouchers in this report Total vouchers : 99,995.88
Page: 9
t for FY 2011-12.
Respectfully submitted,
Bernie Simon
Finance Director
Manager Approval:
Betsy �I Ada s
City Manager
ATTACHMENTS:
Check Register— September 27, 2011
e Preliminary Draft Initial Recognized Obligation
Payment Schedule dated September 15, 2011 (Exhibit A to the Resolution)
City of Grand Terrace
Warrant Register Index
FD No. Fund Name Dept No. Department Name General Account Numbers
10 GENERAL FUND 110 CITY COUNCIL 110 SALARIES/WAGES
11 STREET FUND 120 CITY MANAGER 139 EMPLOYEES'BENEFIT PLAN
12 STORM DRAIN FUND 125 CITY CLERK 140 RETIREMENT
13 PARK FUND 140 FINANCE 142 HEALTH/LIFE INSURANCE
14 AB 3229 COPS FUND 160 CITY ATTORNEY 143 WORKERS'COMPENSATION
15 AIR QUALITY IMPROVEMENT FUND 172 BUILDING&SAFETY 138/141 MEDICARE/SUI
16 GAS TAX FUND 175 PUBLIC WORKS 210 OFFICE EXPENSE
17 TRAFFIC SAFETY FUND/TDA FUND 180 COMMUNITY EVENTS 218-219 NON-CAPITAL FURN/SMALL TOOLS
19 FACILITIES DEVELOPMENT FUND 185 RENTAL INSPECTION PROGRAM 220 SPECIAL DEPARTMENTAL EXP
20 MEASURE I FUND 190 GENERAL GOVERNMENT(NON-DEPT) 230 ADVERTISING
21 WASTE WATER DISPOSAL FUND 195 FACILITIES MAINTENANCE 235 COMMUNICATIONS
22 COMMUNITY DEVELOPMENT BLOCK GRANT 370 COMMUNITY&ECONOMIC DEV 238-239 UTILITIES
26 LSCPG/LGHTG ASSESSMENT DIST. 380 MGT INFORMATION SYSTEMS 240-242 RENTS&LEASES
44 BIKE LANE CAPITAL FUND 410 LAW ENFORCEMENT 245-246 MAINT BLDG GRNDS EQUIPMNT
• 46 STREET IMPROVEMENT PROJECTS 430 RECREATION SERVICES 250-251 PROFESSIONAL SERVICES
47 BARTON RD.BRIDGE PROJECT 440 CHILD CARE 255-256 CONTRACTUAL SERVICES
32 CRA-CAPITAL PROJECTS FUND 450 PARKS MAINTENANCE 260 INSURANCE&SURETY BONDS
33 CRA-DEBT SERVICE FUND 631 STORM DRAIN MAINTENANCE 265 MEMBERSHIPS&DUES
34 CRA-LOW&MOD HOUSING 801 PLANNING COMMISSION 268 TRAINING
802 CRIME PREVENTION UNIT 270 TRAVEL/CONFERENCES/MTGS
804 HISTORICAL&CULTURAL COMM. 272 FUEL&VEHICLE MAINTENANCE
805 SENIOR CITIZENS PROGRAM 570 WASTEWATER TREATMENT
807 PARKS&REC COMMITTEE 33-300 DEBT SERVICE
808 EMERGENCY OPERATIONS PROG. 7XX FACILITIES IMPRV(NO CIP)
700 COMPUTER-RELATED
701 VEHICLES&EQUIPMENT
Infrastructure improvements 535,671 535,671 0 265,671 265,671
15) Residual Receipts City of Grand Terrace Affordable housing payment agreement 3,000,000 300,000 300,000 0 300,000
16) Developer MOU Grand Terr Partners LLC Terminate development agreement 375,000 375,000 0 0 0
17) Employee Costs City of Grand Terrace Agency employee costs 12,187,608 529,896 132,474 309,106 441,580
18) Office Rent/Cost Allocation City of Grand Terrace Office space and operations 7,371,638 320,506 80,127 186,961 267,088
19) Consulting Services RAMS Required annual auditing services 10,000 10,000 10,000 0 10,000
20) Consulting Services RSG Annual reporting requirements/administration 13,500 13,500 0 0 0
21) Consulting Services San Bernardino Sun Advertising/Noticing 10,000 10,000 2,499 5,835 8,334
22) Consulting Services Smothers Appraisers Property Appraisals 13,400 13,400 4,400 0 4,400
23) Consulting Services Webb&Associates Traffic Engineering 125,000 50,000 12,000 30,000 42,000
24) Consulting Services ACE Weed Abatement Weed abatement for Agency property 36,000 12,000 6,000 5,500 11,500
25).Consulting Services K&A Engineering Infrastructure study/design 30,442 30,442 30,000 442 30,442
26).Consulting Services Chamber of Commerce Business development services 10,300 10,300 2,580 6,000 8,580
0 0 0
0 0 0
0 0 0
0 0 0
Totals-This Page $ 73,806,436 $ 6,569,828 $ 1,091,839 $1,763,451 $ 2,855,290
Totals-Other Obligations $ 123,366,703 $ 3,891,000 $ 2,185,500 $1,705,500 $ 3,891,000
Grand total-All Pages $ 197,173,139 $ 10,460,828 $ 3,277,339 $3,468,951 1$ 6,746,290
* This Preliminary Draft Initial Recognized Obligation Payment Schedule is to be adopted by the redevelopment agency no later than 9/30/2011.It is valid through 6/30/12.
**Debt service payment of$1,788,425 made 9/1/2011 so not reflected in"10/1/11 through 12/31/11"expenditures. �! .S J/• /
***This payment will be made as soon as the Agency is no longer precluded from doing so.
PENDING CITY COUNCIL APPROVAL
CITY OF GRAND TERRACE
CITY COUNCIL MINUTES
REGULAR MEETING - SEPTEMBER 27, 2011
A regular meeting of the City Council of the City of Grand Terrace was called to order in the
Council Chambers, Grand Terrace Civic Center, 22795 Barton Road, Grand Terrace,
California, on September 27, 2011 at 6:00 p.m.
PRESENT: Lee Ann Garcia, Mayor Pro Tern
Darcy McNaboe, Councilmember
Bernardo Sandoval, Councilmember
Gene Hays, Councilmember
Betsy M. Adams, City Manager
Tracey.Martinez, Interim City Clerk
Bernard Simon, Finance Director
Joyce Powers, Community & Economic Development Director
Richard Shields, Building & Safety Director
John Harper, City Attorney
Sgt. .Ed Finneran, San Bernardino County Sheriff's Department
Lt. Steve Dorsey, San Bernardino County Sheriff's Departmdnt.
Rick McClintock, S.an Bernardino County Fire Department
ABSENT: Walt Stanckiewitz, Mayor
The City Council meeting was opened at 6:00 p.m. with an Invocation. by Deacon Mike
Jelley of the Diocese of San Bernardino, followed by the Pledge of Allegiance led by
Councilwoman Darcy McNaboe.
ITEMS TO DELETE
None
SPECIAL PRESENTATIONS
2A. Presentation Sisters of St Benedict
The following presentation was made to the Sisters of St. Benedict:
A small group of sisters left the Sisters of St. Benedict ;Monastery in
Ferdinand, Indiana in 1966 to establish a monastery in the Inland area to
serve a growing need for teachers at Inland Catholic Schools. Grand.
Terrace became their home and place for retreats and discernment ,
gatherings in 1987 when they had the Holy Spirit Monastery built.The Sisters
COUNCIL AGENDA ITEM NO. 3C
CRIME PREVENTION UNIT 270 TRAVEL/CONFERENCES/MTGS
804 HISTORICAL&CULTURAL COMM. 272 FUEL&VEHICLE MAINTENANCE
805 SENIOR CITIZENS PROGRAM 570 WASTEWATER TREATMENT
807 PARKS&REC COMMITTEE 33-300 DEBT SERVICE
808 EMERGENCY OPERATIONS PROG. 7XX FACILITIES IMPRV(NO CIP)
700 COMPUTER-RELATED
701 VEHICLES&EQUIPMENT
Infrastructure improvements 535,671 535,671 0 265,671 265,671
15) Residual Receipts City of Grand Terrace Affordable housing payment agreement 3,000,000 300,000 300,000 0 300,000
16) Developer MOU Grand Terr Partners LLC Terminate development agreement 375,000 375,000 0 0 0
17) Employee Costs City of Grand Terrace Agency employee costs 12,187,608 529,896 132,474 309,106 441,580
18) Office Rent/Cost Allocation City of Grand Terrace Office space and operations 7,371,638 320,506 80,127 186,961 267,088
19) Consulting Services RAMS Required annual auditing services 10,000 10,000 10,000 0 10,000
20) Consulting Services RSG Annual reporting requirements/administration 13,500 13,500 0 0 0
21) Consulting Services San Bernardino Sun Advertising/Noticing 10,000 10,000 2,499 5,835 8,334
22) Consulting Services Smothers Appraisers Property Appraisals 13,400 13,400 4,400 0 4,400
23) Consulting Services Webb&Associates Traffic Engineering 125,000 50,000 12,000 30,000 42,000
24) Consulting Services ACE Weed Abatement Weed abatement for Agency property 36,000 12,000 6,000 5,500 11,500
25).Consulting Services K&A Engineering Infrastructure study/design 30,442 30,442 30,000 442 30,442
26).Consulting Services Chamber of Commerce Business development services 10,300 10,300 2,580 6,000 8,580
0 0 0
0 0 0
0 0 0
0 0 0
Totals-This Page $ 73,806,436 $ 6,569,828 $ 1,091,839 $1,763,451 $ 2,855,290
Totals-Other Obligations $ 123,366,703 $ 3,891,000 $ 2,185,500 $1,705,500 $ 3,891,000
Grand total-All Pages $ 197,173,139 $ 10,460,828 $ 3,277,339 $3,468,951 1$ 6,746,290
* This Preliminary Draft Initial Recognized Obligation Payment Schedule is to be adopted by the redevelopment agency no later than 9/30/2011.It is valid through 6/30/12.
**Debt service payment of$1,788,425 made 9/1/2011 so not reflected in"10/1/11 through 12/31/11"expenditures. �! .S J/• /
***This payment will be made as soon as the Agency is no longer precluded from doing so.
Council Minutes
09/13/2011
Page 2
of St. Benedict have dedicated body and soul to serving others and bringing
peace and hope to all they meet. They have collectively offered their
leadership and support through education, retreats, prison ministry and
diocesan ministry throughout the Inland area. They also. provided the
community of Grand Terrace a labyrinth to aid in personal and spiritual
growth. After 45 years of ministry, the Sisters have decided to'leave the Holy
Spirit Monastery. The City Council of the City of Grand Terrace would like to
recognize the remaining six Sisters of the Holy Spirit Monastery for their
demonstration of exemplary generosity, leadership and service beyond the
scope of the parish, for the common good of the diocesan and local
communities and wish them well as they begin a new chapter in their lives. ,
The Council recognized each of the following Sisters with certificates of
recognition:
Sister Mary Ann Schepers
Sister Christine Marie Fendel
Sister Joan Marie Sasse
Sister Doris Market
Sister Deanna O'Neil
2B. Chamber of Commerce Business of the Month
Sally McGuire, Grand Terrace Area Chamber of Commerce President,
announced that Stater Bros. Market is the.Chamber of Commerce Business
of the Month for the month of September.
2C. Proclamation — Fire Prevention Week, October 9-15., 2011
Councilmember Sandoval read a proclamation proclaiming October 9 — 15,
2011 as Fire Prevention Week in the City of Grand Terrace urging all the
people of Grand Terrace to protect their homes and families by heading the
important safety messages of Fire Prevention Week 2011, and to support the ,
many public safety activities and efforts of the Grand Terrace fire and
emergency services. The Certificate was presented to Rick McClintock of
San Bernardino County Fire Department.
CONSENT.CALENDAR
CC-2011-85. MOTION BY COUNCILMEMBER MCNABOE, SECOND BY
COUNCILMEMBER SANDOVAL, CARRIED 4-0-1-0 (MAYOR
STANCKIEWITZ WAS ABSENT), to approve the following Consent Calendar
700 COMPUTER-RELATED
701 VEHICLES&EQUIPMENT
Infrastructure improvements 535,671 535,671 0 265,671 265,671
15) Residual Receipts City of Grand Terrace Affordable housing payment agreement 3,000,000 300,000 300,000 0 300,000
16) Developer MOU Grand Terr Partners LLC Terminate development agreement 375,000 375,000 0 0 0
17) Employee Costs City of Grand Terrace Agency employee costs 12,187,608 529,896 132,474 309,106 441,580
18) Office Rent/Cost Allocation City of Grand Terrace Office space and operations 7,371,638 320,506 80,127 186,961 267,088
19) Consulting Services RAMS Required annual auditing services 10,000 10,000 10,000 0 10,000
20) Consulting Services RSG Annual reporting requirements/administration 13,500 13,500 0 0 0
21) Consulting Services San Bernardino Sun Advertising/Noticing 10,000 10,000 2,499 5,835 8,334
22) Consulting Services Smothers Appraisers Property Appraisals 13,400 13,400 4,400 0 4,400
23) Consulting Services Webb&Associates Traffic Engineering 125,000 50,000 12,000 30,000 42,000
24) Consulting Services ACE Weed Abatement Weed abatement for Agency property 36,000 12,000 6,000 5,500 11,500
25).Consulting Services K&A Engineering Infrastructure study/design 30,442 30,442 30,000 442 30,442
26).Consulting Services Chamber of Commerce Business development services 10,300 10,300 2,580 6,000 8,580
0 0 0
0 0 0
0 0 0
0 0 0
Totals-This Page $ 73,806,436 $ 6,569,828 $ 1,091,839 $1,763,451 $ 2,855,290
Totals-Other Obligations $ 123,366,703 $ 3,891,000 $ 2,185,500 $1,705,500 $ 3,891,000
Grand total-All Pages $ 197,173,139 $ 10,460,828 $ 3,277,339 $3,468,951 1$ 6,746,290
* This Preliminary Draft Initial Recognized Obligation Payment Schedule is to be adopted by the redevelopment agency no later than 9/30/2011.It is valid through 6/30/12.
**Debt service payment of$1,788,425 made 9/1/2011 so not reflected in"10/1/11 through 12/31/11"expenditures. �! .S J/• /
***This payment will be made as soon as the Agency is no longer precluded from doing so.
•
Council.Minutes
Q9/13/2011
Page 3
Items with the removal of items 3E:
3A. Approve Check Register No. 09-27-2011,
3B. Waive Full Reading of Ordinances on Agenda
3C. Approval of 09-13-2011 Minutes
3D. Five Year Measure I, Capital Needs Analysis
3F. County of San Bernardino Contract Providing Funding for
Improvements at the Grand Terrace Child Care Center
ITEM REMOVED FROM THE AGENDA
3E. Reject Liability Claim GTLC-11-04 (Stevenson)
CC-2011-86 MOTION BY COUNCILMEMBER SANDOVAL, SECOND BY
COUNCILMEMBER MCNABOE, CARRIED 4-0-1-0 (MAYOR
STANCKIEWITZ WAS ABSENT), to Reject Liability Claim GTLC-11-04
(Stevenson) and authorize the City Clerk to notify the claimant of the action
taken.
PUBLIC COMMENT
Debra Hurst, questioned if there is anything that the City can do about the Rave that
took place at the Orange Show. She indicated that she contacted the San
Bernardino Police Department on Friday and Saturday night an& e-rnailed the
promoter regarding the event. She questioned if the City has received any
reimbursement from FEMA or any other Agency we applied for rd-imbursernent '
from for the clean-up that took place as a result of the storm last December. She
questioned what is going to be done to prevent this from happening in the future
and who will be responsible for paying for it. She suggested that the City look into
solar panels to save on electricity.
Julie Beebe,. reported on two new programs that the Grand Terrace Community
Soccer Club has started:. They now offer adult soccer and the TOPS soccer
Program. She expressed her concern with the condition of the fields and the use of
the fields by out of town leagues and clubs. They are looking into the possibility of
taking over the maintenance and up-keep of the fields but before they do that they
would like clarification on who is allowed to use the fields.
Mike Dominguez, indicated that he is a board member of the Grand Terrace Youth
Football League. He stated that the majority of the participants live within the City of
Grand Terrace and/or go to school in the Colton Joint Unified School District. He
gave a brief overview of the program and the commitment that it takes from the •
5) Residual Receipts City of Grand Terrace Affordable housing payment agreement 3,000,000 300,000 300,000 0 300,000
16) Developer MOU Grand Terr Partners LLC Terminate development agreement 375,000 375,000 0 0 0
17) Employee Costs City of Grand Terrace Agency employee costs 12,187,608 529,896 132,474 309,106 441,580
18) Office Rent/Cost Allocation City of Grand Terrace Office space and operations 7,371,638 320,506 80,127 186,961 267,088
19) Consulting Services RAMS Required annual auditing services 10,000 10,000 10,000 0 10,000
20) Consulting Services RSG Annual reporting requirements/administration 13,500 13,500 0 0 0
21) Consulting Services San Bernardino Sun Advertising/Noticing 10,000 10,000 2,499 5,835 8,334
22) Consulting Services Smothers Appraisers Property Appraisals 13,400 13,400 4,400 0 4,400
23) Consulting Services Webb&Associates Traffic Engineering 125,000 50,000 12,000 30,000 42,000
24) Consulting Services ACE Weed Abatement Weed abatement for Agency property 36,000 12,000 6,000 5,500 11,500
25).Consulting Services K&A Engineering Infrastructure study/design 30,442 30,442 30,000 442 30,442
26).Consulting Services Chamber of Commerce Business development services 10,300 10,300 2,580 6,000 8,580
0 0 0
0 0 0
0 0 0
0 0 0
Totals-This Page $ 73,806,436 $ 6,569,828 $ 1,091,839 $1,763,451 $ 2,855,290
Totals-Other Obligations $ 123,366,703 $ 3,891,000 $ 2,185,500 $1,705,500 $ 3,891,000
Grand total-All Pages $ 197,173,139 $ 10,460,828 $ 3,277,339 $3,468,951 1$ 6,746,290
* This Preliminary Draft Initial Recognized Obligation Payment Schedule is to be adopted by the redevelopment agency no later than 9/30/2011.It is valid through 6/30/12.
**Debt service payment of$1,788,425 made 9/1/2011 so not reflected in"10/1/11 through 12/31/11"expenditures. �! .S J/• /
***This payment will be made as soon as the Agency is no longer precluded from doing so.
Council_Minutes
09/1.3/2011
Page 4
players and the parents. He feels:that they could be a feeder program into the new
high school.. He requested_ assistance from the City with the Colton Joint Unified '
School District with regards to the field use and allowing them to continue their
season.
James Tippeny, reported that he is a long time resident of the City: He indicated
that his son participates in the Grand Terrace Youth Football League. He is
requesting assistance from the City Council with the field use issue that they are
having with the School District. He feels that it is a good program and the children
of the community should have an opportunity to participate in a football program.
Robert Bond., indicated that his sons participate in the Grand Terrace Youth Football
League. He feels that the program will be a gateway to the new high school football
program. He stated that all of the coaches, athletic directors and Board Members
have all gone through safety classes. The player's safety is first priority for the
league. He stated that his son was one of the players that was injured at practice
and when he received the phone call there was still day light outside He feels that
the issue at hand is a personality conflict.
Tracy Preston, Grand Terrace Youth Football League Board Member,.:requested
that someone provide answers to the league.. They have been told that they can not
have lights or field use. They are extremely frustrated and feels that they should
have the opportunity to respond to the complaints that have been voiced. They
have approximately 200 kids that participate in the program and would like them to
be able to continue in the program.
City Manager Betsy M. Adams, indicated that the Grand Terrace Youth Football
League uses Terrace View Elementary School and are able to do so through an
agreement with:the City. The City has the ability to allow a sports group to use that
facility through a joint use agreement with Colton Joint Unified School District. Staff
has not done anything with regard to that field and the league. Staff has not made a
decision on the lighting at that location because they are waiting for feed-back from
the district. She stated that there is a separate use agreement between the district
and the league for field use at Terrace Hills Middle School. It is staffs ,
understanding that the District has suspended use at location while they investigate
some alleged injury incidents.
Councilmember Sandoval, indicated that he received information that the League
will be able to practice at the Middle School without lights. He stated that the field
use became an issue when an incident occurred during practice after dusk,which is
why their permit was revoked. He questioned what needs to be done to investigate
this issue. He realizes that the resources are limited within.the City and feels that
ts/administration 13,500 13,500 0 0 0
21) Consulting Services San Bernardino Sun Advertising/Noticing 10,000 10,000 2,499 5,835 8,334
22) Consulting Services Smothers Appraisers Property Appraisals 13,400 13,400 4,400 0 4,400
23) Consulting Services Webb&Associates Traffic Engineering 125,000 50,000 12,000 30,000 42,000
24) Consulting Services ACE Weed Abatement Weed abatement for Agency property 36,000 12,000 6,000 5,500 11,500
25).Consulting Services K&A Engineering Infrastructure study/design 30,442 30,442 30,000 442 30,442
26).Consulting Services Chamber of Commerce Business development services 10,300 10,300 2,580 6,000 8,580
0 0 0
0 0 0
0 0 0
0 0 0
Totals-This Page $ 73,806,436 $ 6,569,828 $ 1,091,839 $1,763,451 $ 2,855,290
Totals-Other Obligations $ 123,366,703 $ 3,891,000 $ 2,185,500 $1,705,500 $ 3,891,000
Grand total-All Pages $ 197,173,139 $ 10,460,828 $ 3,277,339 $3,468,951 1$ 6,746,290
* This Preliminary Draft Initial Recognized Obligation Payment Schedule is to be adopted by the redevelopment agency no later than 9/30/2011.It is valid through 6/30/12.
**Debt service payment of$1,788,425 made 9/1/2011 so not reflected in"10/1/11 through 12/31/11"expenditures. �! .S J/• /
***This payment will be made as soon as the Agency is no longer precluded from doing so.
f
Council Minutes
09/13/2011 •
Page 5
the Council needs to do whatever they can to support all of the leagues.
City Manager Adams, stated that the field use issue is the School District's decision
and feels that the City should stay out of it and encouraged the league to contact
the facilities staff of the District. She indicated that she understands that theColton
Joint Unified School District Board is planning on bringing the use of school site
fields by sports.groups for direction. They are looking at forming a committee and
the City of Grand Terrace would welcome an opportunity to participate in those
discussions.
Councilmember Sandoval, would like to hear more information.on all: of the
programs that are provided by the youth sports organizations within town.
It was the request of the Council that staff provide e-mail updates to the Council on
the situation with the Grand Terrace Youth Football League and also directed staff
to invite the individual sports organizations within the City to come to a Council •
Meeting to give a 10 to 1.5 minute presentation on their organization.
Mayor Pro Tern Garcia, questioned if staff had any information on the Rave that
was held over the past weekend at the Orange Show.
City Manager Adams, responded that staff has received multiple calls regarding the
Rave that was held over the weekend. Residents were definitely impacted by the
event. The concern is.that there is another event scheduled for the end of October
and the noise needs to be mitigated. Residents that were affected from the event
are being asked to callCity Hall and report where they live and whether they heard
noise or felt vibration or both. Staff is dealing with the entity that runs the fair
grounds, the City of San Bernardino.and State Representatives.
Councilmember Sandoval, indicated that when he called San Bernardino Police
Department he was told that they do not have jurisdiction over the event and that
other residents that called were told the same thing.
City.Manager Adams, concurred that the City was told the same thing. She stated
that the City of San Bernardino does not permit the event, it goes through the State.
Councilmember Sandoval, stated that Friday was a lot louder than Saturday. He
indicated that San Bernardino Councilmember Tobin Brinker worked behind the
scenes to help lessen the sound.
City Manager Adams, stated that staff is looking at what options the City has and
will document which residents were affected by the event and will work with other
me alleged injury incidents.
Councilmember Sandoval, indicated that he received information that the League
will be able to practice at the Middle School without lights. He stated that the field
use became an issue when an incident occurred during practice after dusk,which is
why their permit was revoked. He questioned what needs to be done to investigate
this issue. He realizes that the resources are limited within.the City and feels that
ts/administration 13,500 13,500 0 0 0
21) Consulting Services San Bernardino Sun Advertising/Noticing 10,000 10,000 2,499 5,835 8,334
22) Consulting Services Smothers Appraisers Property Appraisals 13,400 13,400 4,400 0 4,400
23) Consulting Services Webb&Associates Traffic Engineering 125,000 50,000 12,000 30,000 42,000
24) Consulting Services ACE Weed Abatement Weed abatement for Agency property 36,000 12,000 6,000 5,500 11,500
25).Consulting Services K&A Engineering Infrastructure study/design 30,442 30,442 30,000 442 30,442
26).Consulting Services Chamber of Commerce Business development services 10,300 10,300 2,580 6,000 8,580
0 0 0
0 0 0
0 0 0
0 0 0
Totals-This Page $ 73,806,436 $ 6,569,828 $ 1,091,839 $1,763,451 $ 2,855,290
Totals-Other Obligations $ 123,366,703 $ 3,891,000 $ 2,185,500 $1,705,500 $ 3,891,000
Grand total-All Pages $ 197,173,139 $ 10,460,828 $ 3,277,339 $3,468,951 1$ 6,746,290
* This Preliminary Draft Initial Recognized Obligation Payment Schedule is to be adopted by the redevelopment agency no later than 9/30/2011.It is valid through 6/30/12.
**Debt service payment of$1,788,425 made 9/1/2011 so not reflected in"10/1/11 through 12/31/11"expenditures. �! .S J/• /
***This payment will be made as soon as the Agency is no longer precluded from doing so.
Council Minutes
09/113/2011
Page 6
cities that were affected as well.
Councilmember Sandoval, stated that San Bernardino Police Department made a '
list of complaints and would like staff to look into getting a copy of that list.
City Manager. Adams, responded to Debra Hurst's question regarding
reimbursements from F.E.M.A; indicating that the City has received $7,000.00 from
F.E.M.A. She stated that they rejected all other claims and forwarded them to the ,
State. Their process is much longer and it could be more than a year before we
hear anything from them.
COUNCIL REPORTS
Councilmember Gene Hays, feels that smaller municipalities should cut out red tape '
and let-small businesses move forward. Small businesses should be encouraged to
get started not held back.
Councilmember.Darcy'McNaboe, attended a meeting on September 21, 2011 with
City Staff and the PTA -Presidents regarding the crossing guard issue. :She
commended staff on the packet that was provided to the individuals. The schools
have changed the way students are picked up and dropped off, which should help
with the crossing guard issue. She also noticed that there is a new parking area at
Terrace View on the Brentwood side of the campus. She is hoping that this has
something to do with the traffic issue. She referred to a notice that was done by the
Department of Toxic Substances. There- is a site that is located at 21750 Main
Street that was a plating company called K&J Plating. There are concerns with that
particular site because of the materials that were used at this location and what
process would have to take place to clean up this site. The Department of Toxic
Substances is holding a public comment period for a draft removal action work plan
and a notice of exemption. This clean-up plan will address all contaminated soil at ,
the former K&J Plating facility. The draft- plan is available at the Grand Terrace
Branch Library and on-line. The comment period goes through October 18.. She
questioned if adopted Ordinances are indicated- on-line prior to being codified.
Tracey Martinez, Interim City Clerk, responded that on the City Clerk's portion of the
website Ordinances that have been adopted but have not yet been codified are
listed. The Municipal Code Website will also indicate that the listed ordinances
have been approved and have not yet been codified.
Councilmember Sandoval, indicated that the City will work with the City of San
Bernardino to get them the information that they need regarding the Rave so that
they can work on the sound issue. 'He commended Councilmember McNaboe and
ation that the League
will be able to practice at the Middle School without lights. He stated that the field
use became an issue when an incident occurred during practice after dusk,which is
why their permit was revoked. He questioned what needs to be done to investigate
this issue. He realizes that the resources are limited within.the City and feels that
ts/administration 13,500 13,500 0 0 0
21) Consulting Services San Bernardino Sun Advertising/Noticing 10,000 10,000 2,499 5,835 8,334
22) Consulting Services Smothers Appraisers Property Appraisals 13,400 13,400 4,400 0 4,400
23) Consulting Services Webb&Associates Traffic Engineering 125,000 50,000 12,000 30,000 42,000
24) Consulting Services ACE Weed Abatement Weed abatement for Agency property 36,000 12,000 6,000 5,500 11,500
25).Consulting Services K&A Engineering Infrastructure study/design 30,442 30,442 30,000 442 30,442
26).Consulting Services Chamber of Commerce Business development services 10,300 10,300 2,580 6,000 8,580
0 0 0
0 0 0
0 0 0
0 0 0
Totals-This Page $ 73,806,436 $ 6,569,828 $ 1,091,839 $1,763,451 $ 2,855,290
Totals-Other Obligations $ 123,366,703 $ 3,891,000 $ 2,185,500 $1,705,500 $ 3,891,000
Grand total-All Pages $ 197,173,139 $ 10,460,828 $ 3,277,339 $3,468,951 1$ 6,746,290
* This Preliminary Draft Initial Recognized Obligation Payment Schedule is to be adopted by the redevelopment agency no later than 9/30/2011.It is valid through 6/30/12.
**Debt service payment of$1,788,425 made 9/1/2011 so not reflected in"10/1/11 through 12/31/11"expenditures. �! .S J/• /
***This payment will be made as soon as the Agency is no longer precluded from doing so.
°
Council Minutes
09/13/2011
Page 7
•
Staff for their efforts on the crossing guard issue. The information that was provided '
was excellent and well done. The fact that staff could provide a possible solution to
the problem is outstanding.
City Manager Adams, indicated that it was Jo Verhelle that put all of the information
together.
Co.uncilmember Sandoval; thanked Jo Verhelle for all of her efforts. He stated that
the Fire Department does an excellent job and thanked them for the great service
that they provide to the Community.
Mayor Pro Tern Lee Ann Garcia, reported that she attended the Grand Terrace
Area Chamber of Commerce luncheon where Supervisor Neil Derry spoke. She
indicated that there may be some relief for the law enforcement portion of the
budget for the upcoming fiscal year. She encouraged the conimunityoto come to the
Chamber luncheons. There are a lot of home based businesses that attend the
event and it is a great place to network. She stated that there are a lot of good
resources available in town. She announced that the Halloween Harvest will be
held on October 31, 2011 between the hours of 5:3.0 p.m. and 7:30 p.m. She also
reported that the Country Fair will be held on November 5tn
PUBLIC HEARINGS - None
UNFINISHED BUSINESS - None
NEW BUSINESS •
8A. Amendment to the Integrated Waste Management Service Agreement
Allowing Burrtec Waste Industries to Collect Residential Sewer Fees on the
City's Behalf
•
CC-2011-87 MOTION BY COUNCILMEMBER MCNABOE, SECOND BY
COUNCILMEMBER HAYS, CARRIED 4-0-1-0 (MAYOR STANCKIEWITZ
WAS ABSENT), to adopt a Resolution setting forth amendments to. the
Integrated Waste Management Service Agreement by adding language to
Section 10, Franchise.Fee, and Section 19, Compensation, allowing Burrtec
Waste Industries to bill and collect residential sewer fees.on the City's
behalf.
8B. Legal Services Agreement for the City of Grand Terrace and the City of
Grand Terrace Community Redevelopment Agency
ity Clerk, responded that on the City Clerk's portion of the
website Ordinances that have been adopted but have not yet been codified are
listed. The Municipal Code Website will also indicate that the listed ordinances
have been approved and have not yet been codified.
Councilmember Sandoval, indicated that the City will work with the City of San
Bernardino to get them the information that they need regarding the Rave so that
they can work on the sound issue. 'He commended Councilmember McNaboe and
ation that the League
will be able to practice at the Middle School without lights. He stated that the field
use became an issue when an incident occurred during practice after dusk,which is
why their permit was revoked. He questioned what needs to be done to investigate
this issue. He realizes that the resources are limited within.the City and feels that
ts/administration 13,500 13,500 0 0 0
21) Consulting Services San Bernardino Sun Advertising/Noticing 10,000 10,000 2,499 5,835 8,334
22) Consulting Services Smothers Appraisers Property Appraisals 13,400 13,400 4,400 0 4,400
23) Consulting Services Webb&Associates Traffic Engineering 125,000 50,000 12,000 30,000 42,000
24) Consulting Services ACE Weed Abatement Weed abatement for Agency property 36,000 12,000 6,000 5,500 11,500
25).Consulting Services K&A Engineering Infrastructure study/design 30,442 30,442 30,000 442 30,442
26).Consulting Services Chamber of Commerce Business development services 10,300 10,300 2,580 6,000 8,580
0 0 0
0 0 0
0 0 0
0 0 0
Totals-This Page $ 73,806,436 $ 6,569,828 $ 1,091,839 $1,763,451 $ 2,855,290
Totals-Other Obligations $ 123,366,703 $ 3,891,000 $ 2,185,500 $1,705,500 $ 3,891,000
Grand total-All Pages $ 197,173,139 $ 10,460,828 $ 3,277,339 $3,468,951 1$ 6,746,290
* This Preliminary Draft Initial Recognized Obligation Payment Schedule is to be adopted by the redevelopment agency no later than 9/30/2011.It is valid through 6/30/12.
**Debt service payment of$1,788,425 made 9/1/2011 so not reflected in"10/1/11 through 12/31/11"expenditures. �! .S J/• /
***This payment will be made as soon as the Agency is no longer precluded from doing so.
Council Minutes
09/1:3/2011
Page 8
CC-2011-88 MOTION BY COUNCILMEMBER HAYS, SECOND BY COUNCILMEMBER
SANDOVAL, CARRIED 4-0-1-0 (MAYOR STANCKIEWITZ WAS ABSENT),
to approve the Legal Services Agreement between the City of Grand
Terrace, the Grand Terrace Community Redevelopment Agency and Jones
and Mayer and authorize the City Manager and Executive Director to execute
the Agreement on behalf of the City and the Agency.
8C. Agreement to Transfer Agency Property Tax Increment to the City to
Participate in the Alternative Redevelopment Program
CC-201.1-89 MOTION BY COUNCILMEMBER MCNABOE, SECOND BY
COUNCILMEMBER SANDOVAL, CARRIED 4-0-1-0 (MAYOR
STANCKIEWITZ.WAS ABSENT), to approve. a Resolution•approving an
Agreement by and between the City of Grand Terrace and the Community
Redevelopment Agency of the City of Grand Terrace and making certain '
finding in connection therewith.
CLOSED SESSION - None
Mayor Pro Tern Garcia adjourned the meeting at 7:50 p.m., until the next City Council
Meeting which is scheduled to be held on Tuesday, October 11, 2011 at 6:00 p.m.
CITY CLERK of the City of Grand Terrace
MAYOR of the City of Grand Terrace
•
reported that the Country Fair will be held on November 5tn
PUBLIC HEARINGS - None
UNFINISHED BUSINESS - None
NEW BUSINESS •
8A. Amendment to the Integrated Waste Management Service Agreement
Allowing Burrtec Waste Industries to Collect Residential Sewer Fees on the
City's Behalf
•
CC-2011-87 MOTION BY COUNCILMEMBER MCNABOE, SECOND BY
COUNCILMEMBER HAYS, CARRIED 4-0-1-0 (MAYOR STANCKIEWITZ
WAS ABSENT), to adopt a Resolution setting forth amendments to. the
Integrated Waste Management Service Agreement by adding language to
Section 10, Franchise.Fee, and Section 19, Compensation, allowing Burrtec
Waste Industries to bill and collect residential sewer fees.on the City's
behalf.
8B. Legal Services Agreement for the City of Grand Terrace and the City of
Grand Terrace Community Redevelopment Agency
ity Clerk, responded that on the City Clerk's portion of the
website Ordinances that have been adopted but have not yet been codified are
listed. The Municipal Code Website will also indicate that the listed ordinances
have been approved and have not yet been codified.
Councilmember Sandoval, indicated that the City will work with the City of San
Bernardino to get them the information that they need regarding the Rave so that
they can work on the sound issue. 'He commended Councilmember McNaboe and
ation that the League
will be able to practice at the Middle School without lights. He stated that the field
use became an issue when an incident occurred during practice after dusk,which is
why their permit was revoked. He questioned what needs to be done to investigate
this issue. He realizes that the resources are limited within.the City and feels that
ts/administration 13,500 13,500 0 0 0
21) Consulting Services San Bernardino Sun Advertising/Noticing 10,000 10,000 2,499 5,835 8,334
22) Consulting Services Smothers Appraisers Property Appraisals 13,400 13,400 4,400 0 4,400
23) Consulting Services Webb&Associates Traffic Engineering 125,000 50,000 12,000 30,000 42,000
24) Consulting Services ACE Weed Abatement Weed abatement for Agency property 36,000 12,000 6,000 5,500 11,500
25).Consulting Services K&A Engineering Infrastructure study/design 30,442 30,442 30,000 442 30,442
26).Consulting Services Chamber of Commerce Business development services 10,300 10,300 2,580 6,000 8,580
0 0 0
0 0 0
0 0 0
0 0 0
Totals-This Page $ 73,806,436 $ 6,569,828 $ 1,091,839 $1,763,451 $ 2,855,290
Totals-Other Obligations $ 123,366,703 $ 3,891,000 $ 2,185,500 $1,705,500 $ 3,891,000
Grand total-All Pages $ 197,173,139 $ 10,460,828 $ 3,277,339 $3,468,951 1$ 6,746,290
* This Preliminary Draft Initial Recognized Obligation Payment Schedule is to be adopted by the redevelopment agency no later than 9/30/2011.It is valid through 6/30/12.
**Debt service payment of$1,788,425 made 9/1/2011 so not reflected in"10/1/11 through 12/31/11"expenditures. �! .S J/• /
***This payment will be made as soon as the Agency is no longer precluded from doing so.
The Blue Nlaunlain Tiff
Grand Ter
ORrN[Aace AGENDA REPORT
CALIF
MEETING DATE: September 27, 2011 Council Item (X) CRA Item ( )
TITLE: Five Year Measure I, Capital Project Needs Analysis
PRESENTED BY: Richard Shields, Director of Building and Safety/Public
Works
RECOMMENDATION: 1. Approve a Five Year Measure I, Capital Project
Needs Analysis for FY 2012-2013 through 2016-2117.
2. Approve the Development Mitigation Annual Report
for FY 2010-11.
3. Adopt Resolution No. 2011- , setting forth a Five
Year Capital Project Needs Analysis.
BACKGROUND:
San Bernardino County voters approved passage of Measure I, November of 2004
authorizing San Bernardino Associated Governments, (SANBAG) acting as the San
Bernardino County Transportation Authority, to impose a one-half of one-percent retail
transactions and use tax applicable in the incorporated and unincorporated territory of
the County of San Bernardino.
The Measure I Strategic Plan requires local jurisdictions to annually adopt a Five-Year
Capital Project Needs Analysis (CPNA), which documents project or program needs by
fiscal year and includes the anticipated funding sources, funding amounts and project
phasing where appropriate. The CPNA's also demonstrate the availability of
development mitigation fair share funds for projects included in the Needs Analysis.
CPNA's for Valley jurisdictions include projects for the Valley Freeway Interchange and
Major Street Programs. The CPNA must be adopted by action of each City
Council/Board of Supervisors and forwarded to SANBAG by September 30, 2011.
SANBAG staff will use these submittals, along with similar information from SANBAG
departments, in a cash-flow analysis to be conducted in fall 2011. A recommendation
for apportionment to programs and allocation to projects will be considered by SANBAG
policy committees and the Board in early 2012.
COUNCIL AGENDA ITEM NO. 3D
ce and the City of
Grand Terrace Community Redevelopment Agency
ity Clerk, responded that on the City Clerk's portion of the
website Ordinances that have been adopted but have not yet been codified are
listed. The Municipal Code Website will also indicate that the listed ordinances
have been approved and have not yet been codified.
Councilmember Sandoval, indicated that the City will work with the City of San
Bernardino to get them the information that they need regarding the Rave so that
they can work on the sound issue. 'He commended Councilmember McNaboe and
ation that the League
will be able to practice at the Middle School without lights. He stated that the field
use became an issue when an incident occurred during practice after dusk,which is
why their permit was revoked. He questioned what needs to be done to investigate
this issue. He realizes that the resources are limited within.the City and feels that
ts/administration 13,500 13,500 0 0 0
21) Consulting Services San Bernardino Sun Advertising/Noticing 10,000 10,000 2,499 5,835 8,334
22) Consulting Services Smothers Appraisers Property Appraisals 13,400 13,400 4,400 0 4,400
23) Consulting Services Webb&Associates Traffic Engineering 125,000 50,000 12,000 30,000 42,000
24) Consulting Services ACE Weed Abatement Weed abatement for Agency property 36,000 12,000 6,000 5,500 11,500
25).Consulting Services K&A Engineering Infrastructure study/design 30,442 30,442 30,000 442 30,442
26).Consulting Services Chamber of Commerce Business development services 10,300 10,300 2,580 6,000 8,580
0 0 0
0 0 0
0 0 0
0 0 0
Totals-This Page $ 73,806,436 $ 6,569,828 $ 1,091,839 $1,763,451 $ 2,855,290
Totals-Other Obligations $ 123,366,703 $ 3,891,000 $ 2,185,500 $1,705,500 $ 3,891,000
Grand total-All Pages $ 197,173,139 $ 10,460,828 $ 3,277,339 $3,468,951 1$ 6,746,290
* This Preliminary Draft Initial Recognized Obligation Payment Schedule is to be adopted by the redevelopment agency no later than 9/30/2011.It is valid through 6/30/12.
**Debt service payment of$1,788,425 made 9/1/2011 so not reflected in"10/1/11 through 12/31/11"expenditures. �! .S J/• /
***This payment will be made as soon as the Agency is no longer precluded from doing so.
The Development Mitigation Annual Report is one of the ongoing requirements of the
San Bernardino County Development Mitigation Program and the Congestion
Management Program. The report requires each jurisdiction to provide information on
development activity and the expenditure of development mitigation funds on projects
contained in the Nexus Study over the past fiscal year. The report covers development
activity and expenditures for the fiscal year ending June 30, 2011.
DISCUSSION:
Measure I, revenue can only be used for transportation improvement and traffic
management programs authorized in the Expenditure Plans set forth in Ordinance No.
04-01 and Ordinance 89-1 of the Authority. The Strategic Plan and Expenditure Plan
require each local jurisdiction applying for revenue from the Valley Major Street and
Freeway Interchange Programs to annually adopt and update a Five-Year Capital
Project Needs Analysis.
The CPNA as recommended identifies one project in the City where these funds would
improve traffic management, subject to the projected availability of funds:
Widening Michigan Avenue from Commerce Way to Main Street to (4) four lanes.
The Master Agreement for this project was approved by the City Council in May
2010.
FISCAL IMPACT:
Under this five-year plan the City is committing to obligate $392,000.00 from its
development impact fees (arterial improvements) account over the five-year period
including FY 2012-13 thru FY 20016-17 in order to advance the design and construction
of the Michigan Avenue major circulation improvement project. The City will receive
$588,000.00 in Measure I subventions for this project. The City's commitment to
obligate development impact fees is a requirement to receive the Measure I funds.
The Measure I Five-Year Plan is updated annually. If development impact fee revenues
are not generated at the anticipated pace, the City's plan can be scaled back
accordingly. Should additional funding become available or City priorities change in the
future, the City's Measure I Five-Year Plan can be revised with subsequent updates.
Respectfully submitted,
Ala
Ri hard Shields, Director of Building and Safety/Public Works
Manager Approval:
Betsy dams
City Manager
t the listed ordinances
have been approved and have not yet been codified.
Councilmember Sandoval, indicated that the City will work with the City of San
Bernardino to get them the information that they need regarding the Rave so that
they can work on the sound issue. 'He commended Councilmember McNaboe and
ation that the League
will be able to practice at the Middle School without lights. He stated that the field
use became an issue when an incident occurred during practice after dusk,which is
why their permit was revoked. He questioned what needs to be done to investigate
this issue. He realizes that the resources are limited within.the City and feels that
ts/administration 13,500 13,500 0 0 0
21) Consulting Services San Bernardino Sun Advertising/Noticing 10,000 10,000 2,499 5,835 8,334
22) Consulting Services Smothers Appraisers Property Appraisals 13,400 13,400 4,400 0 4,400
23) Consulting Services Webb&Associates Traffic Engineering 125,000 50,000 12,000 30,000 42,000
24) Consulting Services ACE Weed Abatement Weed abatement for Agency property 36,000 12,000 6,000 5,500 11,500
25).Consulting Services K&A Engineering Infrastructure study/design 30,442 30,442 30,000 442 30,442
26).Consulting Services Chamber of Commerce Business development services 10,300 10,300 2,580 6,000 8,580
0 0 0
0 0 0
0 0 0
0 0 0
Totals-This Page $ 73,806,436 $ 6,569,828 $ 1,091,839 $1,763,451 $ 2,855,290
Totals-Other Obligations $ 123,366,703 $ 3,891,000 $ 2,185,500 $1,705,500 $ 3,891,000
Grand total-All Pages $ 197,173,139 $ 10,460,828 $ 3,277,339 $3,468,951 1$ 6,746,290
* This Preliminary Draft Initial Recognized Obligation Payment Schedule is to be adopted by the redevelopment agency no later than 9/30/2011.It is valid through 6/30/12.
**Debt service payment of$1,788,425 made 9/1/2011 so not reflected in"10/1/11 through 12/31/11"expenditures. �! .S J/• /
***This payment will be made as soon as the Agency is no longer precluded from doing so.
ATTACHMENTS:
Exhibit "A", Measure I Five Capital Projects Needs Analysis
Exhibit "B", Development Mitigation Annual Report for FY 2010-11
Resolution No. 2011-
/Account Amount
67242 9/27/2011 007880 WEST GROUP (Continued)
10-125-250-000-000 536.86
Total : 536.86
56 Vouchers for bank code: bofa Bank total : 99,995.88
56 Vouchers in this report Total vouchers : 99,995.88
Page: 9
t for FY 2011-12.
Respectfully submitted,
Bernie Simon
Finance Director
Manager Approval:
Betsy �I Ada s
City Manager
ATTACHMENTS:
Check Register— September 27, 2011
e Preliminary Draft Initial Recognized Obligation
Payment Schedule dated September 15, 2011 (Exhibit A to the Resolution)
Capital Project Needs Analysis
City of Grand Terrace
Valley Arterial Sub-Program
(2011 dollars, in $1'000s -SANBAG will apply escalation factors, by year)
Project Information Phase Funding PRIOR* FY 12/13 FY 13/14 FY 14/15 FY 15/16 FY 16/17
Widen Michigan Ave from PA&ED
Commerce Way to Main St Total Cost: $10.00
from two lanes to four lanes Fund Type: DEV FEE $3.99
MI MAJ ST $6.01
Other:
Total Project Cost: PS&E
$3,353 Total Cost: $80.00
Fund Type: DEV FEE $31.92
Total Measure I Request: MI MAJ ST $48.08
$117.60
Other:
ROW
Total Cost: $46.20
Fund Type: DEV FEE $18.43
Comments: MI MAJ ST $27.77
Some preliminary right of way
acquisition was completed last Other:
year. Project design and CONST
evironmental documentation Total Cost: $1,142.10
are expected to begin later this Fund Type: DEV FEE $64.99 $78.40 $78.40 $78.40 $78.40 $78.40
FY(2011-12). MI MAJ ST $97.11 $117.60 $117.60 $117.60 $117.60 $117.60
Other:
*Prior includes any FY 2011-2012 allocation
2011 CPNA FY 11-12 to 16-17-CPNA Art Project 1
cil in May
2010.
FISCAL IMPACT:
Under this five-year plan the City is committing to obligate $392,000.00 from its
development impact fees (arterial improvements) account over the five-year period
including FY 2012-13 thru FY 20016-17 in order to advance the design and construction
of the Michigan Avenue major circulation improvement project. The City will receive
$588,000.00 in Measure I subventions for this project. The City's commitment to
obligate development impact fees is a requirement to receive the Measure I funds.
The Measure I Five-Year Plan is updated annually. If development impact fee revenues
are not generated at the anticipated pace, the City's plan can be scaled back
accordingly. Should additional funding become available or City priorities change in the
future, the City's Measure I Five-Year Plan can be revised with subsequent updates.
Respectfully submitted,
Ala
Ri hard Shields, Director of Building and Safety/Public Works
Manager Approval:
Betsy dams
City Manager
t the listed ordinances
have been approved and have not yet been codified.
Councilmember Sandoval, indicated that the City will work with the City of San
Bernardino to get them the information that they need regarding the Rave so that
they can work on the sound issue. 'He commended Councilmember McNaboe and
ation that the League
will be able to practice at the Middle School without lights. He stated that the field
use became an issue when an incident occurred during practice after dusk,which is
why their permit was revoked. He questioned what needs to be done to investigate
this issue. He realizes that the resources are limited within.the City and feels that
ts/administration 13,500 13,500 0 0 0
21) Consulting Services San Bernardino Sun Advertising/Noticing 10,000 10,000 2,499 5,835 8,334
22) Consulting Services Smothers Appraisers Property Appraisals 13,400 13,400 4,400 0 4,400
23) Consulting Services Webb&Associates Traffic Engineering 125,000 50,000 12,000 30,000 42,000
24) Consulting Services ACE Weed Abatement Weed abatement for Agency property 36,000 12,000 6,000 5,500 11,500
25).Consulting Services K&A Engineering Infrastructure study/design 30,442 30,442 30,000 442 30,442
26).Consulting Services Chamber of Commerce Business development services 10,300 10,300 2,580 6,000 8,580
0 0 0
0 0 0
0 0 0
0 0 0
Totals-This Page $ 73,806,436 $ 6,569,828 $ 1,091,839 $1,763,451 $ 2,855,290
Totals-Other Obligations $ 123,366,703 $ 3,891,000 $ 2,185,500 $1,705,500 $ 3,891,000
Grand total-All Pages $ 197,173,139 $ 10,460,828 $ 3,277,339 $3,468,951 1$ 6,746,290
* This Preliminary Draft Initial Recognized Obligation Payment Schedule is to be adopted by the redevelopment agency no later than 9/30/2011.It is valid through 6/30/12.
**Debt service payment of$1,788,425 made 9/1/2011 so not reflected in"10/1/11 through 12/31/11"expenditures. �! .S J/• /
***This payment will be made as soon as the Agency is no longer precluded from doing so.
ANNUAL REPORT FOR THE SANBAG DEVELOPMENT MITIGATION PROGRAM
Fiscal Year 2010-2011
Name of Local Jurisdiction:Grand Terrace
Person Completing the Report: Ed Studor
Phone No.:(951)640-1060
E-mail Address:edjuliel@verizon.net
Date Report Completed:9/8/2011
Quantity of Development Permitted and Fees Received
Fee Dollars
Devel.Type Quantity Fee Per Unit Received
Single Family DUs 1 $ 4,242.58 $ 4,242.58
Multi-Family DUs 0 $ -
Office(1000 sq.ft.) 0 $ -
Retail(1000 sq.ft.) 44.28 $ 9,524.14 $421,728.92
High Cube Whse(1000 sq.ft.) - 0 $ -
Other industrial/Whse(1000 sq.ft.) 0 $ -
Other (list type and quantity) $ -
Other (list type and quantity) $ -
Other (list type and quantity) $ -
$Total Fee Dollars Received $425,971.50
Dollars from Other Development-Related Sources $ -
Total Development Contributions Received $425,971.50
Percentage of Dollars Assigned to Regional Imprvmnts 100%
Regional Projects on Which Fee Dollars Have Been Expended:
Fiscal Year 2010-2011 Expenditures Cumulative Expenditures for Project
Description of Project(Location and nature of project, Fund Source/ Engineering/ Engineering/
type of expenditure,and project limits) Type Environmental Right-of-Way Construction Environmental Right-of-Way Construction
Project 1 Fee
Widen Michigan Ave from Commerce Way to Main Reg.Meas. I
Street from two lanes to four lanes Local Meas. I
Federal
State
Other Local $1,000.00 $1,000.00
Project 2 Fee
Reg.Meas.I
Local Meas.
Federal
State
Other Local
Project 3 Fee
Reg.Meas.I
Local Meas. I
Federal
State
Other Local
Total $1,000.00 $1,000.00
ies change in the
future, the City's Measure I Five-Year Plan can be revised with subsequent updates.
Respectfully submitted,
Ala
Ri hard Shields, Director of Building and Safety/Public Works
Manager Approval:
Betsy dams
City Manager
t the listed ordinances
have been approved and have not yet been codified.
Councilmember Sandoval, indicated that the City will work with the City of San
Bernardino to get them the information that they need regarding the Rave so that
they can work on the sound issue. 'He commended Councilmember McNaboe and
ation that the League
will be able to practice at the Middle School without lights. He stated that the field
use became an issue when an incident occurred during practice after dusk,which is
why their permit was revoked. He questioned what needs to be done to investigate
this issue. He realizes that the resources are limited within.the City and feels that
ts/administration 13,500 13,500 0 0 0
21) Consulting Services San Bernardino Sun Advertising/Noticing 10,000 10,000 2,499 5,835 8,334
22) Consulting Services Smothers Appraisers Property Appraisals 13,400 13,400 4,400 0 4,400
23) Consulting Services Webb&Associates Traffic Engineering 125,000 50,000 12,000 30,000 42,000
24) Consulting Services ACE Weed Abatement Weed abatement for Agency property 36,000 12,000 6,000 5,500 11,500
25).Consulting Services K&A Engineering Infrastructure study/design 30,442 30,442 30,000 442 30,442
26).Consulting Services Chamber of Commerce Business development services 10,300 10,300 2,580 6,000 8,580
0 0 0
0 0 0
0 0 0
0 0 0
Totals-This Page $ 73,806,436 $ 6,569,828 $ 1,091,839 $1,763,451 $ 2,855,290
Totals-Other Obligations $ 123,366,703 $ 3,891,000 $ 2,185,500 $1,705,500 $ 3,891,000
Grand total-All Pages $ 197,173,139 $ 10,460,828 $ 3,277,339 $3,468,951 1$ 6,746,290
* This Preliminary Draft Initial Recognized Obligation Payment Schedule is to be adopted by the redevelopment agency no later than 9/30/2011.It is valid through 6/30/12.
**Debt service payment of$1,788,425 made 9/1/2011 so not reflected in"10/1/11 through 12/31/11"expenditures. �! .S J/• /
***This payment will be made as soon as the Agency is no longer precluded from doing so.
RESOLUTION NO. 2011-
A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF
GRAND TERRACE, STATE OF CALIFORNIA, ADOPTING THE
FIVE YEAR CAPITAL PROJECT NEEDS ANALYSIS FOR
FISCAL YEAR 2012-13 THROUGH 2016-17
WHEREAS, San Bernardino County voters approved passage of Measure I, in
November 2004 authorizing San Bernardino Associated Governments, acting as
the San Bernardino County Transportation Authority, to impose a one-half of one
percent retail transactions and use tax applicable in the incorporated and
unincorporated territory of the County of San Bernardino, and
WHEREAS, revenue from the tax can only be used for transportation
improvement and traffic management programs authorized in the Expenditure
Plans set forth in Ordinance No. 04-1 of the Authority, and
WHEREAS, the Strategic Plan requires each local jurisdiction applying for
revenue from the Valley Major Street and Freeway Interchange Programs to
annually adopt and update a Five-Year Capital Project Needs Analysis,
NOW, THEREFORE, BE IT RESOLVED that the City Council of the City of
Grand Terrace, State of California, hereby adopts the Measure I, Five Year
Capital Project Needs Analysis for FY 2012-13 through 2016-17, a copy of which
is attached to this resolution.
PASSED, APPROVED AND ADOPTED by the City Council of the City of Grand
Terrace at a regular meeting held on the 27th day of September, 2011.
ATTEST:
City Clerk of the City of Grand Terrace
Mayor of the City of Grand Terrace
and of the City Council thereof.
y to Main Reg.Meas. I
Street from two lanes to four lanes Local Meas. I
Federal
State
Other Local $1,000.00 $1,000.00
Project 2 Fee
Reg.Meas.I
Local Meas.
Federal
State
Other Local
Project 3 Fee
Reg.Meas.I
Local Meas. I
Federal
State
Other Local
Total $1,000.00 $1,000.00
ies change in the
future, the City's Measure I Five-Year Plan can be revised with subsequent updates.
Respectfully submitted,
Ala
Ri hard Shields, Director of Building and Safety/Public Works
Manager Approval:
Betsy dams
City Manager
t the listed ordinances
have been approved and have not yet been codified.
Councilmember Sandoval, indicated that the City will work with the City of San
Bernardino to get them the information that they need regarding the Rave so that
they can work on the sound issue. 'He commended Councilmember McNaboe and
ation that the League
will be able to practice at the Middle School without lights. He stated that the field
use became an issue when an incident occurred during practice after dusk,which is
why their permit was revoked. He questioned what needs to be done to investigate
this issue. He realizes that the resources are limited within.the City and feels that
ts/administration 13,500 13,500 0 0 0
21) Consulting Services San Bernardino Sun Advertising/Noticing 10,000 10,000 2,499 5,835 8,334
22) Consulting Services Smothers Appraisers Property Appraisals 13,400 13,400 4,400 0 4,400
23) Consulting Services Webb&Associates Traffic Engineering 125,000 50,000 12,000 30,000 42,000
24) Consulting Services ACE Weed Abatement Weed abatement for Agency property 36,000 12,000 6,000 5,500 11,500
25).Consulting Services K&A Engineering Infrastructure study/design 30,442 30,442 30,000 442 30,442
26).Consulting Services Chamber of Commerce Business development services 10,300 10,300 2,580 6,000 8,580
0 0 0
0 0 0
0 0 0
0 0 0
Totals-This Page $ 73,806,436 $ 6,569,828 $ 1,091,839 $1,763,451 $ 2,855,290
Totals-Other Obligations $ 123,366,703 $ 3,891,000 $ 2,185,500 $1,705,500 $ 3,891,000
Grand total-All Pages $ 197,173,139 $ 10,460,828 $ 3,277,339 $3,468,951 1$ 6,746,290
* This Preliminary Draft Initial Recognized Obligation Payment Schedule is to be adopted by the redevelopment agency no later than 9/30/2011.It is valid through 6/30/12.
**Debt service payment of$1,788,425 made 9/1/2011 so not reflected in"10/1/11 through 12/31/11"expenditures. �! .S J/• /
***This payment will be made as soon as the Agency is no longer precluded from doing so.
•
•
The Blue Mountain Cih •
- i
Grand Terrace AGENDA REPORT
MEETING DATE: September 27, 2011 Council Item ( X ) CRA Item ( )
TITLE: Reject Liability Claim GTLC-11-04 (Stevenson)
PRESENTED BY: Tracey Martinez, Interim City Clerk
•
RECOMMENDATION: Reject Liability Claim GTLC-1 1-04 (Stevenson) and
Authorize staff to notify the claimant of the action taken
BACKGROUND:
The City of Grand Terrace has received a claim for damage from Rheanna Stevenson
on behalf of her minor child Jyden Stevenson. The claimant is requesting medical
reimbursement and loss of earnings due to an accident that her child was involved in at
the Grand Terrace Child Care Center.
DISCUSSION:
•
The City's Claims Administer, Carl Warren & Co., has reviewed the claim and is
requesting that the City reject the Claim and send a standard rejection letter to the
claimant. A copy of the claim and the recommendation from Carl Warren & Co. is ,
attached for your review.
RECOMMENDATION: •
Staff recommends that the Council reject Liability Claim- GTLC-2011.-04 (Stevenson)
and authorize staff to notify the claimant of_the action taken.
FISCAL IMPACT:
There is no fiscal impact to the City with this action. -
t
Respectfully submitted: -
•
tl ,rtJ1' -
Tracey R9larti erim Ci Clerk
COUNCIL AGENDA ITEM NO3E
anes to four lanes Local Meas. I
Federal
State
Other Local $1,000.00 $1,000.00
Project 2 Fee
Reg.Meas.I
Local Meas.
Federal
State
Other Local
Project 3 Fee
Reg.Meas.I
Local Meas. I
Federal
State
Other Local
Total $1,000.00 $1,000.00
ies change in the
future, the City's Measure I Five-Year Plan can be revised with subsequent updates.
Respectfully submitted,
Ala
Ri hard Shields, Director of Building and Safety/Public Works
Manager Approval:
Betsy dams
City Manager
t the listed ordinances
have been approved and have not yet been codified.
Councilmember Sandoval, indicated that the City will work with the City of San
Bernardino to get them the information that they need regarding the Rave so that
they can work on the sound issue. 'He commended Councilmember McNaboe and
ation that the League
will be able to practice at the Middle School without lights. He stated that the field
use became an issue when an incident occurred during practice after dusk,which is
why their permit was revoked. He questioned what needs to be done to investigate
this issue. He realizes that the resources are limited within.the City and feels that
ts/administration 13,500 13,500 0 0 0
21) Consulting Services San Bernardino Sun Advertising/Noticing 10,000 10,000 2,499 5,835 8,334
22) Consulting Services Smothers Appraisers Property Appraisals 13,400 13,400 4,400 0 4,400
23) Consulting Services Webb&Associates Traffic Engineering 125,000 50,000 12,000 30,000 42,000
24) Consulting Services ACE Weed Abatement Weed abatement for Agency property 36,000 12,000 6,000 5,500 11,500
25).Consulting Services K&A Engineering Infrastructure study/design 30,442 30,442 30,000 442 30,442
26).Consulting Services Chamber of Commerce Business development services 10,300 10,300 2,580 6,000 8,580
0 0 0
0 0 0
0 0 0
0 0 0
Totals-This Page $ 73,806,436 $ 6,569,828 $ 1,091,839 $1,763,451 $ 2,855,290
Totals-Other Obligations $ 123,366,703 $ 3,891,000 $ 2,185,500 $1,705,500 $ 3,891,000
Grand total-All Pages $ 197,173,139 $ 10,460,828 $ 3,277,339 $3,468,951 1$ 6,746,290
* This Preliminary Draft Initial Recognized Obligation Payment Schedule is to be adopted by the redevelopment agency no later than 9/30/2011.It is valid through 6/30/12.
**Debt service payment of$1,788,425 made 9/1/2011 so not reflected in"10/1/11 through 12/31/11"expenditures. �! .S J/• /
***This payment will be made as soon as the Agency is no longer precluded from doing so.
Manager Approval:
Bets ./),(,..g_.6~C7
Adams, City Manager
ATTACHMENTS:
A. Claims for Damages — Stevenson
B. Recommendation from Carl Warren & Co.
0
0
0
0
0
0
Total : 536.86
56 Vouchers for bank code: bofa Bank total : 99,995.88
56 Vouchers in this report Total vouchers : 99,995.88
Page: 9
t for FY 2011-12.
Respectfully submitted,
Bernie Simon
Finance Director
Manager Approval:
Betsy �I Ada s
City Manager
ATTACHMENTS:
Check Register— September 27, 2011
e Preliminary Draft Initial Recognized Obligation
Payment Schedule dated September 15, 2011 (Exhibit A to the Resolution)
•
•
•
•
ATTACHMENT A
Claims for Damages — Stevenson
•
a
0
0
0
0
0
0
Total : 536.86
56 Vouchers for bank code: bofa Bank total : 99,995.88
56 Vouchers in this report Total vouchers : 99,995.88
Page: 9
t for FY 2011-12.
Respectfully submitted,
Bernie Simon
Finance Director
Manager Approval:
Betsy �I Ada s
City Manager
ATTACHMENTS:
Check Register— September 27, 2011
e Preliminary Draft Initial Recognized Obligation
Payment Schedule dated September 15, 2011 (Exhibit A to the Resolution)
r
FILE WITH: CLAIM FOR DAMAGES RESERVE FOR FILING
CITY OF GRAND TERRACE TO PERSON OR PROPERTY STAMP
CITY CLERK'S OFFICE CLAIM NO.GTLC�—/I—o/
22795 Barton Road
Grand Terrace,CA 92313
INSTRUCTIONS RECEIVED
1. Claims for death,injury to person or to personal property must be filed not later than
six months after the occurrence. (Government Code Section 911.2) JUL
2. Claims for damages to real property must be filed not later than one year after the 2 6 2011 ,
occurrence. (Government Code Section 911.2)
3. Read entire Claim Form before filing.
4. This claim form must be signed on page 2 at the bottom. CITY OF GRAND TERRACE
5. See Page 2 for space provided to include a diagram of accident location. , .\'CLERK'S DEPARTMENT
6. Attach separate sheets,if necessary,to give full details. SIGN EACH SHEET.
TO: City of Grand Terrace Date of Birth of imant
Name of Claimant 4...euthSoy) Occupation of Claimant
wciAt
Home Address of Claimant - - —— — - ' "anti c+o+ - - F'--^T.1..phone Numbe n r
_ -..
City and State buau.w. u,aphone
ern '( ,k.4ratt) Number G o o
Give address and telephone number to which you desire notices or communications to be Claimant's Social Security
sent regarding this claim No
When did D M��AGE INJURY, �,,o�cc7cuurr�?1r^ rn, Name of any city employees involved in INJURY or DAMAGE
Date OU 1)�l'\` ime Nom)` "•or Uvkv).
Of aromptierw-ti>09 teLr.6
If claim is for Equitable Indemnity,give date J� `r+
claimant served with the complaint: lk
j'���/ C�� �v 1 1 v 1a Y VI"►Date \ ��(J
Where did DAMAGE or INJURY occur? Describe fully,and provide a diagram in the section provided on page 2. Where
appropriate,give street names and(addressessej and measurements from landmarks:'- i= j�� (� e
t C'E _ -- !° �� '1'� 0-1 r C 1 l (Xi 11) 11( \"
d\C t Ql rOr- 1'A--mum) A Un,G
De cribe in detail how the DAMAGE or INJURY occurred.
CAraW An \ & GY)NUN) --atcn b O au ici
tip 01 VY J VA W
M 13 ark
OIL
dog ilr n 10
NW, °bat tm--ieVt-
y do you claim the ity is responsi ?
0u,1b-
The amount claimed,as of the date of presen tion of this claim,is computed as folio V
VILOVOL--
Damages incurred to date(exact): Estimated prospective damages as far as known: ArAtha
Damage to property $ Future expenses for medical and hospital care $Nih aid
4����( r Expenses for medical and hospital care $ a�r�,� Future loss of earnings $ �
1 ` `,ik a{ ^Loss of earnings $T;/70 Other prospective special damages $ )
Slitv �C�v Special damages for yl' $(ppV Prospective general damages $ A V-gild
ALL
��" t'lfGeneral damages 'V .................$ Total estimate prospective damages $ �,lp�
obi-r{'SV' 2',,,,sV,0_ Total damages incurred to date $ �/,/� OV UV�JV�
d'�L r r iVT'otal amount claimed as of date of presentation of this claim:$ ✓'l
L
r,,,n(13WILi4 • See Page 2(over) THIS CLAIM MUST BE SIGNED ON REVERSE SIDE
rty 36,000 12,000 6,000 5,500 11,500
25).Consulting Services K&A Engineering Infrastructure study/design 30,442 30,442 30,000 442 30,442
26).Consulting Services Chamber of Commerce Business development services 10,300 10,300 2,580 6,000 8,580
0 0 0
0 0 0
0 0 0
0 0 0
Totals-This Page $ 73,806,436 $ 6,569,828 $ 1,091,839 $1,763,451 $ 2,855,290
Totals-Other Obligations $ 123,366,703 $ 3,891,000 $ 2,185,500 $1,705,500 $ 3,891,000
Grand total-All Pages $ 197,173,139 $ 10,460,828 $ 3,277,339 $3,468,951 1$ 6,746,290
* This Preliminary Draft Initial Recognized Obligation Payment Schedule is to be adopted by the redevelopment agency no later than 9/30/2011.It is valid through 6/30/12.
**Debt service payment of$1,788,425 made 9/1/2011 so not reflected in"10/1/11 through 12/31/11"expenditures. �! .S J/• /
***This payment will be made as soon as the Agency is no longer precluded from doing so.
•
Was damages and/or injury investigated by police? O If so,what city?
Were paramedics or ambulance called? 1 ' 0 If so,name city or ambulance M �M� (� �
If injured,state date,time,name and address of doctor of your first visit D� 0(9 k l 0 I \ \N Y .L& VIV A ,•• -
GLOWS fin „mu weloutvli pipvweter--
WITNESSES to DAMAGE or INJURY:List all persons and addresses of persons known to have information:
Name Address Phone
Name Address Phone
Name Address Phone
DOCTORS and HOSPITALS:
IAMAX Vi MUMt U WWI tiViC - oil oil
Hospital Address Date Hospitalized
r V i ewt-el MO
Doctor Address Date of Treatment
Doctor Address Date of Treatment
READ CAREFULLY
For all accident claims provide in the following area a of City Vehicle when you first saw it, and by "B'
diagram of the names of streets,including North,East, location of yourself or your vehicle when you first saw
South,and West;indicate place of accident by"X'and City vehicle;location of City vehicle at time of accident
by showing house numbers or distances to street by"A-1"and location of yourself or your vehicle at the
corners. If City Vehicle was involved, designate by time of accident by"B-1"and the point of impact by
letter"A'location
Signature of Claiman,(or p son filing on his/her behalf Typed or Printed Name A -,,mil, ('
giving relationship to laim nt (14
VV"-(J,,
Date: J).'% �` )r \5e/ViVA
NOTE. CLAIMS MUST BE FILED WITH THE CITY CLERK(Government Code Section 915a). Presentation of a false Tc/V
claim is a felony(Penal Code Section 72.)
1 1 v 1a Y VI"►Date \ ��(J
Where did DAMAGE or INJURY occur? Describe fully,and provide a diagram in the section provided on page 2. Where
appropriate,give street names and(addressessej and measurements from landmarks:'- i= j�� (� e
t C'E _ -- !° �� '1'� 0-1 r C 1 l (Xi 11) 11( \"
d\C t Ql rOr- 1'A--mum) A Un,G
De cribe in detail how the DAMAGE or INJURY occurred.
CAraW An \ & GY)NUN) --atcn b O au ici
tip 01 VY J VA W
M 13 ark
OIL
dog ilr n 10
NW, °bat tm--ieVt-
y do you claim the ity is responsi ?
0u,1b-
The amount claimed,as of the date of presen tion of this claim,is computed as folio V
VILOVOL--
Damages incurred to date(exact): Estimated prospective damages as far as known: ArAtha
Damage to property $ Future expenses for medical and hospital care $Nih aid
4����( r Expenses for medical and hospital care $ a�r�,� Future loss of earnings $ �
1 ` `,ik a{ ^Loss of earnings $T;/70 Other prospective special damages $ )
Slitv �C�v Special damages for yl' $(ppV Prospective general damages $ A V-gild
ALL
��" t'lfGeneral damages 'V .................$ Total estimate prospective damages $ �,lp�
obi-r{'SV' 2',,,,sV,0_ Total damages incurred to date $ �/,/� OV UV�JV�
d'�L r r iVT'otal amount claimed as of date of presentation of this claim:$ ✓'l
L
r,,,n(13WILi4 • See Page 2(over) THIS CLAIM MUST BE SIGNED ON REVERSE SIDE
rty 36,000 12,000 6,000 5,500 11,500
25).Consulting Services K&A Engineering Infrastructure study/design 30,442 30,442 30,000 442 30,442
26).Consulting Services Chamber of Commerce Business development services 10,300 10,300 2,580 6,000 8,580
0 0 0
0 0 0
0 0 0
0 0 0
Totals-This Page $ 73,806,436 $ 6,569,828 $ 1,091,839 $1,763,451 $ 2,855,290
Totals-Other Obligations $ 123,366,703 $ 3,891,000 $ 2,185,500 $1,705,500 $ 3,891,000
Grand total-All Pages $ 197,173,139 $ 10,460,828 $ 3,277,339 $3,468,951 1$ 6,746,290
* This Preliminary Draft Initial Recognized Obligation Payment Schedule is to be adopted by the redevelopment agency no later than 9/30/2011.It is valid through 6/30/12.
**Debt service payment of$1,788,425 made 9/1/2011 so not reflected in"10/1/11 through 12/31/11"expenditures. �! .S J/• /
***This payment will be made as soon as the Agency is no longer precluded from doing so.
Attachment B
Recommendation from Carl Warren & Co.
•
ATTACHMENT A
Claims for Damages — Stevenson
•
a
0
0
0
0
0
0
Total : 536.86
56 Vouchers for bank code: bofa Bank total : 99,995.88
56 Vouchers in this report Total vouchers : 99,995.88
Page: 9
t for FY 2011-12.
Respectfully submitted,
Bernie Simon
Finance Director
Manager Approval:
Betsy �I Ada s
City Manager
ATTACHMENTS:
Check Register— September 27, 2011
e Preliminary Draft Initial Recognized Obligation
Payment Schedule dated September 15, 2011 (Exhibit A to the Resolution)
4m—m—vr
September 15, 2011
RECEIVED
SEP 2 0 20111
OF GRAND TERRACE
TO: The City of Grand Terrace CMyr CLERK'S DEPARTMENT
ATTENTION: Brenda Mesa, City Clerk
RE: Claim Stevenson vs. City of Grand Terrace
Claimant : Jyden Stevenson and Rheanna Stevenson
D/Event 6-6-11
Rec'd Y/Office : 7-26-11
Our File 1582189-RWQ
We have reviewed the above captioned claims and request that you take the action indicated
below: ,
• CLAIM REJECTION: Send a standard rejection letter to the claimant.
Please provide us with a copy of the notice sent, as requested above. If you have any
questions please contact the undersigned.
Enc.: Copy of my letter to claimant.
Veryuly yours,
&COMPANY
Roy Whang
cc: CJPIA
Attn: Paul Zeglovitch, Liability Claims Manager
CARL WARREN & CO.
CLAIMS MANAGEMENT.CLAIMS ADJUSTERS
770 S.Placentia Ave.,Placentia, CA 92870
Mail:P.O Box 25180•Santa Ana,Ca 92799-5180
Phone:(714)572-5200 •(800)572-6900•Fax:(714)961-8131
le;location of City vehicle at time of accident
by showing house numbers or distances to street by"A-1"and location of yourself or your vehicle at the
corners. If City Vehicle was involved, designate by time of accident by"B-1"and the point of impact by
letter"A'location
Signature of Claiman,(or p son filing on his/her behalf Typed or Printed Name A -,,mil, ('
giving relationship to laim nt (14
VV"-(J,,
Date: J).'% �` )r \5e/ViVA
NOTE. CLAIMS MUST BE FILED WITH THE CITY CLERK(Government Code Section 915a). Presentation of a false Tc/V
claim is a felony(Penal Code Section 72.)
1 1 v 1a Y VI"►Date \ ��(J
Where did DAMAGE or INJURY occur? Describe fully,and provide a diagram in the section provided on page 2. Where
appropriate,give street names and(addressessej and measurements from landmarks:'- i= j�� (� e
t C'E _ -- !° �� '1'� 0-1 r C 1 l (Xi 11) 11( \"
d\C t Ql rOr- 1'A--mum) A Un,G
De cribe in detail how the DAMAGE or INJURY occurred.
CAraW An \ & GY)NUN) --atcn b O au ici
tip 01 VY J VA W
M 13 ark
OIL
dog ilr n 10
NW, °bat tm--ieVt-
y do you claim the ity is responsi ?
0u,1b-
The amount claimed,as of the date of presen tion of this claim,is computed as folio V
VILOVOL--
Damages incurred to date(exact): Estimated prospective damages as far as known: ArAtha
Damage to property $ Future expenses for medical and hospital care $Nih aid
4����( r Expenses for medical and hospital care $ a�r�,� Future loss of earnings $ �
1 ` `,ik a{ ^Loss of earnings $T;/70 Other prospective special damages $ )
Slitv �C�v Special damages for yl' $(ppV Prospective general damages $ A V-gild
ALL
��" t'lfGeneral damages 'V .................$ Total estimate prospective damages $ �,lp�
obi-r{'SV' 2',,,,sV,0_ Total damages incurred to date $ �/,/� OV UV�JV�
d'�L r r iVT'otal amount claimed as of date of presentation of this claim:$ ✓'l
L
r,,,n(13WILi4 • See Page 2(over) THIS CLAIM MUST BE SIGNED ON REVERSE SIDE
rty 36,000 12,000 6,000 5,500 11,500
25).Consulting Services K&A Engineering Infrastructure study/design 30,442 30,442 30,000 442 30,442
26).Consulting Services Chamber of Commerce Business development services 10,300 10,300 2,580 6,000 8,580
0 0 0
0 0 0
0 0 0
0 0 0
Totals-This Page $ 73,806,436 $ 6,569,828 $ 1,091,839 $1,763,451 $ 2,855,290
Totals-Other Obligations $ 123,366,703 $ 3,891,000 $ 2,185,500 $1,705,500 $ 3,891,000
Grand total-All Pages $ 197,173,139 $ 10,460,828 $ 3,277,339 $3,468,951 1$ 6,746,290
* This Preliminary Draft Initial Recognized Obligation Payment Schedule is to be adopted by the redevelopment agency no later than 9/30/2011.It is valid through 6/30/12.
**Debt service payment of$1,788,425 made 9/1/2011 so not reflected in"10/1/11 through 12/31/11"expenditures. �! .S J/• /
***This payment will be made as soon as the Agency is no longer precluded from doing so.
7 .—
September 15, 2011
Rheanna Stev.�nenr+
>=3
,�
t
RE: Principal City of Grand Terrace
U ClaimantD/Event: 6-6-11
Jyden Stevenson
Our File 1582189 RWQ
Dear Ms. Stevenson
As you may recall from my phone call on 8-8-11, we are claims administrators for the City of
Grand Terrace. My investigation of your son Jyden's claim has been completed and after a
careful examination of the causation of his thumb injury at the community center, I must
regretfully advise you that I could not find any liability by the City of Grand Terrace.
As I believe I told you when we discussed your claim on 8-8-11, and forgive me if I didn't,the
City is self-insured. This means that any claim such as Jyden's and yours requires a finding of
negligence on the part of the City and/or its employees. Simply being injured at a City-owned
and operated facility does not automatically confer liability on the City.
As I understood it, your reasoning for making the claim was that there was a violation of the
State-mandated teacher-student ratio at the center that day. We respectfully disagree. Child
Care Services Director Cathy Varela states that there were 3 staff members on duty at the time
of Jyden's injury and a total of 35 children present. Since the State requires a ratio of one
staffer to 14 children, we were clearly within the required ratio.In addition, we have your
signed waiver,which releases the City from any claim for damages, except of course, in a case
of negligence by either the City or the Colton Unified School District.
Unfortunately, since no negligence by the City of Grand Terrace has been found, I am unable
to recommend that any settlement be offered to Jyden or yourself for your claim(s). This letter
does not affect the notice that will be sent to you by the City regarding the disposition of your
claim. If you have any questions,please call me at(714) 572-5276.
,ter
V Truly Yours,
, oy
C N&CO.
f
City of Grand Terrace/Attn: Brenda Mesa, City Clerk
CARL WARREN & CO.
CLAIMS MANAGEMENT•CLAIMS ADJUSTERS
770 S.Placentia Ave.Placentia,CA 92870
Mail:P.O.Box 25180•Santa Ana,Ca 92799-5180
Phone:(714) 572-5200•(800)572-6900•Fax:(714)961-8131
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dog ilr n 10
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y do you claim the ity is responsi ?
0u,1b-
The amount claimed,as of the date of presen tion of this claim,is computed as folio V
VILOVOL--
Damages incurred to date(exact): Estimated prospective damages as far as known: ArAtha
Damage to property $ Future expenses for medical and hospital care $Nih aid
4����( r Expenses for medical and hospital care $ a�r�,� Future loss of earnings $ �
1 ` `,ik a{ ^Loss of earnings $T;/70 Other prospective special damages $ )
Slitv �C�v Special damages for yl' $(ppV Prospective general damages $ A V-gild
ALL
��" t'lfGeneral damages 'V .................$ Total estimate prospective damages $ �,lp�
obi-r{'SV' 2',,,,sV,0_ Total damages incurred to date $ �/,/� OV UV�JV�
d'�L r r iVT'otal amount claimed as of date of presentation of this claim:$ ✓'l
L
r,,,n(13WILi4 • See Page 2(over) THIS CLAIM MUST BE SIGNED ON REVERSE SIDE
rty 36,000 12,000 6,000 5,500 11,500
25).Consulting Services K&A Engineering Infrastructure study/design 30,442 30,442 30,000 442 30,442
26).Consulting Services Chamber of Commerce Business development services 10,300 10,300 2,580 6,000 8,580
0 0 0
0 0 0
0 0 0
0 0 0
Totals-This Page $ 73,806,436 $ 6,569,828 $ 1,091,839 $1,763,451 $ 2,855,290
Totals-Other Obligations $ 123,366,703 $ 3,891,000 $ 2,185,500 $1,705,500 $ 3,891,000
Grand total-All Pages $ 197,173,139 $ 10,460,828 $ 3,277,339 $3,468,951 1$ 6,746,290
* This Preliminary Draft Initial Recognized Obligation Payment Schedule is to be adopted by the redevelopment agency no later than 9/30/2011.It is valid through 6/30/12.
**Debt service payment of$1,788,425 made 9/1/2011 so not reflected in"10/1/11 through 12/31/11"expenditures. �! .S J/• /
***This payment will be made as soon as the Agency is no longer precluded from doing so.
The Blue Mountain Cite
Grand Terrace,
CALIFORNIA AG.EN DA REPORT
MEETING DATE: September 27, 2011 Council Item ( X ) CRA Item ( )
TITLE: County of San Bernardino Contract Providing Funding for
Improvements and Programs at the Grand Terrace Child
Care Center
PRESENTED BY: Cathy Varela, Child Care Services Director
RECOMMENDATION: Accept $35,000. from _the. County of San Bernardino for
facility improvements and programs at the Grand Terrace
Child Care Center and authorize the City Manager to sign
the contract on behalf of the City.
BACKGROUND:
As part of the 2011-12 budget process, the Board of Supervisors set aside allocations
for each supervisorial district to finance unbudgeted priority needs. In July, staff. from
Supervisor Neil Derry's office asked the City to identify projects in Grand Terrace which
could be considered for Third District funding. City staff identified several projects and
in August, Supervisor Derry's staff toured the Grand Terrace Child Care Center (Child
Care Center) as part of the review of the requests submitted for this facility.. On
September 1, Supervisor Derry's staff notified the City .that the Child Care Center had
been selected to receive $35,000..
DISCUSSION:
The Child Care Center submitted a variety of facility and program needs for
consideration for Third District .funding. The $35,000 contract from the County will be
used for the items listed below.
Air Conditioning: One air conditioning unit will be replaced and ducting will be installed
to a second air conditioning unit.
Fencing: Fence on the north side of the playground will be replaced.
Soft Turf: Upper layer of soft turf material on the playground area will be replaced.
Shade Canopy: Shade canopy will be installed on the south side of the playground to
allow the infants to play outdoors in the infant playground during warmer seasons.
COUNCIL AGENDA ITEM NO3F
CARL WARREN & CO.
CLAIMS MANAGEMENT•CLAIMS ADJUSTERS
770 S.Placentia Ave.Placentia,CA 92870
Mail:P.O.Box 25180•Santa Ana,Ca 92799-5180
Phone:(714) 572-5200•(800)572-6900•Fax:(714)961-8131
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tip 01 VY J VA W
M 13 ark
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dog ilr n 10
NW, °bat tm--ieVt-
y do you claim the ity is responsi ?
0u,1b-
The amount claimed,as of the date of presen tion of this claim,is computed as folio V
VILOVOL--
Damages incurred to date(exact): Estimated prospective damages as far as known: ArAtha
Damage to property $ Future expenses for medical and hospital care $Nih aid
4����( r Expenses for medical and hospital care $ a�r�,� Future loss of earnings $ �
1 ` `,ik a{ ^Loss of earnings $T;/70 Other prospective special damages $ )
Slitv �C�v Special damages for yl' $(ppV Prospective general damages $ A V-gild
ALL
��" t'lfGeneral damages 'V .................$ Total estimate prospective damages $ �,lp�
obi-r{'SV' 2',,,,sV,0_ Total damages incurred to date $ �/,/� OV UV�JV�
d'�L r r iVT'otal amount claimed as of date of presentation of this claim:$ ✓'l
L
r,,,n(13WILi4 • See Page 2(over) THIS CLAIM MUST BE SIGNED ON REVERSE SIDE
rty 36,000 12,000 6,000 5,500 11,500
25).Consulting Services K&A Engineering Infrastructure study/design 30,442 30,442 30,000 442 30,442
26).Consulting Services Chamber of Commerce Business development services 10,300 10,300 2,580 6,000 8,580
0 0 0
0 0 0
0 0 0
0 0 0
Totals-This Page $ 73,806,436 $ 6,569,828 $ 1,091,839 $1,763,451 $ 2,855,290
Totals-Other Obligations $ 123,366,703 $ 3,891,000 $ 2,185,500 $1,705,500 $ 3,891,000
Grand total-All Pages $ 197,173,139 $ 10,460,828 $ 3,277,339 $3,468,951 1$ 6,746,290
* This Preliminary Draft Initial Recognized Obligation Payment Schedule is to be adopted by the redevelopment agency no later than 9/30/2011.It is valid through 6/30/12.
**Debt service payment of$1,788,425 made 9/1/2011 so not reflected in"10/1/11 through 12/31/11"expenditures. �! .S J/• /
***This payment will be made as soon as the Agency is no longer precluded from doing so.
Refrigerator and Freezer: Replace existing 20-year-old commercial refrigerator and
freezer with more energy efficient appliances.
The anticipated cost for these items is $34,200 and the work must be completed by
June 30, 2012. The Child Care Center, aside from a temporary closure of the
playground area, will remain in full operation while these facility improvements are
made.
In addition to the facility improvements, the contract from the County also provides
funding for two Child Care Center programs which were eliminated several years ago
due to General Fund budget reductions.
Animal .Week: A traveling petting zoo will be rented to provide the children with a
hands-on experience with animals during Animal Week.
Transportation Week: A train will be'rented for the children to ride during Transportation
Week.
The anticipated cost for these items is $800.
FISCAL IMPACT:
The contract calls for the County to disburse funds in one lump sum, provided in
advance, upon execution of the contract. The City would recognize the anticipated
revenue from the County contract as additional General Fund budget revenue which
would be classified as follows:
1. $34,200 in County Contribution-Capital
2. $800 in County Contribution-Child Care Operations
Appropriation of the additional General Fund revenue would be made as follows:
1. $34,200 in the General Fund capital projects budget (for facilities improvements)
2. $800 in the Child Care Services revenue budget (for programs)
Respectfully submitted:
Cathy Varela,. Child Care Services Director
Manager Approval: / • d)-17.
Betsy . Adams, City Manager
ATTACHMENTS:
County of San Bernardino County Contract'with City of Grand Terrace Child Care
Service
l be replaced.
Shade Canopy: Shade canopy will be installed on the south side of the playground to
allow the infants to play outdoors in the infant playground during warmer seasons.
COUNCIL AGENDA ITEM NO3F
CARL WARREN & CO.
CLAIMS MANAGEMENT•CLAIMS ADJUSTERS
770 S.Placentia Ave.Placentia,CA 92870
Mail:P.O.Box 25180•Santa Ana,Ca 92799-5180
Phone:(714) 572-5200•(800)572-6900•Fax:(714)961-8131
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tip 01 VY J VA W
M 13 ark
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dog ilr n 10
NW, °bat tm--ieVt-
y do you claim the ity is responsi ?
0u,1b-
The amount claimed,as of the date of presen tion of this claim,is computed as folio V
VILOVOL--
Damages incurred to date(exact): Estimated prospective damages as far as known: ArAtha
Damage to property $ Future expenses for medical and hospital care $Nih aid
4����( r Expenses for medical and hospital care $ a�r�,� Future loss of earnings $ �
1 ` `,ik a{ ^Loss of earnings $T;/70 Other prospective special damages $ )
Slitv �C�v Special damages for yl' $(ppV Prospective general damages $ A V-gild
ALL
��" t'lfGeneral damages 'V .................$ Total estimate prospective damages $ �,lp�
obi-r{'SV' 2',,,,sV,0_ Total damages incurred to date $ �/,/� OV UV�JV�
d'�L r r iVT'otal amount claimed as of date of presentation of this claim:$ ✓'l
L
r,,,n(13WILi4 • See Page 2(over) THIS CLAIM MUST BE SIGNED ON REVERSE SIDE
rty 36,000 12,000 6,000 5,500 11,500
25).Consulting Services K&A Engineering Infrastructure study/design 30,442 30,442 30,000 442 30,442
26).Consulting Services Chamber of Commerce Business development services 10,300 10,300 2,580 6,000 8,580
0 0 0
0 0 0
0 0 0
0 0 0
Totals-This Page $ 73,806,436 $ 6,569,828 $ 1,091,839 $1,763,451 $ 2,855,290
Totals-Other Obligations $ 123,366,703 $ 3,891,000 $ 2,185,500 $1,705,500 $ 3,891,000
Grand total-All Pages $ 197,173,139 $ 10,460,828 $ 3,277,339 $3,468,951 1$ 6,746,290
* This Preliminary Draft Initial Recognized Obligation Payment Schedule is to be adopted by the redevelopment agency no later than 9/30/2011.It is valid through 6/30/12.
**Debt service payment of$1,788,425 made 9/1/2011 so not reflected in"10/1/11 through 12/31/11"expenditures. �! .S J/• /
***This payment will be made as soon as the Agency is no longer precluded from doing so.
•
•
FOR COUNTY USE ONLY
'� X New Vendor Code Dept. i Contract Number
2,,D.ii3 Change SC A '
Cancel
wY% County Department Dept. Orgn. C$ntractor's License No.
Board of Supervisors BDF BDC
County Department Contract.Representative Telephone Total Contract Amount
County of San Bernardino Matthew Erickson 387-3937 ! $35,000.00
F A S Contract Type
❑ Revenue ❑ Encumbered ® Unencumbered ❑ Other:
STANDARD CONTRACT If not encumbered or revenue contract type,provide reason:
Commodity Code Contract Start Date Contract End Date Original Amount Amendment Amount
Fund Dept. Organization Appr. Obj/Rev Source GRC/PROJ/JOB No. Amount
AAA CNA CNA 300 3305 $35,000.00
Fund Dept. Organization Appr. Obj/Rev Source GRC/PROJ/JOB No. Amount
•
Fund Dept. Organization Appr. Obj/Rev Source GRC/PROJ/JOB No. Amount
Project Name Estimated Payment Totalby Fiscal Year
City of Grand Terrace Child FY Amount I/D FY Amount I/D
Care Services 2011-12 $35,000.00
•
THIS CONTRACT is entered into in the State of California by and between the County of San Bernardino, hereinafter called
the COUNTY, and
Name
City of Grand Terrace Child Care Services hereinafter called "CONTRACTOR"
o .
Address
22795 Barton Road •
-
Grand Terrace, Ca 92313
Telephone Federal.ID No.or Social Security No.
909-430-2245 95-3316135
IT IS HEREBY AGREED AS FOLLOWS:
This Contract is made and entered into by and between the COUNTY and CONTRACTOR.
WITNESSETH -
WHEREAS, COUNTY recognizes the benefit in supporting the public purpose by assisting•with the provision of a
safe and positive learning experience for children of Grand Terrace within the COUNTY's Third District; and,
WHEREAS, as part of the 2011-12 budget process, the Board of Supervisors set aside allocations for each.
supervisorial district to finance unbudgeted priority needs throughout the fiscal year; and,
WHEREAS, CONTRACTOR provides quality low cost child care programs for residents of Grand Terrace as well as
residents in surrounding communities;and, •
WHEREAS, CONTRACTOR is in need of financial assistance for repairs to the facility, and air conditioning; to
purchase playground equipment, shade canopy, and.a commercial refrigerator and freezer; and to support animal week and
transportation week; and
Auditor/Controller-Recorder Use Only • Page 1 of 8
0 Contract Database 0 FAS -
Input Date Keyed By -
for medical and hospital care $ a�r�,� Future loss of earnings $ �
1 ` `,ik a{ ^Loss of earnings $T;/70 Other prospective special damages $ )
Slitv �C�v Special damages for yl' $(ppV Prospective general damages $ A V-gild
ALL
��" t'lfGeneral damages 'V .................$ Total estimate prospective damages $ �,lp�
obi-r{'SV' 2',,,,sV,0_ Total damages incurred to date $ �/,/� OV UV�JV�
d'�L r r iVT'otal amount claimed as of date of presentation of this claim:$ ✓'l
L
r,,,n(13WILi4 • See Page 2(over) THIS CLAIM MUST BE SIGNED ON REVERSE SIDE
rty 36,000 12,000 6,000 5,500 11,500
25).Consulting Services K&A Engineering Infrastructure study/design 30,442 30,442 30,000 442 30,442
26).Consulting Services Chamber of Commerce Business development services 10,300 10,300 2,580 6,000 8,580
0 0 0
0 0 0
0 0 0
0 0 0
Totals-This Page $ 73,806,436 $ 6,569,828 $ 1,091,839 $1,763,451 $ 2,855,290
Totals-Other Obligations $ 123,366,703 $ 3,891,000 $ 2,185,500 $1,705,500 $ 3,891,000
Grand total-All Pages $ 197,173,139 $ 10,460,828 $ 3,277,339 $3,468,951 1$ 6,746,290
* This Preliminary Draft Initial Recognized Obligation Payment Schedule is to be adopted by the redevelopment agency no later than 9/30/2011.It is valid through 6/30/12.
**Debt service payment of$1,788,425 made 9/1/2011 so not reflected in"10/1/11 through 12/31/11"expenditures. �! .S J/• /
***This payment will be made as soon as the Agency is no longer precluded from doing so.
WHEREAS, the COUNTY residents of Third District and the surrounding communities will be served by
CONTRACTOR'S child care programs.
•
NOW, THEREFORE, in consideration of.the mutual covenants herein set forth and the mutual benefits to be derived
therefrom,the parties agree as follows:
1. PURPOSE OF.CONTRACT
This Contract is made for the purpose of providing:funding to support CONTRACTOR with efforts to continue to
provide quality low cost child care programs for residents of Grand 'Terrace as well as residents in surrounding.
communities
2. SCOPE OF SERVICES
Funding arising out of this Contract will be used to assist CONTRACTOR with repairs to tkie facility including'its air
conditioning; to purchase playground equipment, shade canopy, and a commercial refrigerator and freezer; and to
support animal week and transportation.week,
3. TIME OF PERFORMANCE
The services to be provided by CONTRACTOR shall commence upon approval of this contract and shall be
completed by June 30, 2012.
•
4. COMPENSATION AND METHOD OF PAYMENT
For performance of such services, COUNTY shall provide funding in an amount not to exceed thirty five thousand
dollars ($35,000,00). This payment shall constitute full and complete compensation to CONTRACTOR under this
Contract. Any costs in excess of the amount available in this section shall be the sole responsibility of
CONTRACTOR. This condition however, does not preclude COUNTY from providing additional funding at its sole
discretion. For the purpose of this Contract, COUNTY shall disburse compensation and monitor the
CONTRACTOR' performance in satisfying the scope of work obligations under the terms of this Contract.
Disbursement of funds to CONTRACTOR shall be made in one lump sum. Payment may be provided in advance,
upon execution of this Contract CONTRACTOR shall submit a final expenditure report documented with "audit
ready"supportive evidence of each expenditure and proof of payment until all funds have been justified.
5. COMPLIANCE WITH LAWS •
CONTRACTOR hereby agrees that it will comply with all applicable federal, state and local laws. CONTRACTOR
agrees that acceptance of funds pursuant to this Contract may require the payment tof prevailing wages for
construction projects if such funds are used in connection with construction projects. CONTRACTOR agrees that it
will determine whether the payment.of.prevailing wages is required and will require the payment of prevailing wages
in any contract if necessary. CONTRACTOR, pursuant to Paragraph 19, Indemnification, agrees to indemnify, defend
and hold harmless COUNTY in the event any claims, actions, losses, damages and/or liability arises out of the failure
to pay prevailing wages in the event such wages are applicable.
6. PREVAILING WAGES
By its execution of this Agreement, CONTRACTOR certifies that it is aware of the requirements of California•Labor
Code Sections 1:720 et seq. and 1770 et seq. As well as California Code of Regulations„Title 8; Section 16000 et
seq. ("Prevailing Wage Laws"), which require the payment of prevailing wage rates and the performance of other
requirements on certain "public works" and "maintenance" projects. If the Services are being performed as part of an
applicable "public works" or "maintenance" project, as defined by the Prevailing Wage Laws, and if the total
compensation is $1,000 or more, CONTRACTOR agrees to fully comply with such i Prevailing Wage Laws.
Auditor/Controller-Recorder Use Only • Page 2 of 8
O Contract Database . CI FAS
Input pate 'Keyed By
. i
442 30,000 442 30,442
26).Consulting Services Chamber of Commerce Business development services 10,300 10,300 2,580 6,000 8,580
0 0 0
0 0 0
0 0 0
0 0 0
Totals-This Page $ 73,806,436 $ 6,569,828 $ 1,091,839 $1,763,451 $ 2,855,290
Totals-Other Obligations $ 123,366,703 $ 3,891,000 $ 2,185,500 $1,705,500 $ 3,891,000
Grand total-All Pages $ 197,173,139 $ 10,460,828 $ 3,277,339 $3,468,951 1$ 6,746,290
* This Preliminary Draft Initial Recognized Obligation Payment Schedule is to be adopted by the redevelopment agency no later than 9/30/2011.It is valid through 6/30/12.
**Debt service payment of$1,788,425 made 9/1/2011 so not reflected in"10/1/11 through 12/31/11"expenditures. �! .S J/• /
***This payment will be made as soon as the Agency is no longer precluded from doing so.
•
CONTRACTOR shall make copies of the prevailing rates of per diem wages for each craft, classification or type of
worker needed to execute the Services available to interested parties upon request, and shall post copies at the
CONTRACTOR'S principal place of business and at the project site. CONTRACTOR shall defend, indemnify and
hold the COUNTY, its elected officials, officers, employees and agents free and harmless from any claims, liabilities,
costs, penalties or interest arising out of any failure or alleged failure to comply with Prevailing Wage Laws.
7. ON-SITE INSPECTION
COUNTY, its officers, agent and employees, will have the privilege and right to on-site inspection of CONTRACTOR's
facility for the duration of this Contract. CONTRACTOR will ensure that its employees or agents furnish any
information that in the judgment of COUNTY may be relevant to a question of compliance with contractual conditions,
or the effectiveness, legality, and achievements of the program.
8: ACCOUNTING AND RECORDS
CONTRACTOR must establish and maintain on a current basis an adequate accounting:system in accordance with
Generally Accepted Accounting,Principles. CONTRACTOR agrees to maintain all records relating to this Contract for
a period of three years after the termination or expiration of this Contract. County or any appointee thereof shall have
absolute rightto review and audit all records, books, papers, documents, corporate minutes, and other pertinent items
as requested.
9. VIOLATION OF CONTRACT
In the event that CONTRACTOR violates any of the terms and conditions of this Contract, COUNTY shall give written
notice of violation and demand for correction. If, within thirty(30) days from receipt of written notice, CONTRACTOR
has not corrected the violation or shown acceptable cause, COUNTY has the right to terminate this Contract. County
will provide a written Notice of Termination. It is agreed that in _the event of a termination'due to a violation of this
Contract by CONTRACTOR, it shall pay to COUNTY within ten (10) days of receipt of a Notice of Termination, any
and all unexpended funds. Said sum is agreed to represent a reasonable endeavor by both parties hereto, to be a
fair compensation for the foreseeable losses that might result from such a breach or default. If CONTRACTOR
violates any terms and conditions regarding the proper expenditure of funds, CONTRACTOR will be required to
•
reimburse COUNTY for any improper expenditures.
10. ASSIGNMENT
This Contract is not assignable by CONTRACTOR, without the express written consent of COUNTY. Any attempt by
CONTRACTOR to assign any performance of the terms of thisContract shall be null and void and shall constitute a
material breach of this Contract. •
11. TERMINATION AND TERMINATION COSTS
This Contract may be terminated in whole or in part at anytime by either party upon giving (30) days noticein writing
to the other party. The Chief Executive Officer is hereby empowered to give said notice subject to ratification by the
COUNTY Board of Supervisors if-required.
•
COUNTY may immediately terminate this Contract upon the termination, suspension, discontinuation or substantial
reduction in COUNTY funding for the Contract activity or if for any reason the timely completion of.the services under
this Contract is rendered improbable, infeasible or impossible. If CONTRACTOR fails to comply with any material
term of this Contract, COUNTY may take one or more of the following-actions: disallowing. non-compliant costs,
wholly or partly suspending or terminating the award, withholding further awards, and other remedies that are Legally
available.
12. REVERSION OF ASSETS
- r
•
Auditor/Controller-Recorder'We Only • Page 3 of 8
0 Contract Database 0 FAS
Input Date Keyed By
0 0
0 0 0
Totals-This Page $ 73,806,436 $ 6,569,828 $ 1,091,839 $1,763,451 $ 2,855,290
Totals-Other Obligations $ 123,366,703 $ 3,891,000 $ 2,185,500 $1,705,500 $ 3,891,000
Grand total-All Pages $ 197,173,139 $ 10,460,828 $ 3,277,339 $3,468,951 1$ 6,746,290
* This Preliminary Draft Initial Recognized Obligation Payment Schedule is to be adopted by the redevelopment agency no later than 9/30/2011.It is valid through 6/30/12.
**Debt service payment of$1,788,425 made 9/1/2011 so not reflected in"10/1/11 through 12/31/11"expenditures. �! .S J/• /
***This payment will be made as soon as the Agency is no longer precluded from doing so.
a
Upon Contract termination, CONTRACTOR shall transfer to COUNTY all COUNTY Funds on hand at the time of
expiration and any accounts receivable attributable to the use of COUNTYFunds.
13. TIME OF PERFORMANCE MODIFICATIONS °
The Chief Executive Officer may grant time of performance modifications to this Contract when such modifications:
a. In aggregate do not exceed twelve (12) calendar months;
b. Are specifically requested by CONTRACTOR;
c. Will not change the project goals or scope of services;
d. Are in the best interests of COUNTY and CONTRACTOR in performing the scope of services under
this Contract;add
e. Do not alter the amount of compensation under this Contract.
14. INDEPENDENT CONTRACTOR
All parties hereto.in the performance of this. Contract will be acting in independent capacities and not as agents,
employees, partners, joint venturers, or associates of one another. The employees or agents of one party shall not
be deemed or construed to be the agents or employees of the other party for any purpose whatsoever.
15. DISCRIMINATION
No person shall; on the grounds of race; sex, creed, color, religion, or national origin, be excluded from participating
in, be refused the:benefits of, or otherwise be subjected to discrimination in any activities, programs, or employment
supported by this Contract,
16. CONTRACT COMPLIANCE
CONTRACTOR shall comply with Executive Orders 11246, as amended by Executive Orders 11375, 11478, 12086,
and 12107, (Equal Employment Opportunity), Executive Orders 11625, 12138, 12432, 12250, and Executive Order
13279 (Equal Protection of the Laws for Faith=Based and Community Organizations),-Title VII of the Civil Rights Act
of 1964, and the California Fair Housing and Employment Act, and otherapplicable federal,'State and COUNTY laws,
regulations and policies relating to equal employment and contracting opportunities, including laws and regulations
hereafter enacted.
17. IMPROPER CONSIDERATION
CONTRACTOR shall not offer (either directly or through an intermediary) any improper consideration, such as, but
not limited to, cash, discounts, services Or the provision of travel or entertainment, or any items of Value to any officer,
employee or agent-of COUNTY in an attempt to secure favorable treatment regarding this Contract or any contract
awarded by COUNTY. COUNTY, by notice, may immediately terminate this Contract or any COUNTY contract if it
determines that any improper consideration- as described in the preceding sentence was offered to any officer,
employee or agent of COUNTY with respect to any:proposal or award process involving this Contract or any other
COUNTY contract. This prohibition shall apply to any amendment, extension or evaluation process once this
Contract or any COUNTY contract has been awarded. Attorneys shall immediately report any attempt by any
COUNTY officer, employee or agent to solicit (either directly or through an intermediary) improper consideration from
CONTRACTOR. The report:shall be made to the supervisor or manager charged with supervision of the employee or
to the County Administrative Office. In the event of a termination under this provision, COUNTY is entitled to pursue
any available legal remedies.
18. MISREPRESENTATION •
°
If during the course of the administration of this Contract, COUNTY determines that CONTRACTOR has made a
material misstatement or misrepresentation or that materially inaccurate information has been provided to COUNTY,
this Contract may be immediately terminated. If this Contract is terminated according to this provision, COUNTY is
entitled to pursue any available legal remedies.
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Totals-This Page $ 73,806,436 $ 6,569,828 $ 1,091,839 $1,763,451 $ 2,855,290
Totals-Other Obligations $ 123,366,703 $ 3,891,000 $ 2,185,500 $1,705,500 $ 3,891,000
Grand total-All Pages $ 197,173,139 $ 10,460,828 $ 3,277,339 $3,468,951 1$ 6,746,290
* This Preliminary Draft Initial Recognized Obligation Payment Schedule is to be adopted by the redevelopment agency no later than 9/30/2011.It is valid through 6/30/12.
**Debt service payment of$1,788,425 made 9/1/2011 so not reflected in"10/1/11 through 12/31/11"expenditures. �! .S J/• /
***This payment will be made as soon as the Agency is no longer precluded from doing so.
•
19. INDEMNIFICATION
•
CONTRACTOR agrees to indemnify, defend (with counsel reasonably approved by COUNTY) and 'hold harmless
COUNTY and its authorized officers, employees, agents and volunteers from any and all claims, actions, losses,
damages, and/or liability arising out of this: Contract from any cause whatsoever, including the acts, errors or
omissions of any person and for any costs or expenses incurred by COUNTY on account of any claim except where
such indemnification is prohibited by law. This indemnification provision shall apply regardless of the existence or
degree of fault indemnitees. CONTRACTOR's indemnification obligation applies to COUNTY's "active" as well as
"passive" negligence but does not apply to COUNTY's "sole negligence" or"willful misconduct"within the meaning of
Civil Code Section 2782. •
20. INSURANCE REQUIREMENTS
CONTRACTOR agrees to provide insurance set forth in accordance with the requirements herein. If CONTRACTOR
uses existing coverage to comply with these requirements and that coverage does not meet the specified
requirements, CONTRACTOR agrees to amend, supplement, or endorse the existing coverage to do so. The type(s)
of insurance required is determined by the scope of.the contract services. •
Without in any way affecting the indemnity herein provided and in addition thereto, CONTRACTOR shall self-insure to
the levels identified herein:or shall secure and maintain throughout the Contract the following types of insurance with
limits as shown:
Workers' Compensation/Employer's Liability - A program of Workers' Compensation insurance or a'state-
approved Self-Insurance Program in an amount and form to meet all applicable requirements of the Labor
Code of the State. of California, including Employers' Liability with $250,000 limits, covering all persons
including volunteers providing services on behalf of CONTRACTOR and all risks to such persons under this
Contract.
If CONTRACTOR.has no employees, it may certify or warrant to COUNTY that it does not currently have any
employees or individuals who are defined as "employees" under the Labor Code and the requirement for
Workers'Compensation coverage will be waived by the COUNTY's Risk Manager. •
With respect to contractors that are non-profit corporations organized under California or .Federal law;
volunteers for such entities are required to be covered by Workers' Compensation insurance. If the
COUNTY's Risk Manager determines that there is no reasonably priced coverage for volunteers, evidence of
participation in a volunteer insurance programmay be substituted.
Commercial/General Liability Insurance—CONTRACTOR shall carry General_Liability Insurance covering all
operations performed by or on behalf of. CONTRACTOR ,providing coverage for both bodily injury and
property damage with a combined single limit of not less than one million dollars ($1,000,000), per
occurrence. The policy coverage shall include:
a) Premises operations and mobile equipment
b) Products and completed operations
c) Broad form property damage (including completed operations) •
d) Explosion, collapse and underground hazards
e) Personal injury
f) Contractual liability
g) $2,000,000'general aggregate limit.
Automobile Liability Insurance_Primary insurance coverage shall be written on ISO Business Auto coverage
form for all owned, hired, and non-owned automobiles or symbol 1 (any auto). The policy shall have a
combined single limit of not less than one million dollars ($1,000,000) for bodily injury and property damage,
per occurrence:
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Totals-This Page $ 73,806,436 $ 6,569,828 $ 1,091,839 $1,763,451 $ 2,855,290
Totals-Other Obligations $ 123,366,703 $ 3,891,000 $ 2,185,500 $1,705,500 $ 3,891,000
Grand total-All Pages $ 197,173,139 $ 10,460,828 $ 3,277,339 $3,468,951 1$ 6,746,290
* This Preliminary Draft Initial Recognized Obligation Payment Schedule is to be adopted by the redevelopment agency no later than 9/30/2011.It is valid through 6/30/12.
**Debt service payment of$1,788,425 made 9/1/2011 so not reflected in"10/1/11 through 12/31/11"expenditures. �! .S J/• /
***This payment will be made as soon as the Agency is no longer precluded from doing so.
If CONTRACTOR is transporting one or more non-employee passengers in performance of contract services,
the automobile liability policy shall have a combined single limit of two million dollars ($2,000,000) for bodily
injury and property damage per occurrence.
If CONTRACTOR owns no autos, a non-owned auto endorsement to the General'Liability policy described
above is acceptable.
Umbrella Liability Insurance—An umbrella (over primary) or excess policy may be used to comply with limits
or other primary coverage requirements. When used, the umbrella policy shall apply to bodily injury/property
damage, personal injury/advertising injury and shall include a "dropdown" provision providing primary
coverage for any liability not covered by the primary policy. The coverage shall'also apply to automobile
liability.
Additional Insured — All policies, except for the Workers' Compensation, Errors and Omissions and
Professional Liability policies shall contain endorsements naming COUNTY and its officers, employees,
agents and volunteers as additional insureds with respect to liabilities arising out of the performance of
services hereunder. The additional insured endorsements shall not limit the scope of coverage for COUNTY
to vicarious liability but shall allow coverage for COUNTY to the full extent provided by the policy. Such
additional insured coverage shall be at least as broad as Additional Insured (Form B) endorsement form ISO,
CG 2010.11 85.
Waiver of Subrogation Rights — CONTRACTOR shall require the carriers of required coverages to waive all
rights of subrogation against. COUNTY, its officers, employees, agents, volunteers, contractors and
subcontractors. All general or auto liability insurance coverage provided shall not prohibit CONTRACTOR
and its employees or agents from waiving the right of subrogation prior to a loss or claim. CONTRACTOR
hereby waives all rights of subrogation against COUNTY.
Policies Primary and Non-Contributory - All policies required herein are to be primary and non-contributory
with any insurance or self-insurance programs carried or administered by COUNTY.
•
Severability of Interests — CONTRACTOR agrees to ensure that coverage provided to meet these
requirements is applicable separately to each insured and there will be no cross liability exclusions that
preclude coverage for suits between CONTRACTOR and COUNTY or between ,COUNTY and any other
insured or additional insured under the policy.
Acceptability of Insurance Carrier — Unless otherwise approved by Risk Management, insurance shall be
written by insurers authorized to do business in the State of California and with a minimum "Best" Insurance
Guide rating of"A-VII".
Deductibles and Self-Insured Retention — Any and all deductibles or self-insured retentions in excess of
$10,000 shall be declared to and approved by Risk Management.
Failure to Procure Coverage— In the event that any policy of insurance required under this contract does not
comply with the requirements, is not procured, or is canceled and not replaced, COUNTY has the right but not
the obligation or duty to cancel the contract or obtain insurance if it deems necessary and any premiums paid
by COUNTY will be promptly reimbursed by CONTRACTOR or COUNTY payments to CONTRACTOR will be
reduced to pay for COUNTY purchased insurance.
21. PROOF OF COVERAGE
CONTRACTOR shall furnish certificates of insurance to the COUNTY evidencing the insurance coverage, including
endorsements, as required, prior to the commencement of performance of services hereunder, which certificates shall
provide that such insurance shall not be terminated or expire without thirty (30) days written notice to COUNTY, and
CONTRACTOR shall maintain such insurance from the time it commences performance of services hereunder until
the completion of such services. Within fifteen. (15) days of the_commencement of this Contract, CONTRACTOR
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and total-All Pages $ 197,173,139 $ 10,460,828 $ 3,277,339 $3,468,951 1$ 6,746,290
* This Preliminary Draft Initial Recognized Obligation Payment Schedule is to be adopted by the redevelopment agency no later than 9/30/2011.It is valid through 6/30/12.
**Debt service payment of$1,788,425 made 9/1/2011 so not reflected in"10/1/11 through 12/31/11"expenditures. �! .S J/• /
***This payment will be made as soon as the Agency is no longer precluded from doing so.
•
•
shall furnish-a copy of the Declaration page for all applicable policies and will provide complete certified copies of the
policies and endorsements immediately upon request.
s
22. INSURANCE REVIEW
Insurance requirements are subject to periodic review by COUNTY. The COUNTY's.Risk'Manager, or designee, is
authorized, but not required, to reduce,'waive, or suspend any insurance requirements whenever Risk Management
determines that any of the required insurance is not available,is unreasonably priced, or is not needed to protect the
interests of COUNTY._In addition, if Risk Management determines that heretofore unreasonably priced or unavailable
types of insurance coverage or coverage limits become reasonably priced or available, the Risk Manager, or
designee, is authorized, but not required, to change the above insurance requirements, to require additional types of
insurance coverage or higher coverage limits, provided that any such change is reasonable in light of past claims
against COUNTY, inflation, or any other item reasonably related to the COUNTY's risk.
Any change requiring additional types of insurance coverage or higher coverage limits must be made by amendment
to this contract. CONTRACTOR agrees to execute any such amendment within thirty(30):days of receipt.
•
Any failure, actual or alleged, on the part of COUNTY to monitor or enforce compliance with any of the insurance and
indemnification requirements will not be deemed as a waiver of any rights on part of COUNTY.
23: ELECTRONIC FUNDS
CONTRACTOR shall accept all payments from COUNTY via electronic funds transfer (EFT) directly deposited into
the -CONTRACTOR's .designated checking or other bank account. CONTRACTOR shall promptly comply with
directions and accurately complete forms provided by COUNTY required to process EFT payments.
24. LEGAL FEES
CONTRACTOR understands and agrees that any and all legal.fees.or costs associated with lawsuits concerning this.
Contract against the COUNTY shall be the'CONTRACTOR's sOle expense and shall not be Charged as a cost under
this Contract. In the event of any Contract dispute hereunder, each party to.this Contract shall bear its own attorney's
fees and costs regardless of who prevails in the outcome of the dispute.
25. AMENDMENTS:VARIATIONS
This writing, with attachments, embodies the whole of the Contract of the parties hereto. There are no oral
agreements contained herein. Except as herein provided, addition or variation of the terms'of this Contract shall not
be valid unless made in the form of a written amendment to this Contract formally approved and executed by both
parties.
26. INVALID CONDITIONS
If any one or more of the terms, provisions, sections, promises, covenants or conditions of this Contract shall to any
extent be judged invalid, unenforceable, void or voidable for any -reason whatsoever, by a court of competent
jurisdiction, each and all of the remaining terms, provisions, sections, promises, covenants and conditions of the
Contract shall not be affected thereby, and shall be valid and enforceable to the fullest extent permitted by law.
27. BINDING INTEREST
This Contract shall be binding on the parties, successors in interest, heirs and assigns. •
28. NOTICES.
All.notices shall be served in writing. The notices shall be sent to the following addresses:
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•
Y evidencing the insurance coverage, including
endorsements, as required, prior to the commencement of performance of services hereunder, which certificates shall
provide that such insurance shall not be terminated or expire without thirty (30) days written notice to COUNTY, and
CONTRACTOR shall maintain such insurance from the time it commences performance of services hereunder until
the completion of such services. Within fifteen. (15) days of the_commencement of this Contract, CONTRACTOR
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and total-All Pages $ 197,173,139 $ 10,460,828 $ 3,277,339 $3,468,951 1$ 6,746,290
* This Preliminary Draft Initial Recognized Obligation Payment Schedule is to be adopted by the redevelopment agency no later than 9/30/2011.It is valid through 6/30/12.
**Debt service payment of$1,788,425 made 9/1/2011 so not reflected in"10/1/11 through 12/31/11"expenditures. �! .S J/• /
***This payment will be made as soon as the Agency is no longer precluded from doing so.
9
1 .
County of San Bernardino City of Grand Terrace Child Care Services
385 North Arrowhead Ave. 22795 Barton Road
San Bernardino, CA 92415 Grand Terrace, Ca 92313
Attn: Matthew Erickson Attn: Betsy Adams
29. COUNTERPART EXECUTION
This Contract may be executed in counterparts. When executed, each counterpart shall be deemed an original
irrespective of date of execution. Said counterparts shall together constitute one and the same Contract.
IN WITNESS WHEREOF,the parties have caused this Contract to be executed as of the day and year written below.
•
COUNTY OF SAN BERNARDINO CONTRACTOR
► By
Purchasing Agent (Authorized signature-sign in blue ink)
Name Name
(Print or type name) (Print or type name of person signing Contract)
Date: Title
(Print or Type) ,
Date:
APPROVED AS TO-LEGAL FORM
JEAN-RENE BASLE
County Counsel
By:
MICHELLE D. BLAKEMORE ._
Chief Assistant County Counsel
Date:
•
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t within thirty(30):days of receipt.
•
Any failure, actual or alleged, on the part of COUNTY to monitor or enforce compliance with any of the insurance and
indemnification requirements will not be deemed as a waiver of any rights on part of COUNTY.
23: ELECTRONIC FUNDS
CONTRACTOR shall accept all payments from COUNTY via electronic funds transfer (EFT) directly deposited into
the -CONTRACTOR's .designated checking or other bank account. CONTRACTOR shall promptly comply with
directions and accurately complete forms provided by COUNTY required to process EFT payments.
24. LEGAL FEES
CONTRACTOR understands and agrees that any and all legal.fees.or costs associated with lawsuits concerning this.
Contract against the COUNTY shall be the'CONTRACTOR's sOle expense and shall not be Charged as a cost under
this Contract. In the event of any Contract dispute hereunder, each party to.this Contract shall bear its own attorney's
fees and costs regardless of who prevails in the outcome of the dispute.
25. AMENDMENTS:VARIATIONS
This writing, with attachments, embodies the whole of the Contract of the parties hereto. There are no oral
agreements contained herein. Except as herein provided, addition or variation of the terms'of this Contract shall not
be valid unless made in the form of a written amendment to this Contract formally approved and executed by both
parties.
26. INVALID CONDITIONS
If any one or more of the terms, provisions, sections, promises, covenants or conditions of this Contract shall to any
extent be judged invalid, unenforceable, void or voidable for any -reason whatsoever, by a court of competent
jurisdiction, each and all of the remaining terms, provisions, sections, promises, covenants and conditions of the
Contract shall not be affected thereby, and shall be valid and enforceable to the fullest extent permitted by law.
27. BINDING INTEREST
This Contract shall be binding on the parties, successors in interest, heirs and assigns. •
28. NOTICES.
All.notices shall be served in writing. The notices shall be sent to the following addresses:
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•
Y evidencing the insurance coverage, including
endorsements, as required, prior to the commencement of performance of services hereunder, which certificates shall
provide that such insurance shall not be terminated or expire without thirty (30) days written notice to COUNTY, and
CONTRACTOR shall maintain such insurance from the time it commences performance of services hereunder until
the completion of such services. Within fifteen. (15) days of the_commencement of this Contract, CONTRACTOR
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❑Contract Database 0 FAS
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and total-All Pages $ 197,173,139 $ 10,460,828 $ 3,277,339 $3,468,951 1$ 6,746,290
* This Preliminary Draft Initial Recognized Obligation Payment Schedule is to be adopted by the redevelopment agency no later than 9/30/2011.It is valid through 6/30/12.
**Debt service payment of$1,788,425 made 9/1/2011 so not reflected in"10/1/11 through 12/31/11"expenditures. �! .S J/• /
***This payment will be made as soon as the Agency is no longer precluded from doing so.
The Blue Mountain City
GrandFORN Terrace AGENDA REPORT
CALIIA
MEETING DATE: September 27, 2011 Council Item (X) RDA Item ( )
TITLE: Amendment to the Integrated Waste Management Service
Agreement allowing Burrtec Waste Industries to collect
residential sewer fees on the City's behalf.
PRESENTED BY: Richard Shields, Director of Building and Safety/Public
Works.
RECOMMENDATION: Adopt Resolution No. 2011- , setting forth amendments to
the Integrated. Waste Management Service Agreement by
adding language to Section 10, Franchise Fee, and Section
19, Compensation, allowing Burrtec Waste Industries to bill
and collect residential sewer fees on the City's behalf.
BACKGROUND:
On. August 25, 2011 the City of Grand Terrace received written notice from Riverside
Highland Water Company (RHWC) stating that their Board had taken action to
terminate providing residential sewer billing .service for. the City as of September 1,
2011. In response to the notice, City staff contacted RHWC to protest the short notice
for this change. RHWC agreed to continue to provide residential sewer billing service
for one additional billing period, September and October.
As of November 1, 2011 the City would need to have a new provider for residential
sewer billings. City staff had previously had discussion with Burrtec Waste Industries
(Burrtec) on billing. services. Upon receiving the termination notice from RHWC, City
staff immediately contacted Burrtec on providing residential sewer billing service.
Discussions with Burrtec resulted in the proposed billing transition plan.
DISCUSSION:
Burrtec has proposed to combine residential billing for sewer fees and trash collection
service fees in an effort to assist the City in light of the recent residential sewer billing
COUNCIL AGENDA ITEM NO.SA
oncerning this.
Contract against the COUNTY shall be the'CONTRACTOR's sOle expense and shall not be Charged as a cost under
this Contract. In the event of any Contract dispute hereunder, each party to.this Contract shall bear its own attorney's
fees and costs regardless of who prevails in the outcome of the dispute.
25. AMENDMENTS:VARIATIONS
This writing, with attachments, embodies the whole of the Contract of the parties hereto. There are no oral
agreements contained herein. Except as herein provided, addition or variation of the terms'of this Contract shall not
be valid unless made in the form of a written amendment to this Contract formally approved and executed by both
parties.
26. INVALID CONDITIONS
If any one or more of the terms, provisions, sections, promises, covenants or conditions of this Contract shall to any
extent be judged invalid, unenforceable, void or voidable for any -reason whatsoever, by a court of competent
jurisdiction, each and all of the remaining terms, provisions, sections, promises, covenants and conditions of the
Contract shall not be affected thereby, and shall be valid and enforceable to the fullest extent permitted by law.
27. BINDING INTEREST
This Contract shall be binding on the parties, successors in interest, heirs and assigns. •
28. NOTICES.
All.notices shall be served in writing. The notices shall be sent to the following addresses:
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•
Y evidencing the insurance coverage, including
endorsements, as required, prior to the commencement of performance of services hereunder, which certificates shall
provide that such insurance shall not be terminated or expire without thirty (30) days written notice to COUNTY, and
CONTRACTOR shall maintain such insurance from the time it commences performance of services hereunder until
the completion of such services. Within fifteen. (15) days of the_commencement of this Contract, CONTRACTOR
Auditor/Controller-Recorder Use Only Page 6 of 8
❑Contract Database 0 FAS
Input Date Keyed By
and total-All Pages $ 197,173,139 $ 10,460,828 $ 3,277,339 $3,468,951 1$ 6,746,290
* This Preliminary Draft Initial Recognized Obligation Payment Schedule is to be adopted by the redevelopment agency no later than 9/30/2011.It is valid through 6/30/12.
**Debt service payment of$1,788,425 made 9/1/2011 so not reflected in"10/1/11 through 12/31/11"expenditures. �! .S J/• /
***This payment will be made as soon as the Agency is no longer precluded from doing so.
termination imposed by RHWC. Burrtec has offered to provide this combined billing
service at no additional cost to the. City, which will be a cost savings discussed in the
Fiscal section of this staff report.
In an effort to establish a mechanism that authorizes Burrtec to invoice for sewer fees
and forward these fees to the City, 'an amendment to the Franchise Agreement between
the City of Grand Terrace and Burrtec is required, Exhibit "A" of the proposed
Resolution.
1. Section 10, (1) of the Integrated Waste Management Service Agreement would
be amended in an effort to modify the franchise fee payment process to not
include sewer fees (current sewer fees are not assessed a franchise fee)'.
Franchise fees are currently paid on gross revenues which will now include
sewer fees. Sewer fees will be deducted from gross receipts and franchise fees
will be paid on Solid Waste Collection Service gross receipts only. Below is the
current language with a line strike for deletions and proposed language italicized
that read as follows:
Beginning July 1, 2007 Contractor shall pay a Franchise Fee of 15% of gross
revenues for all Commercial and Industrial business. Beginning June 1, 1998
Contr haII'`pay a Franchise C o of '12 % of gross revenue for Residential
business, minus the Household Hazardous Waste fee. The Franchise fee for
residential busincss shall be 15% of gross revenues beginning July 1, 2007.
Section 10.
(1) Beginning November 1; 2011 Contractor shall pay a Franchise Fee of 15% of
gross receipts for all Commercial and Industrial Solid Waste collection business
and Residential Solid Waste collection business minus any applicable Household
Hazardous Waste Fees, Street Sweeping Fees, Pavement Impact Fees and
Sewer Fees.
2. Section 19, G. of the Integrated Waste Management Service Agreement would
be amended to include per unit sewer fees as approved services billed by
Contractor (Burrtec). Changes would also 'be made to amend the agreement to
include the remittance of collected sewer fees to the City. Below is the current
language with a line strike for deletions and proposed language italicized that
read as follows:
(G) Billing and Payment Contractor shall bill all Residential, Commercial and
Industrial customers for all services approved by City, Contractor shall provide
ing, with attachments, embodies the whole of the Contract of the parties hereto. There are no oral
agreements contained herein. Except as herein provided, addition or variation of the terms'of this Contract shall not
be valid unless made in the form of a written amendment to this Contract formally approved and executed by both
parties.
26. INVALID CONDITIONS
If any one or more of the terms, provisions, sections, promises, covenants or conditions of this Contract shall to any
extent be judged invalid, unenforceable, void or voidable for any -reason whatsoever, by a court of competent
jurisdiction, each and all of the remaining terms, provisions, sections, promises, covenants and conditions of the
Contract shall not be affected thereby, and shall be valid and enforceable to the fullest extent permitted by law.
27. BINDING INTEREST
This Contract shall be binding on the parties, successors in interest, heirs and assigns. •
28. NOTICES.
All.notices shall be served in writing. The notices shall be sent to the following addresses:
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•
Y evidencing the insurance coverage, including
endorsements, as required, prior to the commencement of performance of services hereunder, which certificates shall
provide that such insurance shall not be terminated or expire without thirty (30) days written notice to COUNTY, and
CONTRACTOR shall maintain such insurance from the time it commences performance of services hereunder until
the completion of such services. Within fifteen. (15) days of the_commencement of this Contract, CONTRACTOR
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❑Contract Database 0 FAS
Input Date Keyed By
and total-All Pages $ 197,173,139 $ 10,460,828 $ 3,277,339 $3,468,951 1$ 6,746,290
* This Preliminary Draft Initial Recognized Obligation Payment Schedule is to be adopted by the redevelopment agency no later than 9/30/2011.It is valid through 6/30/12.
**Debt service payment of$1,788,425 made 9/1/2011 so not reflected in"10/1/11 through 12/31/11"expenditures. �! .S J/• /
***This payment will be made as soon as the Agency is no longer precluded from doing so.
Itemized bills in a form approved by City, distinctly showing charges for all
classifications of service, including the charges for late payment. Billings shall
be made monthly quarterly in advance, or as determined appropriate by the
Contractor, for Commercial, Industrial and all bin service customers, and shall
be made no less than bi-monthly quafteFly in advance for all Residential
customers.
(1) Beginning November 1, 2011 Contractor shall be responsible for remitting
to City all City sewer fees collected through Contractor billing services.
Staff is recommending that the City Council adopt Resoultion No. 2011- , amending
the existing Integrated Waste Management Service Agreement to allow for the billing
and collection of sewer fees by Burrtec on the City's behalf.
FISCAL IMPACT:
Currently the City pays RHWC $2,500 bi-monthly to send out bills to all sewer
customers, residential and commercial, and to collect and remit the sewer fees back to
the City. RHWC will still send bills out to commercial sewer customers and collect the
fees to be remitted back to the City. The cost for RHWC to do commercial sewer billing
is 'approximately $375 bi-monthly, depending on actual customer usage, or $2,250
annually. With Burrtec providing residential sewer billing at not cost, there will be an
annual savings for the Sewer Fund of$12,750.
Respectfully submitted,
Ric and Shields, Director of.Building and Safety/Public Works
Manager Approval:
Bets . Adams
City Manager
ATTACHMENTS:
Resolution.No. 2011-
Exhibit"A"
idential Solid Waste collection business minus any applicable Household
Hazardous Waste Fees, Street Sweeping Fees, Pavement Impact Fees and
Sewer Fees.
2. Section 19, G. of the Integrated Waste Management Service Agreement would
be amended to include per unit sewer fees as approved services billed by
Contractor (Burrtec). Changes would also 'be made to amend the agreement to
include the remittance of collected sewer fees to the City. Below is the current
language with a line strike for deletions and proposed language italicized that
read as follows:
(G) Billing and Payment Contractor shall bill all Residential, Commercial and
Industrial customers for all services approved by City, Contractor shall provide
ing, with attachments, embodies the whole of the Contract of the parties hereto. There are no oral
agreements contained herein. Except as herein provided, addition or variation of the terms'of this Contract shall not
be valid unless made in the form of a written amendment to this Contract formally approved and executed by both
parties.
26. INVALID CONDITIONS
If any one or more of the terms, provisions, sections, promises, covenants or conditions of this Contract shall to any
extent be judged invalid, unenforceable, void or voidable for any -reason whatsoever, by a court of competent
jurisdiction, each and all of the remaining terms, provisions, sections, promises, covenants and conditions of the
Contract shall not be affected thereby, and shall be valid and enforceable to the fullest extent permitted by law.
27. BINDING INTEREST
This Contract shall be binding on the parties, successors in interest, heirs and assigns. •
28. NOTICES.
All.notices shall be served in writing. The notices shall be sent to the following addresses:
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Input Date Keyed By
•
Y evidencing the insurance coverage, including
endorsements, as required, prior to the commencement of performance of services hereunder, which certificates shall
provide that such insurance shall not be terminated or expire without thirty (30) days written notice to COUNTY, and
CONTRACTOR shall maintain such insurance from the time it commences performance of services hereunder until
the completion of such services. Within fifteen. (15) days of the_commencement of this Contract, CONTRACTOR
Auditor/Controller-Recorder Use Only Page 6 of 8
❑Contract Database 0 FAS
Input Date Keyed By
and total-All Pages $ 197,173,139 $ 10,460,828 $ 3,277,339 $3,468,951 1$ 6,746,290
* This Preliminary Draft Initial Recognized Obligation Payment Schedule is to be adopted by the redevelopment agency no later than 9/30/2011.It is valid through 6/30/12.
**Debt service payment of$1,788,425 made 9/1/2011 so not reflected in"10/1/11 through 12/31/11"expenditures. �! .S J/• /
***This payment will be made as soon as the Agency is no longer precluded from doing so.
RESOLUTION NO. 2011-
A RESOLUTION OF THE CITY OF GRAND TERRACE CALIFORNIA AMENDING
THE INTEGRATED WASTE MANAGEMENT SERVICE AGREEMENT TO ALLOW
FOR THE BILLING AND COLLECTION OF SEWER FEES BY.BURRTEC WASTE
INDUSTRIES ON BEHALF OF THE CITY.
NOW THEREFORE, BE IT RESOLVED by the City Council of the City of Grand
Terrace as follows:
Section 1. That the existing Integrated Waste Management Service Agreement was
adopted by the City Council on August 14, 2007 between the City and Burrtec Waste.
Industries.
Section 2. That the City has agreed to allow Burrtec Waste Industries to bill and collect
sewer fees with trash fees bi-monthly as amended in Exhibit "A" attached hereto and
made part of this Resolution.
Section 3. That beginning November 1, 2011 Burrtec shall be responsible for remitting
to the City all City sewer fees collected through Burrtec's billing services.
Section 4. That the proposed amendments to the Integrated Waste Management
Service Agreement are approved effective on September 27, 2011.
ADOPTED this 27th day of September 2011.
Mayor of the City of Grand Terrace
Attest:
City Clerk of the City of Grand Terrace
$375 bi-monthly, depending on actual customer usage, or $2,250
annually. With Burrtec providing residential sewer billing at not cost, there will be an
annual savings for the Sewer Fund of$12,750.
Respectfully submitted,
Ric and Shields, Director of.Building and Safety/Public Works
Manager Approval:
Bets . Adams
City Manager
ATTACHMENTS:
Resolution.No. 2011-
Exhibit"A"
idential Solid Waste collection business minus any applicable Household
Hazardous Waste Fees, Street Sweeping Fees, Pavement Impact Fees and
Sewer Fees.
2. Section 19, G. of the Integrated Waste Management Service Agreement would
be amended to include per unit sewer fees as approved services billed by
Contractor (Burrtec). Changes would also 'be made to amend the agreement to
include the remittance of collected sewer fees to the City. Below is the current
language with a line strike for deletions and proposed language italicized that
read as follows:
(G) Billing and Payment Contractor shall bill all Residential, Commercial and
Industrial customers for all services approved by City, Contractor shall provide
ing, with attachments, embodies the whole of the Contract of the parties hereto. There are no oral
agreements contained herein. Except as herein provided, addition or variation of the terms'of this Contract shall not
be valid unless made in the form of a written amendment to this Contract formally approved and executed by both
parties.
26. INVALID CONDITIONS
If any one or more of the terms, provisions, sections, promises, covenants or conditions of this Contract shall to any
extent be judged invalid, unenforceable, void or voidable for any -reason whatsoever, by a court of competent
jurisdiction, each and all of the remaining terms, provisions, sections, promises, covenants and conditions of the
Contract shall not be affected thereby, and shall be valid and enforceable to the fullest extent permitted by law.
27. BINDING INTEREST
This Contract shall be binding on the parties, successors in interest, heirs and assigns. •
28. NOTICES.
All.notices shall be served in writing. The notices shall be sent to the following addresses:
Auditor/Controller-Recorder Use Only Page 7 of 8
❑Contract Database ❑FAS'
Input Date Keyed By
•
Y evidencing the insurance coverage, including
endorsements, as required, prior to the commencement of performance of services hereunder, which certificates shall
provide that such insurance shall not be terminated or expire without thirty (30) days written notice to COUNTY, and
CONTRACTOR shall maintain such insurance from the time it commences performance of services hereunder until
the completion of such services. Within fifteen. (15) days of the_commencement of this Contract, CONTRACTOR
Auditor/Controller-Recorder Use Only Page 6 of 8
❑Contract Database 0 FAS
Input Date Keyed By
and total-All Pages $ 197,173,139 $ 10,460,828 $ 3,277,339 $3,468,951 1$ 6,746,290
* This Preliminary Draft Initial Recognized Obligation Payment Schedule is to be adopted by the redevelopment agency no later than 9/30/2011.It is valid through 6/30/12.
**Debt service payment of$1,788,425 made 9/1/2011 so not reflected in"10/1/11 through 12/31/11"expenditures. �! .S J/• /
***This payment will be made as soon as the Agency is no longer precluded from doing so.
I, TRACEY MARTINEZ, City Clerk of the City of Grand Terrace, do hereby certify that
Resolution No. 2011= was introduced and adopted at a regular meeting of the City
Council of the City of Grand Terrace held on the 27th day of September, 2011 by the
following vote:
AYES:
NOS:
ABSENT:
ABSTAIN:
Tracy Martinez, City Clerk
Approved as to from:
1
City Attorney
,995.88
56 Vouchers in this report Total vouchers : 99,995.88
Page: 9
t for FY 2011-12.
Respectfully submitted,
Bernie Simon
Finance Director
Manager Approval:
Betsy �I Ada s
City Manager
ATTACHMENTS:
Check Register— September 27, 2011
e Preliminary Draft Initial Recognized Obligation
Payment Schedule dated September 15, 2011 (Exhibit A to the Resolution)
EXHIBIT "A"
THIRD AMENDMENT TO THE FRANCHISE AGREEMENT BETWEEN THE CITY OF
GRAND TERRACE AND BURRTEC WASTE INDUSTRIES INC. FOR THE
PROVISION OF INTEGRADTED WASTE MANAGEMENT SERVICES.
This is the third amendment to the Franchise Agreement for Integrated Waste
Management Services. The amendment is made and entered into this 27th day of
September 2011 by and between the City of Grand Terrace and Burrtec Waste
Industries Inc., setting forth amendments to Sections 10, Franchise Fee, and Section
19, Compensation, allowing Burrtec Waste Management to bill and collect sewer fees
on the City 's behalf.
Section 10, (1), FRANCHISE FEE
The following shall be added to the existing FRANCHISE FEE language:
Beginning November 1, 2011 contractor shall pay a Franchise Fee of 15% of gross
receipts for all Commercial and Industrial Solid Waste collection business and
Residential Solid Waste collection business minus any applicable Household
Hazardous Waste fees, street sweeping fees, pavement impact fees and sewer fees.
Section 19, G, COMPENSATION
The following shall be added to the existing COMPENSATION language:
Billing and Payment
Contractor shall bill all Residential, Commercial and Industrial customers for all services
approved by City, whether regular or special, including per unit charges for City sewer
fees. Contractor shall provide itemized bills in a form approved by City, distinctly
showing charges for all classifications of service, including the charges for late payment.
Billings shall be made monthly in advance, or as determined appropriate by the
Contractor, for Commercial Industrial and all bin service customers, and shall be made
no less bimonthly in advance for all residential customers.
1. Beginning November 1, 2011 contractor shall be responsible for remitting to
City all City sewer fees collected through contractors billing service.
the agreement to
include the remittance of collected sewer fees to the City. Below is the current
language with a line strike for deletions and proposed language italicized that
read as follows:
(G) Billing and Payment Contractor shall bill all Residential, Commercial and
Industrial customers for all services approved by City, Contractor shall provide
ing, with attachments, embodies the whole of the Contract of the parties hereto. There are no oral
agreements contained herein. Except as herein provided, addition or variation of the terms'of this Contract shall not
be valid unless made in the form of a written amendment to this Contract formally approved and executed by both
parties.
26. INVALID CONDITIONS
If any one or more of the terms, provisions, sections, promises, covenants or conditions of this Contract shall to any
extent be judged invalid, unenforceable, void or voidable for any -reason whatsoever, by a court of competent
jurisdiction, each and all of the remaining terms, provisions, sections, promises, covenants and conditions of the
Contract shall not be affected thereby, and shall be valid and enforceable to the fullest extent permitted by law.
27. BINDING INTEREST
This Contract shall be binding on the parties, successors in interest, heirs and assigns. •
28. NOTICES.
All.notices shall be served in writing. The notices shall be sent to the following addresses:
Auditor/Controller-Recorder Use Only Page 7 of 8
❑Contract Database ❑FAS'
Input Date Keyed By
•
Y evidencing the insurance coverage, including
endorsements, as required, prior to the commencement of performance of services hereunder, which certificates shall
provide that such insurance shall not be terminated or expire without thirty (30) days written notice to COUNTY, and
CONTRACTOR shall maintain such insurance from the time it commences performance of services hereunder until
the completion of such services. Within fifteen. (15) days of the_commencement of this Contract, CONTRACTOR
Auditor/Controller-Recorder Use Only Page 6 of 8
❑Contract Database 0 FAS
Input Date Keyed By
and total-All Pages $ 197,173,139 $ 10,460,828 $ 3,277,339 $3,468,951 1$ 6,746,290
* This Preliminary Draft Initial Recognized Obligation Payment Schedule is to be adopted by the redevelopment agency no later than 9/30/2011.It is valid through 6/30/12.
**Debt service payment of$1,788,425 made 9/1/2011 so not reflected in"10/1/11 through 12/31/11"expenditures. �! .S J/• /
***This payment will be made as soon as the Agency is no longer precluded from doing so.
le Bine Mountain City
crCAam TerraceORNIA AGENDA REPORT
LIF
MEETING DATE: September 27, 2011 Council Item.( X ) CRA Item ( X )
TITLE: Legal Services Agreement for the City of Grand Terrace and
the City of Grand Terrace Community Redevelopment
Agency
PRESENTED BY: Betsy M. Adams, City Manager
RECOMMENDATION: Approve the agreement in substantially the form as attached
and to authorize the City Manager and Executive Director to
execute the agreement on behalf of the City and the Agency.
BACKGROUND:
The City Council reported out from Closed Session on April 26,. 2011 the City's intent to
solicit proposals for City Attorney services. On April 29, the City's current City Attorney,
John Harper from Harper & Burns, LLP, provided the Council with his written resignation
effective July 1, 2011. The City Attorney later rescinded his resignation and has
continued to provide legal services for Grand Terrace.
DISCUSSION:
On May 10, 2011, the City. Council approved a proposed Request for Proposal (RFP)
for City Attorney Services and directed the City Manager to issue the RFP the following
day. The City received responses from 15 law firms by the June 8 required due date.
The Council reviewed all the RPF responses and identified four which best met the
City's needs. These four law firms were invited to be interviewed by the Council, with
Jones & Mayer subsequently identified as the preferred law firm. After reference
checks were completed and insurance coverage verified, the Council directed the City
Manager, in Closed Session on September 13, to finalize the agreement for legal
services with Jones & Mayer for approval by the City Council and Agency Board at the
September 27 meeting.
The agreement with Jones & Mayer, Attachment A, is based on a retainer of
$8,000/month ($96,000 annually) for all City and Agency services except litigation and
special projects, which will be billed at $185/hour. The agreement has no maximum
COUNCIL AGENDA ITEM NO.%
cized that
read as follows:
(G) Billing and Payment Contractor shall bill all Residential, Commercial and
Industrial customers for all services approved by City, Contractor shall provide
ing, with attachments, embodies the whole of the Contract of the parties hereto. There are no oral
agreements contained herein. Except as herein provided, addition or variation of the terms'of this Contract shall not
be valid unless made in the form of a written amendment to this Contract formally approved and executed by both
parties.
26. INVALID CONDITIONS
If any one or more of the terms, provisions, sections, promises, covenants or conditions of this Contract shall to any
extent be judged invalid, unenforceable, void or voidable for any -reason whatsoever, by a court of competent
jurisdiction, each and all of the remaining terms, provisions, sections, promises, covenants and conditions of the
Contract shall not be affected thereby, and shall be valid and enforceable to the fullest extent permitted by law.
27. BINDING INTEREST
This Contract shall be binding on the parties, successors in interest, heirs and assigns. •
28. NOTICES.
All.notices shall be served in writing. The notices shall be sent to the following addresses:
Auditor/Controller-Recorder Use Only Page 7 of 8
❑Contract Database ❑FAS'
Input Date Keyed By
•
Y evidencing the insurance coverage, including
endorsements, as required, prior to the commencement of performance of services hereunder, which certificates shall
provide that such insurance shall not be terminated or expire without thirty (30) days written notice to COUNTY, and
CONTRACTOR shall maintain such insurance from the time it commences performance of services hereunder until
the completion of such services. Within fifteen. (15) days of the_commencement of this Contract, CONTRACTOR
Auditor/Controller-Recorder Use Only Page 6 of 8
❑Contract Database 0 FAS
Input Date Keyed By
and total-All Pages $ 197,173,139 $ 10,460,828 $ 3,277,339 $3,468,951 1$ 6,746,290
* This Preliminary Draft Initial Recognized Obligation Payment Schedule is to be adopted by the redevelopment agency no later than 9/30/2011.It is valid through 6/30/12.
**Debt service payment of$1,788,425 made 9/1/2011 so not reflected in"10/1/11 through 12/31/11"expenditures. �! .S J/• /
***This payment will be made as soon as the Agency is no longer precluded from doing so.
Legal Services Agreement for City of Grand Terrace and
City of Grand Terrace Community Redevelopment Agency
September 27, 2011
Page 2
number. of hours per month though it is understood that a typical month of legal services
would generally be within the range of 50 to 100 hours. Jones & Mayer anticipates
being able to stay within Grand Terrace's Fiscal Year (FY). 2011-12 operating budget of
$120,000 for legal services. Jones & Mayer has designed the following attorneys for
Grand Terrace:
Attorney Responsibility
-----;-- ---- ----------------------
Richard L. Adams II City Attorney
{
Ivy M. Tsai Assistant City Attorney
Kimberly Hall Barlow Agency Counsel
The City Attorney, Richard L. Adams II, will attend all City Council and Agency Board
meetings. He will also attend the City Manager's senior staff meetings. The Assistant
City Attorney, Ivy M. Tsai, will attend all Planning Commission meetings and any City
Council and Agency Board meetings when the City Attorney is not available. Agency
Counsel, Kimberly Hall Barlow, will attend Agency Board meetings when needed.
The change in law firms providing legal services for the City and Agency will require
coordination between City staff and both law firms. The schedule below summarizes
key milestones in this transition.
Date Activity i
September 27 • Council approves agreement with Jones & Mayer with services
to begin on October 25.
September 29 ■ Jones & Mayer begins interviews with City Council, City
Manager and senior staff. (There is no cost to Grand Terrace
for Jones & Mayer's transitional work.)
October 11 • Last Council Meeting for current City Attorney. (Harper & Burns,
LLP will continue to provide legal services to Grand Terrace
through October 24.)
October 25 • Council rescinds Resolution No. 88-10 appointing John H.
Harper as City Attorney.
• First Council Meeting for Jones & Mayer (City Attorney Richard
L. Adams II).
November 3 • First Planning Commission for Jones & Mayer (Assistant City
Attorney Ivy M. Tsai).
Industrial customers for all services approved by City, Contractor shall provide
ing, with attachments, embodies the whole of the Contract of the parties hereto. There are no oral
agreements contained herein. Except as herein provided, addition or variation of the terms'of this Contract shall not
be valid unless made in the form of a written amendment to this Contract formally approved and executed by both
parties.
26. INVALID CONDITIONS
If any one or more of the terms, provisions, sections, promises, covenants or conditions of this Contract shall to any
extent be judged invalid, unenforceable, void or voidable for any -reason whatsoever, by a court of competent
jurisdiction, each and all of the remaining terms, provisions, sections, promises, covenants and conditions of the
Contract shall not be affected thereby, and shall be valid and enforceable to the fullest extent permitted by law.
27. BINDING INTEREST
This Contract shall be binding on the parties, successors in interest, heirs and assigns. •
28. NOTICES.
All.notices shall be served in writing. The notices shall be sent to the following addresses:
Auditor/Controller-Recorder Use Only Page 7 of 8
❑Contract Database ❑FAS'
Input Date Keyed By
•
Y evidencing the insurance coverage, including
endorsements, as required, prior to the commencement of performance of services hereunder, which certificates shall
provide that such insurance shall not be terminated or expire without thirty (30) days written notice to COUNTY, and
CONTRACTOR shall maintain such insurance from the time it commences performance of services hereunder until
the completion of such services. Within fifteen. (15) days of the_commencement of this Contract, CONTRACTOR
Auditor/Controller-Recorder Use Only Page 6 of 8
❑Contract Database 0 FAS
Input Date Keyed By
and total-All Pages $ 197,173,139 $ 10,460,828 $ 3,277,339 $3,468,951 1$ 6,746,290
* This Preliminary Draft Initial Recognized Obligation Payment Schedule is to be adopted by the redevelopment agency no later than 9/30/2011.It is valid through 6/30/12.
**Debt service payment of$1,788,425 made 9/1/2011 so not reflected in"10/1/11 through 12/31/11"expenditures. �! .S J/• /
***This payment will be made as soon as the Agency is no longer precluded from doing so.
Legal Services Agreement for City of Grand Terrace and
City of Grand Terrace Community Redevelopment Agency
September 27, 2011
Page 3
FISCAL IMPACT:
There is no fiscal impact in changing the firm which provides legal services for Grand
Terrace. The FY 2011-12 operating budget includes $120,000 for legal services funded
equally between the General Fund and the Community Redevelopment Agency. While
the City does not have an agreement with the current City Attorney, monthly invoices
from Harper & Burns, LLP average around $10,000. The agreement with Jones &
Mayer is based on a retainer of $8,000/month ($96,000 annually) plus $185/hour for
special project services outside the scope of the retainer and for litigation services.
Jones & Mayer anticipates being able to stay within Grand Terrace's $120,000
operating budget for legal services. Approving the agreement with Jones & Mayer
brings the City and Agency into compliance with Section 6148 of the Business &
Professions Code of the California Code, Attachment B, which requires a contract when
it is "reasonably foreseeable" legal expenses will exceed $1,000.
Respectfully submitted:
Betsy . Ada s, City Manager
ATTACHMENTS:
Attachment A: Legal Services Agreement for the City of Grand Terrace and the City of
Grand Terrace Community Redevelopment Agency
Attachment B: California Code Business & Professions Code Section 6148
agreement with Jones & Mayer with services
to begin on October 25.
September 29 ■ Jones & Mayer begins interviews with City Council, City
Manager and senior staff. (There is no cost to Grand Terrace
for Jones & Mayer's transitional work.)
October 11 • Last Council Meeting for current City Attorney. (Harper & Burns,
LLP will continue to provide legal services to Grand Terrace
through October 24.)
October 25 • Council rescinds Resolution No. 88-10 appointing John H.
Harper as City Attorney.
• First Council Meeting for Jones & Mayer (City Attorney Richard
L. Adams II).
November 3 • First Planning Commission for Jones & Mayer (Assistant City
Attorney Ivy M. Tsai).
Industrial customers for all services approved by City, Contractor shall provide
ing, with attachments, embodies the whole of the Contract of the parties hereto. There are no oral
agreements contained herein. Except as herein provided, addition or variation of the terms'of this Contract shall not
be valid unless made in the form of a written amendment to this Contract formally approved and executed by both
parties.
26. INVALID CONDITIONS
If any one or more of the terms, provisions, sections, promises, covenants or conditions of this Contract shall to any
extent be judged invalid, unenforceable, void or voidable for any -reason whatsoever, by a court of competent
jurisdiction, each and all of the remaining terms, provisions, sections, promises, covenants and conditions of the
Contract shall not be affected thereby, and shall be valid and enforceable to the fullest extent permitted by law.
27. BINDING INTEREST
This Contract shall be binding on the parties, successors in interest, heirs and assigns. •
28. NOTICES.
All.notices shall be served in writing. The notices shall be sent to the following addresses:
Auditor/Controller-Recorder Use Only Page 7 of 8
❑Contract Database ❑FAS'
Input Date Keyed By
•
Y evidencing the insurance coverage, including
endorsements, as required, prior to the commencement of performance of services hereunder, which certificates shall
provide that such insurance shall not be terminated or expire without thirty (30) days written notice to COUNTY, and
CONTRACTOR shall maintain such insurance from the time it commences performance of services hereunder until
the completion of such services. Within fifteen. (15) days of the_commencement of this Contract, CONTRACTOR
Auditor/Controller-Recorder Use Only Page 6 of 8
❑Contract Database 0 FAS
Input Date Keyed By
and total-All Pages $ 197,173,139 $ 10,460,828 $ 3,277,339 $3,468,951 1$ 6,746,290
* This Preliminary Draft Initial Recognized Obligation Payment Schedule is to be adopted by the redevelopment agency no later than 9/30/2011.It is valid through 6/30/12.
**Debt service payment of$1,788,425 made 9/1/2011 so not reflected in"10/1/11 through 12/31/11"expenditures. �! .S J/• /
***This payment will be made as soon as the Agency is no longer precluded from doing so.
Attachment A
Legal Services Agreement for the City of Grand Terrace and the City of
Grand Terrace Community Redevelopment Agency
gular meeting of the City
Council of the City of Grand Terrace held on the 27th day of September, 2011 by the
following vote:
AYES:
NOS:
ABSENT:
ABSTAIN:
Tracy Martinez, City Clerk
Approved as to from:
1
City Attorney
,995.88
56 Vouchers in this report Total vouchers : 99,995.88
Page: 9
t for FY 2011-12.
Respectfully submitted,
Bernie Simon
Finance Director
Manager Approval:
Betsy �I Ada s
City Manager
ATTACHMENTS:
Check Register— September 27, 2011
e Preliminary Draft Initial Recognized Obligation
Payment Schedule dated September 15, 2011 (Exhibit A to the Resolution)
LEGAL SERVICES AGREEMENT
FOR THE CITY OF GRAND TERRACE AND
THE CITY OF GRAND TERRACE COMMUNITY REDEVELOPMENT AGENCY
This Legal Services Agreement for City Attorney Services and Agency Counsel
Services ("Agreement') is made and entered into by and between JONES & MAYER and
the CITY OF GRAND TERRACE ("City"), a municipal corporation of the State of California
and the CITY OF GRAND TERRACE COMMUNITY REDEVELOPMENT AGENCY
("Agency").
1. RECITALS
1.1.The City wishes to engage the services of JONES & MAYER as the City
Attorney on the terms set forth below.
1.2.The Agency wishes to engage the services of JONES & MAYER as
Agency Counsel on the terms set forth below.
1.3.JONES & MAYER represents it has the expertise, support staff and
facilities necessary to fully represent the City's interests in the
capacity as City Attorney and Agency Counsel.
1.4. JONES & MAYER represents it does not have an actual or potential
interest adverse to the City or Agency, nor does it presently represent a
person or firm with an interest adverse to the City or Agency with
respect to the legal services to be provided hereunder.
2. TERMS
2.1.Term. The term of this agreement shall commence on October 25, 2011
and shall continue in full force until terminated in accordance with section
2.8.
2.2. Scope of Retainer Services. JONES & MAYER shall serve as City
Attorney/Agency Counsel and shall perform legal services ("Services") as
may be required from time to time by the City/Agency as set forth by this
Agreement, unless otherwise agreed to by City/Agency and JONES &
MAYER. As part of the Retainer Services to be performed hereunder,
JONES & MAYER shall be responsible for the following:
2.2.1. Preparation and attendance at all City Council and Agency Board
meetings including regular sessions, closed sessions and, as
needed, work sessions and Special Meetings;
1
No. 88-10 appointing John H.
Harper as City Attorney.
• First Council Meeting for Jones & Mayer (City Attorney Richard
L. Adams II).
November 3 • First Planning Commission for Jones & Mayer (Assistant City
Attorney Ivy M. Tsai).
Industrial customers for all services approved by City, Contractor shall provide
ing, with attachments, embodies the whole of the Contract of the parties hereto. There are no oral
agreements contained herein. Except as herein provided, addition or variation of the terms'of this Contract shall not
be valid unless made in the form of a written amendment to this Contract formally approved and executed by both
parties.
26. INVALID CONDITIONS
If any one or more of the terms, provisions, sections, promises, covenants or conditions of this Contract shall to any
extent be judged invalid, unenforceable, void or voidable for any -reason whatsoever, by a court of competent
jurisdiction, each and all of the remaining terms, provisions, sections, promises, covenants and conditions of the
Contract shall not be affected thereby, and shall be valid and enforceable to the fullest extent permitted by law.
27. BINDING INTEREST
This Contract shall be binding on the parties, successors in interest, heirs and assigns. •
28. NOTICES.
All.notices shall be served in writing. The notices shall be sent to the following addresses:
Auditor/Controller-Recorder Use Only Page 7 of 8
❑Contract Database ❑FAS'
Input Date Keyed By
•
Y evidencing the insurance coverage, including
endorsements, as required, prior to the commencement of performance of services hereunder, which certificates shall
provide that such insurance shall not be terminated or expire without thirty (30) days written notice to COUNTY, and
CONTRACTOR shall maintain such insurance from the time it commences performance of services hereunder until
the completion of such services. Within fifteen. (15) days of the_commencement of this Contract, CONTRACTOR
Auditor/Controller-Recorder Use Only Page 6 of 8
❑Contract Database 0 FAS
Input Date Keyed By
and total-All Pages $ 197,173,139 $ 10,460,828 $ 3,277,339 $3,468,951 1$ 6,746,290
* This Preliminary Draft Initial Recognized Obligation Payment Schedule is to be adopted by the redevelopment agency no later than 9/30/2011.It is valid through 6/30/12.
**Debt service payment of$1,788,425 made 9/1/2011 so not reflected in"10/1/11 through 12/31/11"expenditures. �! .S J/• /
***This payment will be made as soon as the Agency is no longer precluded from doing so.
2.2.2. Preparation for and attendance at all Planning Commission meetings
including regular sessions and, as needed, work sessions;
2.2.3. Attendance, as needed and as directed by the City Manager/Executive
Director, at certain meetings of the City's Agency or other City/Commission
Committees or Commissions:
2.2.4. Attendance at all Department Head meetings as requested;
2.2.5. Review and/or preparation of ordinances, resolutions, orders, agreements,
forms, notices, declarations, certificates, deeds, leases, and other documents
required by the City/Agency. This shall include the review and revision of
complex redevelopment documents such as Disposition and Development,
Owner participation, and Purchase Agreements prepared by others;
2.2.6. Review of routine personnel matters (e.g., notices of intent, performance
improvement plans, disciplinary actions);
2.2.7. Consultation, with prior authorization, of the City Council majority or the City
Manager, to render legal advice and opinions concerning legal matters that
affect the City/Agency, including new legislation and court decisions; perform
research and interpret laws, court decisions and other legal authorities in order
to prepare legal opinions and to advise the Council and management staff on
legal matters pertaining to City/Agency operations;
2.2.8. Legal work pertaining to property acquisition, property disposal, public
improvements, public rights-of-way and easements, and matters
relating to public utilities;
2.2.9. Coordinate the work of outside legal counsel, as needed and as directed by
the City Council/Agency Board majority and City Manager/Executive
Director; and
2.2.10.Provide office hours at City Hall as deemed necessary by the City
Manager.
2.3. Designated City Attorney. Richard L. Adams II shall be designated as City
Attorney/Agency Counsel. No change in this assignment shall be made without
the consent of the City. The City retains the right to request an alternate
attorney should a change in the designated attorney(s) become necessary.
2.4.Time for Performance. The Services of JONES & MAYER shall be performed
expeditiously in the time frames and as directed by a majority of the City Council,
City Manager and/or their designees.
2
he Contract of the parties hereto. There are no oral
agreements contained herein. Except as herein provided, addition or variation of the terms'of this Contract shall not
be valid unless made in the form of a written amendment to this Contract formally approved and executed by both
parties.
26. INVALID CONDITIONS
If any one or more of the terms, provisions, sections, promises, covenants or conditions of this Contract shall to any
extent be judged invalid, unenforceable, void or voidable for any -reason whatsoever, by a court of competent
jurisdiction, each and all of the remaining terms, provisions, sections, promises, covenants and conditions of the
Contract shall not be affected thereby, and shall be valid and enforceable to the fullest extent permitted by law.
27. BINDING INTEREST
This Contract shall be binding on the parties, successors in interest, heirs and assigns. •
28. NOTICES.
All.notices shall be served in writing. The notices shall be sent to the following addresses:
Auditor/Controller-Recorder Use Only Page 7 of 8
❑Contract Database ❑FAS'
Input Date Keyed By
•
Y evidencing the insurance coverage, including
endorsements, as required, prior to the commencement of performance of services hereunder, which certificates shall
provide that such insurance shall not be terminated or expire without thirty (30) days written notice to COUNTY, and
CONTRACTOR shall maintain such insurance from the time it commences performance of services hereunder until
the completion of such services. Within fifteen. (15) days of the_commencement of this Contract, CONTRACTOR
Auditor/Controller-Recorder Use Only Page 6 of 8
❑Contract Database 0 FAS
Input Date Keyed By
and total-All Pages $ 197,173,139 $ 10,460,828 $ 3,277,339 $3,468,951 1$ 6,746,290
* This Preliminary Draft Initial Recognized Obligation Payment Schedule is to be adopted by the redevelopment agency no later than 9/30/2011.It is valid through 6/30/12.
**Debt service payment of$1,788,425 made 9/1/2011 so not reflected in"10/1/11 through 12/31/11"expenditures. �! .S J/• /
***This payment will be made as soon as the Agency is no longer precluded from doing so.
2.5. Compensation.
2.5.1. Retainer. The City shall pay JONES & MAYER $8,000.00 per month for
retainer services as set forth in section 2.2 above.
2.5.2. Special Project Services. The City shall pay JONES & MAYER an hourly
billing rate of One Hundred and Eighty-Five Dollars ($185.00) per hour for
special projects outside the scope of the retainer.
2.5.3. Litigation Services. The City shall pay JONES & MAYER an hourly billing
rate of One Hundred and Eighty-Five Dollars ($185.00) per hour for all
litigation related legal services.
2.5.4. Performance Reviews. The City and JONES & MAYER agree that a review
of performance shall occur every twelve months thereafter.
2.5.5. Reimbursement. The City shall reimburse JONES & MAYER for
reasonable and necessary expenses incurred by it in the performance of
the Services on behalf of the City, subject to approval by the City Manager.
Authorized, reimbursable expenses shall include, but are not limited to: (A)
parking fees at actual cost; (B) messenger fees: at actual cost for special
messenger deliveries (no cost for deliveries to City Hall); and (C)
conference registration and travel expenses chargeable only if specifically
requested by client.
2.5.6. Billing. JONES & MAYER shall submit monthly to the City a detailed
statement of account for Services. The City shall review JONES &
MAYER's monthly statements and pay JONES & MAYER for Services
rendered and costs incurred, as provided for in the Agreement, on a
monthly basis.
2.6. Insurance Coverage.
2.6.1. Insurance. JONES & MAYER shall procure and maintain throughout the term
of this Agreement, with insurance carriers authorized to do business in
California, the following types and amounts of insurance: (A) commercial
general liability ($1,000,000); (B) business automobile liability ($1,000,000);
(C) employers' liability ($1,000,000); (D) errors and omissions professional
liability insurance ($1,000,000); and (E) workers' compensation (amount
required by California law). The commercial general liability and business
automobile policies shall be endorsed as follows: (1)the City/Agency shall be
covered as an additional insured with respect to the Services performed by or
on behalf of the City/Agency; and (2)the insurance coverage shall be primary
insurance over any insurance carried by the City/Agency.
3
variation of the terms'of this Contract shall not
be valid unless made in the form of a written amendment to this Contract formally approved and executed by both
parties.
26. INVALID CONDITIONS
If any one or more of the terms, provisions, sections, promises, covenants or conditions of this Contract shall to any
extent be judged invalid, unenforceable, void or voidable for any -reason whatsoever, by a court of competent
jurisdiction, each and all of the remaining terms, provisions, sections, promises, covenants and conditions of the
Contract shall not be affected thereby, and shall be valid and enforceable to the fullest extent permitted by law.
27. BINDING INTEREST
This Contract shall be binding on the parties, successors in interest, heirs and assigns. •
28. NOTICES.
All.notices shall be served in writing. The notices shall be sent to the following addresses:
Auditor/Controller-Recorder Use Only Page 7 of 8
❑Contract Database ❑FAS'
Input Date Keyed By
•
Y evidencing the insurance coverage, including
endorsements, as required, prior to the commencement of performance of services hereunder, which certificates shall
provide that such insurance shall not be terminated or expire without thirty (30) days written notice to COUNTY, and
CONTRACTOR shall maintain such insurance from the time it commences performance of services hereunder until
the completion of such services. Within fifteen. (15) days of the_commencement of this Contract, CONTRACTOR
Auditor/Controller-Recorder Use Only Page 6 of 8
❑Contract Database 0 FAS
Input Date Keyed By
and total-All Pages $ 197,173,139 $ 10,460,828 $ 3,277,339 $3,468,951 1$ 6,746,290
* This Preliminary Draft Initial Recognized Obligation Payment Schedule is to be adopted by the redevelopment agency no later than 9/30/2011.It is valid through 6/30/12.
**Debt service payment of$1,788,425 made 9/1/2011 so not reflected in"10/1/11 through 12/31/11"expenditures. �! .S J/• /
***This payment will be made as soon as the Agency is no longer precluded from doing so.
2.6.2. Indemnification. JONES & MAYER shall defend, indemnify and hold the
City/Agency and its officials, officers, employees and agents free and
harmless from any and all claims, demands, causes of action, costs,
expenses, liabilities, losses, damages or injuries, in law or equity, to
property or persons, including wrongful death, to the extent arising out of or
incident to any negligent acts, errors, omissions or willful misconduct of
JONES & MAYER or it's officials, officers, employees and agents arising out
of, or in connection with, the performance of the Services.
2.7. Cooperation with City/Agency Officials. JONES & MAYER shall work
cooperatively with the City Council/Agency Board and City Manager/Executive
Director and keep them informed on all matters of importance as they arise.
2.8. Termination of Agreement and Legal Services. This Agreement and the
Services to be rendered under it may be terminated at any time upon thirty (30)
days written notice from either party, with or without cause. In the event of such
termination, JONES & MAYER shall be paid for all services authorized by the
City and performed up through and including the effective date of termination.
2.9. Work Product Under This Agreement. All work is the property of the City and
Agency, including all evidence, files, research, notes, computerized indices,
programs and documents, and any other stored or generated information or
documents. In the event of termination of this Agreement or upon request of the
City and Agency as to any file or matter, JONES & MAYER shall promptly deliver
all work product under this Agreement to the City and Agency or their designees.
JONES & MAYER also agrees that, upon termination of the Agreement or
services in any file or matter, JONES & MAYER will provide to City/Agency or its
designee a closing report, including a brief description of the facts of the case,
discussion of research conducted, and calendar of any scheduled court
appearances and deadlines.
2.10. Control and Payment of Subordinates: Independent Contractor. JONES &
MAYER shall determine the means, methods and details of performing the
Services subject to the requirements of this agreement. The City/Agency retains
JONES & MAYER on an independent contractor basis and not as an employee.
Any personnel performing the Services under this Agreement on behalf of
JONES & MAYER shall not be employees of the City/Agency, and shall at all
times be under JONES & MAYER exclusive directions and control. JONES &
MAYER shall pay all wages, salaries, and other amounts due such personnel in
connection with their performance of Services under the Agreement and as
required by law. JONES & MAYER shall be responsible for all reports and
obligations respecting such additional personnel, including, but not limited to:
social security taxes, income tax withholding, unemployment insurance,
disability insurance, and workers' compensation insurance.
4
, promises, covenants and conditions of the
Contract shall not be affected thereby, and shall be valid and enforceable to the fullest extent permitted by law.
27. BINDING INTEREST
This Contract shall be binding on the parties, successors in interest, heirs and assigns. •
28. NOTICES.
All.notices shall be served in writing. The notices shall be sent to the following addresses:
Auditor/Controller-Recorder Use Only Page 7 of 8
❑Contract Database ❑FAS'
Input Date Keyed By
•
Y evidencing the insurance coverage, including
endorsements, as required, prior to the commencement of performance of services hereunder, which certificates shall
provide that such insurance shall not be terminated or expire without thirty (30) days written notice to COUNTY, and
CONTRACTOR shall maintain such insurance from the time it commences performance of services hereunder until
the completion of such services. Within fifteen. (15) days of the_commencement of this Contract, CONTRACTOR
Auditor/Controller-Recorder Use Only Page 6 of 8
❑Contract Database 0 FAS
Input Date Keyed By
and total-All Pages $ 197,173,139 $ 10,460,828 $ 3,277,339 $3,468,951 1$ 6,746,290
* This Preliminary Draft Initial Recognized Obligation Payment Schedule is to be adopted by the redevelopment agency no later than 9/30/2011.It is valid through 6/30/12.
**Debt service payment of$1,788,425 made 9/1/2011 so not reflected in"10/1/11 through 12/31/11"expenditures. �! .S J/• /
***This payment will be made as soon as the Agency is no longer precluded from doing so.
2.11. Entire Agreement. This Agreement contains the entire Agreement of the
parties with respect to the subject matter hereof, and supersedes all prior
negotiations, understandings or agreements.
2.12. Governing Law. This Agreement shall be governed by the laws of the State of
California. Venue shall be in San Bernardino County.
2.13. Assignment or Transfer. JONES & MAYER shall not assign, hypothecate or
transfer, either directly or by operation of law, this Agreement or any interest
herein without the prior written consent of the City/Agency. Any attempt to do
so shall be null and void, and any assignees, hypothecates or transferees shall
acquire no right or interest by reason of such attempted assignment,
hypothecation or transfer.
2.14. Amendment Modification. No supplement, modification, or amendment of this
Agreement shall be binding unless executed in writing and signed by both
parties.
2.15. Waiver. No waiver or any default shall constitute a waiver of any other default or
breach, whether of the same or other covenant or condition. No waiver, benefit,
privilege, or service voluntarily given or performed by a party shall give the other
party any contractual rights by custom, estoppel, or otherwise.
2.16. No Third Party Beneficiaries. There are no intended third party beneficiaries
of any right or obligation assumed by the parties.
2.17. Invalidity Severability. If any portion of this Agreement is declared invalid, illegal,
or otherwise unenforceable by a court of competent jurisdiction, the remaining
provisions shall continue in full force and effect.
2.18. Equal Opportunity Employment. JONES & MAYER represents that it is an
equal opportunity employer and it shall not discriminate against any
subcontractor, employee or applicant for employment because of race, religion,
color, national origin, handicap, ancestry, sex or age.
2.19. Counterparts. This Agreement may be signed in counterparts, each of which
shall constitute an original.
5
2.10. Control and Payment of Subordinates: Independent Contractor. JONES &
MAYER shall determine the means, methods and details of performing the
Services subject to the requirements of this agreement. The City/Agency retains
JONES & MAYER on an independent contractor basis and not as an employee.
Any personnel performing the Services under this Agreement on behalf of
JONES & MAYER shall not be employees of the City/Agency, and shall at all
times be under JONES & MAYER exclusive directions and control. JONES &
MAYER shall pay all wages, salaries, and other amounts due such personnel in
connection with their performance of Services under the Agreement and as
required by law. JONES & MAYER shall be responsible for all reports and
obligations respecting such additional personnel, including, but not limited to:
social security taxes, income tax withholding, unemployment insurance,
disability insurance, and workers' compensation insurance.
4
, promises, covenants and conditions of the
Contract shall not be affected thereby, and shall be valid and enforceable to the fullest extent permitted by law.
27. BINDING INTEREST
This Contract shall be binding on the parties, successors in interest, heirs and assigns. •
28. NOTICES.
All.notices shall be served in writing. The notices shall be sent to the following addresses:
Auditor/Controller-Recorder Use Only Page 7 of 8
❑Contract Database ❑FAS'
Input Date Keyed By
•
Y evidencing the insurance coverage, including
endorsements, as required, prior to the commencement of performance of services hereunder, which certificates shall
provide that such insurance shall not be terminated or expire without thirty (30) days written notice to COUNTY, and
CONTRACTOR shall maintain such insurance from the time it commences performance of services hereunder until
the completion of such services. Within fifteen. (15) days of the_commencement of this Contract, CONTRACTOR
Auditor/Controller-Recorder Use Only Page 6 of 8
❑Contract Database 0 FAS
Input Date Keyed By
and total-All Pages $ 197,173,139 $ 10,460,828 $ 3,277,339 $3,468,951 1$ 6,746,290
* This Preliminary Draft Initial Recognized Obligation Payment Schedule is to be adopted by the redevelopment agency no later than 9/30/2011.It is valid through 6/30/12.
**Debt service payment of$1,788,425 made 9/1/2011 so not reflected in"10/1/11 through 12/31/11"expenditures. �! .S J/• /
***This payment will be made as soon as the Agency is no longer precluded from doing so.
2,20. Delivery of Notices. All notices permitted or required under this Agreement
shall be given to the respective parties at the following address, or at such
other address as the respective parties may provide in writing for this purpose:
City of Grand Terrace:
Grand Terrace City Hall
Attention: Betsy Adams, City Manager
22795 Barton Road
Grand Terrace, CA 90270
Jones & Mayer:
Jones & Mayer
3777 N. Harbor Blvd.
Fullerton, CA 92835
Attn: Richard L. Adams, II
Such notices shall be deemed made when personally delivered, or when
mailed, forty-eight (48) hours after deposit in the U.S. Mail, first class postage
prepaid and addressed to the party at its applicable address. Actual notice
shall be deemed adequate notice on the date actual notice occurred,
regardless of the method of service.
IN WITNESS WHEREOF this Agreement is signed by the parties hereto on the
date first above written.
CITY OF GRAND TERRACE
Date
Betsy Adams, City Manager
CITY OF GRAND TERRACE COMMUNITY
REDEVELOPMENT AGENCY
Date
Betsy Adams, Executive Director
JONES & , YER
4q1IPP
Date ` L — A
Rich=rd D. Jo,es, Managing Partner
6
gation assumed by the parties.
2.17. Invalidity Severability. If any portion of this Agreement is declared invalid, illegal,
or otherwise unenforceable by a court of competent jurisdiction, the remaining
provisions shall continue in full force and effect.
2.18. Equal Opportunity Employment. JONES & MAYER represents that it is an
equal opportunity employer and it shall not discriminate against any
subcontractor, employee or applicant for employment because of race, religion,
color, national origin, handicap, ancestry, sex or age.
2.19. Counterparts. This Agreement may be signed in counterparts, each of which
shall constitute an original.
5
2.10. Control and Payment of Subordinates: Independent Contractor. JONES &
MAYER shall determine the means, methods and details of performing the
Services subject to the requirements of this agreement. The City/Agency retains
JONES & MAYER on an independent contractor basis and not as an employee.
Any personnel performing the Services under this Agreement on behalf of
JONES & MAYER shall not be employees of the City/Agency, and shall at all
times be under JONES & MAYER exclusive directions and control. JONES &
MAYER shall pay all wages, salaries, and other amounts due such personnel in
connection with their performance of Services under the Agreement and as
required by law. JONES & MAYER shall be responsible for all reports and
obligations respecting such additional personnel, including, but not limited to:
social security taxes, income tax withholding, unemployment insurance,
disability insurance, and workers' compensation insurance.
4
, promises, covenants and conditions of the
Contract shall not be affected thereby, and shall be valid and enforceable to the fullest extent permitted by law.
27. BINDING INTEREST
This Contract shall be binding on the parties, successors in interest, heirs and assigns. •
28. NOTICES.
All.notices shall be served in writing. The notices shall be sent to the following addresses:
Auditor/Controller-Recorder Use Only Page 7 of 8
❑Contract Database ❑FAS'
Input Date Keyed By
•
Y evidencing the insurance coverage, including
endorsements, as required, prior to the commencement of performance of services hereunder, which certificates shall
provide that such insurance shall not be terminated or expire without thirty (30) days written notice to COUNTY, and
CONTRACTOR shall maintain such insurance from the time it commences performance of services hereunder until
the completion of such services. Within fifteen. (15) days of the_commencement of this Contract, CONTRACTOR
Auditor/Controller-Recorder Use Only Page 6 of 8
❑Contract Database 0 FAS
Input Date Keyed By
and total-All Pages $ 197,173,139 $ 10,460,828 $ 3,277,339 $3,468,951 1$ 6,746,290
* This Preliminary Draft Initial Recognized Obligation Payment Schedule is to be adopted by the redevelopment agency no later than 9/30/2011.It is valid through 6/30/12.
**Debt service payment of$1,788,425 made 9/1/2011 so not reflected in"10/1/11 through 12/31/11"expenditures. �! .S J/• /
***This payment will be made as soon as the Agency is no longer precluded from doing so.
Attachment B
California Code Business & Professions Code Section 6148
the City of
Grand Terrace Community Redevelopment Agency
gular meeting of the City
Council of the City of Grand Terrace held on the 27th day of September, 2011 by the
following vote:
AYES:
NOS:
ABSENT:
ABSTAIN:
Tracy Martinez, City Clerk
Approved as to from:
1
City Attorney
,995.88
56 Vouchers in this report Total vouchers : 99,995.88
Page: 9
t for FY 2011-12.
Respectfully submitted,
Bernie Simon
Finance Director
Manager Approval:
Betsy �I Ada s
City Manager
ATTACHMENTS:
Check Register— September 27, 2011
e Preliminary Draft Initial Recognized Obligation
Payment Schedule dated September 15, 2011 (Exhibit A to the Resolution)
CALIFORNIA CODES
BUSINESS AND PROFESSIONS CODE
SECTION 6148
6148. (a) In any case not coming within Section 6147 in which it is reasonably foreseeable that
total expense to a client, including attorney fees, will exceed one thousand dollars
($1,000), the contract for services in the case shall be in writing. At the time the
contract is entered into, the attorney shall provide a duplicate copy of the contract
signed by both the attorney and the client, or the client's guardian or representative,
to the client or to the client's guardian or representative. The written contract shall
contain all of the following:
(1)Any basis of compensation including, but not limited to, hourly rates, statutory
fees or flat fees, and other standard rates, fees, and charges applicable to the
case.
(2) The general nature of the legal services to be provided to the client.
(3) The respective responsibilities of the attorney and the client as to the
performance of the contract.
(b) All bills rendered by an attorney to a client shall clearly state the basis thereof. Bills
for the fee portion of the bill shall include the amount, rate, basis for calculation, or
other method of determination of the attorney's fees and costs. Bills for the cost and
expense portion of the bill shall clearly identify the costs and expenses incurred and
the amount of the costs and expenses. Upon request by the client, the attorney shall
provide a bill to the client no later than 10 days following the request unless the
attorney has provided a bill to the client within 31 days prior to the request, in which
case the attorney may provide a bill to the client no later than 31 days following the
date the most recent bill was provided. The client is entitled to make similar requests
at intervals of no less than 30 days following the initial request. In providing
responses to client requests for billing information, the attorney may use billing data
that is currently effective on the date of the request, or, if any fees or costs to that
date cannot be accurately determined, they shall be described and estimated.
(c) Failure to comply with any provision of this section renders the agreement voidable at
the option of the client, and the attorney shall, upon the agreement being voided, be
entitled to collect a reasonable fee.
(d) This section shall not apply to any of the following:
(1) Services rendered in an emergency to avoid foreseeable prejudice to the
rights or interests of the client or where a writing is otherwise impractical.
(2) An arrangement as to the fee implied by the fact that the attorney's services
are of the same general kind as previously rendered to and paid for by the
client.
(3) If the client knowingly states in writing, after full disclosure of this section, that
a writing concerning fees is not required.
(4) If the client is a corporation.
(e) This section applies prospectively only to fee agreements following its
operative date.
(f) This section shall become operative on January 1, 2000.
by law.
27. BINDING INTEREST
This Contract shall be binding on the parties, successors in interest, heirs and assigns. •
28. NOTICES.
All.notices shall be served in writing. The notices shall be sent to the following addresses:
Auditor/Controller-Recorder Use Only Page 7 of 8
❑Contract Database ❑FAS'
Input Date Keyed By
•
Y evidencing the insurance coverage, including
endorsements, as required, prior to the commencement of performance of services hereunder, which certificates shall
provide that such insurance shall not be terminated or expire without thirty (30) days written notice to COUNTY, and
CONTRACTOR shall maintain such insurance from the time it commences performance of services hereunder until
the completion of such services. Within fifteen. (15) days of the_commencement of this Contract, CONTRACTOR
Auditor/Controller-Recorder Use Only Page 6 of 8
❑Contract Database 0 FAS
Input Date Keyed By
and total-All Pages $ 197,173,139 $ 10,460,828 $ 3,277,339 $3,468,951 1$ 6,746,290
* This Preliminary Draft Initial Recognized Obligation Payment Schedule is to be adopted by the redevelopment agency no later than 9/30/2011.It is valid through 6/30/12.
**Debt service payment of$1,788,425 made 9/1/2011 so not reflected in"10/1/11 through 12/31/11"expenditures. �! .S J/• /
***This payment will be made as soon as the Agency is no longer precluded from doing so.
F
The staff report for CRA Item 4. Legal Services Agreement for the City of
Grand Terrace and the City of Grand Terrace Community Redevelopment
Agency is under Item 8B.
CRA AGENDA ITEM NO.4
y of September, 2011 by the
following vote:
AYES:
NOS:
ABSENT:
ABSTAIN:
Tracy Martinez, City Clerk
Approved as to from:
1
City Attorney
,995.88
56 Vouchers in this report Total vouchers : 99,995.88
Page: 9
t for FY 2011-12.
Respectfully submitted,
Bernie Simon
Finance Director
Manager Approval:
Betsy �I Ada s
City Manager
ATTACHMENTS:
Check Register— September 27, 2011
e Preliminary Draft Initial Recognized Obligation
Payment Schedule dated September 15, 2011 (Exhibit A to the Resolution)
The Blue.Mounlain City
Grand TerraceIFORN IA AGENDA REPORT
CAL
MEETING DATE: September 27, 2011 Council Item ( X ) CRA Item ( X )
TITLE: Agreement to Transfer Agency Property Tax Increment to
the City to Participate in the Alternative Voluntary
Redevelopment Program
PRESENTED BY: Joyce Powers, Community and Economic Development
Director
RECOMMENDATION: That the City Council and Agency adopt the attached
Resolutions approving the Agreement to Transfer Tax
Increment.
BACKGROUND:
On July 26, 2011, the Council conducted a public hearing to adopt an Ordinance to
participate in the Alternative Voluntary Redevelopment Program created by ABX1 27. If
choosing not to participate, a Redevelopment Agency would otherwise be terminated
under ABX1 26. The Agencies opting in to the voluntary program are required to make
annual participatory payments to their County Auditor-Controller, beginning this fiscal
year. Grand Terrace's payments were initially estimated to be approximately
$2,828,060 for FY 2011-12 and approximately $670,745 in subsequent years.
On August 11, 2011, before the Ordinance became effective, the State Supreme Court
issued a stay which has the effect of barring agencies from certain activities pending
their review of a lawsuit filed by the California Redevelopment Association and League
of Cities. Although how to proceed is unclear and the subject of extensive legal
discussion, the City has taken steps to preserve future options and has met all of the
deadlines imposed under the Assembly Bills. These actions include submitting an
appeal to the established annual payment amounts and delivering the Enforceable
Obligations Payment Schedule to document the Agency's financial obligations through
December 31, 2011.
On August 12, 2011, the Agency submitted an appeal to the prescribed payment
amounts due to incomplete or incorrect information used in the calculations, specifically
overpayments of property tax increment revenues to the Agency due to the County's
errors and the omission of debt service for the Agency's 2011 tax allocation bonds. The
State's Director of Finance is required to review appeals by September 15, 2011, which
COUNCIL AGENDA ITEM NO.BCJ
t a reasonable fee.
(d) This section shall not apply to any of the following:
(1) Services rendered in an emergency to avoid foreseeable prejudice to the
rights or interests of the client or where a writing is otherwise impractical.
(2) An arrangement as to the fee implied by the fact that the attorney's services
are of the same general kind as previously rendered to and paid for by the
client.
(3) If the client knowingly states in writing, after full disclosure of this section, that
a writing concerning fees is not required.
(4) If the client is a corporation.
(e) This section applies prospectively only to fee agreements following its
operative date.
(f) This section shall become operative on January 1, 2000.
by law.
27. BINDING INTEREST
This Contract shall be binding on the parties, successors in interest, heirs and assigns. •
28. NOTICES.
All.notices shall be served in writing. The notices shall be sent to the following addresses:
Auditor/Controller-Recorder Use Only Page 7 of 8
❑Contract Database ❑FAS'
Input Date Keyed By
•
Y evidencing the insurance coverage, including
endorsements, as required, prior to the commencement of performance of services hereunder, which certificates shall
provide that such insurance shall not be terminated or expire without thirty (30) days written notice to COUNTY, and
CONTRACTOR shall maintain such insurance from the time it commences performance of services hereunder until
the completion of such services. Within fifteen. (15) days of the_commencement of this Contract, CONTRACTOR
Auditor/Controller-Recorder Use Only Page 6 of 8
❑Contract Database 0 FAS
Input Date Keyed By
and total-All Pages $ 197,173,139 $ 10,460,828 $ 3,277,339 $3,468,951 1$ 6,746,290
* This Preliminary Draft Initial Recognized Obligation Payment Schedule is to be adopted by the redevelopment agency no later than 9/30/2011.It is valid through 6/30/12.
**Debt service payment of$1,788,425 made 9/1/2011 so not reflected in"10/1/11 through 12/31/11"expenditures. �! .S J/• /
***This payment will be made as soon as the Agency is no longer precluded from doing so.
may be extended to October' 15, 2011. To date, staff has not received any
communication regarding our appeal.
AB1X 27 provides that the City may enter into an agreement with the Agency to transfer
a portion of its tax increment to make the required payments. During the July 2011
meetings to discuss participation in the voluntary program, staff stated that they would
present the funding recommendation and any agreements after receiving the Director of
Finance's decision on the appeal.
DISCUSSION:
The Agency's legal ability to opt in to the voluntary program by making the
aforementioned payments remains unresolved, and may not be' known until about
January 15, 2012, when the first payment would be due. However, the Agency's annual
Statement of Indebtedness (SOI) is due to the State Controller on October 1, 2011.
Because the "opt-in" payments would be considered a debt of the Agency, staff
recommends approving an Agreement to Transfer Tax Increment to the City for the FY
2011-12 payments now, and listing the obligation on the Agency's Statement of
Indebtedness. In consideration of the Court's stay, language limiting the effectiveness
of the proposed Agreement has been included in Section 5 and states in full:
"Effectiveness of the Agreement is subject to a final determination by a California court
of competent jurisdiction upholding the Program or otherwise allowing for payments to
be made by the Agency to the City."
The Agency's Special Legal Counsel for fiscal issues, Stradling Yocca Carlson & Rauth,
prepared the attached Agreement. Approving the Agreement may preserve the
Agency's option to provide these funds to the City for the required payments if the
creation of the Alternative Voluntary Redevelopment Program is upheld.
Also required by October 1, 2011, is the Council's approval of the Recognized
Obligation Payment Schedule documenting.the Agency's financial obligations during the
period beginning January 1, 2012 through June 30, 2012. This will be discussed in a
companion staff report also scheduled for September 27, 2011.
FISCAL IMPACT:
The actual payment amounts for the FY 2011-12 will not be known until the Director of
Finance responds to the appeal., The_.amount provided before the appeal was filed is
$2,828,060, to be paid in two equal installments, on January 15, 2012 and May 15,
2012. If the appeal is approved, staff estimates the payments for FY 2011-12 to be
between approximately $1.7 and $2.1 million, dependent upon the Director of Finance's
determination. Required participatory payments in subsequent years may be reduced
from approximately $670,000 to approximately $500,000. As better information
becomes available, staff will return to the Agency and Council for more discussion,
including any necessary budget appropriations.
iting concerning fees is not required.
(4) If the client is a corporation.
(e) This section applies prospectively only to fee agreements following its
operative date.
(f) This section shall become operative on January 1, 2000.
by law.
27. BINDING INTEREST
This Contract shall be binding on the parties, successors in interest, heirs and assigns. •
28. NOTICES.
All.notices shall be served in writing. The notices shall be sent to the following addresses:
Auditor/Controller-Recorder Use Only Page 7 of 8
❑Contract Database ❑FAS'
Input Date Keyed By
•
Y evidencing the insurance coverage, including
endorsements, as required, prior to the commencement of performance of services hereunder, which certificates shall
provide that such insurance shall not be terminated or expire without thirty (30) days written notice to COUNTY, and
CONTRACTOR shall maintain such insurance from the time it commences performance of services hereunder until
the completion of such services. Within fifteen. (15) days of the_commencement of this Contract, CONTRACTOR
Auditor/Controller-Recorder Use Only Page 6 of 8
❑Contract Database 0 FAS
Input Date Keyed By
and total-All Pages $ 197,173,139 $ 10,460,828 $ 3,277,339 $3,468,951 1$ 6,746,290
* This Preliminary Draft Initial Recognized Obligation Payment Schedule is to be adopted by the redevelopment agency no later than 9/30/2011.It is valid through 6/30/12.
**Debt service payment of$1,788,425 made 9/1/2011 so not reflected in"10/1/11 through 12/31/11"expenditures. �! .S J/• /
***This payment will be made as soon as the Agency is no longer precluded from doing so.
Respectfully submitted:
E. APIA
Jo cetvers
Community and Economic Development Director
Manager Approval: ��,
Betsy . Adams, City Manager
. ATTACHMENTS:
1. City Council Resolution approving the Agreement to Transfer Tax Increment
2. Agency Resolution approving the Agreement to Transfer Tax Increment
3. Agreement to Transfer Tax Increment
pproved as to from:
1
City Attorney
,995.88
56 Vouchers in this report Total vouchers : 99,995.88
Page: 9
t for FY 2011-12.
Respectfully submitted,
Bernie Simon
Finance Director
Manager Approval:
Betsy �I Ada s
City Manager
ATTACHMENTS:
Check Register— September 27, 2011
e Preliminary Draft Initial Recognized Obligation
Payment Schedule dated September 15, 2011 (Exhibit A to the Resolution)
ATTACHMENT NO. 1
Council Resolution Approving the
Agreement to Transfer Tax Increment
Manager Approval: ��,
Betsy . Adams, City Manager
. ATTACHMENTS:
1. City Council Resolution approving the Agreement to Transfer Tax Increment
2. Agency Resolution approving the Agreement to Transfer Tax Increment
3. Agreement to Transfer Tax Increment
pproved as to from:
1
City Attorney
,995.88
56 Vouchers in this report Total vouchers : 99,995.88
Page: 9
t for FY 2011-12.
Respectfully submitted,
Bernie Simon
Finance Director
Manager Approval:
Betsy �I Ada s
City Manager
ATTACHMENTS:
Check Register— September 27, 2011
e Preliminary Draft Initial Recognized Obligation
Payment Schedule dated September 15, 2011 (Exhibit A to the Resolution)
RESOLUTION NO.
A RESOLUTION OF THE CITY OF GRAND TERRACE
APPROVING AN AGREEMENT TO TRANSFER TAX
INCREMENT BY AND BETWEEN THE CITY OF GRAND
TERRACE AND THE COMMUNITY REDEVELOPMENT
AGENCY'OF THE CITY OF GRAND TERRACE AND MAKING
CERTAIN FINDINGS IN CONNECTION THEREWITH
WHEREAS,the Community Redevelopment Agency of the City of Grand Terrace(Agency)
is a community redevelopment agency organized and existing under the California Community
Redevelopment Law, Health and Safety Code Sections 33000, et seq. (CRE)and has been authorized
to transact business and exercise the powers of a redevelopment agency pursuant to action of the City
Council (City Council)of the City of Grand Terrace(City);and
WHEREAS, the City Council approved a redevelopment plan for a redevelopment project
and project area (the`Original Plari'and'Original Project Ared', respectively, by Ordinance No. 25
adopted September 27, 1979, which has subsequently been amended by an amendment (Amendment
No. f), as approved by Ordinance•No. 31 adopted on January 17, 1980, an additional amendment
(Amendment No. 2) as approved by Ordinance No. 52 on July 15, 1981, an additional amendment
(Amendment No. 3) as approved by Ordinance No. 187 on July 22, 1999, an additional amendment
(Amendment No. 4) as approved by Ordinance No. 202,. on September 12, 2002, an additional
amendment (Amendment No. 5) as approved by Ordinance No. 212 on July 22, 2004, and an
additional amendment (`Amendment No. 6) as approved by Ordinance No. 250 on May 11, 2010
approving an amended and restated redevelopment plan (herein, the"Amended Redevelopment Plan)
for the project area as established by Ordinance No. 25 and thereafter amended as set forth above
under the Amended Redevelopment Plan (the"Amended Project Area);and
WHEREAS, Parts 1.8, 1.85 and 1.9 of Division 24 of the Health and Safety Code were
added to the CRL by ABX1 26 and ABX1 27, which measures purport to become effective
immediately. ABX1 26 and ABX1 27, which are trailer bills to the 2011-12 budget bills, were
DOCS OC/1499774v3/022092-0000
o scheduled for September 27, 2011.
FISCAL IMPACT:
The actual payment amounts for the FY 2011-12 will not be known until the Director of
Finance responds to the appeal., The_.amount provided before the appeal was filed is
$2,828,060, to be paid in two equal installments, on January 15, 2012 and May 15,
2012. If the appeal is approved, staff estimates the payments for FY 2011-12 to be
between approximately $1.7 and $2.1 million, dependent upon the Director of Finance's
determination. Required participatory payments in subsequent years may be reduced
from approximately $670,000 to approximately $500,000. As better information
becomes available, staff will return to the Agency and Council for more discussion,
including any necessary budget appropriations.
iting concerning fees is not required.
(4) If the client is a corporation.
(e) This section applies prospectively only to fee agreements following its
operative date.
(f) This section shall become operative on January 1, 2000.
by law.
27. BINDING INTEREST
This Contract shall be binding on the parties, successors in interest, heirs and assigns. •
28. NOTICES.
All.notices shall be served in writing. The notices shall be sent to the following addresses:
Auditor/Controller-Recorder Use Only Page 7 of 8
❑Contract Database ❑FAS'
Input Date Keyed By
•
Y evidencing the insurance coverage, including
endorsements, as required, prior to the commencement of performance of services hereunder, which certificates shall
provide that such insurance shall not be terminated or expire without thirty (30) days written notice to COUNTY, and
CONTRACTOR shall maintain such insurance from the time it commences performance of services hereunder until
the completion of such services. Within fifteen. (15) days of the_commencement of this Contract, CONTRACTOR
Auditor/Controller-Recorder Use Only Page 6 of 8
❑Contract Database 0 FAS
Input Date Keyed By
and total-All Pages $ 197,173,139 $ 10,460,828 $ 3,277,339 $3,468,951 1$ 6,746,290
* This Preliminary Draft Initial Recognized Obligation Payment Schedule is to be adopted by the redevelopment agency no later than 9/30/2011.It is valid through 6/30/12.
**Debt service payment of$1,788,425 made 9/1/2011 so not reflected in"10/1/11 through 12/31/11"expenditures. �! .S J/• /
***This payment will be made as soon as the Agency is no longer precluded from doing so.
approved by both houses of the Legislature on June 15, 2011 and signed by the Governor on June 28,
2011; and
WHEREAS, Part 1.85 of the CRL ("Part 1.85") provides for the statewide dissolution of all
redevelopment agencies, including the Agency, as of October 1, 2011, and provides that,thereafter, a
successor agency to administer the enforceable obligations of the Agency and otherwise wind up the
Agency's affairs, all subject to the review and approval by an oversight committee; and
WHEREAS, Part 1.8 of the CRL ("Part 1.8") provides for the restriction of activities and
authority of the Agency in the interim period prior to dissolution to certain "enforceable obligations"
and to actions required for the general winding up of affairs, preservation of assets, and certain other
goals delineated in Part 1.8; and
WHEREAS, the dissolution of the Agency would be detrimental to the health, safety, and
economic well-being of the residents of the City and cause irreparable harm to the community and
the Redevelopment Project, because, among other reasons, the redevelopment activities and projects
made possible, implemented, and funded by the Agency are highly significant and of enduring
benefit to the community and the City, and are a critical component of its future; and
WHEREAS, Part 1.9 of the CRL ("Part 1.9") provides that a redevelopment agency may
continue in operation if a city or county that includes a redevelopment agency adopts an ordinance
agreeing to comply with and participate in the Alternative Voluntary Redevelopment Program
established in Part 1.9 ("Program"); and
WHEREAS, as a condition of the Agency's continued existence and operation of its
redevelopment agency, the City is required to make certain annual remittances to the county
auditor-controller pursuant to Chapter 3 of Part 1.9, beginning with a larger upfront remittance for
DO C SOC/1499774v3/022092-0000
afety Code were
added to the CRL by ABX1 26 and ABX1 27, which measures purport to become effective
immediately. ABX1 26 and ABX1 27, which are trailer bills to the 2011-12 budget bills, were
DOCS OC/1499774v3/022092-0000
o scheduled for September 27, 2011.
FISCAL IMPACT:
The actual payment amounts for the FY 2011-12 will not be known until the Director of
Finance responds to the appeal., The_.amount provided before the appeal was filed is
$2,828,060, to be paid in two equal installments, on January 15, 2012 and May 15,
2012. If the appeal is approved, staff estimates the payments for FY 2011-12 to be
between approximately $1.7 and $2.1 million, dependent upon the Director of Finance's
determination. Required participatory payments in subsequent years may be reduced
from approximately $670,000 to approximately $500,000. As better information
becomes available, staff will return to the Agency and Council for more discussion,
including any necessary budget appropriations.
iting concerning fees is not required.
(4) If the client is a corporation.
(e) This section applies prospectively only to fee agreements following its
operative date.
(f) This section shall become operative on January 1, 2000.
by law.
27. BINDING INTEREST
This Contract shall be binding on the parties, successors in interest, heirs and assigns. •
28. NOTICES.
All.notices shall be served in writing. The notices shall be sent to the following addresses:
Auditor/Controller-Recorder Use Only Page 7 of 8
❑Contract Database ❑FAS'
Input Date Keyed By
•
Y evidencing the insurance coverage, including
endorsements, as required, prior to the commencement of performance of services hereunder, which certificates shall
provide that such insurance shall not be terminated or expire without thirty (30) days written notice to COUNTY, and
CONTRACTOR shall maintain such insurance from the time it commences performance of services hereunder until
the completion of such services. Within fifteen. (15) days of the_commencement of this Contract, CONTRACTOR
Auditor/Controller-Recorder Use Only Page 6 of 8
❑Contract Database 0 FAS
Input Date Keyed By
and total-All Pages $ 197,173,139 $ 10,460,828 $ 3,277,339 $3,468,951 1$ 6,746,290
* This Preliminary Draft Initial Recognized Obligation Payment Schedule is to be adopted by the redevelopment agency no later than 9/30/2011.It is valid through 6/30/12.
**Debt service payment of$1,788,425 made 9/1/2011 so not reflected in"10/1/11 through 12/31/11"expenditures. �! .S J/• /
***This payment will be made as soon as the Agency is no longer precluded from doing so.
the 2011-2012 fiscal year ("First Remittance"), to be paid in two equal installments on January 15,
2012 and May 15, 2012; and
WHEREAS, the City's needs are such that it can commit to spend the funds received from
the Agency pursuant to the Agreement to Transfer Tax Increment (defined below) to finance
activities within the Redevelopment Project that are related to accomplishing the goals of the
Redevelopment Project, including without limitation: the promotion of public improvement facilities;
the provision of adequate roadways to correct street alignment problems, to provide adequate
circulation and access to highways; the provision of needed improvements to the community's
recreational, cultural and other community facilities to better serve the Amended Project Area; to
eliminate and prevent the spread of blight and deterioration; the enhancement and renovation of
businesses within the Amended Project Area; and expanding the resource of developable land by
making underutilized land available for development; and
WHEREAS, the City has adopted the ordinance required by Part 1.9 in order to allow the
Agency to continue in operation and performing its functions ("Ordinance"); and
WHEREAS, the City and Agency desire to enter into an agreement pursuant to CRL Section
34194.2 whereby the Agency shall make an initial transfer of a portion of its tax increment to the
City in an amount equal the First Remittance, and thereafter transfer amounts of tax increment equal
to any subsequent remittance which the City is required to make to the county auditor-controller
pursuant to the City's participation in the Program ("Agreement to Transfer Tax Increment"); and
WHEREAS, the City is aware that the validity, passage, and applicability of ABX1 26 and
ABX1 27 have become the subject of a judicial challenge; and
DOC SOC/1499774v3/022092-0000
for
DO C SOC/1499774v3/022092-0000
afety Code were
added to the CRL by ABX1 26 and ABX1 27, which measures purport to become effective
immediately. ABX1 26 and ABX1 27, which are trailer bills to the 2011-12 budget bills, were
DOCS OC/1499774v3/022092-0000
o scheduled for September 27, 2011.
FISCAL IMPACT:
The actual payment amounts for the FY 2011-12 will not be known until the Director of
Finance responds to the appeal., The_.amount provided before the appeal was filed is
$2,828,060, to be paid in two equal installments, on January 15, 2012 and May 15,
2012. If the appeal is approved, staff estimates the payments for FY 2011-12 to be
between approximately $1.7 and $2.1 million, dependent upon the Director of Finance's
determination. Required participatory payments in subsequent years may be reduced
from approximately $670,000 to approximately $500,000. As better information
becomes available, staff will return to the Agency and Council for more discussion,
including any necessary budget appropriations.
iting concerning fees is not required.
(4) If the client is a corporation.
(e) This section applies prospectively only to fee agreements following its
operative date.
(f) This section shall become operative on January 1, 2000.
by law.
27. BINDING INTEREST
This Contract shall be binding on the parties, successors in interest, heirs and assigns. •
28. NOTICES.
All.notices shall be served in writing. The notices shall be sent to the following addresses:
Auditor/Controller-Recorder Use Only Page 7 of 8
❑Contract Database ❑FAS'
Input Date Keyed By
•
Y evidencing the insurance coverage, including
endorsements, as required, prior to the commencement of performance of services hereunder, which certificates shall
provide that such insurance shall not be terminated or expire without thirty (30) days written notice to COUNTY, and
CONTRACTOR shall maintain such insurance from the time it commences performance of services hereunder until
the completion of such services. Within fifteen. (15) days of the_commencement of this Contract, CONTRACTOR
Auditor/Controller-Recorder Use Only Page 6 of 8
❑Contract Database 0 FAS
Input Date Keyed By
and total-All Pages $ 197,173,139 $ 10,460,828 $ 3,277,339 $3,468,951 1$ 6,746,290
* This Preliminary Draft Initial Recognized Obligation Payment Schedule is to be adopted by the redevelopment agency no later than 9/30/2011.It is valid through 6/30/12.
**Debt service payment of$1,788,425 made 9/1/2011 so not reflected in"10/1/11 through 12/31/11"expenditures. �! .S J/• /
***This payment will be made as soon as the Agency is no longer precluded from doing so.
WHEREAS, the City,by the adoption of this resolution, does not represent, disclaim, or take
any position whatsoever on the issue of the validity of ABX1 26 or ABX1 27, but rather the City
seeks to comply with the Constitution and laws of the State of California, including Part 1.9, in order
to preserve the ability of the Agency to continue to operate and thereby benefit the community; and.
WHEREAS, various petitioners have filed an action in the matter of California
Redevelopment Association et al. v. Ana Matosantos, as Director, etc., et al (the "Redevelopment
Lawsuit")which challenges the validity of ABX1 26 and ABX1 27; and
WHEREAS, the Supreme Court has issued a partial stay in connection with the
Redevelopment Lawsuit; and
WHEREAS,the Agency and City intend that the effectiveness of the Agreement to Transfer
Tax Increment is subject to a ruling by the Supreme Court which determines that ABX1 26 and
ABX1 27 are constitutional and valid; and
WHEREAS, the City has duly considered all other related matters and has determined that
the City's entering into the Agreement to Transfer Tax Increment is in the best interests of the City,
and the health, safety, and welfare of its residents, and in accord with the public purposes and
provisions of applicable state and local laws and requirements.
NOW,THEREFORE,BE IT RESOLVED:
Section 1. The foregoing recitals are incorporated into this resolution by this reference,
and constitute a material part of this resolution.
DOCSOC/1499774v3/022092-0000
tor-controller
pursuant to the City's participation in the Program ("Agreement to Transfer Tax Increment"); and
WHEREAS, the City is aware that the validity, passage, and applicability of ABX1 26 and
ABX1 27 have become the subject of a judicial challenge; and
DOC SOC/1499774v3/022092-0000
for
DO C SOC/1499774v3/022092-0000
afety Code were
added to the CRL by ABX1 26 and ABX1 27, which measures purport to become effective
immediately. ABX1 26 and ABX1 27, which are trailer bills to the 2011-12 budget bills, were
DOCS OC/1499774v3/022092-0000
o scheduled for September 27, 2011.
FISCAL IMPACT:
The actual payment amounts for the FY 2011-12 will not be known until the Director of
Finance responds to the appeal., The_.amount provided before the appeal was filed is
$2,828,060, to be paid in two equal installments, on January 15, 2012 and May 15,
2012. If the appeal is approved, staff estimates the payments for FY 2011-12 to be
between approximately $1.7 and $2.1 million, dependent upon the Director of Finance's
determination. Required participatory payments in subsequent years may be reduced
from approximately $670,000 to approximately $500,000. As better information
becomes available, staff will return to the Agency and Council for more discussion,
including any necessary budget appropriations.
iting concerning fees is not required.
(4) If the client is a corporation.
(e) This section applies prospectively only to fee agreements following its
operative date.
(f) This section shall become operative on January 1, 2000.
by law.
27. BINDING INTEREST
This Contract shall be binding on the parties, successors in interest, heirs and assigns. •
28. NOTICES.
All.notices shall be served in writing. The notices shall be sent to the following addresses:
Auditor/Controller-Recorder Use Only Page 7 of 8
❑Contract Database ❑FAS'
Input Date Keyed By
•
Y evidencing the insurance coverage, including
endorsements, as required, prior to the commencement of performance of services hereunder, which certificates shall
provide that such insurance shall not be terminated or expire without thirty (30) days written notice to COUNTY, and
CONTRACTOR shall maintain such insurance from the time it commences performance of services hereunder until
the completion of such services. Within fifteen. (15) days of the_commencement of this Contract, CONTRACTOR
Auditor/Controller-Recorder Use Only Page 6 of 8
❑Contract Database 0 FAS
Input Date Keyed By
and total-All Pages $ 197,173,139 $ 10,460,828 $ 3,277,339 $3,468,951 1$ 6,746,290
* This Preliminary Draft Initial Recognized Obligation Payment Schedule is to be adopted by the redevelopment agency no later than 9/30/2011.It is valid through 6/30/12.
**Debt service payment of$1,788,425 made 9/1/2011 so not reflected in"10/1/11 through 12/31/11"expenditures. �! .S J/• /
***This payment will be made as soon as the Agency is no longer precluded from doing so.
Section 2. That certain Agreement to Transfer Tax Increment to be entered into pursuant
to CRL Section 34194.2, between the Agency and the City in the form submitted herewith is hereby
approved and the City Manager is hereby authorized and directed to execute such agreement and to
administer such agreement in accordance with its terms on behalf of the City; provided that the
foregoing portion of this Section 2 is subject to the final determination by a court of competent
jurisdiction which determines that ABX1 26 and ABX1 27 are constitutional and valid.
Section 3. Each of the City Attorney and Stradling Yocca Carlson & Rauth, a
Professional Corporation, is hereby authorized to the greatest extent permitted by law, to bring an
action or appear in an action in the Superior Court pursuant to CRL Sections 33500 and 33501 of the
Act to determine the validity of the ordinance referred to in this resolution, or the validity of any
bonds issued or contemplated to be issued by the agency or other material contracts of the Agency, or
any findings of the governing body of the City Council related thereto, upon the determination of the
City Manager that such action is reasonably necessary or appropriate to facilitate the consummation
of any agency transaction for which governing board approval has been given.
Section 4. This Resolution shall be effective immediately upon adoption, subject to
Section 2, above.
Section 5. The City Clerk or Interim City Clerk shall certify to the adoption of this
resolution.
DOCSOC/1499774v3/022092-0000
r-controller
pursuant to the City's participation in the Program ("Agreement to Transfer Tax Increment"); and
WHEREAS, the City is aware that the validity, passage, and applicability of ABX1 26 and
ABX1 27 have become the subject of a judicial challenge; and
DOC SOC/1499774v3/022092-0000
for
DO C SOC/1499774v3/022092-0000
afety Code were
added to the CRL by ABX1 26 and ABX1 27, which measures purport to become effective
immediately. ABX1 26 and ABX1 27, which are trailer bills to the 2011-12 budget bills, were
DOCS OC/1499774v3/022092-0000
o scheduled for September 27, 2011.
FISCAL IMPACT:
The actual payment amounts for the FY 2011-12 will not be known until the Director of
Finance responds to the appeal., The_.amount provided before the appeal was filed is
$2,828,060, to be paid in two equal installments, on January 15, 2012 and May 15,
2012. If the appeal is approved, staff estimates the payments for FY 2011-12 to be
between approximately $1.7 and $2.1 million, dependent upon the Director of Finance's
determination. Required participatory payments in subsequent years may be reduced
from approximately $670,000 to approximately $500,000. As better information
becomes available, staff will return to the Agency and Council for more discussion,
including any necessary budget appropriations.
iting concerning fees is not required.
(4) If the client is a corporation.
(e) This section applies prospectively only to fee agreements following its
operative date.
(f) This section shall become operative on January 1, 2000.
by law.
27. BINDING INTEREST
This Contract shall be binding on the parties, successors in interest, heirs and assigns. •
28. NOTICES.
All.notices shall be served in writing. The notices shall be sent to the following addresses:
Auditor/Controller-Recorder Use Only Page 7 of 8
❑Contract Database ❑FAS'
Input Date Keyed By
•
Y evidencing the insurance coverage, including
endorsements, as required, prior to the commencement of performance of services hereunder, which certificates shall
provide that such insurance shall not be terminated or expire without thirty (30) days written notice to COUNTY, and
CONTRACTOR shall maintain such insurance from the time it commences performance of services hereunder until
the completion of such services. Within fifteen. (15) days of the_commencement of this Contract, CONTRACTOR
Auditor/Controller-Recorder Use Only Page 6 of 8
❑Contract Database 0 FAS
Input Date Keyed By
and total-All Pages $ 197,173,139 $ 10,460,828 $ 3,277,339 $3,468,951 1$ 6,746,290
* This Preliminary Draft Initial Recognized Obligation Payment Schedule is to be adopted by the redevelopment agency no later than 9/30/2011.It is valid through 6/30/12.
**Debt service payment of$1,788,425 made 9/1/2011 so not reflected in"10/1/11 through 12/31/11"expenditures. �! .S J/• /
***This payment will be made as soon as the Agency is no longer precluded from doing so.
APPROVED AND ADOPTED this day of , 2011.
Mayor
(SEAL)
ATTEST:
Interim City Clerk
APPROVE AS TO FORM:
City Attorney
DOCSOC/1499774v3/022092-0000
1. City Council Resolution approving the Agreement to Transfer Tax Increment
2. Agency Resolution approving the Agreement to Transfer Tax Increment
3. Agreement to Transfer Tax Increment
pproved as to from:
1
City Attorney
,995.88
56 Vouchers in this report Total vouchers : 99,995.88
Page: 9
t for FY 2011-12.
Respectfully submitted,
Bernie Simon
Finance Director
Manager Approval:
Betsy �I Ada s
City Manager
ATTACHMENTS:
Check Register— September 27, 2011
e Preliminary Draft Initial Recognized Obligation
Payment Schedule dated September 15, 2011 (Exhibit A to the Resolution)
STATE OF CALIFORNIA )
COUNTY OF SAN BERNARDINO ) ss.
CITY OF GRAND TERRACE )
I, Tracy Martinez, Interim City Clerk of the City of Grand Terrace, hereby certify that the
foregoing resolution was duly adopted by the City Council of the City of Grand Terrace at its regular
meeting held on the day of , 2011, and that it was so adopted by the following vote:
AYES: Councilmembers:
NOES: Councilmembers:
ABSENT: Councilmembers:
ABSTAIN: Councilmembers:
Interim City Clerk of the City of Grand Terrace
(SEAL)
DOCSOC/1499774v3/022092-0000
Manager Approval:
Betsy �I Ada s
City Manager
ATTACHMENTS:
Check Register— September 27, 2011
e Preliminary Draft Initial Recognized Obligation
Payment Schedule dated September 15, 2011 (Exhibit A to the Resolution)
ATTACHMENT NO. 2
Agency Resolution Approving the
Agreement to Transfer Tax Increment
I, Tracy Martinez, Interim City Clerk of the City of Grand Terrace, hereby certify that the
foregoing resolution was duly adopted by the City Council of the City of Grand Terrace at its regular
meeting held on the day of , 2011, and that it was so adopted by the following vote:
AYES: Councilmembers:
NOES: Councilmembers:
ABSENT: Councilmembers:
ABSTAIN: Councilmembers:
Interim City Clerk of the City of Grand Terrace
(SEAL)
DOCSOC/1499774v3/022092-0000
Manager Approval:
Betsy �I Ada s
City Manager
ATTACHMENTS:
Check Register— September 27, 2011
e Preliminary Draft Initial Recognized Obligation
Payment Schedule dated September 15, 2011 (Exhibit A to the Resolution)
RESOLUTION NO.
A RESOLUTION OF THE COMMUNITY REDEVELOPMENT
AGENCY OF THE CITY OF GRAND TERRACE APPROVING
THE AGREEMENT TO TRANSFER TAX INCREMENT BY AND
BETWEEN THE AGENCY AND THE CITY OF GRAND
TERRACE AND MAKING CERTAIN FINDINGS IN
CONNECTION THEREWITH
WHEREAS, the Community Redevelopment Agency of the City of Grand Terrace
("Agency") is a community redevelopment agency organized and existing under the California
Community Redevelopment Law, Health and Safety Code Sections 33000, et seq. ("CRL") and has
been authorized to transact business and exercise the powers of a redevelopment agency pursuant to
action of the City Council ("City Council") of the City of Grand Terrace ("City"); and
WHEREAS, the City Council approved a redevelopment plan for a redevelopment project
and project area (the "Original Plan" and "Original Project Area", respectively, by Ordinance No. 25
adopted September 27, 1979, which has subsequently been amended by an amendment
("Amendment No. 1"), as approved by Ordinance No. 31 adopted on January 17, 1980, an additional
amendment("Amendment No. 2") as approved by Ordinance No. 52 on July 15, 1981, an additional
amendment("Amendment No. 3") as approved by Ordinance No. 187 on July 22, 1999, an additional
amendment ("Amendment No. 4") as approved by Ordinance No. 202 on September 12, 2002, an
additional amendment ("Amendment No. 5") as approved by Ordinance No. 212 on July 22, 2004,
and an additional amendment ("Amendment No. 6") as approved by Ordinance No. 250 on May 11,
2010 approving an amended and restated redevelopment plan (herein, the "Amended Redevelopment
Plan") for the project area as established by Ordinance No. 25 and thereafter amended as set forth
above under the Amended Redevelopment Plan(the"Amended Project Area"); and
WHEREAS, Parts 1.8, 1.85 and 1.9 of Division 24 of the Health and Safety Code were
added to the CRL by ABX1 26 and ABX1 27, which measures purport to become effective
immediately. ABX1 26 and ABX1 27, which are trailer bills to the 2011-12 budget bills, were
DOC SOC/1499775v3/022092-0000
27, 2011.
FISCAL IMPACT:
The actual payment amounts for the FY 2011-12 will not be known until the Director of
Finance responds to the appeal., The_.amount provided before the appeal was filed is
$2,828,060, to be paid in two equal installments, on January 15, 2012 and May 15,
2012. If the appeal is approved, staff estimates the payments for FY 2011-12 to be
between approximately $1.7 and $2.1 million, dependent upon the Director of Finance's
determination. Required participatory payments in subsequent years may be reduced
from approximately $670,000 to approximately $500,000. As better information
becomes available, staff will return to the Agency and Council for more discussion,
including any necessary budget appropriations.
iting concerning fees is not required.
(4) If the client is a corporation.
(e) This section applies prospectively only to fee agreements following its
operative date.
(f) This section shall become operative on January 1, 2000.
by law.
27. BINDING INTEREST
This Contract shall be binding on the parties, successors in interest, heirs and assigns. •
28. NOTICES.
All.notices shall be served in writing. The notices shall be sent to the following addresses:
Auditor/Controller-Recorder Use Only Page 7 of 8
❑Contract Database ❑FAS'
Input Date Keyed By
•
Y evidencing the insurance coverage, including
endorsements, as required, prior to the commencement of performance of services hereunder, which certificates shall
provide that such insurance shall not be terminated or expire without thirty (30) days written notice to COUNTY, and
CONTRACTOR shall maintain such insurance from the time it commences performance of services hereunder until
the completion of such services. Within fifteen. (15) days of the_commencement of this Contract, CONTRACTOR
Auditor/Controller-Recorder Use Only Page 6 of 8
❑Contract Database 0 FAS
Input Date Keyed By
and total-All Pages $ 197,173,139 $ 10,460,828 $ 3,277,339 $3,468,951 1$ 6,746,290
* This Preliminary Draft Initial Recognized Obligation Payment Schedule is to be adopted by the redevelopment agency no later than 9/30/2011.It is valid through 6/30/12.
**Debt service payment of$1,788,425 made 9/1/2011 so not reflected in"10/1/11 through 12/31/11"expenditures. �! .S J/• /
***This payment will be made as soon as the Agency is no longer precluded from doing so.
approved by both houses of the Legislature on June 15, 2011 and signed by the Governor on June 28,
2011; and
WHEREAS, Part 1.85 of the CRL ("Part 1.85") provides for the statewide dissolution of all
redevelopment agencies, including the Agency, as of October 1, 2011, and provides that, thereafter, a
successor agency to administer the enforceable obligations of the Agency and otherwise wind up the
Agency's affairs, all subject to the review and approval by an oversight committee; and
WHEREAS, Part 1.8 of the CRL ("Part 1.8") provides for the restriction of activities and
authority of the Agency in the interim period prior to dissolution to certain "enforceable obligations"
and to actions required for the general winding up of affairs, preservation of assets, and certain other
goals delineated in Part 1.8; and
WHEREAS, the dissolution of the Agency would be detrimental to the health, safety, and
economic well-being of the residents of the City and cause irreparable harm to the community and
the Redevelopment Project, because, among other reasons, the redevelopment activities and projects
made possible, implemented, and funded by the Agency are highly significant and of enduring
benefit to the community and the City, and are a critical component of its future; and
WHEREAS, Part 1.9 of the CRL ("Part 1.9") provides that a redevelopment agency may
continue in operation if a city or county that includes a redevelopment agency adopts an ordinance
agreeing to comply with and participate in the Alternative Voluntary Redevelopment Program
established in Part 1.9 ("Program"); and
WHEREAS, as a condition of the Agency's continued existence and operation of its
redevelopment agency, the City is required to make certain annual remittances to the county
auditor-controller pursuant to Chapter 3 of Part 1.9, beginning with a larger upfront remittance for
DOC SOC/1499775v3/022092-0000
on 24 of the Health and Safety Code were
added to the CRL by ABX1 26 and ABX1 27, which measures purport to become effective
immediately. ABX1 26 and ABX1 27, which are trailer bills to the 2011-12 budget bills, were
DOC SOC/1499775v3/022092-0000
27, 2011.
FISCAL IMPACT:
The actual payment amounts for the FY 2011-12 will not be known until the Director of
Finance responds to the appeal., The_.amount provided before the appeal was filed is
$2,828,060, to be paid in two equal installments, on January 15, 2012 and May 15,
2012. If the appeal is approved, staff estimates the payments for FY 2011-12 to be
between approximately $1.7 and $2.1 million, dependent upon the Director of Finance's
determination. Required participatory payments in subsequent years may be reduced
from approximately $670,000 to approximately $500,000. As better information
becomes available, staff will return to the Agency and Council for more discussion,
including any necessary budget appropriations.
iting concerning fees is not required.
(4) If the client is a corporation.
(e) This section applies prospectively only to fee agreements following its
operative date.
(f) This section shall become operative on January 1, 2000.
by law.
27. BINDING INTEREST
This Contract shall be binding on the parties, successors in interest, heirs and assigns. •
28. NOTICES.
All.notices shall be served in writing. The notices shall be sent to the following addresses:
Auditor/Controller-Recorder Use Only Page 7 of 8
❑Contract Database ❑FAS'
Input Date Keyed By
•
Y evidencing the insurance coverage, including
endorsements, as required, prior to the commencement of performance of services hereunder, which certificates shall
provide that such insurance shall not be terminated or expire without thirty (30) days written notice to COUNTY, and
CONTRACTOR shall maintain such insurance from the time it commences performance of services hereunder until
the completion of such services. Within fifteen. (15) days of the_commencement of this Contract, CONTRACTOR
Auditor/Controller-Recorder Use Only Page 6 of 8
❑Contract Database 0 FAS
Input Date Keyed By
and total-All Pages $ 197,173,139 $ 10,460,828 $ 3,277,339 $3,468,951 1$ 6,746,290
* This Preliminary Draft Initial Recognized Obligation Payment Schedule is to be adopted by the redevelopment agency no later than 9/30/2011.It is valid through 6/30/12.
**Debt service payment of$1,788,425 made 9/1/2011 so not reflected in"10/1/11 through 12/31/11"expenditures. �! .S J/• /
***This payment will be made as soon as the Agency is no longer precluded from doing so.
the 2011-2012 fiscal year ("First Remittance"), to be paid in two equal installments on January 15,
2012 and May 15,2012; and
WHEREAS, the City's needs are such that it can commit to spend the funds received from
the Agency pursuant to the Agreement to Transfer Tax Increment (defined below) to finance
activities within the Redevelopment Project that are related to accomplishing the goals of the
Redevelopment Project, including without limitation: the promotion of public improvement facilities;
the provision of adequate roadways to correct street alignment problems, to provide adequate
circulation and access to highways; the provision of needed improvements to the community's
recreational, cultural and other community facilities to better serve the Amended Project Area; to
eliminate and prevent the spread of blight and deterioration; the enhancement and renovation of
businesses within the Amended Project Area; and expanding the resource of developable land by
making underutilized land available for development; and
WHEREAS, the City has adopted the ordinance required by Part 1.9, in order to allow the
Agency to continue in operation and performing its functions ("Ordinance"); and
WHEREAS,the City and Agency desire to enter into an agreement pursuant to CRL Section
34194.2 whereby the Agency shall make an initial transfer of a portion of its tax increment to the
City in an amount equal the First Remittance, and thereafter transfer amounts of tax increment equal
to any subsequent remittance which the City is required to make to the county auditor-controller
pursuant to the City's participation in the Program ("Agreement to Transfer Tax Increment"); and
WHEREAS, the Agency is aware that the validity, passage, and applicability of ABX1 26
and ABX1 27 have become the subject of a judicial challenge; and
DOCSOC/1499775v3/022092-0000
remittance for
DOC SOC/1499775v3/022092-0000
on 24 of the Health and Safety Code were
added to the CRL by ABX1 26 and ABX1 27, which measures purport to become effective
immediately. ABX1 26 and ABX1 27, which are trailer bills to the 2011-12 budget bills, were
DOC SOC/1499775v3/022092-0000
27, 2011.
FISCAL IMPACT:
The actual payment amounts for the FY 2011-12 will not be known until the Director of
Finance responds to the appeal., The_.amount provided before the appeal was filed is
$2,828,060, to be paid in two equal installments, on January 15, 2012 and May 15,
2012. If the appeal is approved, staff estimates the payments for FY 2011-12 to be
between approximately $1.7 and $2.1 million, dependent upon the Director of Finance's
determination. Required participatory payments in subsequent years may be reduced
from approximately $670,000 to approximately $500,000. As better information
becomes available, staff will return to the Agency and Council for more discussion,
including any necessary budget appropriations.
iting concerning fees is not required.
(4) If the client is a corporation.
(e) This section applies prospectively only to fee agreements following its
operative date.
(f) This section shall become operative on January 1, 2000.
by law.
27. BINDING INTEREST
This Contract shall be binding on the parties, successors in interest, heirs and assigns. •
28. NOTICES.
All.notices shall be served in writing. The notices shall be sent to the following addresses:
Auditor/Controller-Recorder Use Only Page 7 of 8
❑Contract Database ❑FAS'
Input Date Keyed By
•
Y evidencing the insurance coverage, including
endorsements, as required, prior to the commencement of performance of services hereunder, which certificates shall
provide that such insurance shall not be terminated or expire without thirty (30) days written notice to COUNTY, and
CONTRACTOR shall maintain such insurance from the time it commences performance of services hereunder until
the completion of such services. Within fifteen. (15) days of the_commencement of this Contract, CONTRACTOR
Auditor/Controller-Recorder Use Only Page 6 of 8
❑Contract Database 0 FAS
Input Date Keyed By
and total-All Pages $ 197,173,139 $ 10,460,828 $ 3,277,339 $3,468,951 1$ 6,746,290
* This Preliminary Draft Initial Recognized Obligation Payment Schedule is to be adopted by the redevelopment agency no later than 9/30/2011.It is valid through 6/30/12.
**Debt service payment of$1,788,425 made 9/1/2011 so not reflected in"10/1/11 through 12/31/11"expenditures. �! .S J/• /
***This payment will be made as soon as the Agency is no longer precluded from doing so.
WHEREAS, the Agency, by the adoption of this resolution, does not represent, disclaim, or
take any position whatsoever on the issue of the validity of ABX1 26 or ABX1 27, but rather the City
seeks to comply with the Constitution and laws of the State of California, including Part 1.9, in order
to preserve the ability of the Agency to continue to operate and thereby benefit the community; and
WHEREAS, various petitioners have filed an action in the matter of California
Redevelopment Association et al. v. Ana Matosantos, as Director, etc., et al (the "Redevelopment
Lawsuit")which challenges the validity of ABX1 26 and ABX1 27; and
WHEREAS, the Supreme Court has issued a partial stay in connection with the
Redevelopment Lawsuit; and
WHEREAS, the Agency and City intend that the effectiveness of the Agreement to Transfer
Tax Increment is subject to a ruling by the Supreme Court which determines that ABX1 26 and
ABX1 27 are constitutional and valid; and
WHEREAS, the Agency has duly considered all other related matters and has determined
that the Agency's entering into the Agreement to Transfer Tax Increment is in the best interests of
the City, and the health, safety, and welfare of its residents, and in accord with the public purposes
and provisions of applicable state and local laws and requirements.
NOW,THEREFORE,BE IT RESOLVED:
Section 1. The foregoing recitals are incorporated into this resolution by this reference, and
constitute a material part of this resolution.
DOC S OC/1499775 v3/022092-0000
itor-controller
pursuant to the City's participation in the Program ("Agreement to Transfer Tax Increment"); and
WHEREAS, the Agency is aware that the validity, passage, and applicability of ABX1 26
and ABX1 27 have become the subject of a judicial challenge; and
DOCSOC/1499775v3/022092-0000
remittance for
DOC SOC/1499775v3/022092-0000
on 24 of the Health and Safety Code were
added to the CRL by ABX1 26 and ABX1 27, which measures purport to become effective
immediately. ABX1 26 and ABX1 27, which are trailer bills to the 2011-12 budget bills, were
DOC SOC/1499775v3/022092-0000
27, 2011.
FISCAL IMPACT:
The actual payment amounts for the FY 2011-12 will not be known until the Director of
Finance responds to the appeal., The_.amount provided before the appeal was filed is
$2,828,060, to be paid in two equal installments, on January 15, 2012 and May 15,
2012. If the appeal is approved, staff estimates the payments for FY 2011-12 to be
between approximately $1.7 and $2.1 million, dependent upon the Director of Finance's
determination. Required participatory payments in subsequent years may be reduced
from approximately $670,000 to approximately $500,000. As better information
becomes available, staff will return to the Agency and Council for more discussion,
including any necessary budget appropriations.
iting concerning fees is not required.
(4) If the client is a corporation.
(e) This section applies prospectively only to fee agreements following its
operative date.
(f) This section shall become operative on January 1, 2000.
by law.
27. BINDING INTEREST
This Contract shall be binding on the parties, successors in interest, heirs and assigns. •
28. NOTICES.
All.notices shall be served in writing. The notices shall be sent to the following addresses:
Auditor/Controller-Recorder Use Only Page 7 of 8
❑Contract Database ❑FAS'
Input Date Keyed By
•
Y evidencing the insurance coverage, including
endorsements, as required, prior to the commencement of performance of services hereunder, which certificates shall
provide that such insurance shall not be terminated or expire without thirty (30) days written notice to COUNTY, and
CONTRACTOR shall maintain such insurance from the time it commences performance of services hereunder until
the completion of such services. Within fifteen. (15) days of the_commencement of this Contract, CONTRACTOR
Auditor/Controller-Recorder Use Only Page 6 of 8
❑Contract Database 0 FAS
Input Date Keyed By
and total-All Pages $ 197,173,139 $ 10,460,828 $ 3,277,339 $3,468,951 1$ 6,746,290
* This Preliminary Draft Initial Recognized Obligation Payment Schedule is to be adopted by the redevelopment agency no later than 9/30/2011.It is valid through 6/30/12.
**Debt service payment of$1,788,425 made 9/1/2011 so not reflected in"10/1/11 through 12/31/11"expenditures. �! .S J/• /
***This payment will be made as soon as the Agency is no longer precluded from doing so.
Section 2. That certain Agreement to Transfer Tax Increment to be entered into pursuant to
CRL Section 34194.2, between the Agency and the City in the form submitted herewith is hereby
approved and the Executive Director is hereby authorized and directed to execute such agreement and to
administer such agreement in accordance with its terms on behalf of the Agency; provided that the
foregoing portion of this Section 2 is subject to the final determination by a court of competent
jurisdiction which determines that ABX1 26 and ABX1 27 are constitutional and valid.
Section 3. Each of the general counsel of the Agency and Stradling Yocca Carlson&Rauth,
a Professional Corporation, is hereby authorized, to the greatest extent permitted by law, to bring an
action or appear in an action brought in the Superior Court pursuant to Sections 33500 and 33501 of the
Act to determine the validity of the agreement referred to in this resolution, or the validity of any bonds
issued or contemplated to be issued by the Agency or other material contracts of the Agency, or any
findings of the governing body or the City Council related thereto, upon the determination of the
Executive Director that such action is reasonably necessary or appropriate to facilitate the consummation
of any agency transaction for which governing board approval has been given.
Section 5. This Resolution shall be effective immediately upon adoption, subject to Section
2, above.
Section 6. The Agency Secretary or Interim Agency Secretary shall certify to the adoption
of this resolution.
DOCSOC/1499775v3/022092-0000
e City's participation in the Program ("Agreement to Transfer Tax Increment"); and
WHEREAS, the Agency is aware that the validity, passage, and applicability of ABX1 26
and ABX1 27 have become the subject of a judicial challenge; and
DOCSOC/1499775v3/022092-0000
remittance for
DOC SOC/1499775v3/022092-0000
on 24 of the Health and Safety Code were
added to the CRL by ABX1 26 and ABX1 27, which measures purport to become effective
immediately. ABX1 26 and ABX1 27, which are trailer bills to the 2011-12 budget bills, were
DOC SOC/1499775v3/022092-0000
27, 2011.
FISCAL IMPACT:
The actual payment amounts for the FY 2011-12 will not be known until the Director of
Finance responds to the appeal., The_.amount provided before the appeal was filed is
$2,828,060, to be paid in two equal installments, on January 15, 2012 and May 15,
2012. If the appeal is approved, staff estimates the payments for FY 2011-12 to be
between approximately $1.7 and $2.1 million, dependent upon the Director of Finance's
determination. Required participatory payments in subsequent years may be reduced
from approximately $670,000 to approximately $500,000. As better information
becomes available, staff will return to the Agency and Council for more discussion,
including any necessary budget appropriations.
iting concerning fees is not required.
(4) If the client is a corporation.
(e) This section applies prospectively only to fee agreements following its
operative date.
(f) This section shall become operative on January 1, 2000.
by law.
27. BINDING INTEREST
This Contract shall be binding on the parties, successors in interest, heirs and assigns. •
28. NOTICES.
All.notices shall be served in writing. The notices shall be sent to the following addresses:
Auditor/Controller-Recorder Use Only Page 7 of 8
❑Contract Database ❑FAS'
Input Date Keyed By
•
Y evidencing the insurance coverage, including
endorsements, as required, prior to the commencement of performance of services hereunder, which certificates shall
provide that such insurance shall not be terminated or expire without thirty (30) days written notice to COUNTY, and
CONTRACTOR shall maintain such insurance from the time it commences performance of services hereunder until
the completion of such services. Within fifteen. (15) days of the_commencement of this Contract, CONTRACTOR
Auditor/Controller-Recorder Use Only Page 6 of 8
❑Contract Database 0 FAS
Input Date Keyed By
and total-All Pages $ 197,173,139 $ 10,460,828 $ 3,277,339 $3,468,951 1$ 6,746,290
* This Preliminary Draft Initial Recognized Obligation Payment Schedule is to be adopted by the redevelopment agency no later than 9/30/2011.It is valid through 6/30/12.
**Debt service payment of$1,788,425 made 9/1/2011 so not reflected in"10/1/11 through 12/31/11"expenditures. �! .S J/• /
***This payment will be made as soon as the Agency is no longer precluded from doing so.
APPROVED AND ADOPTED this day of , 2011.
Chairman
(SEAL)
ATTEST:
Interim Agency Secretary
APPROVE AS TO FORM:
Agency General Counsel
DOCSOC/1499775v3/022092-0000
ion was duly adopted by the City Council of the City of Grand Terrace at its regular
meeting held on the day of , 2011, and that it was so adopted by the following vote:
AYES: Councilmembers:
NOES: Councilmembers:
ABSENT: Councilmembers:
ABSTAIN: Councilmembers:
Interim City Clerk of the City of Grand Terrace
(SEAL)
DOCSOC/1499774v3/022092-0000
Manager Approval:
Betsy �I Ada s
City Manager
ATTACHMENTS:
Check Register— September 27, 2011
e Preliminary Draft Initial Recognized Obligation
Payment Schedule dated September 15, 2011 (Exhibit A to the Resolution)
STATE OF CALIFORNIA )
COUNTY OF SAN BERNARDINO ) ss.
CITY OF GRAND TERRACE )
I, Tracy Martinez, Interim Secretary of the Community Redevelopment Agency of the City
of Grand Terrace, hereby certify that the foregoing resolution was duly adopted by the Board of said
Agency at its regular meeting held on the day of , 2011, and that it was so adopted by
the following vote:
AYES: Boardmembers:
NOES: Boardmembers:
ABSENT: Boardmembers:
ABSTAIN: Boardmembers:
Interim Secretary of the Community Redevelopment
Agency of the City of Grand Terrace
(SEAL)
DOCSOC/1499775v3/022092-0000
City Manager
ATTACHMENTS:
Check Register— September 27, 2011
e Preliminary Draft Initial Recognized Obligation
Payment Schedule dated September 15, 2011 (Exhibit A to the Resolution)
ATTACHMENT NO. 3
Agreement to Transfer Tax Increment
.
CITY OF GRAND TERRACE )
I, Tracy Martinez, Interim Secretary of the Community Redevelopment Agency of the City
of Grand Terrace, hereby certify that the foregoing resolution was duly adopted by the Board of said
Agency at its regular meeting held on the day of , 2011, and that it was so adopted by
the following vote:
AYES: Boardmembers:
NOES: Boardmembers:
ABSENT: Boardmembers:
ABSTAIN: Boardmembers:
Interim Secretary of the Community Redevelopment
Agency of the City of Grand Terrace
(SEAL)
DOCSOC/1499775v3/022092-0000
City Manager
ATTACHMENTS:
Check Register— September 27, 2011
e Preliminary Draft Initial Recognized Obligation
Payment Schedule dated September 15, 2011 (Exhibit A to the Resolution)
AGREEMENT TO TRANSFER TAX INCREMENT
This AGREEMENT TO TRANSFER TAX INCREMENT ("Agreement") is entered into
as of September 27, 2011 ("Date of Agreement"), by and between the CITY OF GRAND
TERRACE, a municipal corporation("City") and the COMMUNITY REDEVELOPMENT
AGENCY OF THE CITY OF GRAND TERRACE, a public body, corporate and politic
("Agency").
RECITALS
A. The Agency is a community redevelopment agency organized and existing under the
California Community Redevelopment Law, Health and Safety Code Sections 33000, et seq.
("CRL") and has been authorized to transact business and exercise the powers of a
redevelopment agency pursuant to action of the City Council ("City Council")of the City.
B. The Agency receives and has available to it tax increment revenues in accordance with and
pursuant to CRL Section 33670(b) and Article XVI Section 16 of the California Constitution
("Tax Increment").
C. Parts 1.8, 1.85 and 1.9 of Division 24 of the Health and Safety Code were added to the CRL
by ABX1 26 and ABX1 27, which measures purport to become effective immediately.
ABX1 26 and ABX1 27,which are trailer bills to the 2011-12 budget bills,were approved by
both houses of the Legislature on June 15, 2011 and signed by the Governor on June 28,
2011.
D. Part 1.85 of the CRL("Part 1.85")provides for the statewide dissolution of all redevelopment
agencies, including the Agency, as of October 1, 2011, and provides thereafter for a
successor agency to administer the existing obligations of the Agency and otherwise wind up
its affairs,with such actions as the successor agency may take subject to the review and
approval by an oversight committee.
E. Part 1.8 of the CRL("Part 1.8")provides for the restriction of activities and authority of the
Agency in the interim period prior to dissolution to certain"enforceable obligations" and
DOC S OC/1499777v3/022092-0000
th and Safety Code were
added to the CRL by ABX1 26 and ABX1 27, which measures purport to become effective
immediately. ABX1 26 and ABX1 27, which are trailer bills to the 2011-12 budget bills, were
DOC SOC/1499775v3/022092-0000
27, 2011.
FISCAL IMPACT:
The actual payment amounts for the FY 2011-12 will not be known until the Director of
Finance responds to the appeal., The_.amount provided before the appeal was filed is
$2,828,060, to be paid in two equal installments, on January 15, 2012 and May 15,
2012. If the appeal is approved, staff estimates the payments for FY 2011-12 to be
between approximately $1.7 and $2.1 million, dependent upon the Director of Finance's
determination. Required participatory payments in subsequent years may be reduced
from approximately $670,000 to approximately $500,000. As better information
becomes available, staff will return to the Agency and Council for more discussion,
including any necessary budget appropriations.
iting concerning fees is not required.
(4) If the client is a corporation.
(e) This section applies prospectively only to fee agreements following its
operative date.
(f) This section shall become operative on January 1, 2000.
by law.
27. BINDING INTEREST
This Contract shall be binding on the parties, successors in interest, heirs and assigns. •
28. NOTICES.
All.notices shall be served in writing. The notices shall be sent to the following addresses:
Auditor/Controller-Recorder Use Only Page 7 of 8
❑Contract Database ❑FAS'
Input Date Keyed By
•
Y evidencing the insurance coverage, including
endorsements, as required, prior to the commencement of performance of services hereunder, which certificates shall
provide that such insurance shall not be terminated or expire without thirty (30) days written notice to COUNTY, and
CONTRACTOR shall maintain such insurance from the time it commences performance of services hereunder until
the completion of such services. Within fifteen. (15) days of the_commencement of this Contract, CONTRACTOR
Auditor/Controller-Recorder Use Only Page 6 of 8
❑Contract Database 0 FAS
Input Date Keyed By
and total-All Pages $ 197,173,139 $ 10,460,828 $ 3,277,339 $3,468,951 1$ 6,746,290
* This Preliminary Draft Initial Recognized Obligation Payment Schedule is to be adopted by the redevelopment agency no later than 9/30/2011.It is valid through 6/30/12.
**Debt service payment of$1,788,425 made 9/1/2011 so not reflected in"10/1/11 through 12/31/11"expenditures. �! .S J/• /
***This payment will be made as soon as the Agency is no longer precluded from doing so.
provides for actions required for the general winding up of affairs,preservation of assets, and
certain other goals delineated in Part 1.8.
F. Part 1.9 of the CRL("Part 1.9")provides that an Agency to continue in operation if a city or
county that includes a redevelopment agency adopts an ordinance agreeing to comply with
and participate in the Alternative Voluntary Redevelopment Program established in Part 1.9
("Program").
G. Those cities or counties electing to participate in the Program, as a condition of its
redevelopment agency's continued existence and operation, are required to make certain
annual remittances ("Program Remittances")to the county auditor-controller pursuant to
Chapter 3 of Part 1.9, beginning with a larger upfront remittance for the 2011-2012 fiscal
year("First Remittance"),to be paid in two equal installments on January 15, 2012 and May
15,2012.
H. The Agency will have sufficient funds and revenues to fund an amount equal to the City's
payment of the First Remittance and expects to have funds and revenues sufficient to fund
amounts equal to the subsequent annual remittances required by Part 1.9.
I. The City and Agency desire to enter into this Agreement pursuant to CRL Section 34194.2
whereby the Agency shall transfer portions of Tax Increment to the City in an amount equal
to the First Remittance, and thereafter to transfer amounts of Tax Increment equal to any
subsequent remittance which the City is required to make to the county auditor-controller
pursuant to the City's participation in the Program.
AGREEMENTS
1. The Agency shall be liable to City for the payment of the Program Remittances in connection
with the City's participation in the Program. The Agency agrees that no later than fifteen
(15) days prior to the date upon which the City shall be statutorily required to make any full
or partial payment of a Program Remittance,the Agency shall transfer funds to the City in an
amount equal to such payment; each such payment by the Agency shall be referred to herein
as a"Required Agency Payment" and, as such payments are combined, "Required Agency
Payments." The obligation for each Required Agency Payment shall accrue until paid;
interest shall accrue on any unpaid balance of the Required Agency Payments at an annual
2
DOCSOC/1499777v3/022092-0000
$2,828,060, to be paid in two equal installments, on January 15, 2012 and May 15,
2012. If the appeal is approved, staff estimates the payments for FY 2011-12 to be
between approximately $1.7 and $2.1 million, dependent upon the Director of Finance's
determination. Required participatory payments in subsequent years may be reduced
from approximately $670,000 to approximately $500,000. As better information
becomes available, staff will return to the Agency and Council for more discussion,
including any necessary budget appropriations.
iting concerning fees is not required.
(4) If the client is a corporation.
(e) This section applies prospectively only to fee agreements following its
operative date.
(f) This section shall become operative on January 1, 2000.
by law.
27. BINDING INTEREST
This Contract shall be binding on the parties, successors in interest, heirs and assigns. •
28. NOTICES.
All.notices shall be served in writing. The notices shall be sent to the following addresses:
Auditor/Controller-Recorder Use Only Page 7 of 8
❑Contract Database ❑FAS'
Input Date Keyed By
•
Y evidencing the insurance coverage, including
endorsements, as required, prior to the commencement of performance of services hereunder, which certificates shall
provide that such insurance shall not be terminated or expire without thirty (30) days written notice to COUNTY, and
CONTRACTOR shall maintain such insurance from the time it commences performance of services hereunder until
the completion of such services. Within fifteen. (15) days of the_commencement of this Contract, CONTRACTOR
Auditor/Controller-Recorder Use Only Page 6 of 8
❑Contract Database 0 FAS
Input Date Keyed By
and total-All Pages $ 197,173,139 $ 10,460,828 $ 3,277,339 $3,468,951 1$ 6,746,290
* This Preliminary Draft Initial Recognized Obligation Payment Schedule is to be adopted by the redevelopment agency no later than 9/30/2011.It is valid through 6/30/12.
**Debt service payment of$1,788,425 made 9/1/2011 so not reflected in"10/1/11 through 12/31/11"expenditures. �! .S J/• /
***This payment will be made as soon as the Agency is no longer precluded from doing so.
interest rate equal to the maximum rate permitted by Section 53531 of the Government Code.
Interest on amounts paid as Required Agency Payments shall be deemed to begin accruing on
the date upon which the City makes any required Program Remittance to the county auditor-
controller.
2. The Agency pledges revenues available to the Agency under Section 33670(b)of the
California Health& Safety Code ("Tax Increment")to repayment of its indebtedness to the
City hereunder;provided that such pledge is junior and subordinate to all outstanding bonds
of the Agency(including without limitation the Agency's obligations under the following: (i)
the $15,175,000 Community Redevelopment Project Area, Tax Allocation Bonds, Issue of
2011A(the "2011A Bonds"); (ii)the $5,650,000 Community Redevelopment Project Area,
Taxable Tax Allocation Bonds, Issue of 2011B (the "2011B Bonds"); and(iii)the
$13,000,000 Community Redevelopment Project Area Refunding Tax Allocation Bonds,
Series 2004, any refunding bonds issued by the Agency, and any additional bonds issued
hereafter by the Agency. The City and Agency agree that such obligation by Agency to City
may be further subordinated by written agreement of the City and the Agency.
3. The obligations of the Agency under this Agreement shall constitute an indebtedness of the
Agency within the meaning of Section 33670 et seq. of the Community Redevelopment Law.
4. The City agrees to use the funds it receives pursuant to this Agreement in accordance with
the laws of the Unites States and the State of California, including the CRL, all as applicable.
5. Effectiveness of this Agreement is subject to a final determination by a California court of
competent jurisdiction upholding the Program or otherwise allowing for payments to be made
by the Agency to the City.
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DOCSOC/1499777v3/022092-0000
Agency shall transfer funds to the City in an
amount equal to such payment; each such payment by the Agency shall be referred to herein
as a"Required Agency Payment" and, as such payments are combined, "Required Agency
Payments." The obligation for each Required Agency Payment shall accrue until paid;
interest shall accrue on any unpaid balance of the Required Agency Payments at an annual
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DOCSOC/1499777v3/022092-0000
$2,828,060, to be paid in two equal installments, on January 15, 2012 and May 15,
2012. If the appeal is approved, staff estimates the payments for FY 2011-12 to be
between approximately $1.7 and $2.1 million, dependent upon the Director of Finance's
determination. Required participatory payments in subsequent years may be reduced
from approximately $670,000 to approximately $500,000. As better information
becomes available, staff will return to the Agency and Council for more discussion,
including any necessary budget appropriations.
iting concerning fees is not required.
(4) If the client is a corporation.
(e) This section applies prospectively only to fee agreements following its
operative date.
(f) This section shall become operative on January 1, 2000.
by law.
27. BINDING INTEREST
This Contract shall be binding on the parties, successors in interest, heirs and assigns. •
28. NOTICES.
All.notices shall be served in writing. The notices shall be sent to the following addresses:
Auditor/Controller-Recorder Use Only Page 7 of 8
❑Contract Database ❑FAS'
Input Date Keyed By
•
Y evidencing the insurance coverage, including
endorsements, as required, prior to the commencement of performance of services hereunder, which certificates shall
provide that such insurance shall not be terminated or expire without thirty (30) days written notice to COUNTY, and
CONTRACTOR shall maintain such insurance from the time it commences performance of services hereunder until
the completion of such services. Within fifteen. (15) days of the_commencement of this Contract, CONTRACTOR
Auditor/Controller-Recorder Use Only Page 6 of 8
❑Contract Database 0 FAS
Input Date Keyed By
and total-All Pages $ 197,173,139 $ 10,460,828 $ 3,277,339 $3,468,951 1$ 6,746,290
* This Preliminary Draft Initial Recognized Obligation Payment Schedule is to be adopted by the redevelopment agency no later than 9/30/2011.It is valid through 6/30/12.
**Debt service payment of$1,788,425 made 9/1/2011 so not reflected in"10/1/11 through 12/31/11"expenditures. �! .S J/• /
***This payment will be made as soon as the Agency is no longer precluded from doing so.
IN WITNESS WHEREOF,the parties have executed this Agreement as of the date first
above written.
CITY OF GRAND TERRACE
By:
City Manager
ATTEST:
Interim City Clerk
COMMUNITY REDEVELOPMENT AGENCY OF
THE CITY OF GRAND TERRACE
By:
Executive Director
ATTEST:
Interim Agency Secretary
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DOCSOC/1499777v3/022092-0000
NOES: Boardmembers:
ABSENT: Boardmembers:
ABSTAIN: Boardmembers:
Interim Secretary of the Community Redevelopment
Agency of the City of Grand Terrace
(SEAL)
DOCSOC/1499775v3/022092-0000
City Manager
ATTACHMENTS:
Check Register— September 27, 2011
e Preliminary Draft Initial Recognized Obligation
Payment Schedule dated September 15, 2011 (Exhibit A to the Resolution)