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RES 08169
City of Pleasanton
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RES 08169
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3/4/2008 9:59:23 AM
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CITY CLERK
CITY CLERK - TYPE
RESOLUTIONS
DOCUMENT DATE
2/19/2008
DESTRUCT DATE
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DOCUMENT NO
RES 08169
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improvements identified in subsection D that will implement goals and objectives of <br />the City's General Plan; <br />B. The City's objective to mitigate the impacts caused by the development of <br />residential, commercial, and industrial land will be assisted by the purchase of the <br />equipment or construction of the improvements; <br />C. There is a reasonable relationship between the purpose of each of the developer <br />fees and the purpose for which it is charged and committed as stated below in <br />subsection D. <br />D. The amount of the development impact fees collected, the cash balance (including <br />interest earnings) as of June 30, 2007 for each fee held for five years or more, the <br />purpose the fee is committed, additional sources of funding and the expected date <br />that funding will be available are as follows: <br />(i) Fund 493 - $483,134; Golden Eagle Insurance; 8/5/96, 1/98 <br />June 30, 2007 Cash Balance - $753,611 <br />Project -Dublin Canyon Interim Improvement <br />This project is pending; additional funding is needed. Project construction <br />anticipated in 2012. <br />(ii) Fund 495 - $35,000; Thomas; 9/4/96 <br />June 30, 2007 Cash Balance - $54,550 <br />Project -Foothill Rd. Improvements (Highland to Muirwood) <br />Project consists of roadway resurfacing, scheduled to be completed in FY08. <br />(iii) Fund 922 - $2,840; Mardel; 7/12/01 <br />June 30, 2007 Cash Balance - $3,427 <br />Project -Dublin Canyon/Foothill Road Improvements <br />Project completed in FY07. <br />(iv) Fund 924 - $800,782; Standard Pacific; 12/28/01; 3/14/02; 3/28/02; <br />June 30, 2007 Cash Balance - $941,089 <br />Project - Stoneridge Drive Specific Plan Fee <br />These funds will be used towards the Staples Ranch Development Project, <br />which is currently in development. <br />(v) Fund 498C - $12,584; Standard Pacific; 11/30/01 <br />June 30, 2007 Cash Balance - $14,968 <br />Project -East Amador Relief Sewer Project <br />These funds are to be used towards the construction of a pump station. This <br />project is scheduled to be reviewed as apre-design in 2008 with construction <br />projected in 2010. <br />(vi) Fund 271 -Lower-Income Housing Fund <br />$313,048 collected in FY 2001-02. Cash Balance at June 30, 2007 is <br />$12,189,954. Lower-Income Housing Fees are being accumulated in this <br />fund. These fees will be used toward the redevelopment of Kottinger Place, <br />adding affordability to the Gardens at Ironwood, other affordable housing loan <br />programs and other housing projects and programs. <br />Section 2: City Clerk shall certify to the passage of this resolution and enter it into the <br />book of original resolutions. <br />PASSED, APPROVED AND ADOPTED by the City Council of the City of Pleasanton at <br />a regular meeting held on February 19, 2008. <br />
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