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HomeMy WebLinkAbout021219 CC AgendaIn compliance with the Americans with Disabilities Act, if you need special assistance to participate in this meeting, please contact the office of the City Clerk (951) 694-6444. Notification 48 hours prior to a meeting will enable the City to make reasonable arrangements to ensure accessibility to that meeting [28 CFR 35.102.35.104 ADA Title II]. AGENDA TEMECULA CITY COUNCIL REGULAR MEETING COUNCIL CHAMBERS 41000 MAIN STREET TEMECULA, CALIFORNIA FEBRUARY 12, 2019 - 7:00 PM At approximately 9:45 P.M., the City Council will determine which of the remaining agenda items can be considered and acted upon prior to 10:00 P.M. and may continue all other items on which additional time is required until a future meeting. All meetings are scheduled to end at 10:00 P.M. CLOSED SESSION - 6:00 P.M. 1. CONFERENCE WITH LEGAL COUNSEL —PENDING LITIGATION. The City Council will meet in closed session with the City Attorney pursuant to Government Code Section 54956.9(d)(1) with respect to one matter of pending litigation: City of Temecula v. Nature Works, Inc., et al., Riverside County Superior Court Case No. MCC 1700830. 2. CONFERENCE WITH REAL PROPERTY NEGOTIATORS. The City Council will meet in closed session pursuant to Government Code Section 54956.8 regarding the potential sale of real property owned by the City located on the east side of Pujol Street approximately 75 feet north of Main Street (APNs: 922-053-021 and 922-053-048). The parties to the negotiations for the potential sale of the property are: Pacific West Communities and the City of Temecula. Negotiators for the City of Temecula are: Aaron Adams, Greg Butler, Luke Watson and Peter Thorson. Under negotiation are price and terms of the potential sale of the properties. CALL TO ORDER: Mayor Mike Naggar Prelude Music: Ally Negulescu Invocation: TBD Flag Salute: Mayor Pro Tempore James "Stew" Stewart ROLL CALL: Edwards, Rahn, Schwank, Stewart, Naggar PRESENTATIONS/PROCLAMATIONS Presentation of Certificates of Achievement to Nathaniel J. Loper, Michael May and Neil A. Wigand of Troop 384 for Attaining Eagle Scout Rank Page 1 City Council Agenda February 12, 2019 PUBLIC COMMENTS A total of 30 minutes is provided for members of the public to address the City Council on items that appear on the Consent Calendar or a matter not listed on the agenda. Each speaker is limited to three minutes. If the speaker chooses to address the City Council on an item listed on the Consent Calendar or a matter not listed on the agenda, a Request to Speak form may be filled out and filed with the City Clerk prior to the City Council addressing Public Comments and the Consent Calendar. Once the speaker is called to speak, please come forward. For all Public Hearing or Business items on the agenda, a Request to Speak form may be filed with the City Clerk prior to the City Council addressing that item. On those items, each speaker is limited to five minutes. CITY COUNCIL REPORTS Reports by the members of the City Council on matters not on the agenda will be made at this time. A total, not to exceed, ten minutes will be devoted to these reports. CONSENT CALENDAR All matters listed under Consent Calendar are considered to be routine and all will be enacted by one roll call vote. There will be no discussion of these items unless members of the City Council request specific items be removed from the Consent Calendar for separate action. 1. Waive Readine of Standard Ordinances and Resolutions Recommendation That the City Council waive the reading of the text of all standard ordinances and resolutions included in the agenda except as specifically required by the Government Code. 2. Approve the Action Minutes of January 22, 2019 Recommendation That the City Council approve the Action Minutes of January 22, 2019. 3. Adopt Ordinance 19-01 Amending the Western Riverside Transportation Uniform Mitigation Fee Program to Include a Process for Western Riverside Council of Governments to Calculate and Collect Fees on Behalf of the City of Temecula (Second Reading Recommendation: That the City Council adopt an ordinance entitled: ORDINANCE NO. 19-01 AN ORDINANCE OF THE CITY COUNCIL OF THE CITY OF TEMECULA AMENDING CHAPTER 15.08 OF THE TEMECULA MUNICIPAL CODE TO INCLUDE A PROCESS FOR WESTERN RIVERSIDE COUNCIL OF GOVERNMENTS' CALCULATION AND COLLECTION OF FEES UNDER THE WESTERN RIVERSIDE COUNTY TRANSPORTATION UNIFORM MITIGATION FEE (TUMF) PROGRAM, AND DETERMINING THAT THE ORDINANCE IS EXEMPT FROM FURTHER ENVIRONMENTAL REVIEW UNDER SECTION 15378(B)(4) OF THE CEQA GUIDELINES Page 2 City Council Agenda February 12, 2019 4. 5. 6. 7. 8. Approve the List of Demands Recommendation: That the City Council adopt a resolution entitled: RESOLUTION NO. 19- A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF TEMECULA ALLOWING CERTAIN CLAIMS AND DEMANDS AS SET FORTH IN EXHIBIT A Approve the City Treasurer's Report as of December 31, 2018 Recommendation: That the City Council approve and file the City Treasurer's Report as of December 31, 2018. Approve Financial Statements for the 1st Quarter Ended September 30, 2018 Recommendation: That the City Council receive and file the Financial Statements for the I st Quarter Ended September 30, 2018. Approve a Memorandum of Understanding with the Foundation for Senior Care for Transportation and Parking Lot Services at the Mary Phillips Senior Center Recommendation: That the City Council approve the Memorandum of Understanding with the Foundation for Senior Care for transportation services provided by the foundation utilizing the Mary Phillips Senior Center (MPSC) parking lot. Approve a Cooperative Agreement with Nonprofit Senior Golden Years in Support of Various Senior Services Activities Recommendation: That the City Council approve the Cooperative Agreement with nonprofit Senior Golden Years in support of various senior services activities. 9. Approve a Cooperative Agreement with the Heart of Temecula LEO Club in Support of Facility Use (Ronald H. Roberts Temecula Public Library 10. 11. Recommendation: That the City Council approve the Cooperative Agreement with the Heart of Temecula LEO Club in support of facility use (Ronald H. Roberts Temecula Public Library). the First Amendment to the Office Lease Between the Citv of Temecula and Temecula Valley Convention & Visitors Bureau dba Visit Temecula Valley Recommendation: That the City Council approve the First Amendment to the Office Lease between the City of Temecula and Temecula Valley Convention and Visitors Bureau dba Visit Temecula Valley and appropriate $50,000 from the Measure S Fund. Approve the First Amendment to the Agreement for Consultant Services with T.Y. Lin International for the French Valley Parkway/I-15 Improvements - Phase II, PW 16-01 Recommendation That the City Council approve the First Amendment to the Agreement for Consultant Services with T.Y. Lin International, in the amount of Page 3 City Council Agenda February 12, 2019 $54,760, for the French Valley Parkway/I-15 Improvements - Phase II, PW16-01. 12. Approve the Fifth Amendment to the Agreement with California Watershed Engineering Corporation (CWE) for the Flood Control Channel Reconstruction and Repair (Pala Community Park), PW11-10 Recommendation That the City Council approve the Fifth Amendment to the Agreement with California Watershed Engineering Corporation (CWE), in the amount of $89,132, for additional environmental work associated with addressing bank erosion adjacent to Pala Community Park. 13. Approve the Plans and Specifications for the Installation of Public Art for the Roundabout Improvements on Ynez Road, PW 18-06 Recommendation: That the City Council: 1. Approve the plans and specifications for the installation of public art for the Roundabout Improvements on Ynez Road, PW 18-06; 2. Approve an appropriation of $25,000 from the Public Art fund to the Roundabout Improvements on Ynez Road, PW 18-06; 3. Approve a transfer of $100,000 from the Overland Drive Extension, PW 16-06 to the Roundabout Improvements on Ynez Road, PW 18-06; 4. Approve an increase to the contract contingency with Hillcrest Contracting, Inc., the contractor for the Roundabout Improvements on Ynez Road Project, PW18-06, in the amount of $100,000 and increase the authority of the City Manager to approve change orders by the same amount. 14. Approve the Plans and Specifications and Authorize the Solicitation of Construction Bids for the Citywide Concrete Repairs FY 2017-18, PW18-07 Recommendation That the City Council: 1. Approve the plans and specifications, and authorize the Department of Public Works to solicit construction bids for the Citywide Concrete Repairs FY 2017-18, PW 18-07; 2. Make a finding that this project is exempt from CEQA per Article 19, Categorical Exemption, Section 15301, Existing Facilities, of the CEQA Guidelines. 15. Approve Specifications and Authorize Solicitation of Construction Bids for the Pavement Rehabilitation Program - Citywide, Meadowview Loop, Project PW 18-10 Recommendation: That the City Council approve the specifications and authorize the Department of Public Works to solicit construction bids for the Pavement Page 4 City Council Agenda February 12, 2019 Rehabilitation Program - Citywide, Meadowview Loop, Project Number PW18-10. 16. Accept Improvements and File the Notice of Completion for FYI 8/19 Citywide Slurry Program, PW 18-09 Recommendation: That the City Council: 1. Accept the improvements for the FY 18/ 19 Citywide Slurry Program, PW 18-09; 2. Direct the City Clerk to file and record the Notice of Completion, release the Performance Bond, and accept a one-year Maintenance Bond in the amount of 10% of the final contract amount; 3. Release the Labor and Materials Bond seven months after filing the Notice of Completion, if no liens have been filed. 17. Receive and File Temporary Street Closures for 2019 Springfest Events Recommendation: That the City Council receive and file the following proposed action by the City Manager to temporarily close certain streets for the following 2019 Springfest events: TEMECULA ROD RUN, TASTE OF TEMECULA, REALITY RALLY, A TRIBUTE TO HEROES RECESS CITY COUNCIL MEETING TO SCHEDULED MEETINGS OF THE TEMECULA COMMUNITY SERVICES DISTRICT, THE SUCCESSOR AGENCY TO THE TEMECULA REDEVELOPMENT AGENCY, THE TEMECULA HOUSING AUTHORITY, AND THE TEMECULA PUBLIC FINANCING AUTHORITY TEMECULA COMMUNITY SERVICES DISTRICT MEETING CALL TO ORDER: President James "Stew" Stewart ROLL CALL: Edwards, Naggar, Rahn, Schwank, Stewart CSD PUBLIC COMMENTS A total of 30 minutes is provided for members of the public to address the Board of Directors on items that appear on the Consent Calendar or a matter not listed on the agenda. Each speaker is limited to three minutes. If the speaker chooses to address the Board on an item listed on the Consent Calendar or a matter not listed on the agenda, a Request to Speak form may be filled out and filed with the City Clerk prior to the Board addressing Public Comments and the Consent Calendar. Once the speaker is called to speak, please come forward. For all Public Hearing or Business items on the agenda, a Request to Speak form may be filed with the City Clerk prior to the Board addressing that item. On those items, each speaker is limited to five minutes. CSD CONSENT CALENDAR Page 5 City Council Agenda February 12, 2019 All matters listed under Consent Calendar are considered to be routine and all will be enacted by one roll call vote. There will be no discussion of these items unless Members of the Temecula Community Services District request specific items be removed from the Consent Calendar for separate action. 18. Approve the Action Minutes of January 22, 2019 19. Approve Financial Statements for the 1st Quarter Ended September 30, 2018 Recommendation: That the Board of Directors receive and file the Financial Statements for the 1st Quarter Ended September 30, 2018. 20. Approve the Amended and Restated Cooperation Agreement with Temecula Valley Museum, Inc. for Operation of the Wedding Chapel, Courtyard, and Concessions Facility Recommendation: That the Board of Directors approve the Amended and Restated Cooperation Agreement with Temecula Valley Museum, Inc. for operation of the wedding chapel, courtyard, and concessions facility. CSD DIRECTOR OF COMMUNITY SERVICES REPORT CSD GENERAL MANAGER REPORT CSD BOARD OF DIRECTOR REPORTS CSD ADJOURNMENT Next regular meeting: Tuesday, February 26, 2019, at 5:30 PM, for a Closed Session, with regular session commencing at 7:00 PM, City Council Chambers, 41000 Main Street, Temecula, California. Page 6 City Council Agenda February 12, 2019 SUCCESSOR AGENCY TO THE TEMECULA REDEVELOPMENT AGENCY CALL TO ORDER: Chairperson Mike Naggar ROLL CALL: Edwards, Rahn, Schwank, Stewart, Naggar SARDA PUBLIC COMMENTS A total of 30 minutes is provided for members of the public to address the Board of Directors on items that appear on the Consent Calendar or a matter not listed on the agenda. Each speaker is limited to three minutes. If the speaker chooses to address the Board on an item listed on the Consent Calendar or a matter not listed on the agenda, a Request to Speak form may be filled out and filed with the City Clerk prior to the Board addressing Public Comments and the Consent Calendar. Once the speaker is called to speak, please come forward. For all Public Hearing or Business items on the agenda, a Request to Speak form may be filed with the City Clerk prior to the Board addressing that item. On those items, each speaker is limited to five minutes. SARDA CONSENT CALENDAR All matters listed under Consent Calendar are considered to be routine and all will be enacted by one roll call vote. There will be no discussion of these items unless Members of the Successor Agency to the Redevelopment Agency request specific items be removed from the Consent Calendar for separate action. 21. Approve Financial Statements for the 1st Quarter Ended September 30, 2018 Recommendation That the Board of Directors receive and file the Financial Statements for the 1st Quarter Ended September 30, 2018. SARDA EXECUTIVE DIRECTOR REPORT SARDA BOARD OF DIRECTOR REPORTS SARDA ADJOURNMENT Next regular meeting: Tuesday, February 26, 2019, at 5:30 PM, for a Closed Session, with regular session commencing at 7:00 PM, City Council Chambers, 41000 Main Street, Temecula, California. Page 7 City Council Agenda February 12, 2019 TEMECULA HOUSING AUTHORITY - NO MEETING TEMECULA PUBLIC FINANCING AUTHORITY CALL TO ORDER: Chairperson Mike Naggar ROLL CALL: Edwards, Rahn, Schwank, Stewart, Naggar TPFA PUBLIC COMMENT A total of 30 minutes is provided for members of the public to address the Board of Directors on items that appear on the Consent Calendar or a matter not listed on the agenda. Each speaker is limited to three minutes. If the speaker chooses to address the Board on an item listed on the Consent Calendar or a matter not listed on the agenda, a Request to Speak form may be filled out and filed with the City Clerk prior to the Board addressing Public Comments and the Consent Calendar. Once the speaker is called to speak, please come forward. For all Public Hearing or Business items on the agenda, a Request to Speak form may be filed with the City Clerk prior to the Board addressing that item. On those items, each speaker is limited to five minutes. TPFA CONSENT CALENDAR All matters listed under Consent Calendar are considered to be routine and all will be enacted by one roll call vote. There will be no discussion of these items unless Members of the Successor Agency to the Redevelopment Agency request specific items be removed from the Consent Calendar for separate action. 22. Approve the Action Minutes of January 22, 2019 Recommendation That the Board of Directors approve the Action Minutes of January 22, 2019. TPFA EXECUTIVE DIRECTOR REPORT TPFA BOARD OF DIRECTOR REPORTS TPFA ADJOURNMENT Next regular meeting: Tuesday, February 26, 2019, at 5:30 PM, for a Closed Session, with regular session commencing at 7:00 PM, City Council Chambers, 41000 Main Street, Temecula, California. Page 8 City Council Agenda February 12, 2019 RECONVENE TEMECULA CITY COUNCIL BUSINESS 23. Approve Nominees Jack and Linda Williams for Placement on the Wall of Honor (At the Request of Mayor Naggar) Recommendation: That the City Council approve nominees Jack and Linda Williams for placement on the Wall of Honor (at the request of Mayor Naggar). 24. Approve Nominee Robert Morris for Placement on the Wall of Honor (At the Request of Maw Naggar) Recommendation: That the City Council approve nominee Robert Morris for placement on the Wall of Honor (at the request of Mayor Naggar). JOINT MEETING OF THE CITY COUNCIL, PLANNING COMMISSION AND OLD TOWN LOCAL REVIEW BOARD 25. Conduct Annual Joint Meeting Between the City Council and the Planning Commission Recommendation: That the City Council conduct the annual joint meeting between the City Council and the Planning Commission. 26. Conduct Annual Joint Meeting Between the City Council and the Old Town Local Review Board Recommendation: That the City Council conduct the annual joint meeting between the City Council and the Old Town Local Review Board. JOINT MEETING ADJOURNMENT RECONVENE TEMECULA CITY COUNCIL DEPARTMENTAL REPORTS COMMISSION REPORTS PUBLIC SAFETY REPORT CITY MANAGER REPORT CITY ATTORNEY REPORT ADJOURNMENT Next regular meeting: Tuesday, February 26, 2019, at 5:30 PM, for a Closed Session, with regular session commencing at 7:00 PM, City Council Chambers, 41000 Main Street, Temecula, California. NOTICE TO THE PUBLIC Page 9 City Council Agenda February 12, 2019 The full agenda packet (including staff reports, public closed session information, and any supplemental material available after the original posting of the agenda), distributed to a majority of the City Council regarding any item on the agenda, will be available for public viewing in the main reception area of the Temecula Civic Center during normal business hours. The material will also be available on the City's website at TemeculaCa.gov. and avaiable for review at the respective meeting. If you have questions regarding any item on the agenda, please contact the City Clerk's Department at (951) 694-6444 . Page 10 CITY COUNCIL - CONSENT ITEM NO . 1 CITY OF TEMECULA AGENDA REPORT TO: City Manager/City Council FROM: Randi Johl, Director of Legislative Affairs/City Clerk DATE: February 12, 2019 SUBJECT: Waive Reading of Standard Ordinances and Resolutions PREPARED BY: Randi Johl, Director of Legislative Affairs/City Clerk RECOMMENDATION: That the City Council waive the reading of the text of all standard ordinances and resolutions included in the agenda except as specifically required by the Government Code. BACKGROUND: The City of Temecula is a general law city formed under the laws of the State of California. With respect to adoption of ordinances and resolutions, the City adheres to the requirements set forth in the Government Code. Unless otherwise required, the full reading of the text of standard ordinances and resolutions is waived. FISCAL IMPACT: None ATTACHMENTS: None ITEM NO . 2 ACTION MINUTES TEMECULA CITY COUNCIL REGULAR MEETING COUNCIL CHAMBERS 41000 MAIN STREET TEMECULA, CALIFORNIA JANUARY 22, 2019 - 7:00 PM CLOSED SESSION 6:00 PM - The City Council convened in Closed Session in the Canyons Conference Room on the third floor of the Temecula City Hall concerning the following matters: 1. Conference with Legal Counsel - Pending Litigation. The City Council will meet in closed session with the City Attorney pursuant to Government Code Section 54956.9(d)(1) with respect to one matter of pending litigation: City of Temecula v. JA Plaza, LLC, et al., Riverside County Superior Court Case No. MCC 1800578. 2. Conference with Real Property Negotiators. The City Council will meet in closed session pursuant to Government Code Section 54956.8 regarding the potential master lease of portions of the rights of way owned by the City. The parties to the negotiations for the potential master lease of the properties are: Los Angeles SMSA Limited Partnership, d/b/a Verizon Wireless; AT&T Wireless; and the City of Temecula. Negotiators for the City of Temecula are: Aaron Adams, Greg Butler, Patrick Thomas, and Peter Thorson. Under negotiation are price and terms of the potential lease of the properties. CALL TO ORDER at 7:00 PM: Mayor Mike Naggar Prelude Music: Cadenza String Orchestra Invocation: Aaron Adams Flag Salute: Adam A. Ruiz ROLL CALL: Edwards, Rahn (Absent), Schwank, Stewart, Naggar PRESENTATIONS/PROCLAMATIONS Presentation of Certificates of Achievement to Linfield Christian High School Varsity Volleyball and Football Teams Presentation for Reality Rally Event Presentation of Certificate of Recognition to Fire Chief Charlie DeHart PUBLIC COMMENTS The following individual addressed the City Council on a non-agendized item: • Jennifer Richard CITY COUNCIL REPORTS CONSENT CALENDAR Unless otherwise indicated below, the following pertains to all items on the Consent Calendar. Approved the Staff Recommendation (4-0): Motion by Schwank, Second by Edwards; and electronic vote reflected unanimous approval with Rahn absent. 1. Waive Reading of Standard Ordinances and Resolutions Recommendation: That the City Council waive the reading of the text of all standard ordinances and resolutions included in the agenda except as specifically required by the Government Code. 2. Approve the Action Minutes of January 8, 2019 Recommendation: That the City Council approve the action minutes of January 8, 2019. 3. Approve the List of Demands Recommendation: That the City Council adopt a resolution entitled: RESOLUTION NO. 19-04 A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF TEMECULA ALLOWING CERTAIN CLAIMS AND DEMANDS AS SET FORTH IN EXHIBIT A 4. Approve City Treasurer's Report as of November 30, 2018 Recommendation: That the City Council approve and file the City Treasurer's Report as of November 30, 2018. 5. Appoint Members to the Community Services Commission Recommendation: That the City Council appoint Gary Oddi and Adam Ruiz to the Community Services Commission. Approved the Staff Recommendation (4-0): Motion by Edwards, Second by Schwank; and electronic vote reflected unanimous approval with Rahn absent. 6. Approve Professional Services Agreement with Webb Municipal Finance, LLC, to Prepare Annual Levy Assessment Analysis Recommendation: That the City Council approve the Professional Services Agreement with Webb Municipal Finance, LLC, in the amount of $64,168, for the preparation of an annual levy assessment analysis and appropriate funding from available fund balance to consulting services for Service Level C Zones #501-529, on a pro-rata basis. 7. Approve Second Amendment to the Maintenance Services Agreement with Diversified Waterscapes, Inc. Recommendation: That the City Council approve the second amendment to the Maintenance Services Agreement with Diversified Waterscapes, Inc., in the amount of $75,000, for a total agreement amount of $246,192, for lake and pond maintenance. 8. Approve Parcel Map 37448 (Located at Northwest Corner of Front Street and First Street in Old Town) Recommendation: That the City Council approve Parcel Map 37448 in conformance with the Conditions of Approval. RECESS: At 7:37 PM, the City Council recessed and convened as the Temecula Community Services District Meeting, the Successor Agency of the Temecula Redevelopment Agency Meeting and Temecula Public Financing Authority. At 7:41 PM, the City Council resumed with the remainder of the City Council Agenda. RECONVENE TEMECULA CITY COUNCIL COUNCIL BUSINESS 13. Introduce Ordinance Amending the Western Riverside Transportation Uniform Mitigation Fee Program to Include a Process for Western Riverside Council of Governments to Calculate and Collect Fees on Behalf of the Citv of Temecula Recommendation: That the City Council introduce and read by title only an ordinance entitled: ORDINANCE NO. 19-01 AN ORDINANCE OF THE CITY COUNCIL OF THE CITY OF TEMECULA AMENDING CHAPTER 15.08 OF THE TEMECULA MUNICIPAL CODE TO INCLUDE A PROCESS FOR WESTERN RIVERSIDE COUNCIL OF GOVERNMENTS' CALCULATION AND COLLECTION OF FEES UNDER THE WESTERN RIVERSIDE COUNTY TRANSPORTATION UNIFORM MITIGATION FEE (TUMF) PROGRAM, AND DETERMINING THAT THE ORDINANCE IS EXEMPT FROM FURTHER ENVIRONMENTAL REVIEW UNDER SECTION 15378(B)(4) OF THE CEQA GUIDELINES Approved the Staff Recommendation (4-0): Motion by Edwards, Second by Stewart; and electronic vote reflected unanimous approval with Rahn absent. 3 DEPARTMENTAL REPORTS 14. Community Development Department Monthly Report 15. Fire Department Monthly Report 16. Police Department Monthly Report 17. Public Works Department Monthly Report COMMISSION REPORTS PUBLIC SAFETY REPORT CITY MANAGER REPORT CITY ATTORNEY REPORT The City Attorney stated there was no reportable action for closed session. ADJOURNMENT At 8:51 PM, the City Council meeting was formally adjourned in memory of Drake Charles to Tuesday, February 12, 2019, at 5:30 PM for Closed Session, with regular session commencing at 7:00 PM, City Council Chambers, 41000 Main Street, Temecula, California. Matt Rahn, Mayor ATTEST: Randi Johl, City Clerk [SEAL] ITEM NO . 3 CITY OF TEMECULA AGENDA REPORT TO: City Manager/City Council FROM: Randi Johl, Director of Legislative Affairs/City Clerk DATE: February 12, 2019 SUBJECT: Adopt Ordinance 19-01 Amending the Western Riverside Transportation Uniform Mitigation Fee Program to Include a Process for Western Riverside Council of Governments to Calculate and Collect Fees on Behalf of the City of Temecula (Second Reading) PREPARED BY: Randi Johl, Director of Legislative Affairs/City Clerk RECOMMENDATION: That the City Council adopt an ordinance entitled: ORDINANCE NO. 19-01 AN ORDINANCE OF THE CITY COUNCIL OF THE CITY OF TEMECULA AMENDING CHAPTER 15.08 OF THE TEMECULA MUNICIPAL CODE TO INCLUDE A PROCESS FOR WESTERN RIVERSIDE COUNCIL OF GOVERNMENTS' CALCULATION AND COLLECTION OF FEES UNDER THE WESTERN RIVERSIDE COUNTY TRANSPORTATION UNIFORM MITIGATION FEE (TUMF) PROGRAM, AND DETERMINING THAT THE ORDINANCE IS EXEMPT FROM FURTHER ENVIRONMENTAL REVIEW UNDER SECTION 15378(B)(4) OF THE CEQA GUIDELINES BACKGROUND: The City of Temecula is a general law city formed under the laws of the State of California. With respect to adoption of ordinances and resolutions, the City adheres to the requirements set forth in the Government Code. With the exception of urgency ordinances, Government Code Section 36934 requires two readings of standard ordinances more than five days apart. Ordinances must be read in full at the time of introduction or passage unless a motion waiving the reading is adopted by a majority of the City Council present. Ordinance No. 19-01 was first introduced at the regularly scheduled meeting of January 22, 2019. FISCAL IMPACT: None ATTACHMENTS: Ordinance ORDINANCE NO.19-01 AN ORDINANCE OF THE CITY COUNCIL OF THE CITY OF TEMECULA AMENDING CHAPTER 15.08 OF THE TEMECULA MUNICIPAL CODE TO INCLUDE A PROCESS FOR WESTERN RIVERSIDE COUNCIL OF GOVERNMENTS' CALCULATION AND COLLECTION OF FEES UNDER THE WESTERN RIVERSIDE COUNTY TRANSPORTATION UNIFORM MITIGATION FEE (TUMF) PROGRAM, AND DETERMINING THAT THE ORDINANCE IS EXEMPT FROM FURTHER ENVIRONMENTAL REVIEW UNDER SECTION 15378(B)(4) OF THE CEQA GUIDELINES THE CITY COUNCIL OF THE CITY OF TEMECULA DOES HEREBY ORDAIN AS FOLLOWS: Section 1. Municipal Code Amendment. Section 15.08.020 (Findings.) of Chapter 15.08 (Western Riverside County Transportation Mitigation Fee Program) of Title 15 (Buildings and Construction) of the Temecula Municipal Code is hereby amended to add a new subsection J to read as follows: "J. WRCOG, upon the recommendation of the WRCOG Executive Committee, now desires to adopt a process in which WRCOG calculates and collects TUMF on behalf of member agencies under the Western Riverside County Transportation Uniform Mitigation Fee Program Ordinance of 2019." Section 2. Municipal Code Amendment. Subsection B of Section 15.08.040 (Establishment of the transportation uniform mitigation fee.) of Chapter 15.08 (Western Riverside County Transportation Mitigation Fee Program) of Title 15 (Buildings and Construction) of the Temecula Municipal Code is hereby amended to read as follows: "B. Fee Calculation. The fees shall be calculated by WRCOG according to the calculation methodology fee set forth in the WRCOG TUMF Fee Calculation Handbook adopted July 14, 2003, as amended from time to time. In addition to data in the Fee Calculation Handbook, WRCOG Staff may consider the following items when establishing the appropriate fee calculation methodology: Underlying zoning of the site; 2. Land -use classifications in the latest Nexus Study; 3. Project specific traffic studies; 4. Latest standardized reference manuals such as the Institute of Traffic Engineers Trip Generation Manual; 5. Previous TUMF calculations for similar uses; Ords 18-12 6. WRCOG staff shall approve final draft credit / reimbursement agreement prior to execution. WRCOG shall have final determination regarding the appropriate methodology to calculate the fee based on the information provided by the local agency. In case of a conflict between the applicant, WRCOG, and/or the local agency regarding the fee calculation methodology, the dispute resolution process in the TUMF administrative plan will apply." Section 3. Municipal Code Amendment. Subsection F of Section 15.08.040 (Establishment of the transportation uniform mitigation fee.) of Chapter 15.08 (Western Riverside County Transportation Mitigation Fee Program) of Title 15 (Buildings and Construction) of the Temecula Municipal Code is hereby amended to change all references from 15.08.020 to 15.08.030. Section 4. Municipal Code Amendment. Section 15.08.060 (Procedures for the Levy, Collection and Disposition of Fees.) of Chapter 15.08 (Western Riverside County Transportation Mitigation Fee Program) of Title 15 (Buildings and Construction) of the Temecula Municipal Code is hereby amended in its entirety to read as follows: "A. Authority of the Building Department. The director of building and safety, or designee, is hereby authorized to provide WRCOG with development project specifics for the calculation of TUMF in a manner consistent with the TUMF administrative plan. B. Payment. Payment of the fees shall be as follows: 1. All fees collected hereunder shall be collected by WRCOG for deposit, investment, accounting and expenditure in accordance with the provisions of this chapter, TUMF administrative plan, and the Mitigation Fee Act. 2. The fees shall be paid at the time a certificate of occupancy is issued for the development project or upon final inspection, whichever comes first (the "Payment Date"). However this section should not be construed to prevent payment of the fees prior to issuance of an occupancy permit or final inspection. Fees may be paid at the issuance of a building permit, and the fee payment shall be calculated based on the fee in effect at that time, provided the developer tenders the full amount of his/her TUMF obligation. If the developer makes only a partial payment prior to the payment date, the amount of the fee due shall be based on the TUMF fee schedule in place on the payment date. The fees shall be calculated according to fee schedule set forth in this chapter, or resolution adopted pursuant thereto, and the calculation methodology set forth in the Fee Calculation Handbook adopted July 14, 2003, as amended from time to time. 3. The fees required to be paid shall be the fee amounts in effect at the time of payment is due under this chapter, not the date the ordinance adopting this chapter, or any amendment thereto, is initially adopted. The City shall Ords 18-12 not enter into a development agreement which freezes future adjustments of the TUMF. 4. If all or part of any development project is sold prior to payment of the fee, the property shall continue to be subject to the requirement for payment of the fee. The obligation to pay the fee shall run with the land and be binding on all the successors in interest to the property. 5. Fees shall not be waived. C. Issuance of Certificate of Occupancy. The City shall not issue a certificate of occupancy for any development project until WRCOG has provided written evidence that it has collected the fee. D. Appeals. Appeals shall be filed with WRCOG in accordance with the provisions of the TUMF administrative plan. Appealable issues shall be the application of the fee, application of credits, application of reimbursement, application of the legal action stay and application of exemption. E. Reports to WRCOG. The director of building and safety, or designee, shall prepare and deliver to the executive director of WRCOG, periodic reports as will be established under Section 15.08.070 of this chapter." Section 5. Municipal Code Amendment. Subsection A of Section 15.08.070 (Appointment of the TUMF administrator.) of Chapter 15.08 (Western Riverside County Transportation Mitigation Fee Program) of Title 15 (Buildings and Construction) of the Temecula Municipal Code is hereby amended in its entirety to read as follows: "A. WRCOG is hereby appointed as the administrator of the transportation uniform mitigation fee program. WRCOG is hereby authorized to collect all fees generated from the TUMF within the city, and to invest, account for and expend such fees in accordance with the provisions of this chapter and the Mitigation Fee Act. The detailed administrative procedures concerning the implementation of this chapter shall be contained in the TUMF administrative plan. Furthermore, the TUMF administrator shall use the Fee Calculation Handbook adopted July 14, 2003, as amended from time to time, for the purpose of calculating a developer's TUMF obligation. In addition to detailing the methodology for calculating all TUMF obligations of different categories of new development, the purpose of the Fee Calculation Handbook is to clarify for the TUMF administrator, where necessary, the definition and calculation methodology for uses not clearly defined in the respective TUMF ordinances." Section 6. Environmental Findings. The amendments to the Transportation Uniform Mitigation Fee Program as described in this Ordinance is not a "project" within the meaning of Section 15378(b)(4) of the CEQA Guidelines, and is therefore exempt from the requirements of CEQA. Section 15378(b)(4) of the CEQA Guidelines states that a project does not include the creation of government funding mechanisms or other government fiscal activities which do not involve any commitment to any specific project which may result in a potentially significant physical impact on the environment. The Ordinance does not approve the construction nor cause the construction of any specific transportation improvements within Riverside County. Instead, Ords 18-12 3 this Ordinance simply provides that WRCOG can collect the TUMF instead of the City. This Ordinance will have no effect on the environment. Pursuant to CEQA Guidelines Section 15061(d) and 15062, a Notice of Exemption will be prepared, executed and filed for the foregoing determination in the manner required by law, that this is not a project under the California Environmental Quality Act and therefore, no environmental impact assessment is necessary. Section 7. Severability. If any one or more of the terms, provisions or sections of this Ordinance shall to any extent be judged invalid, unenforceable and/or voidable for any reason whatsoever by a court of competent jurisdiction, then each and all of the remaining terms, provisions and sections of this Ordinance shall not be affected thereby and shall be valid and enforceable. Section 8. Judicial Review. In accordance with State law, any judicial action or proceeding to attack, review, set aside, void or annul this Ordinance shall be commenced within ninety (90) days of the date of adoption of this Ordinance. Section 9. Effective Date. This Ordinance shall take effect on effect thirty (30) days after its adoption. PASSED, APPROVED, AND ADOPTED by the City Council of the City of Temecula this 12th day of February, 2019. Michael S. Naggar, Mayor ATTEST: Randi Johl, City Clerk [SEAL] Ords 18-12 4 STATE OF CALIFORNIA ) COUNTY OF RIVERSIDE ) ss CITY OF TEMECULA ) I, Randi Johl, City Clerk of the City of Temecula, do hereby certify that the foregoing Ordinance No. 19-01 was duly introduced and placed upon its first reading at a meeting of the City Council of the City of Temecula on the 22"d day of January, 2019, and that thereafter, said Ordinance was duly adopted by the City Council of the City of Temecula at a meeting thereof held on the 12th day of February, 2019, by the following vote: AYES: COUNCIL MEMBERS: NOES: COUNCIL MEMBERS: ABSTAIN: COUNCIL MEMBERS: ABSENT: COUNCIL MEMBERS: Randi Johl, City Clerk Ords 18-12 5 ITEM NO . 4 CITY OF TEMECULA AGENDA REPORT TO: City Manager/City Council FROM: Jennifer Hennessy, Director of Finance DATE: February 12, 2019 SUBJECT: Approve the List of Demands PREPARED BY: Pascale Brown, Fiscal Services Manager Jada Shafe, Accounting Technician II RECOMMENDATION: That the City Council adopt a resolution entitled: RESOLUTION NO. 19- A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF TEMECULA ALLOWING CERTAIN CLAIMS AND DEMANDS AS SET FORTH IN EXHIBIT A BACKGROUND: All claims and demands are reported and summarized for review and approval by the City Council on a routine basis at each City Council meeting. The attached claims represent the paid claims and demands since the last City Council meeting. FISCAL IMPACT: All claims and demands were paid from appropriated funds or authorized resources of the City and have been recorded in accordance with the City's policies and procedures. ATTACHMENTS: 1. Resolution 2. List of Demands RESOLUTION NO. 19- A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF TEMECULA ALLOWING CERTAIN CLAIMS AND DEMANDS AS SET FORTH IN EXHIBIT A THE CITY COUNCIL OF THE CITY OF TEMECULA DOES HEREBY RESOLVE AS FOLLOWS: Section 1. That the following claims and demands as set forth in Exhibit A, on file in the office of the City Clerk, has been reviewed by the City Manager's Office and that the same are hereby allowed in the amount of $6,086,028.12. Section 2. The City Clerk shall certify the adoption of this resolution. PASSED, APPROVED, AND ADOPTED by the City Council of the City of Temecula this 12th day of February, 2019. Michael S. Naggar, Mayor ATTEST: Randi Johl, City Clerk [SEAL] STATE OF CALIFORNIA ) COUNTY OF RIVERSIDE ) ss CITY OF TEMECULA ) I, Randi Johl, City Clerk of the City of Temecula, do hereby certify that the foregoing Resolution No. 19- was duly and regularly adopted by the City Council of the City of Temecula at a meeting thereof held on the 12th day of February, 2019, by the following vote: AYES: COUNCIL MEMBERS: NOES: COUNCIL MEMBERS: ABSTAIN: COUNCIL MEMBERS: ABSENT: COUNCIL MEMBERS: Randi Johl, City Clerk CITY OF TEMECULA LIST OF DEMANDS 01/10/2019 TOTAL CHECK RUN: 01/17/2019 TOTAL CHECK RUN: 01/24/2019 TOTAL CHECK RUN: 01/10/2019 TOTAL PAYROLL RUN: 01/24/2019 TOTAL PAYROLL RUN: TOTAL LIST OF DEMANDS FOR 02/12/2019 COUNCIL MEETING: DISBURSEMENTS BY FUND: CHECKS: 2,998,356.22 1,448,027.67 628,390.20 531,613.35 479,640.68 $ 6,086,028.12 001 GENERAL FUND 125 PEG PUBLIC EDUCATION & GOVERNMENT 140 COMMUNITY DEV BLOCK GRANT 165 AFFORDABLE HOUSING 170 MEASURE A FUND 190 TEMECULA COMMUNITY SERVICES DISTRICT 192 TCSD SERVICE LEVEL B STREET LIGHTS 194 TCSD SERVICE LEVEL D REFUSE RECYCLING 196 TCSD SERVICE LEVEL "L" LAKE PARK MAINT. 197 TEMECULA LIBRARY FUND 210 CAPITAL IMPROVEMENT PROJECTS FUND 300 INSURANCE FUND 305 WORKERS' COMPENSATION 320 INFORMATION TECHNOLOGY 325 TECHNOLOGY REPLACEMENT FUND 330 CENTRAL SERVICES 340 FACILITIES 472 CID 01-2 HARVESTON A&B DEBT SERVICE 473 CID 03-1 CROWNE HILL DEBT SERVICE FUND 474 AD03-4 JOHN WARNER ROAD DEBT SERVICE 475 CFD03-3 WOLF CREEK DEBT SERVICE FUND 476 CID 03-6 HARVESTON 2 DEBT SERVICE FUND 477 CID 03-02 RORIPAUGH DEBT SERVICE FUND 478 CID 16-01 RORIPAUGH PHASE II 501 SERVICE LEVEL"C"ZONE 1 SADDLEWOOD 502 SERVICE LEVEL"C"ZONE 2 WINCHESTER CREEK 503 SERVICE LEVEL"C"ZONE 3 RANCHO HIGHLANDS 504 SERVICE LEVEL"C"ZONE 4 THE VINEYARDS 505 SERVICE LEVEL"C"ZONE 5 SIGNET SERIES 506 SERVICE LEVEL"C"ZONE 6 WOODCREST COUNTRY 507 SERVICE LEVEL"C"ZONE 7 RIDGEVIEW 508 SERVICE LEVEL"C"ZONE 8 VILLAGE GROVE 509 SERVICE LEVEL"C"ZONE 9 RANCHO SOLANA 510 SERVICE LEVEL"C"ZONE 10 MARTINIQUE 511 SERVICE LEVEL"C"ZONE 11 MEADOWVIEW 512 SERVICE LEVEL"C"ZONE 12 VINTAGE HILLS 513 SERVICE LEVEL"C"ZONE 13 PRESLEY DEVELOP. 514 SERVICE LEVEL"C"ZONE 14 MORRISON HOMES 515 SERVICE LEVEL"C"ZONE 15 BARCLAY ESTATES 516 SERVICE LEVEL"C"ZONE 16 TRADEWINDS 517 SERVICE LEVEL"C"ZONE 17 MONTE VISTA 518 SERVICE LEVEL"C"ZONE 18 TEMEKU HILLS 519 SERVICE LEVEL"C"ZONE 19 CHANTEMAR 520 SERVICE LEVEL"C"ZONE 20 CROWNE HILL 521 SERVICE LEVEL"C"ZONE 21 VAIL RANCH 522 SERVICE LEVEL"C"ZONE 22 SUTTON PLACE 523 SERVICE LEVEL"C"ZONE 23 PHEASENT RUN 524 SERVICE LEVEL"C"ZONE 24 HARVESTON 525 SERVICE LEVEL"C"ZONE 25 SERENA HILLS 526 SERVICE LEVEL"C"ZONE 26 GALLERYTRADITION 527 SERVICE LEVEL"C"ZONE 27 AVONDALE 528 SERVICE LEVEL"C"ZONE 28 WOLF CREEK 529 SERVICE LEVEL"C"ZONE 29 GALLERY PORTRAIT 700 CERBT CALIFORNIA EE RETIREE-GASB45 2,913,511.82 6,226.75 16,774.02 17,709.38 78,369.40 396,601.76 74,744.02 10,103.76 10,485.16 20,983.63 1,189, 374.91 21,576.28 3,400.26 120,812.35 90,963.93 12,959.90 60,105.29 159.03 158.82 159.03 159.03 159.03 159.03 351.96 440.63 654.15 353.67 108.08 648.90 240.80 323.04 1,775.80 104.37 241.41 72.55 1,267.19 694.45 395.86 145.67 268.20 68.56 1,149.06 3,946.98 1,297.07 1,365.74 86.97 91.99 636.04 464.32 66.74 157.00 1,704.33 67.97 9.929.00 $ 5,074,774.09 001 GENERAL FUND $ 593,232.87 140 COMMUNITY DEV BLOCK GRANT 1,310.54 165 AFFORDABLE HOUSING 8,907.83 190 TEMECULA COMMUNITY SERVICES DISTRICT 250,297.44 192 TCSD SERVICE LEVEL B STREET LIGHTS 887.04 194 TCSD SERVICE LEVEL D REFUSE RECYCLING 2,657.86 196 TCSD SERVICE LEVEL "L" LAKE PARK MAINT. 449.87 197 TEMECULA LIBRARY FUND 4,129.29 300 INSURANCE FUND 1,363.61 305 WORKERS' COMPENSATION 1,363.58 320 INFORMATION TECHNOLOGY 64,471.43 330 CENTRAL SERVICES 7,045.17 340 FACILITIES 16,378.34 472 CID 01-2 HARVESTON A&B DEBT SERVICE 197.01 473 CID 03-1 CROWNE HILL DEBT SERVICE FUND 197.14 474 AD03-4 JOHN WARNER ROAD DEBT SERVICE 197.01 475 CFD03-3 WOLF CREEK DEBT SERVICE FUND 197.01 476 CID 03-6 HARVESTON 2 DEBT SERVICE FUND 197.01 477 CID 03-02 RORIPAUGH DEBT SERVICE FUND 197.01 478 CID 16-01 RORIPAUGH PHASE II 444.14 501 SERVICE LEVEL"C"ZONE 1 SADDLEWOOD 3.68 502 SERVICE LEVEL"C"ZONE 2 WINCHESTER CREEK 42.37 503 SERVICE LEVEL"C"ZONE 3 RANCHO HIGHLANDS 36.29 504 SERVICE LEVEL"C"ZONE 4 THE VINEYARDS 4.91 505 SERVICE LEVEL"C"ZONE 5 SIGNET SERIES 42.50 506 SERVICE LEVEL"C"ZONE 6 WOODCREST COUNTRY 17.63 507 SERVICE LEVEL"C"ZONE 7 RIDGEVIEW 13.58 508 SERVICE LEVEL"C"ZONE 8 VILLAGE GROVE 89.17 509 SERVICE LEVEL"C"ZONE 9 RANCHO SOLANA 4.03 510 SERVICE LEVEL"C"ZONE 10 MARTINIQUE 9.78 511 SERVICE LEVEL"C"ZONE 11 MEADOWVIEW 4.30 512 SERVICE LEVEL"C"ZONE 12 VINTAGE HILLS 102.07 513 SERVICE LEVEL"C"ZONE 13 PRESLEY DEVELOP. 20.79 514 SERVICE LEVEL"C"ZONE 14 MORRISON HOMES 9.11 515 SERVICE LEVEL"C"ZONE 15 BARCLAY ESTATES 8.88 516 SERVICE LEVEL"C"ZONE 16 TRADEWINDS 21.89 517 SERVICE LEVEL"C"ZONE 17 MONTE VISTA 0.91 518 SERVICE LEVEL"C"ZONE 18 TEMEKU HILLS 99.87 519 SERVICE LEVEL"C"ZONE 19 CHANTEMAR 50.98 520 SERVICE LEVEL"C"ZONE 20 CROWNE HILL 115.46 521 SERVICE LEVEL"C"ZONE 21 VAIL RANCH 212.17 522 SERVICE LEVEL"C"ZONE 22 SUTTON PLACE 4.55 523 SERVICE LEVEL"C"ZONE 23 PHEASENT RUN 8.89 524 SERVICE LEVEL"C"ZONE 24 HARVESTON 218.71 525 SERVICE LEVEL"C"ZONE 25 SERENA HILLS 48.43 526 SERVICE LEVEL"C"ZONE 26 GALLERYTRADITION 3.92 527 SERVICE LEVEL"C"ZONE 27 AVONDALE 9.02 528 SERVICE LEVEL"C"ZONE 28 WOLF CREEK 297.42 529 SERVICE LEVEL"C"ZONE 29 GALLERY PORTRAIT 4.55 700 CERBT CALIFORNIA EE RETIREE-GASB45 55,626.97 1,011,254.03 TOTAL BY FUND: $ 6,086,028.12 apChkLst Final Check List Page: 1 01/10/2019 11:55:07AM CITY OF TEMECULA Bank. union UNION BANK Check # Date Vendor 5464 01/10/2019 000246 PERS (EMPLOYEES' RETIREMENT) 5482 12/27/2018 010276 TIME WARNER CABLE 5483 12/13/2018 001212 SO CALIF GAS COMPANY 5484 12/13/2018 001212 SO CALIF GAS COMPANY 5485 12/14/2018 000537 SO CALIF EDISON 5486 12/14/2018 000537 SO CALIF EDISON 5487 12/14/2018 000537 SO CALIF EDISON 5488 12/17/2018 000537 SO CALIF EDISON 5489 12/17/2018 000537 SO CALIF EDISON 5490 12/17/2018 000537 SO CALIF EDISON 5491 12/17/2018 000537 SO CALIF EDISON 5492 12/17/2018 000537 SO CALIF EDISON 5493 12/17/2018 000537 SO CALIF EDISON 5494 12/17/2018 000537 SO CALIF EDISON 5495 12/17/2018 000537 SO CALIF EDISON 5496 12/17/2018 000537 SO CALIF EDISON 5497 12/17/2018 000537 SO CALIF EDISON Description Amount Paid Check Total PERS RETIREMENT PAYMENT 101,627.16 PERS RETIREMENT PAYMENT 285.38 DEC INTERNET SVCS-29119 348.29 MARGARITA RD NOV 098-255-9828-8 29119 MARGARITA 57.68 RD NOV 117-188-6393-6 32131 S LOOP RD 91.98 NOV 2-36-122-7820 31777 DE PORTOLA 27.59 NOV 2-25-350-5119 45602 REDHAWK 30.10 PKWY NOV 2-29-479-2981 31454 TEM PKWY 98.03 NOV 2-30-066-2889 30051 RANCHO 27.71 VISTA NOV 2-40-765-3021 28916 PUJOL ST 46.92 NOV 2-40-765-3179 28922 PUJOL ST 83.03 NOV 2-29-974-7899 26953 YNEZ RD 182.90 NOV 2-30-608-9384 28582 HARVESTON 325.37 DR NOV 2-10-331-2153 28816 PUJOL ST 731.78 NOV 2-20-798-3248 42081 MAIN ST 1,167.49 NOV 2-02-351-5281 30875 RANCHO 4,549.38 VISTA RD NOV 2-05-791-8807 31587 TEMECULA 9,617.80 PKWY NOV 2-36-171-5626 BUTTERFIELD STG 24.738.28 RD 101, 912.54 34829 57.68 91.98 27.59 30.10 98.03 27.71 46.92 83.03 182.90 325.37 731.78 1,167.49 4,549.38 9,617.80 24,738,28 Page:1 apChkLst 01/10/2019 11:55:07AM Final Check List CITY OF TEMECULA Page: 2 Bank: union UNION BANK (Continued) Check # Date Vendor Description Amount Paid Check Total 5498 12/17/2018 000537 SO CALIF EDISON NOV 2-01-202-7330 VARIOUS 74,134.19 74,134.19 LOCATIONS 5499 12/18/2018 000537 SO CALIF EDISON NOV 2-29-223-9571 30395 MURRIETA 51.96 51.96 HOT 5500 01/10/2019 021026 QUESTICA LTD BUDGET SOFTWARE 43,339.75 43,339.75 SUBSCRIPTION: FINANCE 5501 12/18/2018 000537 SO CALIF EDISON NOV 2-31-419-2659 26706 YNEZ RD 133.48 133.48 5502 12/27/2018 000262 RANCHO CALIF WATER 3003545-N GENERAL KEARNY RD 11,714.77 11,714.77 DISTRICT 5503 01/07/2019 018858 FRONTIER CALIFORNIA INC DEC INTERNET SVCS-FIRE STATION 119.84 119.84 73 5504 01/07/2019 018858 FRONTIER CALIFORNIA INC DEC INTERNET SVCS-PUBLIC 188.98 188.98 LIBRARY 5505 01/07/2019 010276 TIME WARNER CABLE JAN INTERNET SVCS-40820 1.60 1.60 WINCHESTER RD 5506 01/03/2019 001212 SO CALIF GAS COMPANY NOV 055-475-6169-5 32380 DEER 193.01 193.01 HOLLOW 5507 12/26/2018 002390 EASTERN MUNICIPAL WATER NOV WATER: 32131 SOUTHLOOP RD 51.52 51.52 DIST 5508 12/28/2018 000537 SO CALIF EDISON NOV 2-28-331-4847 32805 PAUBA RD 80.70 80.70 5509 01/10/2019 010349 CALIF DEPT OF CHILD SUPPORT PAYMENT 899.07 899.07 SUPPORT 5510 12/26/2018 018858 FRONTIER CALIFORNIA INC JAN INTERNET SVCS- CHILDREN'S 128.98 12898 MUSEUM 5511 01/10/2019 017429 COBRAADVANTAGE INC, DBA FSA REIMBURSEMENT PAYMENT 17,084.13 17,084.13 THE ADVANTAGE GROUP 5512 01/10/2019 000194 ICMARETIREMENT-PLAN ICMA-RC RETIREMENT TRUST457 11,073.60 11,073.60 303355 PAYMENT 5513 01/10/2019 000444 INSTATAX (EDD) STATE TAXES PAYMENT 25,288.94 25,288.94 Paget apChkLst 01/10/2019 11:55:07AM Final Check List CITY OF TEMECULA Page: 3 Bank: union UNION BANK (Continued) Check # Date Vendor Description Amount Paid Check Total 5514 01/10/2019 000283 INSTATAX (IRS) FEDERAL TAXES PAYMENT 84,960.24 84,960.24 5515 01/10/2019 000389 NATIONWIDE RETIREMENT OBRA- PROJECT RETIREMENT 2,408.52 2,408.52 SOLUTION PAYMENT 5516 01/10/2019 001065 NATIONWIDE RETIREMENT NATIONWIDE RETIREMENT PAYMENT 11,948.44 11,948.44 SOLUTION 5517 01/10/2019 000245 PERS - HEALTH INSUR PERS HEALTH PAYMENT 0.00 PREMIUM PERS HEALTH PAYMENT 129,627.08 129,627,08 5518 12/26/2018 018858 FRONTIER CALIFORNIA INC JAN INTERNET SVCS-EXTERNAL DMV 10984 109.84 LINE 5519 12/26/2018 002390 EASTERN MUNICIPAL WATER NOV WATER: 39656 DIEGO DR 110.64 110.64 DIST 5520 12/26/2018 002390 EASTERN MUNICIPAL WATER NOV WATER: 32131 SOUTHLOOP RD 129.08 129.08 DIST 5521 12/26/2018 002390 EASTERN MUNICIPAL WATER NOV WATER: 32131 SOUTHLOOP RD 171.03 171 03 DIST 5522 12/21/2018 000537 SO CALIF EDISON NOV 2-33-237-4818 30499 RANCHO CAL 93.83 93.83 RD 5523 12/21/2018 000537 SO CALIF EDISON NOV 2-26-887-0789 40233 VILLAGE RD 1,924.69 1,924.69 5524 12/21/2018 000537 SO CALIF EDISON NOV 2-00-397-5059 33340 CAMINO 8,071.87 8,071.87 PIEDRA 5525 12/24/2018 000537 SO CALIF EDISON NOV 2-39-043-8521 29028 OLD TOWN 23.66 23.66 FRONT 5526 12/24/2018 000537 SO CALIF EDISON NOV 2-29-974-7568 26953 YNEZ RD 151 11 151 11 5527 12/24/2018 000537 SO CALIF EDISON NOV 2-31-693-9784 26036 YNEZ RD 421.73 421.73 5528 12/24/2018 000537 SO CALIF EDISON NOV 2-30-296-9522 46679 PRIMROSE 639.37 639.37 AVE 5529 12/26/2018 000537 SO CALIF EDISON DEC 2-30-099-3847 29721 RYECREST 27.31 27.31 5530 12/31/2018 000537 SO CALIF EDISON DEC 2-41-072-5246 29429 TEM. PKWY 16.20 16.20 Page:3 apChkLst 01/10/2019 11:55:07AM Final Check List CITY OF TEMECULA Page: 4 Bank: union UNION BANK (Continued) Check # Date Vendor Description Amount Paid Check Total 5531 12/31/2018 000537 SO CALIF EDISON DEC 2-40-576-0232 44173 20.72 20.72 BUTTERFIELD STG 5532 12/31/2018 000537 SO CALIF EDISON DEC 2-21-981-4720 30153 TEMECULA 22.49 22.49 PKWY 5533 12/31/2018 000537 SO CALIF EDISON DEC 2-35-164-3242 44270 MEADOWS 26.50 26.50 PKWY 5534 12/31/2018 000537 SO CALIF EDISON DEC 2-35-164-3515 32932 LEENA WAY 26.77 2677 5535 12/31/2018 000537 SO CALIF EDISON DEC 2-35-164-3663 42335 MEADOWS 2678 26.78 PKWY 5536 12/31/2018 000537 SO CALIF EDISON DEC 2-35-164-3770 43487 28.33 28.33 BUTTERFIELD STG 5537 12/31/2018 000537 SO CALIF EDISON DEC 2-33-357-5785 44747 REDHAWK 38.38 38.38 PKWY 5538 12/31/2018 000537 SO CALIF EDISON DEC 2-41-072-5394 29429 TEMECULA 54.70 54.70 PKWY 5539 12/31/2018 000537 SO CALIF EDISON DEC 2-28-904-7706 32329 OVERLAND 146.36 146.36 TRL 5540 12/31/2018 000537 SO CALIF EDISON DEC 2-34-624-4452 32131 S LOOP RD 1,161.65 1,161.65 5541 01/07/2019 010276 TIME WARNER CABLE JAN INTERNET SVCS-41000 MAIN ST 1,083.47 1,083.47 5542 01/07/2019 010276 TIME WARNER CABLE JAN INTERNET SVCS- 42569 1,173.54 1,173.54 MARGARITA RD 5543 01/07/2019 010276 TIME WARNER CABLE JAN INTERNET SVCS-30875 RANCHO 1,173.54 1,173.54 VISTA RD 5544 01/08/2019 010276 TIME WARNER CABLE JAN INTERNET SVCS- 28816 PUJOL ST 586.77 586.77 5545 01/02/2019 002390 EASTERN MUNICIPAL WATER NOV WATER: MURRIETA HOT SPRINGS 22.48 22.48 DIST 5546 01/02/2019 002390 EASTERN MUNICIPAL WATER NOV WATER: MURRIETA HOT SPRINGS 74.08 74.08 DIST Page:4 apChkLst Final Check List Page: 5 01/10/2019 11:55:07AM CITY OF TEMECULA Bank: union UNION BANK Check # Date Vendor 5547 01/08/2019 014486 VERIZON WIRELESS 193217 01/10/2019 021052 ALDI INC 193218 01/10/2019 003951 ALL AMERICAN ASPHALT 193219 01/10/2019 006915 ALLIES PARTY EQUIPMENT, RENTAL INC 193220 01/10/2019 013015 ALWAYS RELIABLE BACKFLOW, AKA NANETTE SEMAN 193221 01/10/2019 000101 APPLE ONE INC 193222 01/10/2019 005946 AYERS DISTRIBUTING COMPANY (Continued) Description 11/11 - 12/10 TASK FORCE TABLETS POLICE REFUND: ENG DEPOSIT 29655 RANCHO CAL ASPHALT SUPPLIES: STREET MAINT ASPHALT SUPPLIES: STREET MAIN' ASPHALT SUPPLIES: STREET MAIN' ASPHALT SUPPLIES: STREET MAIN' ASPHALT SUPPLIES: STREET MAIN - TABLE & LINEN RENTAL: COUNCIL RENTALS:COMMUNITY EVENT: MPS RENTAL ITEMS:VARI SPECIAL EVEN RENTAL ITEMS:VARIOUS SPECIAL E ANNUAL BACKFLOW TESTING: FACILITIES DEC TEMP STAFF SVCS: VARI DEPTS Plastic filled Easter eggs:2019 Easter 193223 01/10/2019 018941 AZTEC LANDSCAPING INC DEC VAR PARKS: RESTROOM POWER WASHING DEC JANITORIAL SVCS: VARI PARK; 193224 01/10/2019 011954 BAKER AND TAYLOR INC BOOK COLLECTIONS: LIBRARY BOOK COLLECTIONS: LIBRARY BOOK COLLECTIONS: LIBRARY BOOK COLLECTIONS: LIBRARY BOOK COLLECTIONS: LIBRARY BOOK COLLECTIONS: LIBRARY BOOK COLLECTIONS: LIBRARY BOOK COLLECTIONS:LIBRARY BOOK COLLECTIONS:LIBRARY 193225 01/10/2019 015592 BAMM PROMOTIONAL STAFF UNIFORMS:CRC PRODUCTS INC STAFF UNIFORMS:CRC HEALTH & WELLNESS SUPPLIES: HI HEALTH & WELLNESS SUPPLIES: HI 193226 01/10/2019 018101 BARN STAGE COMPANY INC, STTLMNT: CABARET AT THE MERC THE 12/30/18 BROADWAY IN THE PARK:TCSD SING FOR OUR SENIORS: 1/15/19: N Amount Paid 443.84 24,000.00 375.50 393.55 312.37 508.34 176.25 428.00 553.18 1,936.67 3,715.27 1,151.00 8.155.79 2,278.00 1,072.50 7,788.52 103.84 66.86 452.72 240,83 97.14 16.41 154.50 47.51 66.54 683.14 625.49 2,327.29 295.29 987.00 3,000.00 1,000.00 Check Total 443.84 24,000.00 1.766.01 6,632.12 1,151.00 8,155.79 2,278.00 8,861.02 1,246.35 3,931.21 4,987.00 Page:5 apChkLst Final Check List Page: 6 01/10/2019 11:55:07AM CITY OF TEMECULA Bank: union UNION BANK (Continued) Check # Date Vendor Description Amount Paid Check Total 193227 01/10/2019 013482 BAS SECURITY SECURITY SVC:CITY FACILITIES 1.851.00 1,851.00 193228 01/10/2019 007385 BAUDVILLE INC DBA IDVILLE VISITOR LOGIN BOOKS:FRONT 421.88 421.88 RECEPTION 193229 01/10/2019 014293 BIBLIOTHECA ITG LLC ANNUAL SUPPORT/MAINT OF 9,679.95 9,679.95 EQUIP:LIBRARY 193230 01/10/2019 014284 BLAKELYS TRUCK SERVICE, VEHICLE/EQUIP REPAIRS: STREET 108.00 AKA DONALD W BLAKELY MAINT VEHICLE/EQUIP REPAIRS: STREET 1 90.00 VEHICLE/EQUIP REPAIRS: STREET 1 1,006.13 VEHICLE/EQUIP REPAIRS: STREET 1 108.00 1,312.13 193231 01/10/2019 018408 BOB CALLAHAN'S POOL DEC POOL/FOUNTAIN MAINT: VAR[ 950.00 SERVICE LOCATIONS DEC POOL/FOUNTAIN MAINT: VARI I 1,100.00 2,050.00 193232 01/10/2019 011348 BONCOR WATER SYSTEMS DEC WATER TANK FILTER: STA 73 267.20 267.20 LLC, DBA SUNSHINE WATER SOFT 193233 01/10/2019 018217 BRITISH BUS COMPANY LLC BUS RENTAL:SPECIAL EVENTS 6,475.00 6,475.00 193234 01/10/2019 004851 C B RANCH ENTERPRISES, EXCURSION:MPSC 525.00 525.00 DBA FLOWER FIELDS 193235 01/10/2019 021034 CABRAL, ESTHER REFUND: SEC DEPOSIT TCC 12/15/18 200.00 200.00 193236 01/10/2019 003138 CAL MAT, DBA VULCAN ASPHALT SUPPLIES: STREET MAINT 162.70 MATERIALS CO ASPHALT SUPPLIES: STREET MAIN- 162.70 325.40 193237 01/10/2019 000152 CALIF PARKS & RECREATION MEMBERSHIP RENEWAL: FOX, STACY 145.00 145.00 SOC,CPRS 193238 01/10/2019 018828 CASC ENGINEERING AND, PERMIT COMPLIANCE SVCS: LAND 5,450.00 5,450.00 CONSULTING INC DEV 193239 01/10/2019 020014 CASSON, G. AUSTIN ARTWORK PURCH:FALLEN HEROES 3,600.00 MEMORIAL ARTWORK PURCH:FALLEN HEROE; 500.00 4,100.00 193240 01/10/2019 004462 CDW LLC, DBA CDW OFFICE SUPPLIES: HR 290.82 GOVERNMENT LLC MISC SMALL TOOLS & EQUIP:INFO' 73.52 MISC SMALL TOOLS & EQUIP:INFO 247.32 MONITORS:LAND DEV 954.12 1,565.78 193241 01/10/2019 000912 CITY CLERKS ASSN OF CALIF MEMBERSHIP RENEWAL: JOHL, RANDI 210.00 MEMBERSHIP RENEWAL: RAMIREZ, 85.00 295.00 Page:6 apChkLst 01/10/2019 11:55:07AM Final Check List CITY OF TEMECULA Page: 7 Bank: union UNION BANK (Continued) Check # Date Vendor Description Amount Paid Check Total 193242 01/10/2019 020457 CLARITAS HOLDINGS INC, DBA Pop -Facts demographic reports 2019 78500 785.00 CLARITAS LLC 193243 01/10/2019 004405 COMMUNITY HEALTH EMPLOYEE CHARITY DONATIONS 4.00 4.00 CHARITIES PAYMENT 193244 01/10/2019 010747 CORNERSTONE CHRISTIAN, REFUND: SEC DEPOSIT CRC 12-16-18 200.00 200.00 BAPTIST CHURCH 193245 01/10/2019 014521 COSTAR GROUP JAN 19 WEB SUBSCRIPTION:ECO DEV 47358 473.58 INFORMATION INC 193246 01/10/2019 001264 COSTCO TEMECULA 491 THEATER HOSPITALITY & OFC 169.48 169.48 SUPPLIES 193247 01/10/2019 004329 COSTCO TEMECULA 491 SUPPLIES:HIGH HOPES EVENTS 432.84 SUPPLIES: NYE GRAPE DROP 113.15 OFC & BLDG SUPPLIES: MCR 463.53 1,009.52 193248 01/10/2019 010650 CRAFTSMEN PLUMBING & VARIOUS PARKS: PLUMBING SVCS 862.00 862.00 HVAC INC 193249 01/10/2019 019858 CUB SCOUT PACK 301 REFUND: SEC DEPOSIT TCC 12/10/18 200.00 200.00 193250 01/10/2019 014580 DANCE THEATRE COLLECTIVE, SETTLEMENT:DANCEXCHANGE 12/18 217.00 217.00 OF SOUTHERN CALIFORNIA 193251 01/10/2019 012600 DAVID EVANS AND ENG SVCS - SANTA GERTRUDIS CRK 16,117.76 16,117.76 ASSOCIATES INC PW08-04 193252 01/10/2019 003945 DIAMOND ENVIRONMENTAL VOID - RENTALS:SPECIAL EVENTS: TCSD 0.00 SRVCS PORTABLE RESTROOM RENTAL: VA 0.00 PORTABLE RESTROOM RENTAL: RI` 0.00 PORTABLE RESTROOM RENTAL: LA 0.00 PORTABLE RESTROOM RENTAL: LC 0.00 0.00 193253 01/10/2019 019720 DIVERSIFIED WATERSCAPES JAN WTR QUALITY MAINT: VARI 6,766.00 6,766.00 INC PARKS 193254 01/10/2019 017928 DOMINGUEZ, JOAQUIN REFUND: ENG DEPOSIT 31466 3,00000 3,000.00 JEDEDIAH Page:7 apChkLst 01/10/2019 11:55:07AM Final Check List CITY OF TEMECULA Page: 8 Bank : union UNION BANK (Continued) Check # Date Vendor Description Amount Paid Check Total 193255 01/10/2019 004192 DOWNS ENERGY FUEL FUEL FOR CITY VEHICLES: POLICE 36.05 DEPT FUEL FOR CITY VEHICLES: PARKS P 996.94 FUEL FOR CITY VEHICLES: STREET 538.05 FUEL FOR CITY VEHICLES: TCSD 390.06 FUEL FOR CITY VEHICLES: POLICE 20.23 FUEL FOR CITY VEHICLES: PUBLIC 176.33 2,157.66 193256 01/10/2019 002528 EAGLE GRAPHIC CREATIONS FALLEN HEROES MILITARY SEAL 285.31 285.31 INC 193257 01/10/2019 013367 ELECTRO INDUSTRIAL SUPPLY MISC SMALL TOOLS & EQUIP: PW 605.34 605.34 TRAFFIC 193258 01/10/2019 018098 ELITE CLAIMS MANAGEMENT JAN 19 3RD PARTY CLAIM ADMIN: 1,250.00 1,250.00 INC WRKRS COM 193259 01/10/2019 004829 ELLISON WILSON ADVOCACY JAN STATE LOBBYING SVCS: CITY 3,50000 3,500.00 LLC MGR 193260 01/10/2019 011292 ENVIRONMENTAL SCIENCE NOV ADDENDUM EIR UPTOWN 1,360.00 1,360.00 ASSOC JEFFERSON 193262 01/10/2019 017432 EYEMED VISION CARE VISION PLAN PAYMENT 1,590.61 1,590.61 193263 01/10/2019 021035 FE FIERRO ENTERPRISES INC REFUND: EVENT CANCELLED 629.10 629.10 193264 01/10/2019 003747 FINE ARTS NETWORK AKA STTLMNT: NUTCRACKER BALLET 62,685.03 62,685.03 THEATRE, CO AND BALLET 12/14-12/23 THEATER 193265 01/10/2019 003747 FINE ARTS NETWORK AKA STTLMNT: 'BEST OF BROADWAY" 1,310.00 1,310.00 THEATRE, CO AND BALLET 12/29 THEATER 193266 01/10/2019 021037 FORD, ELKE REFUND: LIBRARY SMARTPAY 12.99 12.99 193267 01/10/2019 002982 FRANCHISE TAX BOARD KRACH, BREE - CASE# 603016103 29.23 29.23 193268 01/10/2019 014865 FREIZE UHLER KIMBERLY DBA, Uniform Embroidery -Bldg & Safety 147.90 CLEAR BLUE PROMOTIONS 2018 college fair shirts 430.62 STAFF POLO SHIRTS: HUMAN RESC 37.12 615.64 193269 01/10/2019 019710 FU, JIMMY 2018 CITY DRONE FOOTAGE:ECO DEV 300.00 300.00 Page:8 apChkLst Final Check List Page: 9 01/10/2019 11:55:07AM CITY OF TEMECULA Bank: union UNION BANK (Continued) Check # Date Vendor Description Amount Paid Check Total 193270 01/10/2019 000177 GLENNIES OFFICE PRODUCTS Table bases for new desks: Aquatics 502.51 INC MISC OFC SUPPLIES: PW 143.40 OFFICE SUPPLIES:INFO TECH 29.37 OFFICE SUPPLIES:INFO TECH 29.50 MISC OFC SUPPLIES: PW 17.66 OFC SUPPLIES: BLDG & SAFETY 62.91 785.35 193271 01/10/2019 014100 GODS FAN CLUB FY 18/19 GRANT FUNDS TO PROJECT 1,400.00 1,400.00 TOUCH 193272 01/10/2019 009608 GOLDEN VALLEY MUSIC Entertainment: Theater— 6,600.00 6,600.00 SOCIETY, DBA CA CHAMBER ORCHESTRA 193273 01/10/2019 019721 GOVCONNECTION INC REPLACEMENTTOUGHPADS:PW 11,328.04 11,328.04 193274 01/10/2019 003792 GRAINGER PARK MAINT:MISC SMALL TOOLS 183.08 183.08 193275 01/10/2019 020725 GRANICUS LLC, DBA HD STREAMING: COUNCIL CHAMBERS 1,208.22 1,208.22 GRANICUS 193276 01/10/2019 015451 GREATAMERICA FINANCIAL DEC LEASE FOR COPIERS:LIBRARY 88022 880.22 SVCS Page:9 apChkLst Final Check List Page: 10 01/10/2019 11:55:07AM CITY OF TEMECULA Bank: union UNION BANK Check # Date Vendor 193277 01/10/2019 000186 HANKS HARDWARE INC (Continued) Description Amount Paid Check Total MAINT SUPPLIES: LIBRARY 43.49 MAINT SUPPLIES: LIBRARY 5.63 MAINT SUPPLIES: LIBRARY 23.91 Misc. small tools & equip: pw traffic 64.39 MAINT SUPPLIES: CIVIC CTR 189.20 MAINT SUPPLIES: CIVIC CTR 489.38 MAINT SUPPLIES: CIVIC CTR 32.69 MAINT SUPPLIES: VARIOUS PARKS 23.34 MAINT SUPPLIES: VARIOUS PARKS 76.56 MAINT SUPPLIES: VARIOUS PARKS 140.73 SMALL TOOLS: VARIOUS PARKS 9.78 MAINT SUPPLIES: TVM 6.49 MAINT SUPPLIES: TVM 11.95 MAINT SUPPLIES: TVM 4.88 MAINT SUPPLIES: TVM 42.34 SMALL TOOLS & EQUIPMENT: HARD 78.27 MAINT SUPPLIES: CIVIC CTR 20.28 MAINT SUPPLIES: CIVIC CTR 7.05 MAINT SUPPLIES: CIVIC CTR 26.84 MAINT SUPPLIES: VARIOUS PARKS 76.27 MAINT SUPPLIES: VARIOUS PARKS 43.00 MAINT SUPPLIES: MPSC 40.23 MAINT SUPPLIES: MPSC 21.73 MAINT SUPPLIES: TCC 12.50 MAINT SUPPLIES: AQUATICS 10.31 MAINT SUPPLIES: STREET MAINTEI' 10.42 MAINT SUPPLIES: STREET MAINTEI' 42.85 MAINT SUPPLIES: STREET MAINTEI' -15.00 MAINT SUPPLIES: CIVIC CTR 652.50 MAINT SUPPLIES: CIVIC CTR 80.81 MAINT SUPPLIES: CIVIC CTR 7.59 MAINT SUPPLIES: CIVIC CTR 85.41 MAINTENANCE SUPPLIES, VARIOU; 27.17 MAINT SUPPLIES: CIVIC CTR 26.01 MAINT SUPPLIES: CIVIC CTR 22.80 MAINT SUPPLIES: CIVIC CTR 15.02 MAINT SUPPLIES: CIVIC CTR 28.25 MAINT SUPPLIES: CIVIC CTR 23.11 MAINT SUPPLIES: CIVIC CTR 214.72 MAINT SUPPLIES: CIVIC CTR 104.31 MAINT SUPPLIES: CIVIC CTR 11.82 MAINT SUPPLIES: CIVIC CTR 44.41 MAINT SUPPLIES: CIVIC CTR 46.36 2,929.80 Page:10 apChkLst Final Check List Page: 11 01/10/2019 11:55:07AM CITY OF TEMECULA Bank: union UNION BANK (Continued) Check # Date Vendor Description Amount Paid Check Total 193278 01/10/2019 000186 HANKS HARDWARE INC HDWR SUPPLIES: STA. 73 45.22 SMALL TOOLS:VAR PARKS 42.59 MAINT SUPPLIES: CIVIC CTR 39.67 MAINT SUPPLIES: CIVIC CTR 39.43 MAINT SUPPLIES: CIVIC CTR 31.52 MAINT SUPPLIES: TCC 29.26 MAINTENANCE SUPPLIES, VARIOU: 23.96 MAINT SUPPLIES: CIVIC CTR 23.90 MAINT SUPPLIES: CIVIC CTR 21 50 MAINT SUPPLIES: CRC 20.68 HRDWR SUPPLIES: BC 18.48 MAINT SUPPLIES: OLD TOWN 17.91 MAINT SUPPLIES: MPSC 15.21 MAINT SUPPLIES: CIVIC CTR 12.90 MAINT SUPPLIES: CIVIC CTR 9.78 MAINT SUPPLIES: OLD TOWN 9.10 MAINT SUPPLIES: AQUATICS 7.60 MAINT SUPPLIES: CRC 1.73 HDWR SUPPLIES: BC -6.53 MAINT SUPPLIES: OLD TOWN 16.07 MAINT SUPPLIES: CIVIC CTR 16.83 HDWR SUPPLIES: STA. 95 192.76 MAINTENANCE SUPPLIES, VARIOU: 181.91 MAINT SUPPLIES: CIVIC CTR 90.63 MAINT SUPPLIES: CRC 81.53 MAINT SUPPLIES: CHILDREN'S MUS 72.80 MAINT SUPPLIES: CHILDREN'S MUS 57.97 MAINT SUPPLIES: CRC 5226 MAINT SUPPLIES: TCC 52.19 MAINT SUPPLIES: CIVIC CTR 47.83 MAINT SUPPLIES: CIVIC CTR 47.48 MAINT SUPPLIES: CRC 47.16 1,361.33 193279 01/10/2019 012748 HARDYAND HARPER INC RAINBOW CANYON:REPAIR DAMAGED 46,499.40 46,499.40 ASPHALT 193280 01/10/2019 020628 HASA INC Pool Sanitizing Chemicals:various pools 402.27 402.27 193281 01/10/2019 021046 HATFIELD, RICHARD REFUND: ENG DEPOSIT-43686 3,000.00 3,00000 PIASANO PL 193282 01/10/2019 002109 HD SUPPLY CONSTR. SUPPLY MISC SUPPLIES: STREET MAINT 219.17 219.17 LTD, DBA HDS WHITE CAP CONST T 193283 01/10/2019 013749 HELIXSTORM INC VMWARE RENEWAL:INFO TECH 18,742.00 18,742.00 Page:11 apChkLst Final Check List Page: 12 01/10/2019 11:55:07AM CITY OF TEMECULA Bank: union UNION BANK (Continued) Check # Date Vendor Description Amount Paid Check Total 193284 01/10/2019 020698 HICKS AND HARTWICK INC ENG PLAN CHECK SRVCS: PW 1,100.00 ENG PLAN CHECK SRVCS: PW 900.00 2,000.00 193285 01/10/2019 010210 HOME DEPOT SUPPLY INC MAINT SUPPLIES: THEATER 12.33 12.33 193286 01/10/2019 006914 INNOVATIVE DOCUMENT NOV COPIER MAINT/USAGE/REPAIR: SOLUTIONS CITYWIDE NOV COPIER MAINT/USAGE/REPAIF 193287 01/10/2019 020673 INTEGRITY SUPPORT Pre -employment screenings:HR SERVICES INC, EMPLOYMENT SCREENING RESO 193288 01/10/2019 012883 JACOB'S HOUSE INC EMPLOYEE CHARITY DONATIONS 193289 01/10/2019 018352 JAMES ELLIOTT ENTERTAINMENT 193290 01/10/2019 000820 K R W & ASSOCIATES PAYMENT STTLMNT: CLASSIC ROCK SHOW 1/3-1/4 ENG PLAN CK & REVIEW: PW 193291 01/10/2019 017118 KRACH BREE B, DBA CREDIT: TAX WITHHOLDING CASE TEMECULA TROPHY & DES 603016103 PERPETUAL PLAQUE WITH CITY SE 193292 01/10/2019 019618 LA FITNESS MEMBERSHIP RENEWAL: FIRE STA. 73 193293 01/10/2019 000482 LEIGHTON CONSULTING INC OCT GEOTECH SVCS - PW17-04 NOV GEOTECH SVCS: PW17-04 NOV GEOTECH SVCS & MAT'L TEST 193294 01/10/2019 004905 LIEBERT, CASSIDYAND NOV HR LEGAL SVCS FOR WHITMORE TE060-00001 NOV HR LEGAL SVCS FOR TE060-O( NOV HR LEGAL SVCS FOR TE060-0( 193295 01/10/2019 004813 M AND J PAUL ENTERPRISES INFLATABLES, RENTAL GAMES:TCSD INC, DBA JOLLY JUMPS 193296 01/10/2019 021053 MASON, BYRON MICHAEL REFUND: SEC DEPOSIT CC EVENT 193297 01/10/2019 021036 MCLAIN, MARISSA 193298 01/10/2019 018675 MDG ASSOCIATES INC 193299 01/10/2019 015259 MERCURY DISPOSAL SYSTEMS INC CANCELLED REFUND BALANCE FROM CUSTOMER ACCOUNT NOV LABOR COMPLIANCE MONITORING SVCS NOV CDBG ADMIN SVCS: PLANNING RECYCLING FEES:CLASS II BATTERIES 252.81 4,625.36 54.93 40.00 11.789.93 3,990.00 -29.23 116.91 358.99 974.80 2,009.50 1,746.20 222.00 420.00 3,085.00 5,765.00 150.00 80.00 286.25 6,025.00 269.80 4,878.17 54.93 40.00 11,789.93 3,990.00 87.68 358.99 4,730.50 3,727.00 5,765.00 150.00 80.00 6,311.25 269.80 Page:12 apChkLst 01/10/2019 11:55:07AM Final Check List CITY OF TEMECULA Page: 13 Bank union UNION BANK (Continued) Check # Date Vendor Description Amount Paid Check Total 193301 01/10/2019 003076 MET LIFE INSURANCE DENTAL PAYMENT 12,030 07 12,030.07 COMPANY 193302 01/10/2019 018314 MICHAEL BAKER OCT CONSULT SVCS: PW17-17 22,978.70 22,978.70 INTERNATIONAL 193303 01/10/2019 013827 MIKO MOUNTAINLION INC RR SPORTS PK: GRADING/EROSION 5,000.00 5,000.00 REPAIRS 193304 01/10/2019 004043 MISSION ELECTRIC SUPPLY ELECTRICAL SUPPLIES: VARIOUS 208.01 INC PARKS ELECTRICAL SUPPLIES: VARIOUS P 421.90 ELECTRICAL SUPPLIES CIVIC CTR 160.92 ELECTRICAL SUPPLIES CIVIC CTR 17.78 ELECTRICAL SUPPLIES VARIOUS P 42.86 ELECTRICAL SUPPLIES: VARIOUS P 32.47 883.94 193305 01/10/2019 004586 MOORE FENCE COMPANY INC LIBRARY:INSTALL TRASH ENCLOSURE 2,407.45 2,407.45 DOOR 193306 01/10/2019 004040 MORAMARCO, ANTHONY J, TCSD INSTRUCTOR EARNINGS 1,330.00 1,330.00 DBA BIGFOOT GRAPHICS 193307 01/10/2019 020400 MURRIETA TEMECULA, REFUND: SEC DEPOSIT CC 200.00 200.00 REPUBLICAN ASSEMBLY 193308 01/10/2019 017861 MYTHOS TECHNOLOGY INC IT MONITORING SRVCS: TVE2 600.00 IT MONITORING SVCS: TVE2 450.00 1,050.00 193309 01/10/2019 002925 NAPAAUTO PARTS AUTO PARTS & MISC SUPPLIES: STA 36.96 84 AUTO PARTS & MISC SUPPLIES: STi 210.96 AUTO PARTS & MISC SUPPLIES: STj 73.94 321.86 193310 01/10/2019 018099 NATIONAL SAFETY DOT TESTING: HR 88.87 88.87 COMPLIANCE, INC 193311 01/10/2019 013972 NAT'L PROCUREMENT, MEMBERSHIP DUES: M. VOLLMUTH 90.00 90.00 INSTITUTE INC Page:13 apChkLst Final Check List Page: 14 01/10/2019 11:55:07AM CITY OF TEMECULA Bank: union UNION BANK (Continued) Check # Date Vendor Description Amount Paid Check Total 193312 01/10/2019 001323 NESTLE WATERS NORTH 11/23-12/22 WTR DLVRY SVCS: TVM 32.11 AMERICA, DBA READYREFRESH 11/23-12/22 WTR DLVRY SVCS: HELF 25.44 11123-12/22 WTR DLVRY SVCS: TPL 105.09 11/23-12/22 WTR DLVRY` SVCS: FOC 283.75 11/23-12/22 WTR DLVRY` SVCS: TCC 33.10 11/23-12/22 WTR DLVRY SVCS: TES( 9.78 11/23-12/22 WTR DLVRY SVCS: CITY 39.71 11/23-12/22 WTR DLVRY SVCS: OTT" 41.79 11/23-12/22 WTR DLVRY SVCS: PBSI 48.03 11/23-12/22 WTR DLVRY SVCS: SKAI 8.61 11/23-12/22 WTR DLVRY SVCS: MRC 53.51 11/23-12/22 WTR DLVRY SVCS: CRC 161.14 11/23-12/22 WTR DLVRY SVCS: TVE: 66.37 908.43 193313 01/10/2019 021000 NEWPORT WEST COMPUTERS COMPUTER LIFECYCLE 36,296.14 36,296.14 INC REPLACEMENT: IT 193314 01/10/2019 002105 OLD TOWN TIRE AND SERVICE CITY VEHICLE MAINT SVCS: POLICE 1,923.75 1,923.75 193315 01/10/2019 002105 OLD TOWN TIRE AND SERVICE CITY VEHICLE MAINT SVCS:CODE ENF 778.43 778.43 193316 01/10/2019 002105 OLD TOWN TIRE AND SERVICE CITY VEHICLE MAINT SVCS:BLDG & 440.83 440.83 SAFETY 193317 01/10/2019 013127 ON STAGE MUSICALS, AKA 'RAT PACK: 103 YRS OF SINATRA" 7,923.86 7,923.86 JEFFREY PAUL STOVER 1/6/19 193318 01/10/2019 019711 OWEN GROUP INC, OWEN NOV ADA TRANSITION PLAN UPDATE 1,666.50 1,666.50 DESIGN GROUP SRVCS 193319 01/10/2019 002800 PACIFIC STRIPING INC ON -CALL STRIPING SERVICES: PW 24,433.11 24,433.11 TRAFFIC 193320 01/10/2019 019334 PARK CONSULTING GROUP DEC CONSULTING & ENTERPRISE 6,350.00 6,350.00 INC SVCS:I.T. 193321 01/10/2019 019859 PGI - PACIFIC GRAPHICS INC. PRINTING SRVCS:THEATER 3,212.04 3,212.04 193322 01/10/2019 005820 PRE -PAID LEGAL SERVICES PREPAID LEGAL SERVICES PAYMENT 266.10 266.10 INC, DBA LEGALSHIELD 193323 01/10/2019 000947 RANCHO REPROGRAPHICS REPROGRAPHIC SRVCS:CRC POOL 692.19 692.19 ENHANCEMENT Page:14 apChkLst 01/10/2019 11:55:07AM Final Check List CITY OF TEMECULA Page: 15 Bank: union UNION BANK (Continued) Check # Date Vendor Description Amount Paid Check Total 193324 01/10/2019 013632 RELIANCE CHURCH REFUND: ENG DEPOSIT 29285 14,000.00 14,000.00 SANTIAGO RD 193325 01/10/2019 002412 RICHARDS WATSON AND NOV 2018 LEGAL SERVICES 123,879.86 123,879.86 GERSHON 193326 01/10/2019 000418 RIVERSIDE CO CLERK & CEQA NOE:CFD 19-01 CYPRESS 50.00 50.00 RECORDER RIDGE 193327 01/10/2019 000267 RIVERSIDE CO FIRE FPARC-TM, 233143, 18-19, Q1 1,690,589.32 1,690,589.32 DEPARTMENT 193328 01/10/2019 001592 RIVERSIDE CO INFO APR EMERG RADIO RENTAL: TEM 2,551.37 TECHNOLOGY POLICE NOV EMERG RADIO RENTAL: TEM F 2,551.37 5,102.74 193329 01/10/2019 017446 ROSE AGAIN FOUNDATION REFUND: SEC DEPOSIT CC 12/15/18 200.00 200.00 193330 01/10/2019 004274 SAFE AND SECURE LOCKSMITH SRVCS:FOC 31.85 31.85 LOCKSMITH SRVC 193331 01/10/2019 009980 SANBORN GWYNETH A, CO COUNTRY LIVE! @ THE MERC 1/5/19 558.00 558.00 TEMECULA MUSIC ACADEMY 193332 01/10/2019 021038 SANCHEZ, YANNIN REIMB: FOOD SVC TENANT IMPROV 70.31 70.31 CLASS 193333 01/10/2019 017699 SARNOWSKI SHAWNA M 1ST INSTALLMENT/CONSULTANT 500,00 PRESTON SRVCS:THEATER PHOTOGRAPHY:NYE GRAPE DROP 150.00 650.00 193334 01/10/2019 009213 SHERRY BERRY MUSIC JAZZ @ THE MERC 12/20/18 441.00 JAZZ @ THE MERC 1/3/19 733.00 JAZZ @ THE MERC 12/27/18 594,00 1,768.00 193335 01/10/2019 014783 SOFTRESOURCES, LLC DEC ASSET MGMT CONSULTING 277.50 277.50 SRVCS:I.T. 193336 01/10/2019 021051 SOUTHERN CALIFORNIA REFUND: ENG DEPOSIT ZEVO 35,500.00 35,500.00 INVESTORS INDUSTRIAL 193337 01/10/2019 012652 SOUTHERN CALIFORNIA, JAN GEN USAGE: 0141,0839,2593,9306 593.61 593.61 TELEPHONE COMPANY 193341 01/10/2019 007762 STANDARD INSURANCE BASIC LIFE INSURANCE PAYMENT 8,196.56 8,196.56 COMPANY 193342 01/10/2019 012723 STANDARD INSURANCE VOLUNTARY SUPP LIFE INSURANCE 1,196.32 1,196.32 COMPANY PAYMENT Page:15 apChkLst 01/10/2019 11:55:07AM Final Check List CITY OF TEMECULA Page: 16 Bank : union UNION BANK (Continued) Check # Date Vendor Description Amount Paid Check Total 193343 01/10/2019 008337 STAPLES BUSINESS CREDIT OFFICE SUPPLIES:TCSDADMIN 4.34 OFFICE SUPPLIES:TCSDADMIN 42.09 OFFICE SUPPLIES: LIBRARY 84.15 OFFICE SUPPLIES:TCSDADMIN 86.78 217.36 193344 01/10/2019 017814 STC TRAFFIC, INC OCT STREET LIGHTING PLAN REVIEW 1,647.50 1,647.50 & INSPEC 193345 01/10/2019 001547 TEAMSTERS LOCAL 911 UNION MEMBERSHIP DUES PAYMENT 5,275.00 5,275.00 193346 01/10/2019 019969 TEMECULA MONTESSORI, REFUND: SEC DEPOSIT CRC 12/10/18 200.00 200.00 ACADEMY 193347 01/10/2019 008311 TEMECULA VALLEY ATHLETIC TCSD INSTRUCTOR EARNINGS 623.70 623.70 CLUB, DBA VIPER VOLLEYBALL 193348 01/10/2019 000515 TEMECULA VALLEY CHAMBER 3/1/19-2/29/20 MEMBERSHIP:TCC 300.00 30000 OF, COMMERCE 193349 01/10/2019 005722 TEMECULA VALLEY GARDEN REFUND: SEC DEPOSIT CRC 12/11/18 20000 200.00 CLUB 193350 01/10/2019 019473 TEMECULA VALLEY WOMAN'S REFUND: SEC DEPOSIT CC 200.00 20000 CLUB 193351 01/10/2019 017415 THYSSENKRUPP ELEVATOR JAN-MAR ELEVATOR SRVC:CITY 5,049.00 5,049.00 CORP FACILITIES 193352 01/10/2019 000668 TIMMY D PRODUCTIONS INC DJ/ANNOUNCER:NYE GRAPE DROP 14,500.00 14,500.00 193353 01/10/2019 017565 TRAFFIC MANAGEMENT INC. MESSAGE BOARDS:ELECTRIC LIGHT 2,475.00 2,475.00 PARADE 193354 01/10/2019 021007 T-STAR ENTERPRISES, INC FREIGHT FOR REPLACEMENT POOL 974.00 974.00 COVERS 193355 01/10/2019 007766 UNDERGROUND SERVICE DEC UNDERGROUND UTILITY 184.90 184.90 ALERT, OF SOUTHERN LOCATORALERTS:P CALIFORNIA 193356 01/10/2019 004864 V N W CIRCLE OF CARE INC CDBG 18-19 SUB -RECIPIENT 2,383.05 2,383.05 193357 01/10/2019 008977 VALLEY EVENTS INC FACE PAINTING:NYE GRAPE DROP 850.00 850.00 193358 01/10/2019 008558 VALLEY OF THE MIST REFUND:SEC DEPOSIT CRC 12/11/18 200.00 200.00 QUILTERS Page:16 apChkLst Final Check List Page: 17 01/10/2019 11:55:07AM CITY OF TEMECULA Bank: union UNION BANK (Continued) Check # Date Vendor Description Amount Paid 193359 01/10/2019 001890 VORTEX INDUSTRIES INC VARIOUS DOOR REPAIRS AT CIVIC 2,747.18 CENTER 193360 01/10/2019 020275 WALLACE & ASSOC 11/5-12/2 CONSTR MGMT:PARK & RIDE 18,700.61 CONSULTING INC 06-09 193361 01/10/2019 007987 WALMART SUPPLIES:CRC SPECIAL EVENTS 54.49 193362 01/10/2019 000621 WESTERN RIVERSIDE FY18-19 AB 939 DUES/SOLID WASTE 7,775.11 COUNCIL OF, GOVERNMENTS CO-OP (WRCOG) Check Total 2,747.18 18, 700.61 54.49 7.775.11 193363 01/10/2019 018871 WONDER SCIENCE TCSD INSTRUCTOR EARNINGS 644.00 TCSD INSTRUCTOR EARNINGS 161.00 805,00 Grand total for UNION BANK: 2,998,356.22 Page:17 apChkLst Final Check List Page: 18 01/10/2019 11:66:07AM CITY OF TEMECULA 209 checks in this report. Grand Total All Checks: 2,998,356.22 Page;18 apChkLst Final Check List Page: 1 01/17/2019 10:02:42AM CITY OF TEMECULA Bank: union UNION BANK Check # Date Vendor 5549 01/09/2019 006887 UNION BANK OF CALIFORNIA 020792 CANVA.COM 020792 CANVA.COM 015354 FACEBOOK.COM 002103 CALIF ASSOCIATION PUBLIC INFO, DBA: CAPIO 001264 COSTCO TEMECULA 491 015199 WINTER ADVERTISING AGENCY, AKA: MARY LARUE WINTER 5550 01/09/2019 006887 UNION BANK OF CALIFORNIA 006952 PAYPAL 016853 COLUMBIA BOOKS, INC. 000154 CSMFO 5551 01/09/2019 006887 UNION BANK OF CALIFORNIA 014214 NEWEGG.COM 011163 U-HAUL CO. 013338 APPLE STORE 5552 01/09/2019 006887 UNION BANK OF CALIFORNIA 012915 LUCILLE'S BBQ 006692 SAM'S CLUB 000915 NATIONAL NOTARY ASSOCIATION, PROCESSING CENTER 021039 TEMECULAAIR SHUTTLE 005531 FRONT STREET BAR & GRILL DBA, BAILY WINE COUNTRY CAFE 000501 INTL INSTITUTE OF MUNICIPAL, CLERKS 007047 OLIVE GARDEN Description Amount Paid Check Total GB MARKETING CREATION: ECO DEV 1.00 GB MARKETING CREATION: ECO DEV 1.00 GB FACEBOOK PROMOTING CITY 3.53 GOVERNMENT GB VIDEO WEBINAR: BEMOLL, BRANDI 35.00 GB RFRSHMNTS: INTERVIEW PANEL 84.56 GB DEPOSIT: GRAPHIC DESIGN - EDA 300.00 425.09 BROCHUR JH VERISIGN PAYFLOW PRO 122.90 TRANSACTION JH WEBINAR: POLICIES & 249.00 PROCEDURES: HAWK JH WEBINAR TRAINING: HAWK, T. 75.00 446.90 MH BANK FEES: INFO TECH 2.63 MH MONITORS FOR THE COUNCIL 878.47 CHAMBERS MH RENTAL: TRAILER FOR MEDIA 46.00 EQUIPMENT MH APPLE DEVELOPER 99.00 1,026.10 SUBSCRIPTION RO RFRSHMNTS: CITY CNCL CLOSED 282.74 SESS: RO RFRSHMNTS: CITY CNCL CLOSED 7.98 SESS RO NOTARY SUPPLIES: INK: NOTARY 16.96 STAMP RO SEMINAR; NEW LAWS & 51.20 REGULATIONS: JOHL RO RFRSHMNTS: CITY CNCL CLOSED 203.79 SESS RO REGISTRATION: ANNUAL 600.00 CONFERENCE:JOHL RO RFRSHMNTS: CITY CNCL MTG 220.76 1,383.43 12/11/18 Page:1 apChkLst Final Check List Page: 2 01/17/2019 10:02:42AM CITY OF TEMECULA Bank: union UNION BANK (Continued) Check # Date Vendor Description 5553 01/09/2019 006887 UNION BANK OF CALIFORNIA IG BANK FEES: HUMAN RESOURCES 007987 WALMART IG FITNESS CENTER SUPPLIES 014885 TEMECULA CATERING IG DEPOSIT: MARCH EOQ 008668 WES FLOWERS IG SUNSHINE FUND 008668 WES FLOWERS IG SUNSHINE FUND 5554 01/09/2019 006887 UNION BANK OF CALIFORNIA 000165 FEDERAL EXPRESS INC CD SPECIAL EVENT BANNER: FIRE STA. 95 000645 SMARTAND FINAL INC CD SUPPLIES: SPECIAL EVENTS 004087 LOWES INC CD SUPPLIES: CHRISTMAS PARADE 003964 OFFICE DEPOT BUSINESS SVS CD OFFICE SUPPLIES: SPECIAL DIV EVENTS 004432 ALBERTSONS GROCERY CD OFFICE SUPPLIES: SPECIAL STORE EVENTS 010210 HOME DEPOT SUPPLY INC CD REPLACEMENT DRYER: FIRE STA 95 000645 SMARTAND FINAL INC CD RFRSHMNTS: EXPLORER PARENT MEETING 010210 HOME DEPOT SUPPLY INC CD REPLACEMENT DISHWASHER: FIRE STA. 73 003964 OFFICE DEPOT BUSINESS SVS CD OFFICE SUPPLIES: FIRE DIV Amount Paid Check Total 6.35 66.08 1,196.25 61.43 61.43 1,391.54 130.49 66.97 58.64 23.74 86.66 721.83 135.93 1,128.87 69.87 2,423.00 Paget apChkLst Final Check List Page: 3 01/17/2019 10:02:42AM CITY OF TEMECULA Bank: union UNION BANK Check # Date Vendor 5555 01/09/2019 006887 UNION BANK OF CALIFORNIA 000210 LEAGUE OF CALIF CITIES 000210 LEAGUE OF CALIF CITIES 000210 LEAGUE OF CALIF CITIES 000210 LEAGUE OF CALIF CITIES 019592 URBAN CAFE 021047 KREBTIVE BITES 021047 KREBTIVE BITES 005531 FRONT STREET BAR & GRILL DBA, BAILY WINE COUNTRY CAFE 021045 ILTRAMONTO RISTORANTE 021049 LE COFFEE SHOP TEMECULA 000210 LEAGUE OF CALIF CITIES 000210 LEAGUE OF CALIF CITIES 008956 PANERA BREAD 020792 CANVA.COM 009720 STARBUCKS CORPORATION 001526 MICHAELS STORES INC 014885 TEMECULA CATERING 001264 COSTCO TEMECULA 491 018323 GOAT & VINE, THE (Continued) Description Amount Paid Check Total AA REGISTRATION: WEBINAR: 25.00 EDWARDS 12/11 AA REGISTRATION: WEBINAR: 25.00 NAGGAR 12/11 AA REGISTRATION: WEBINAR: 25.00 STEWART 12/11 AA REGISTRATION: WEBINAR: RAHN 25.00 12/11 AA RFRSHMNTS: CITYATTY MTG 11/13 81.45 AA RFRSHMNTS: PU'ESKA MTN DAY 65.00 EVENT AA RFRSHMNTS: PU'ESKA MTN DAY 65.00 EVENT AA RFRSHMNTS: PU'ESKA MTN DAY 900.00 EVENT AA RFRSHMNTS: PU'ESKA MTN DAY 531.00 EVENT AA RFRSHMNTS: PU'ESKA MTN DAY 508.80 EVENT AA REGISTRATION: CONF: SCHWANK 575.00 1/30/19 AA REGISTRATION: CONF: ADAMS 575.00 1/30/19 AA RFRSHMNTS: CITYATTY MTG 92.65 11 /27/18 AA MEMBERSHIP FEE FOR WEBSITE 119.40 AA RFRSHMNT:REGIONAL CANCER 72.45 TASK FORCE AA FRAMES: PAINTING CEREMONY 407.78 AA RFRSHMNTS: CEREMONY NEW 1,857.00 COUNCIL MEMB AA RFRSHMNTS: TASK FORCE MTG 90.97 12/06 AA RFRSHMNTS: CITYATTY MTG 109.84 12/11/18 6,151.34 Page:3 apChkLst Final Check List Page: 4 01/17/2019 10:02:42AM CITY OF TEMECULA Bank: union UNION BANK Check # Date Vendor 5556 01/09/2019 006887 UNION BANK OF CALIFORNIA 004329 COSTCO TEMECULA 491 021040 GOPRO.COM 020250 GARDENS ALIVE.COM 021042 BROWN PAPERTICKETS. COM 000515 TEMECULA VALLEY CHAMBER OF, COMMERCE 021043 TEMECULA LAVENDER COMPANY 021044 TEMECULA VALLEY MUSEUM 001365 RIVERSIDE, COUNTY OF, ENVIRONMENTAL HEALTH DEPT 007592 CAROL'S RESTAURANT AT 004329 COSTCO TEMECULA 491 006952 PAYPAL 017736 FEAST CALIFORNIA CAFE, LLC DBA CORNER BAKERY CAFE 010897 RUBIO'S RESTAURANTS INC 009734 IN-N-OUT BURGERS 021041 FIVE GUYS CORP 001365 RIVERSIDE, COUNTY OF, ENVIRONMENTAL HEALTH DEPT 020970 MTI ENTERPRISES INC, DBA MUSIC THEATRE INT'L 012085 ISTOCK INT'L INC. 020886 NETFLIX.COM 016383 SAND RTOWING 020249 LAUND3R.COM LLC 007051 RALPHS 020249 LAUND3R.COM LLC (Continued) Description Amount Paid Check Total KH CLASSROOM SUPPLIES: TCSD 141.37 KH THEATER SUPPLIES 532.76 KH SEEDS WINTER GARDEN: 61.86 HORTICULTURE KH STAFF TRAINING: SOLVING 64.08 HOMELESSNESS KH RFRSHMNTS: SISTER CITY 53.98 KH SISTER CITY PROMOTIONAL ITEMS 93.25 KH SISTER CITY PROMOTIONAL ITEMS 44.53 KH HEALTH PERMIT: FOOD VENDOR 652.00 BOOTHS KH RFRSHMNTS: DAISEN GUESTS & 1,854.81 HOST KH CLASSROOM SUPPLIES: TCSD 837.36 KH VERISIGN PAYFLOW PRO 168.40 TRANSACTION KH RFRSHMNTS: SANTA PARADE VIP 309.36 TENT KH RFRSHMNTS: THEATER 81.66 HOSPITALITY KH RFRSHMNT:COMMISSIONER'S 37.08 JUDGING KH RFRSHMNTS: THEATER 99.12 HOSPITALITY KH HEALTH PERMIT: FOOD VENDOR 15.45 BOOTHS KH THEATER: PERFORMANCE RIGHTS 400.00 FOR KH IMAGES FOR PROMOTIONAL 125.07 FLYERS & KH MONTHLY CHARGE FOR SVC: CRC 7.99 TEEN ROOM KH TOW FEES VEHICLE NEEDED TO 265.00 BE REMOVED KH LAUNDRY SVC: TABLE CLOTHS: 102.25 CONF CTR KH RFRSHMNTS: BREAKFAST WITH 439.85 SANTA EVENT KH LAUNDRY SVC: LAUNDER TABLE 81.75 CLOTHS Page:4 apChkLst 01/17/2019 10:02:42AM Final Check List CITY OF TEMECULA Page: 5 Bank: union UNION BANK (Continued) Check # Date Vendor Description Amount Paid Check Total 013812 DFIT SUBS LLC, DBA JERSEY KH RFRSHMNTS: POOL TOURNAMENT: 132.00 MIKES MPSC 021050 ASSOC OF AQUATIC KH CONF REGISTRATION: WILLCOX, 399.00 PROFESSIONALS G. 021050 ASSOC OF AQUATIC KH CONF REGISTRATION: DAVIS, 399.00 7,398.98 PROFESSIONALS MELISSA 5557 01/09/2019 014486 VERIZON WIRELESS 11/16-12/15 9,486.54 9,486.54 CELLULAR/BROADBAND:CITYW IDE 5559 01/02/2019 000537 SO CALIF EDISON DEC 2-29-657-2787 41638 25.70 25.70 WINCHESTER RD 5560 01/02/2019 000537 SO CALIF EDISON DEC 2-31-419-2873 43000 HWY 395 25.70 25.70 5561 01/02/2019 000537 SO CALIF EDISON DEC 2-29-807-1093 28079 DIAZ RD 25.97 25.97 5562 01/02/2019 000537 SO CALIF EDISON DEC 2-29-807-1226 28077 DIAZ RD 25.97 25.97 5563 01/02/2019 000537 SO CALIF EDISON DEC 2-31-031-2616 27991 DIAZ RD 26.39 26.39 5564 01/02/2019 000537 SO CALIF EDISON DEC 2-31-282-0665 27407 DIAZ RD 26.53 26.53 5565 01/02/2019 000537 SO CALIF EDISON DEC 2-34-333-3589 41702 MAIN ST 26.85 26.85 5566 01/02/2019 000537 SO CALIF EDISON DEC 2-14-204-1615 30027 FRONT ST 36.81 36.81 5567 01/02/2019 000537 SO CALIF EDISON DEC 2-31-536-3481 41902 MAIN ST 258.47 258.47 5568 01/02/2019 000537 SO CALIF EDISON DEC 2-19-171-8568 28300 MERCEDES 514.57 514.57 ST 5569 01/02/2019 000537 SO CALIF EDISON DEC 2-18-937-3152 28314 MERCEDES 653.84 653.84 ST 5570 01/02/2019 000537 SO CALIF EDISON DEC 2-02-351-4946 41845 6TH ST 835.68 835.68 5571 01/02/2019 000537 SO CALIF EDISON DEC 2-31-536-3655 41904 MAIN ST 1,204.58 1,204.58 5572 01/02/2019 000537 SO CALIF EDISON DEC 2-29-224-0173 32364 OVERLAND 1,523.06 1,523.06 TRL Page:5 apChkLst Final Check List Page: 6 01/17/2019 10:02:42AM CITY OF TEMECULA Bank: union UNION BANK (Continued) Check # Date Vendor Description 5573 01/02/2019 000537 SO CALIF EDISON DEC 2-31-912-7494 28690 MERCEDES ST 5574 01/02/2019 000537 SO CALIF EDISON DEC 2-29-933-3831 43230 BUS PARK DR 5575 01/03/2019 000262 RANCHO CALIF WATER VARIOUS DEC BILLS 3001605- PAUBA DISTRICT RD 5576 01/03/2019 001986 MUZAK LLC JAN DISH NETWORK: 41952 6TH STREET 5577 01/03/2019 001986 MUZAK LLC JAN DISH NETWORK: 32131 BUTTERFIELD STG 5579 01/15/2019 000621 WESTERN RIVERSIDE DEC'18 TUMF PAYMENT COUNCIL OF, GOVERNMENTS (WRCOG) 5580 01/08/2019 000537 SO CALIF EDISON DEC 2-41-394-3267 46899 REDHAWK PKWY 5581 01/08/2019 000537 SO CALIF EDISON DEC 2-02-502-8077 43210 BUS PARK DR 5582 01/08/2019 000537 SO CALIF EDISON DEC 2-28-629-0507 30600 PAUBA RD 5583 01/07/2019 000537 SO CALIF EDISON DEC 2-39-732-3171 41997 MARGARITA RD 5584 01/07/2019 000537 SO CALIF EDISON DEC 2-29-953-8447 31738 WOLF VALLEY RD 5585 01/07/2019 000537 SO CALIF EDISON DEC 2-29-657-2332 45538 REDWOOD RD 5586 01/07/2019 000537 SO CALIF EDISON DEC 2-29-953-8249 46497 WOLF CREEK DR 5587 01/07/2019 000537 SO CALIF EDISON DEC 2-29-953-8082 31523 WOLF VALLEY RD 5588 01/07/2019 000537 SO CALIF EDISON DEC 2-35-707-0010 33451 S HWY 79 5589 01/07/2019 000537 SO CALIF EDISON DEC 2-41-048-2012 30498 TEMECULA PKWY Amount Paid Check Total 1,764.85 1,764.85 1,987.94 1,987.94 8,600.61 8,600.61 53.42 53.42 169.08 169.08 21,904.98 21,904.98 80.94 80.94 327.34 327.34 4,955.81 4,955.81 24.89 24.89 25.02 25.02 25.16 25.16 27.13 27.13 28.12 28.12 78.48 78.48 104.42 104.42 Pages apChkLst Final Check List Page: 7 01/17/2019 10:02:42AM CITY OF TEMECULA Bank: union UNION BANK (Continued) Check # Date Vendor Description 5590 01/07/2019 000537 SO CALIF EDISON DEC 2-40-330-1567 29716 STATE ROUTE 79 5591 01/07/2019 000537 SO CALIF EDISON DEC 2-30-220-8749 45850 N WOLF CREEK DR 5592 01/07/2019 000537 SO CALIF EDISON DEC 2-29-223-8607 42035 2ND ST 5593 01/07/2019 000537 SO CALIF EDISON DEC 2-25-393-4681 41951 MORAGA RD 5594 01/07/2019 000537 SO CALIF EDISON DEC 2-35-664-9053 29119 MARGARITA RD 5595 01/07/2019 000537 SO CALIF EDISON DEC 2-31-404-6020 28771 OT FRONT ST 5596 01/07/2019 000537 SO CALIF EDISON DEC 2-29-295-3510 32211 WOLF VALLEY RD 5597 01/07/2019 000537 SO CALIF EDISON DEC 2-30-520-4414 32781 TEM PKWY 5598 01/07/2019 000537 SO CALIF EDISON DEC 2-35-403-6337 41375 MCCABE ST 5599 01/07/2019 000537 SO CALIF EDISON DEC 2-00-397-5067 40499 CALLE MEDUSA 5600 01/07/2019 000537 SO CALIF EDISON DEC 2-00-397-5042 43200 BUS PARK DR 5601 01/07/2019 000537 SO CALIF EDISON DEC 2-32-903-8293 41000 MAIN ST 5602 01/03/2019 001212 SO CALIF GAS COMPANY NOV 015-575-0195-2 32211 WOLF VALLEY RD 5603 01/03/2019 002390 EASTERN MUNICIPAL WATER NOV WATER: 39569 SERAPHINA RD DIST 193364 01/17/2019 004802 ADLERHORST INTERNATIONAL DEC POLICE K-9 TRAINING: BORIS LLC 193365 01/17/2019 019075 ADORAMA INC MISC A/V EQUIP:PEG SUPPLIES MISCA/V EQUIP:PEG SUPPLIES Amount Paid Check Total 139.41 139.41 365.66 365.66 465.68 465.68 501.20 501.20 643.17 643.17 735.41 735.41 959.89 959.89 1,048.35 1,048.35 1,091.28 1,091.28 2,347.19 2,347.19 2,916.93 2,916.93 14,850.52 14,850.52 333.64 333.64 121.44 121.44 350.00 350.00 135.20 434.13 569.33 Page:7 apChkLst Final Check List Page: 8 01/17/2019 10:02:42AM CITY OF TEMECULA Bank: union UNION BANK (Continued) Check # Date Vendor Description Amount Paid Check Total 193366 01/17/2019 019307 ADVANCED AUTOMOTIVE VEHICLE SMOG CHECKS & CERTS: 45.00 SMOG FIRE VEHICLE SMOG CHECKS & CERTS: TCSI 45.00 VEHICLE SMOG CHECKS & CERTS: PARI 45.00 VEHICLE SMOG CHECKS & CERTS: PARI 45.00 VEHICLE SMOG CHECKS & CERTS: PARI 45.00 VEHICLE SMOG CHECKS & CERTS: PARI 45.00 VEHICLE SMOG CHECKS & CERTS: CM ( 45.00 VEHICLE SMOG CHECKS & CERTS: PLAI 45.00 VEHICLE SMOG CHECKS & CERTS: COD 45.00 VEHICLE SMOG CHECKS & CERTS: COD 45.00 VEHICLE SMOG CHECKS & CERTS: BLD, 45.00 VEHICLE SMOG CHECKS & CERTS: ST N 45.00 VEHICLE SMOG CHECKS & CERTS: TRAI 45.00 VEHICLE SMOG CHECKS & CERTS: TRAI 45.00 VEHICLE SMOG CHECKS & CERTS: CIP 45.00 VEHICLE SMOG CHECKS & CERTS: PARI 45.00 VEHICLE SMOG CHECKS & CERTS: PARI 45.00 VEHICLE SMOG CHECKS & CERTS: POL 45.00 VEHICLE SMOG CHECKS & CERTS: POL 45.00 VEHICLE SMOG CHECKS & CERTS: FIRE 45.00 VEHICLE SMOG CHECKS & CERTS: FIRE 45.00 VEHICLE SMOG CHECKS & CERTS: TCSI 45.00 VEHICLE SMOG CHECKS & CERTS: PARI 45.00 VEHICLE SMOG CHECKS & CERTS: PARI 45.00 VEHICLE SMOG CHECKS & CERTS: LANI 45.00 VEHICLE SMOG CHECKS & CERTS: LANI 45.00 VEHICLE SMOG CHECKS & CERTS: LANI 308.73 VEHICLE SMOG CHECKS & CERTS: ST N 45.00 1,523.73 193367 01/17/2019 009374 ALLEGRO MUSICAL PIANO TUNING:MPSC 185.00 VENTURES, DBAALLEGRO PIANO SERVIC PIANO TUNING/MAINTENANCE: THEATEI 370.00 PIANO TUNING/MAINTENANCE: THEATEI 320.00 875.00 193368 01/17/2019 010905 ALLIED TRAFFIC & MISC SUPPLIES:VARIOUS SPECIAL 380.00 380.00 EQUIPMENT, RENTALS INC EVENTS 193369 01/17/2019 013015 ALWAYS RELIABLE Margarita Median: replace backflow 932.00 BACKFLOW, AKA NANETTE SEMAN BACKFLOW REPAIRS: CIVIC CTR 220.00 ANNUAL BACKFLOW TESTING: FACILITIE 135.00 BACKFLOW TESTINGS: VAR PARKS & MI 54.00 BACKFLOW TESTINGS: VAR PARKS & MI 220.00 1,561.00 193370 01/17/2019 004240 AMERICAN FORENSIC NURSES PHLEBOTOMY SRVCS:TEMECULA 495.00 AFN POLICE PHLEBOTOMY SRVCS:TEMECULA POLIC 110.00 FEB'19 STAND BY FEE: POLICE 1,300.00 1,905.00 Page:8 apChkLst Final Check List Page: 9 01/17/2019 10:02:42AM CITY OF TEMECULA Bank: union UNION BANK (Continued) Check # Date Vendor Description 193371 01/17/2019 021057 AMERICAN PATRIOT MUSIC FY 18/19 COMMUNITY SERVICE PROJECT FUNDING 193372 01/17/2019 000936 AMERICAN RED CROSS, LIFEGUARD TRAINING HEALTH & SAFETY SERVICES ITEMS:AQUATICS LIFEGUARD TRAINING ITEMS:AQUATICS 193373 01/17/2019 003520 AMERICAN SOCIETY OF Music Iicensing:Old Town music broadcast COMPOSERS, AUTHORS & PUBLISHERS 193374 01/17/2019 011954 BAKER AND TAYLOR INC BOOK COLLECTIONS: LIBRARY BOOK COLLECTIONS: LIBRARY BOOK COLLECTIONS: LIBRARY BOOK COLLECTIONS: LIBRARY 193375 01/17/2019 015592 BAMM PROMOTIONAL SHIRTS:SPORTS PRODUCTS INC 193376 01/17/2019 018101 BARN STAGE COMPANY INC, STTLMNT: "CABARET AT THE MERC: THE RISING ST 193377 01/17/2019 014284 BLAKELYS TRUCK SERVICE, PARKS: VARIOUS EQUIPMENT REPAIR AKA DONALD W BLAKELY PARKS: VARIOUS EQUIPMENT REPAIR PARKS: VARIOUS EQUIPMENT REPAIR 193378 01/17/2019 018185 BLUEBEAM SOFTWARE INC BLUEBEAM STUDIO PRIME:BLDG & SAFETY 193379 01/17/2019 003048 BOYS AND GIRLS CLUB, OF 2018-19 CDBG SUB -RECIPIENT SOUTHWEST COUNTY 193380 01/17/2019 020923 CALIBER COLLISION PW STREET MAINT: VEHICLE REPAIR CORPORATE 193381 01/17/2019 004248 CALIF DEPT OF NOV BLOOD & ALCOHOL JUSTICE-ACCTING ANALYSIS:POLICE 193382 01/17/2019 000152 CALIF PARKS & RECREATION MEMBER RENEWAL: RUSSO SOC, C P R S 4/1/19-3/31/20 193383 01/17/2019 009640 CERTIFION CORP DBA ONLINE DATABASE SUBSCRIPTION: ENTERSECT POLICE 193384 01/17/2019 018315 CHARITY FOR CHARITY FY 18/19 COMMUNITY SERVICE FUNDING 193385 01/17/2019 020025 CIVIL SOURCE INC SEP ENG SVCS: BUTTERFIELD STG, PW15-11 OCT ENG SVCS: BUTTERFIELD STG, PW Amount Paid Check Total 5,000.00 5,000.00 148.00 74.00 222.00 856.00 856.00 70.90 152.49 200.59 34.55 458.53 431.00 431.00 1,729.00 1,729.00 347.24 103.11 114.29 564.64 2,340.00 2,340.00 3,747.87 3,747.87 4,675.48 4,675.48 805.00 805.00 150.00 150.00 155.98 155.98 2,500.00 2,500.00 4,640.00 3,840.00 8,480.00 Page.S apChkLst Final Check List Page: 10 01/17/2019 10:02:42AM CITY OF TEMECULA Bank: union UNION BANK (Continued) Check # Date Vendor Description 193386 01/17/2019 017429 COBRAADVANTAGE INC, DBA DEC FSA & COBRAADMIN: HR THE ADVANTAGE GROUP 193387 01/17/2019 000442 COMPUTER ALERT SYSTEMS JAN-MAR ALARM SYS MONITORING: VARI LOCAT 193388 01/17/2019 017120 CONSTRUCTION EXAM REGISTRATION: BLDG & STANDARDS: CENTER CLEMENTS 193389 01/17/2019 011922 CORELOGIC INC, DBA DEC PROP ID SFTWR: CODE CORELOGIC SOLUTIONS ENFORCEMENT 193390 01/17/2019 001264 COSTCO TEMECULA 491 MISC SUPPLIES: PREV 193391 01/17/2019 004329 COSTCO TEMECULA 491 OFFICE AND BUILDING SUPPLIES:MCR 193392 01/17/2019 014501 COUNTYWIDE MECHANICAL CIVIC CENTER: VARIOUS REPAIRS SYSTEMS 193393 01/17/2019 017542 COX, KRISTI LYN TCSD INSTRUCTOR EARNINGS 193394 01/17/2019 010650 CRAFTSMEN PLUMBING & CIVIC CENTER: INSTALL WATER HVAC INC HEATER CIVIC CENTER: REPLACE FAULTY A/C UI 193395 01/17/2019 011870 CRIME SCENE STERI-CLEAN, BIO-HAZARD CLEAN-UP:TEMECULA LLC POLICE 193396 01/17/2019 001233 DANS FEED AND SEED INC MISC SUPPLIES: PW STREET MAINT 193397 01/17/2019 005766 DATA BUSINESS SYSTEMS INC 2018 W-2 TAX FORMS:FINANCE DEPT 193398 01/17/2019 012600 DAVID EVANS AND SEP DSGN SVCS: LIBRARY PW13-09 ASSOCIATES INC OCT DSGN SVCS: PW17-07 OCT DSGN SVCS: LIBRARY: PW13-09 193399 01/17/2019 002990 DAVID TURCH AND DEC'18 FEDERAL LOBBYING SVCS ASSOCIATES 193400 01/17/2019 003945 DIAMOND ENVIRONMENTAL PORTABLE RESTROOM RENTAL: VAIL SRVCS RANCH PRK PORTABLE RESTROOM RENTAL: LA SEF PORTABLE RESTROOM RENTAL: LONG i PORTABLE RESTROOM RENTAL: RIVER- Amount Paid Check Total 948.50 948.50 5,910.00 5,910.00 995.00 995.00 268.00 268.00 131.05 131.05 65.22 65.22 392.50 392.50 87.50 87.50 3,400.00 2,500.00 5,900.00 750.00 750.00 52.80 52.80 287.92 287.92 9,000.00 2,200.00 6,000.00 17,200.00 3,500.00 3,500.00 55.88 55.88 55.88 55.88 223.52 Page:10 apChkLst 01/17/2019 10:02:42AM Final Check List CITY OF TEMECULA Page: 11 Bank: union UNION BANK (Continued) Check # Date Vendor Description Amount Paid Check Total 193401 01/17/2019 004192 DOWNS ENERGY FUEL FUEL FOR CITY VEHICLES: TCSD 236.22 FUEL FOR CITY VEHICLES: LAND DEV 29.24 FUEL FOR CITY VEHICLES: TRAFFIC DIV 138.02 FUEL FOR CITY VEHICLES: BLDG INSPE 90.05 FUEL FOR CITY VEHICLES: CODE ENFOI 60.86 554.39 193402 01/17/2019 019530 EMPIRE ENGRAVING PDU DIAMOND ACRYLIC AWARDS: 130.50 130.50 POLICE 193403 01/17/2019 015330 FAIR HOUSING COUNCIL, OF NOV CDBG SUB -RECIPIENT: FAIR 1,130.52 RIVERSIDE COUNTY INC HOUSING SVC DEC CDBG SUB -RECIPIENT: FAIR HOUSI 1,163.23 2,293.75 193404 01/17/2019 012633 FAITH AUTO GLASS & TINTING PARKS: TRUCK REPAIR 421.12 421.12 193405 01/17/2019 019469 FALCON ENGINEERING DEC CONST. MGMT SVCS: PW04-08 107,993.30 107,993.30 SERVICES 193406 01/17/2019 021058 FALLBROOK HEALTHCARE FY 18/19 COMMUNITY SERVICE 2,500.00 2,500.00 FOUNDTN FUNDING 193407 01/17/2019 017736 FEAST CALIFORNIA CAFE, LLC, RFRSHMNTS: WORKFORCE 1,112.74 1,112.74 DBA CORNER BAKERY CAFE STRATEGIC PLAN 193408 01/17/2019 009953 FEDERAL CLEANING JAN JANITORIAL SVCS: POLICE MALL 1,088.50 1,088.50 CONTRACTORS, DBA FEDERAL OFC BLDG SERVICES 193409 01/17/2019 000165 FEDERAL EXPRESS INC 12/12-12/20 EXP MAIL SVCS: CIP & 44.25 FIRE 12/10-12/13 EXP MAIL SVCS: VAIR DEPT: 136.63 180.88 193410 01/17/2019 010804 FEHR & PEERS JUN OLD TOWN PARKING 6,342.00 6,342.00 STUDY:PLANNING 193411 01/17/2019 003633 FOOTHILL EASTERN JUL-DEC'18 TOLL ROADS USAGE:VAR 134.30 134.30 TRANSPORTN., CORRIDOR DEPTS AGNCY (TOLL RDS) 193412 01/17/2019 014865 FREIZE UHLER KIMBERLY DBA, HANDOUTS FOR SEASONAL HIRES: 1,457.94 1,457.94 CLEAR BLUE PROMOTIONS HR 193413 01/17/2019 016184 FUN EXPRESS LLC, MISC SUPPLIES:MPSC 130.73 130.73 SUBSIDIARY OF ORIENTAL TR 193414 01/17/2019 001937 GALLS LLC UNIFORMS & ACCESSORIES:TEM 160.18 160.18 POLICE Page:11 apChkLst Final Check List Page: 12 01/17/2019 10:02:42AM CITY OF TEMECULA Bank: union UNION BANK (Continued) Check # Date Vendor Description 193415 01/17/2019 000177 GLENNIES OFFICE PRODUCTS MISC OFC SUPPLIES: LAND DEV INC Office Supplies -Planning Office Supplies -Planning MISC OFC SUPPLIES: FINANCE OFC SUPPLIES: BLDG & SAFETY MISC. OFC SUPPLIES: BC MISC. OFC SUPPLIES: STA92 MISC OFC SUPPLIES: STA 73 MISC. OFC SUPPLIES: STA 95 MISC OFC SUPPLIES: STA 95 CREDIT: MISC OFC SUPPLIES: STA 84 CREDIT: MISC OFC SUPPLIES: STA 84 CREDIT: MISC OFC SUPPLIES: STA 84 193416 01/17/2019 019177 GOSCH FORD TEMECULA replace battery, cap vehicle: tern police 193417 01/17/2019 003792 GRAINGER MISC SUPPLIES: PW STREET MAINT 193418 01/17/2019 000186 HANKS HARDWARE INC 193419 01/17/2019 012748 HARDY AND HARPER INC 193420 01/17/2019 014435 INLAND EROSION CONTROL SRVCS 193421 01/17/2019 021012 ITS PLUS, INC. MAINT SUPPLIES: CIVIC CTR MAINT SUPPLIES: CIVIC CTR MAINT SUPPLIES: CIVIC CTR MAINT SUPPLIES: LAND DEV MISC. SMALL TOOLS & EQUIP: PW TRAF HARDWARE SUPPLIES: STA 84 HARDWARE SUPPLIES: STA 84 HARDWARE SUPPLIES: STA 84 HARDWARE SUPPLIES: STA 84 HARDWARE SUPPLIES - STA 73 HARDWARE SUPPLIES - STA 73 HARDWARE SUPPLIES: STA 12 MAINTENANCE SUPPLIES: VARIOUS PAF HARDWARE SUPPLIES - STA 95 HARDWARE SUPPLIES - STA 73 HARDWARE SUPPLIES - STA 73 HARDWARE SUPPLIES - STA 73 YNEZ: REMOVE/REPLACE DAMAGED ASPHALT EROSION CONTROL SUPPLIES: PW STREETS TRAFFIC SIGNAL EQUIPMENT Amount Paid Check Total 22.27 447.01 18.28 189.41 23.90 129.41 306.28 111.08 193.83 27.00 -24.24 -24.24 11.91 162.36 207.66 40.29 7.79 56.81 39.55 171.67 40.23 7.49 83.78 107.56 19.53 4.23 61.91 45.19 103.00 3.34 25.00 64.11 31,820.00 200.00 11,494.88 1,431.90 162.36 207.66 881.48 31,820.00 200.00 11,494.88 Page:12 apChkLst 01/17/2019 10:02:42AM Final Check List CITY OF TEMECULA Page: 13 Bank: union UNION BANK (Continued) Check # Date Vendor Description Amount Paid Check Total 193422 01/17/2019 012883 JACOB'S HOUSE INC FY 18/19 COMMUNITY SERVICE 2,500.00 2,500.00 FUNDING 193423 01/17/2019 013797 LA JOLLA BOOKING AGENCY STTLMNT: "INFINITE FLOYD" 1/11/19 4,857.03 AKA, GEORGE ANDREW NAGLE STTLMNT: "HOLLYWOOD U2" 1/12/19 5,899.06 10,756.09 193424 01/17/2019 000210 LEAGUE OF CALIF CITIES MEMBERSHIP MTG: JAMES, STEWART 35.00 1/14 MEMBERSHIP MTG: ADAMS, AARON 1/1z 35.00 70.00 193425 01/17/2019 021059 LILLEY,ADRIENNE REFUND: SEC DEPOSIT TCC 1/13/19 149.00 149.00 193426 01/17/2019 013352 LITTLE CAESARS PIZZA REFRESHMENTS: MPSC EVENT 78.12 78.12 193427 01/17/2019 003782 MAIN STREET SIGNS, DBA SIGN REPLACEMENT SUPPLIES:PW 122.36 122.36 ATHACOINC STREETS 193428 01/17/2019 004141 MAINTEX INC CLEANING SUPPLIES: LIBRARY 1,616.51 1,616.51 193429 01/17/2019 014431 MARTLAND, BETTE B ART PURCHASE:JEFF COMERCHERO 500.00 500.00 193430 01/17/2019 014392 MC COLLOUGH JILL DENISE, JAN PLANTSCAPE SVCS: LIBRARY 200.00 DBA TEMECULA PLANTSCAPE JAN PLANTSCAPE SVCS: CIVIC CTR 500.00 700.00 193431 01/17/2019 018314 MICHAEL BAKER NOV ENG SUPPORT SVCS: PW04-08 7,310.00 7,310.00 INTERNATIONAL 193432 01/17/2019 005690 MICHELLE'S PLACE WOMENS FY 18/19 COMMUNITY SRVC FUNDING 5,000.00 5,000.00 BREAST, CANCER RESOURCE CENTER 193433 01/17/2019 013443 MIDWEST TAPE LLC BOOKS/COLLECTIONS: LIBRARY 44.69 BOOKS/COLLECTIONS: LIBRARY 83.94 128.63 193434 01/17/2019 004951 MIKE'S PRECISION WELDING VARIOUS PARKS: ON -CALL WELDING 150.00 INC SVCS WELDING SERVICES: VARIOUS PARKS 1,040.00 OLD TOWN THEATER: REPAIR HANDRAII 700.00 1,890.00 193435 01/17/2019 004043 MISSION ELECTRIC SUPPLY ELECTRICAL SUPPLIES: CIVIC CTR 115.83 INC ELECTRICAL SUPPLIES: VARIOUS PARK 637.28 ELECTRICAL SUPPLIES: CRC 130.50 ELECTRICAL SUPPLIES: LIBRARY 217.50 ELECTRICAL SUPPLIES: OLD TOWN 84.93 1,186.04 Page:13 apChkLst 01/17/2019 10:02:42AM Final Check List CITY OF TEMECULA Page: 14 Bank: union UNION BANK (Continued) Check # Date Vendor Description Amount Paid Check Total 193436 01/17/2019 016445 MKB PRINTING & Printing -Building and Safety 77.59 77.59 PROMOTIONAL INC, DBA MINUTEMAN PRESS 193437 01/17/2019 014878 MOMENI, JOANN REFUND: FROM MARKET TO PLATE 40.00 40.00 1620.202 193438 01/17/2019 019019 MUSIC CONNECTION LLC TIX: "SPEAKEASY AT THE MERC" 264.60 264.60 1/12/19 193439 01/17/2019 020195 NATIONAL CHARITY LEAGUE FY 18/19 COMMUNITY SERVICE 5,000.00 5,000.00 FUNDING 193440 01/17/2019 000845 NATIONAL LEAGUE OF CITIES MEMBERSHIP DUES: JOHL-OLSON, 9,005.29 9,005.29 RANDI 193441 01/17/2019 018402 NEWSMINDED INC NEWSPAPER DELIVER SERVICE:MPSC 118.75 118.75 193442 01/17/2019 000209 NUTRIEN AG SOLUTIONS INC, EQUIP REPAIR & MAINT: STA 73 143.53 143.53 DBA CROP PRODUCTION SRVCS 193443 01/17/2019 002105 OLD TOWN TIRE AND SERVICE CITY VEHICLE MAINT SVCS:STREET 1,049.23 MAINT CITY VEHICLE MAINT SVCS:STREET MAI 368.56 CITY VEHICLE MAINT SVCS:PW TRAFFIC 20.00 1,437.79 193444 01/17/2019 002105 OLD TOWN TIRE AND SERVICE CITY VEHICLE MAINT 21.67 21.67 SVCS: PARKS/FACI LITI ES 193445 01/17/2019 018465 OPERATION SILVER STAR FY 18/19 COMMUNITY SRVC FUNDING 1,000.00 1,000.00 193446 01/17/2019 021056 OPTIONS OPPORTUNITIES, FY 18/19 COMMUNITY SERVICE 1,000.00 1,000.00 THE CHOICE PROGRAM INC FUNDING 193447 01/17/2019 019851 ORTIZ ENTERPRISES INC PRGS PMT#19:ULT INTRCHG, PW04-08 956,910.13 956,910.13 193448 01/17/2019 010338 POOL AND ELECTRICAL VARIOUS SUPPLIES: AQUATICS 76.97 PRODUCTS, INC VARIOUS SUPPLIES: AQUATICS 327.56 404.53 193449 01/17/2019 005075 PRUDENTIAL OVERALL DEC FLR MATS/UNIFORM SRVCS:CITY 1,050.65 SUPPLY FACS DEC FLR MATS/UNIFORM SRVCS:C.C./PI 764.35 1,815.00 193450 01/17/2019 014494 R & R CONTROLS, INC REPAIR HVAC CONTROLS:CIVIC 672.86 CENTER REPAIR HVAC CONTROLS:THEATER 917.70 1,590.56 Page:14 apChkLst Final Check List Page: 15 01/17/2019 10:02:42AM CITY OF TEMECULA Bank: union UNION BANK (Continued) Check # Date Vendor Description 193451 01/17/2019 020429 REMOTE SATELLITE SYSTEMS FEB'19 SATELLITE PHONE SRVS:EOC INT'L 193452 01/17/2019 003591 RENES COMMERCIAL APPLY PRE/POST-EMERGENT:CITY MANAGEMENT R-O-W TRASH/DEBRIS CLEAN-UP:CITY R-O-W 193453 01/17/2019 000418 RIVERSIDE CO CLERK & CEQA NTC EXEMPT:CONCRETE RECORDER REPAIRS 18-07 193454 01/17/2019 000268 RIVERSIDE CO HABITAT, DEC'18 K-RAT PAYMENT CONSERVATION AGENCY 193455 01/17/2019 017446 ROSE AGAIN FOUNDATION FY 18/19 COMMUNITY SRVC FUNDING 193456 01/17/2019 013911 SANTA ROSA PLATEAU FY 18/19 COMMUNITY SRVC FUNDING NATURE, EDUCATION FOUNDATION 193457 01/17/2019 017699 SARNOWSKI SHAWNA M CONSULTANT SRVCS-"SPELLING PRESTON BEE":THTR 193458 01/17/2019 015873 SESAC 2019 MUSIC LICENSING:O.T. MUSIC BROADCAS 193459 01/17/2019 009213 SHERRY BERRY MUSIC JAZZ @ THE MERC 1/10/19 193460 01/17/2019 020990 SILVA, KATHLEENANN "TEMECULA& DAISEN FRIENDSHIP QUILT" 193461 01/17/2019 014818 SKYFIT TECH, INC. QUARTERLY SERVICES/FITNESS CENTER 193462 01/17/2019 000645 SMARTAND FINAL INC SUPPLIES:AOTW 193463 01/17/2019 000282 SO CALIF MUNICIPAL 2019 SCMAF MEMBERSHIP DUES ATHLETIC, FEDERATION INC 193464 01/17/2019 000519 SOUTH COUNTY PEST DEC PEST CONTROL SRVCS:CITY CONTROL INC FACS 193465 01/17/2019 013351 SPECIAL OLYMPICS SO CALIF FY 18/19 COMMUNITY SRVC FUNDING INC 193466 01/17/2019 005786 SPRINT L-SITE GPS 9519656661: 7/15-8/24/15 Amount Paid Check Total 280.00 280.00 17,975.00 3,600.00 21,575.00 50.00 50.00 530.00 530.00 5,000.00 5,000.00 2,500.00 2,500.00 500.00 500.00 2,075.00 2,075.00 406.00 406.00 300.00 300.00 195.00 195.00 72.21 72.21 130.00 130.00 870.00 870.00 2,500.00 2,500.00 60.00 60.00 Page:15 apChkLst Final Check List Page: 16 01/17/2019 10:02:42AM CITY OF TEMECULA Bank: union UNION BANK (Continued) Check # Date Vendor Description 193467 01/17/2019 006145 STENO SOLUTIONS DEC TRANSCRIPTION SRVCS:TEM. TRANSCRIPTION, SRVCS INC POLICE 193468 01/17/2019 012789 STUART, JENNIFER SARAH TCSD INSTRUCTOR EARNINGS 193469 01/17/2019 020446 SURERIDE CHARTER INC, DBA EXCURSION:MPSC TO BALBOA PARK SUN DIEGO CHARTER 2/13/19 193470 01/17/2019 013387 SWEEPING UNLIMITED INC DEC SWEEPING SRVCS:PRKG STRUCTURE 193471 01/17/2019 003677 TEMECULA MOTORSPORTS VEH REPAIR & MAINT:POLICE LLC 193472 01/17/2019 000306 TEMECULA VALLEY PIPE & IRRIG & PLUMBING SUPPLY SUPPLIES:VARIOUS PARKS 193473 01/17/2019 000919 TEMECULA VALLEY UNIFIED REFUND: SEC DEP CC 12/19/18 SCHOOL, DISTRICT 193474 01/17/2019 007824 THESSALONIKA FAMILY FY 18/19 COMMUNITY SRVC FUNDING SERVICES 193475 01/17/2019 016311 TIERCE, NICHOLAS GRAPHIC DSGN SRVCS:THEATER 193476 01/17/2019 021031 TIRADO, CARLOS REIMB:CASPAPPLICATION/EXAM 193477 01/17/2019 017579 U S HEALTHWORKS MEDICAL, MEDICAL SCREENINGS: HR GROUP PC 193478 01/17/2019 019389 US TRANSPORT & LOGISTICS TOWING SERVICES: TEMECULA INC, DBA DJ'S TOWING POLICE 193479 01/17/2019 009101 VISION ONE, INC., DBA: DEC SHOWARE TICKETING ACCESSO SHOWARE SRVCS:THEATER 193480 01/17/2019 016676 WAVES PROJECT INC FY 18/19 COMMUNITY SRVC FUNDING 193481 01/17/2019 001342 WAXIE SANITARY SUPPLY INC CLEANING SUPPLIES:CITY FACILITIES 193482 01/17/2019 003730 WEST COAST ARBORISTS INC 12/16-31 TREE MAINT:VAIL RANCH 12/16-31 TREE MAINT:CAMPOS VERDE PURCH & DELIVERY 15 GAL LIQUIDAMB) 12/16-31 EMERGENCY TREE MAINT 12/16-31 TREE MAINT:CITYWIDE R-O-W Amount Paid Check Total 184.59 184.59 6,814.79 6,814.79 1,090.80 1,090.80 540.00 540.00 162.40 162.40 153.08 153.08 200.00 200.00 5,000.00 5,000.00 2,940.00 2,940.00 900.00 900.00 50.00 50.00 150.00 150.00 4,195.60 4,195.60 5,000.00 5,000.00 3,698.74 3,698.74 368.00 3,680.00 960.00 1,240.80 1,354.45 7,603.25 Page:16 apChkLst Final Check List Page: 17 01/17/2019 10:02:42AM CITY OF TEMECULA Bank: union UNION BANK (Continued) Check # Date Vendor Description 193483 01/17/2019 008402 WESTERN RIVERSIDE CO DEC'18 MSHCP PAYMENT REG, CONSERVATION AUTHORITY Amount Paid Check Total 7,593.84 7,593.84 193484 01/17/2019 004567 WITCHER ELECTRIC, AKA ELECTRICAL REPAIRS:HARVESTON 420.00 TERRENCE KEVIN WITCHE ELECTRICAL REPAIRS:HARVESTON 1,190.00 ELECTRICAL REPAIRS:RRSP 840.00 ELECTRICAL SRVCS:FITNESS CENTER 300.00 INSTALL SPOTLIGHT:CIVIC CENTER 560.00 ELECTRICAL REPAIRS:BUTTERFIELD ST 450.00 3,760.00 193485 01/17/2019 021030 WOODS, BRYNN R. TCSD INSTRUCTOR EARNINGS 1,400.00 1,400.00 Grand total for UNION BANK: 1,448,027.67 Page:17 apChkLst Final Check List Page: 18 01/17/2019 10:02:42AM CITY OF TEMECULA 175 checks in this report. Grand Total All Checks: 1,448,027.67 Page:18 apChkLst 01/24/2019 10:10:20AM Final Check List CITY OF TEMECULA Page: 1 Bank: union UNION BANK Check # Date Vendor Description Amount Paid Check Total 5558 01/18/2019 000246 PERS (EMPLOYEES' PERS - REPLACEMENT BENEFIT 91,795.08 91,795.08 RETIREMENT) CONTRIBUTION 5604 01/11/2019 018858 FRONTIER CALIFORNIA INC JAN INTERNET SVCS-THEATRE 148.98 148.98 5605 01/14/2019 010276 TIME WARNER CABLE JAN INTERNET SVCS- 30600 PAUBA RD 594.83 594.83 5606 01/24/2019 000444 INSTATAX (EDD) 4TH QUARTER UI & ETT PAYMENT 3,139.66 3,139.66 5607 01/17/2019 000262 RANCHO CALIF WATER VARIOUS DEC BILLS 15,994.52 15,994.52 DISTRICT 3000061-MARGARITA RD 5608 01/15/2019 016564 IMPACT TELECOM DEC 800 SERVICES: CIVIC CENTER 57.46 57.46 5609 01/17/2019 018858 FRONTIER CALIFORNIA INC JAN INTERNET SVCS-EOC 137.26 137.26 5610 01/18/2019 018858 FRONTIER CALIFORNIA INC JAN INTERNET SVCS-LIBRARY 8.49 8.49 5611 01/18/2019 018858 FRONTIER CALIFORNIA INC JAN INTERNET SVCS- LIBRARY 8.49 8.49 5612 01/17/2019 010276 TIME WARNER CABLE JAN INTERNET SVCS-41000 MAIN ST 37.83 37.83 5613 01/22/2019 010276 TIME WARNER CABLE JAN INTERNET SVCS- 32380 DEER 586.77 586.77 HOLLOW WAY 5614 01/22/2019 010276 TIME WARNER CABLE JAN INTERNET SVCS-41845 6TH ST 586.77 586.77 5615 01/22/2019 010276 TIME WARNER CABLE JAN INTERNET SVCS-28922 PUJOL ST 586.77 586.77 5616 01/24/2019 010349 CALIF DEPT OF CHILD SUPPORT PAYMENT 899.07 899.07 SUPPORT 5617 01/24/2019 000194 I C M A RETIREMENT -PLAN ICMA-RC RETIREMENT TRUST 457 9,647.33 9,647.33 303355 PAYMENT 5618 01/24/2019 000444 INSTATAX (EDD) STATE TAXES PAYMENT 23,079.29 23,079.29 5619 01/24/2019 000283 INSTATAX (IRS) FEDERAL TAXES PAYMENT 78,760.32 78,760.32 Page:1 apChkLst 01/24/2019 10:10:20AM Final Check List CITY OF TEMECULA Page: 2 Bank: union UNION BANK (Continued) Check # Date Vendor Description Amount Paid Check Total 5620 01/24/2019 000389 NATIONWIDE RETIREMENT OBRA- PROJECT RETIREMENT 3,007.26 3,007.26 SOLUTION PAYMENT 5621 01/24/2019 001065 NATIONWIDE RETIREMENT NATIONWIDE RETIREMENT PAYMENT 10,519.54 10,519.54 SOLUTION 5622 01/24/2019 000246 PERS (EMPLOYEES' PERS EMPLOYEE RETIREMENT 102,276.29 102,276.29 RETIREMENT) PAYMENT 193486 01/24/2019 001517 AETNA BEHAVIORAL HEALTH FEB EMPLOYEE ASSISTANCE PRGM 1,276.00 LLC, DBAAETNA RESOURCES CREDIT:FEB EMPLOYEE ASSISTANCE Pf -8.80 1,267.20 193487 01/24/2019 003552 AFLAC PREMIUM HOLDING, AFLAC ACCIDENT INDEMNITY 3,901.12 3,901.12 C/O BNB BANK LOCKBOX PAYMENT 193488 01/24/2019 009374 ALLEGRO MUSICAL PIANO TUNING/MAINT: THEATER 185.00 185.00 VENTURES, DBAALLEGRO PIANO SERVIC 193489 01/24/2019 000936 AMERICAN RED CROSS, LIFEGUARD TRAINING 74.00 74.00 HEALTH & SAFETY SERVICES ITEMS:AQUATICS 193490 01/24/2019 013950 AQUA CHILL OF SAN DIEGO WATER SERVICES: POLICE 28.28 STOREFRONT DRINKING WATER SRVCS:INFO TECH 28.28 56.56 193491 01/24/2019 011954 BAKER AND TAYLOR INC BOOK COLLECTIONS: LIBRARY 15.81 BOOK COLLECTIONS: LIBRARY 791.06 BOOK COLLECTIONS: LIBRARY 272.29 BOOK COLLECTIONS: LIBRARY 112.36 BOOK COLLECTIONS: LIBRARY 109.26 BOOK COLLECTIONS: LIBRARY 105.93 BOOK COLLECTIONS: LIBRARY 64.54 BOOK COLLECTIONS: LIBRARY 41.37 BOOK COLLECTIONS: LIBRARY 35.22 BOOK COLLECTIONS: LIBRARY 22.10 BOOK COLLECTIONS: LIBRARY 20.73 BOOK COLLECTIONS: LIBRARY 20.56 BOOK COLLECTIONS: LIBRARY 17.80 BOOK COLLECTIONS: LIBRARY 15.99 1,645.02 193492 01/24/2019 021065 BOLLINGER, MACKENZIE REFUNDWEDICAL SCRIBE FEE 268.03 268.03 193493 01/24/2019 003048 BOYS AND GIRLS CLUB, OF FY 18/19 COUNCIL GRANT FUNDING 500.00 500.00 SOUTHWEST COUNTY 193494 01/24/2019 021067 BURON INC REFUND: ENG DEPOSIT HIGHGATE 24,500.00 24,500.00 SENIOR LIV Paget apChkLst Final Check List Page: 3 01/24/2019 10:10:20AM CITY OF TEMECULA Bank: union UNION BANK (Continued) Check # Date Vendor Description 193495 01/24/2019 005321 CALIF ASSOC OF CODE, STR TRNG 2/20/19 M.ROMINE ENFORCEMENT OFFICERS STR TRNG 2/20/19 N.BAGDASARIAN 193496 01/24/2019 000137 CHEVRON AND TEXACO, DEC 18 CITY VEHICLES FUEL: POLICE BUSINESS CARD SERVICES DEPT 193497 01/24/2019 014520 COLD STAR, INC SNOW:WINTER WONDERLAND 2018 193498 01/24/2019 004405 COMMUNITY HEALTH EMPLOYEE CHARITY DONATIONS CHARITIES PAYMENT 193499 01/24/2019 000442 COMPUTER ALERT SYSTEMS ALARM MONITORING SRVCS:PD OLD TOWN STN 193500 01/24/2019 004329 COSTCO TEMECULA 491 MISC SUPPLIES:MPSC 193501 01/24/2019 020436 CRONBERG, RICHARD N TCSD INSTRUCTOR EARNINGS TCSD INSTRUCTOR EARNINGS 193502 01/24/2019 019325 CROWELL, PAULA REIMB:911 CALLBOX PHONE AT TES POOL 193503 01/24/2019 001393 DATA TICKET INC, DBA DEC CITATION PROCESSING REVENUE EXPERTS TEMECULA POLICE 193504 01/24/2019 004192 DOWNS ENERGY FUEL FUEL FOR CITY VEHICLES:PARK MAINT FUEL FOR CITY VEHICLES:STREET MAII` FUEL FOR CITY VEHICLES:TCSD FUEL FOR CITY VEHICLES:TRAFFIC FUEL FOR CITY VEHICLES:B&S FUEL FOR CITY VEHICLES:PW VAR DEP' FUEL FOR CITY VEHICLES:CODE ENF FUEL FOR CITY VEHICLES:LAND DEV/NF FUEL FOR CITY VEHICLES: POLICE FUEL FOR CITY VEHICLES:FIRE PREV 193505 01/24/2019 004068 ECALDRE MANALILI-DE VILLA, TCSD INSTRUCTOR EARNINGS AILEEN 193506 01/24/2019 018098 ELITE CLAIMS MANAGEMENT FEB'19 3RD PARTY CLAIM ADMIN: INC WRKRS COM 193507 01/24/2019 011292 ENVIRONMENTAL SCIENCE DEC PASEO DEL SOL-PA 4 EIR TIERED ASSOC MND OCT-NOV PASEO DEL SOL-PA4 EIR TIEF 193508 01/24/2019 000165 FEDERAL EXPRESS INC SHIPPING SERVICES: VARIOUS DEPTS SHIPPING SERVICES: FIRE Amount Paid Check Total 86.00 86.00 172.00 1.759.13 1.759.13 7,871.98 7,871.98 4.00 4.00 75.00 75.00 314.26 314.26 420.00 196.00 616.00 434.59 434.59 1,089.12 1,089.12 1,019.37 895.25 575.98 300.38 298.07 236.42 128.16 77.66 55.00 35.34 3,621.63 308.00 308.00 1,250.00 1,250.00 855.00 820.00 1,675.00 82.16 15.92 98.08 Page:3 apChkLst 01/24/2019 10:10:20AM Final Check List CITY OF TEMECULA Page: 4 Bank: union UNION BANK (Continued) Check # Date Vendor Description Amount Paid Check Total 193509 01/24/2019 002982 FRANCHISE TAX BOARD KRACH, BREE - CASE# 603016103 11.96 KRACH, BREE - CASE# 603016103 7.06 KRACH, BREE - CASE# 603016103 2.04 21.06 193510 01/24/2019 019710 FU, JIMMY PHOTOGRAPHY SRVCS:ECO DEV 200.00 200.00 193511 01/24/2019 010452 GAYLORD BROS INC MUSEUM ACCESSIONING TOOLS 927.09 927.09 193512 01/24/2019 000177 GLENNIES OFFICE PRODUCTS MISC OFFICE SUPPLIES:CODE 98.93 INC ENFORCEMENT MISC. OFFICE SUPPLIES: STA 84 73.02 MISC. OFFICE SUPPLIES: STA 95 49.08 MISC OFFICE SUPPLIES:CENTRAL SER1v 25.56 246.59 193513 01/24/2019 003792 GRAINGER MISC STAGE SUPPLIES: THEATER 881.89 881.89 193514 01/24/2019 010210 HOME DEPOT SUPPLY INC MAINT SUPPLIES:CIVIC CENTER 254.58 254.58 193515 01/24/2019 006914 INNOVATIVE DOCUMENT REPLACEMENT OF CANON 1,526.85 1,526.85 SOLUTIONS COPIER:PBSP 193516 01/24/2019 006924 INTL MUNICIPAL SIGNAL CERT RENEWAL BAL. D. BELLEVILLE 40.00 40.00 ASSOC, IMSA 10/17-18 193517 01/24/2019 021069 JONES COVEY GROUP INC REFUND: ENG DEPOSIT -COSTCO GAS 15,000.00 15,000.00 STATION 193518 01/24/2019 001091 KEYSER MARSTON DEC AFFORDABLE HOUSING 2,442.50 2,442.50 ASSOCIATES INC ANALYSIS:PLNG 193519 01/24/2019 017118 KRACH BREE B, DBA ENGRAVING OF TWO PERPETUAL 47.85 TEMECULA TROPHY& DES PLAQUES AWARDS:MPSC 28.22 AWARDS:MPSC 8.16 CREDIT -TAX WITHHOLDING CASE 60301 -2.04 CREDIT -TAX WITHHOLDING CASE 60301 -7.06 CREDIT -TAX WITHHOLDING CASE 60301 -11.96 63.17 193520 01/24/2019 021063 MALDONADO, JOSE REFUND: ENG DEPOSIT MALDONADO 3,000.00 3,000.00 RES 193521 01/24/2019 015259 MERCURY DISPOSAL RECYCLING FEES:CLASS II 163.40 163.40 SYSTEMS INC BATTERIES 193522 01/24/2019 013443 MIDWEST TAPE LLC BOOKS/COLLECTIONS: LIBRARY 39.25 39.25 Page:4 apChkLst Final Check List Page: 5 01/24/2019 10:10:20AM CITY OF TEMECULA Bank: union UNION BANK (Continued) Check # Date Vendor Description 193523 01/24/2019 017956 MONOPRICE INC AUDIO VISUAL SUPPLIES:INFO TECH 193524 01/24/2019 008820 NEIGHBORS NEWSPAPER, AKA JAN-FEB ADVERTISING: TEMECULA DIANE SIMONES PRESENTS 193525 01/24/2019 021068 PECHANGA DEVELOPMENT, REFUND: ENG DEPOSIT-PECHANGA CORPORATION PKWY 193526 01/24/2019 013418 PENWORTHY COMPANY, THE BOOKS/COLLECTIONS: LIBRARY 193527 01/24/2019 009623 PUBLIC AGENCY RISK FY 18/19 PARMAAGENCY MANAGERS, (PARMA) MEMBERSHIP 193528 01/24/2019 017446 ROSE AGAIN FOUNDATION FY 18/19 COUNCIL GRANT FUNDING 193529 01/24/2019 017699 SARNOWSKI SHAWNA M PHOTOGRAPHY SRVCS: COUNCIL PRESTON PHOTOS PHOTOGRAPHY:AOTW FIRST FRIDAY JA 193530 01/24/2019 020351 SDI PRESENCE LLC I.T. INVENTORY, ASSESSMENT, & LIFECYCLE 193531 01/24/2019 015364 SEASIDE ICE LLC, DBA ICE FINAL PMT:SEASONAL ICE RINK AMERICA 193532 01/24/2019 009746 SIGNS BY TOMORROW DEC PUBLIC NTCS XX-1613-14:PLNG DEC PUBLIC NTCS XX-1543:PLNG 193533 01/24/2019 013621 SMITH, AMY L LIFEGUARD INSTRUCTOR TRAINING:AQUATICS 193534 01/24/2019 000537 SO CALIF EDISON STREET LIGHTS INSTALL/SRVC:O.T. 193535 01/24/2019 019997 SPURLOCK LANDSCAPE DEC CONSULTING SRVCS:UPTOWN ARCHITECTS TEMECULA 193536 01/24/2019 003000 STATE WATER RESOURCE STORM WATER PERMIT FAC # 9 CONTROL, BOARD 000003023 193537 01/24/2019 001546 STRAIGHT LINE GLASS AND REPLACE FRONT DOOR MIRROR, COMPANY INC MOTOR:LIBRARY 193538 01/24/2019 021064 TEMECULA CHILDREN'S FY 18/19 COUNCIL GRANT FUNDING MUSIC, FOUNDATION 193539 01/24/2019 003067 TEMECULA VALLEY RV EQUIP REPAIR & MAINT: TEMECULA SERVICE INC POLICE Amount Paid Check Total 230.48 230.48 250.00 250.00 6,000.00 6,000.00 1,247.43 1,247.43 150.00 150.00 1,000.00 1,000.00 300.00 150.00 450.00 19,137.87 19,137.87 10,769.00 10,769.00 425.50 425.50 851.00 3,384.00 3,384.00 3,006.43 3,006.43 2,125.00 2,125.00 218.00 218.00 2,691.45 2,691.45 2,500.00 2,500.00 212.55 212.55 Page:5 apChkLst Final Check List Page: 6 01/24/2019 10:10:20AM CITY OF TEMECULA Bank: union UNION BANK (Continued) Check # Date Vendor Description 193540 01/24/2019 020649 THE GIVING INTERNATIONAL, REFUND:SEC DEP:PICNIC FRIENDS TOYS FOUNDATION RENTAL/RRSP 193541 01/24/2019 000339 THOMSON REUTERS, CA PENAL CODE FULL SET:FIRE DBA:BARCLAYS THOMSON WEST 193542 01/24/2019 010046 TV CONVENTION &VISITORS NOV'18 BUS. IMPRV DISTRICT BUREAU, DBA VISIT TEMECULA ASMNTS VALLEY 193544 01/24/2019 002702 U S POSTAL SERVICE OCT'18 POSTAGE METER DEPOSIT SEPT'18 POSTAGE METER DEPOSIT DEC'18 POSTAGE METER DEPOSIT NOV'18 POSTAGE METER DEPOSIT AUG'18 POSTAGE METER DEPOSIT 193545 01/24/2019 021062 US DIRECT LLC HOMELESS PREVENTION & DIVERSION PRGM 193546 01/24/2019 016094 VAVRINEK, TRINE, DAY & CO FY 17/18 CITY FINANCIAL STATEMENT LLP AUDIT 193547 01/24/2019 007987 WALMART SUPPLIES:HIGH HOPES PRGM 193548 01/24/2019 013286 WEST SAFETY SERVICES, INC. JAN ENTERPRISE 911 SVC: IT 193549 01/24/2019 013556 WESTERN AV CHAMBERS VIDEO UPDATES:I.T. Amount Paid Check Total 200.00 200.00 75.04 75.04 132, 210.88 132, 210.88 1,973.41 1,447.22 3,505.06 2,847.55 2,172.99 11,946.23 1,250.00 1,250.00 6,000.00 6,000.00 175.00 175.00 375.00 375.00 3,570.73 3,570.73 ,and total for UNION BANK: 628,390.20 Pages apChkLst Final Check List Page: 7 01/24/2019 10:10:20AM CITY OF TEMECULA 83 checks in this report. Grand Total All Checks: 628,390.20 Page:7 ITEM NO . 5 CITY OF TEMECULA AGENDA REPORT TO: City Manager/City Council FROM: Jennifer Hennessy, Director of Finance DATE: February 12, 2019 SUBJECT: Approve the City Treasurer's Report as of December 31, 2018 PREPARED BY: Rudy J. Graciano, Fiscal Services Manager RECOMMENDATION: That the City Council approve and file the City Treasurer's Report as of December 31, 2018. BACKGROUND: Government Code Sections 53646 and 41004 require reports to the City Council regarding the City's investment portfolio, receipts, and disbursements respectively. Adequate funds will be available to meet budgeted and actual expenditures of the City for the next six months. Current market values are derived from the Local Agency Investment Fund (LAIF) reports, Union Bank of California trust and custody statements, and from US Bank trust statements. Attached is the City Treasurer's Report that provides this information. The City's investment portfolio is in compliance with the statement of investment policy and Government Code Sections 53601 and 53635 as of December 31, 2018. FISCAL IMPACT: None ATTACHMENTS: City Treasurer's Report as of December 31, 2018 City of Temecula AW Portfolio Managment Treasury Report 41000 Main Street Portfolio Management P.O. Box9033 u g Temecula, CA 92590 Portfolio Summary (951)694-6430 December 31, 2018 Par Market Book % of Days to YTM YTM Investments Value Value Value Portfolio Term Maturity 360 Equiv. 365 Equiv. Managed Pool Accounts 43,487,049.58 43,487,049.58 43,487,049.58 35.93 1 1 2.247 2.279 Retention Escrow Account 1,411,781.22 1,411,781.22 1,411,781.22 1.17 1 1 0.162 0.164 Letter of Credit 2.00 2.00 2.00 0.00 1 1 0.000 0.000 Trust Accounts 8,907,424.48 8,907,424.48 8,907,424.48 7.36 1 1 2.150 2.180 Local Agency Investment Funds 32,214,459.60 32,183,892.16 32,214,459.60 26.62 1 1 2.260 2.291 Federal Agency Callable Securities 25,000,000.00 24,765,950.00 25,000,000.00 20.66 1,312 628 1.776 1.800 Federal Agency Bullet Securities 10,000,000.00 9,960,890.00 10,000,000.00 8.26 979 436 1.878 1.904 121,020,716.88 120,716,989.44 121,020,716.88 100.00% 353 167 2.091 2.120 Investments Cash Passbook/Checking 1,359,596.97 1,359,596.97 1,359,596.97 1 1 0.000 0.000 (not included in yield calculations) Total Cash and Investments 122,380,313.85 122,076,586.41 122,380,313.85 353 167 2.091 2.120 Total Earnings December 31 Month Ending Fiscal Year To Date Current Year 202,521.19 548,694.00 Average Daily Balance 123,894,583.01 125,213,797.64 Effective Rate of Return 1.92% 0.87% Reporting period 12/01/2018-12/31/2018 Portfolio TEME Data Updated: SET_MTH: 01/29/2019 12:05 NL! CP Run Date: 01/29/2019 - 12:05 PM (PRF_PM1) 7.3.0 Report Ver. 7.3.6.1 Portfolio Managment Treasury Report Portfolio Management Portfolio Details - Investments December 31, 2018 Page 1 Average Purchase Stated YTM YTM Days to Maturity CUSIP Investment # Issuer Balance Date Par Value Market Value Book Value Rate 360 365 Maturity Date Managed Pool Accounts 233358001-6 01-2 BOND F First Amer Govt Oblig Fund CI 8,320.41 8,320.41 8,320.41 2.270 2.239 2.270 1 233358006-6 01-2 REF RES First Amer Govt Oblig Fund CI 506,428.76 506,428.76 506,428.76 2.270 2.239 2.270 1 233358000-6 01-2 REF ST First Amer Govt Oblig Fund CI 86,035.57 86,035.57 86,035.57 2.270 2.239 2.270 1 276213009-6 03-02 COI First Amer Govt Oblig Fund CI 07/01/2018 0.00 0.00 0.00 0.000 0.000 1 276213008-6 03-02 IMPR First Amer Govt Oblig Fund CI 554,546.64 554,546.64 554,546.64 2.270 2.239 2.270 1 276213006-6 03-02 RES First Amer Govt Oblig Fund CI 747,340.81 747,340.81 747,340.81 2.270 2.239 2.270 1 164741002-6 03-03 BOND F First Amer Govt Oblig Fund CI 0.03 0.03 0.03 1.800 1.775 1.800 1 164741008-6 03-03IMP First Amer Govt Oblig Fund CI 271,510.09 271,510.09 271,510.09 2.270 2.239 2.270 1 164741006-6 03-03RES First Amer Govt Oblig Fund CI 398.60 398.60 398.60 2.270 2.239 2.270 1 164741000-6 03-03SPEC First Amer Govt Oblig Fund CI 208,180.75 208,180.75 208,180.75 2.270 2.239 2.270 1 164742002-6 03-06 BOND F First Amer Govt Oblig Fund CI 0.00 0.00 0.00 1.630 1.608 1.630 1 164742000-6 03-06SPEC First Amer Govt Oblig Fund CI 18,498.22 18,498.22 18,498.22 2.270 2.239 2.270 1 229462007-6 03-1 2012 RF First Amer Govt Oblig Fund CI 42.14 42.14 42.14 2.280 2.249 2.280 1 229462002--6 03-1 BOND FD First Amer Govt Oblig Fund CI 7,303.92 7,303.92 7,303.92 2.270 2.239 2.270 1 229462009-6 03-1 COI First Amer Govt Oblig Fund CI 0.00 0.00 0.00 0.000 0.000 1 229462006-6 03-1 RESERV First Amer Govt Oblig Fund CI 4,291.24 4,291.24 4,291.24 2.270 2.239 2.270 1 229462000-6 03-1 SPECF First Amer Govt Oblig Fund CI 96,145.15 96,145.15 96,145.15 2.270 2.239 2.270 1 94669921-6 03-1ACQ11 First Amer Govt Oblig Fund CI 0.00 0.00 0.00 0.870 0.858 0.870 1 94669911-6 03-1ACQA11 First Amer Govt Oblig Fund CI 07/01/2018 0.00 0.00 0.00 0.000 0.000 1 94669917-6 03-1 RES First Amer Govt Oblig Fund CI 07/01/2018 0.00 0.00 0.00 0.000 0.000 1 94669916-6 03-1 RESB11 First Amer Govt Oblig Fund CI 0.00 0.00 0.00 0.000 0.000 1 94669000-6 03-1 SPTAX11 First Amer Govt Oblig Fund CI 0.00 0.00 0.00 0.000 0.000 1 276213002-6 03-2 REFU First Amer Govt Oblig Fund CI 7,785.52 7,785.52 7,785.52 2.270 2.239 2.270 1 276213000-6 03-2 SPEC First Amer Govt Oblig Fund CI 50,170.15 50,170.15 50,170.15 2.270 2.239 2.270 1 94686001-6 034ADMIN11 First Amer Govt Oblig Fund CI 520.23 520.23 520.23 2.270 2.239 2.270 1 94686005-6 03-4PREP11 First Amer Govt Oblig Fund CI 13.30 13.30 13.30 2.260 2.229 2.260 1 94686000-6 03-41RED11 First Amer Govt Oblig Fund CI 60,263.86 60,263.86 60,263.86 2.270 2.239 2.270 1 94686006-6 03-41RES11 First Amer Govt Oblig Fund CI 34,220.64 34,220.64 34,220.64 2.270 2.239 2.270 1 276213022-6 16-01 BOND F First Amer Govt Oblig Fund CI 39,846.13 39,846.13 39,846.13 2.270 2.239 2.270 1 276213023-6 16-01 CAPINT First Amer Govt Oblig Fund CI 0.00 0.00 0.00 0.870 0.858 0.870 1 276213029-6 16-01 COI First Amer Govt Oblig Fund CI 07/01/2018 0.00 0.00 0.00 0.000 0.000 1 276213028-6 16-01 IMP First Amer Govt Oblig Fund CI 6,549,580.24 6,549,580.24 6,549,580.24 2.270 2.239 2.270 1 276213026-6 16-01 RESERV First Amer Govt Oblig Fund CI 3,173,531.45 3,173,531.45 3,173,531.45 2.270 2.239 2.270 1 276213020-6 16-01 SPECF First Amer Govt Oblig Fund CI 125,322.69 125,322.69 125,322.69 2.270 2.239 2.270 1 218848001-6 2017A&B INT First Amer Govt Oblig Fund CI 07/09/2018 162.09 162.09 162.09 2.280 2.249 2.280 1 218848008-6 2017ABPRIORP First Amer Govt Oblig Fund CI 206,151.60 206,151.60 206,151.60 2.270 2.239 2.270 1 Data Updated: SET_MTH: 01/29/2019 12:05 Run Date: 01/29/2019 - 12:05 Portfolio TEME NL! CP PM (PRF_PM2) 7.3.0 Report Ver. 7.3.6.1 Portfolio Managment Treasury Report Portfolio Management Portfolio Details - Investments December 31, 2018 Page 2 Average Purchase Stated YTM YTM Days to Maturity CUSIP Investment # Issuer Balance Date Par Value Market Value Book Value Rate 360 365 Maturity Date Managed Pool Accounts 218848013-2 2017B COI First Amer Govt Oblig Fund Cl 0.00 0.00 0.00 0.000 0.000 1 218848000-6 2017B DS First Amer Govt Oblig Fund Cl 22.15 22.15 22.15 2.260 2.229 2.260 1 218848009-6 2017B_PROJ First Amer Govt Oblig Fund Cl 12,782,838.01 12,782,838.01 12,782,838.01 2.270 2.239 2.270 1 233358009-6 233358009-6 First Amer Govt Oblig Fund Cl 07/01/2018 0.00 0.00 0.00 0.000 0.000 1 94434160-6 RDA-021NT First Amer Govt Oblig Fund Cl 0.00 0.00 0.00 0.000 0.000 1 94434161-6 RDA-02PRIN First Amer Govt Oblig Fund Cl 0.00 0.00 0.00 0.000 0.000 1 107886000-6 RDA-06AINT First Amer Govt Oblig Fund Cl 0.00 0.00 0.00 0.000 0.000 1 107886001-6 RDA06APRIN First Amer Govt Oblig Fund Cl 0.00 0.00 0.00 0.000 0.000 1 107886010-6 RDA06BINT First Amer Govt Oblig Fund Cl 0.00 0.00 0.00 0.000 0.000 1 107886011-6 RDA06BPRIN First Amer Govt Oblig Fund Cl 0.00 0.00 0.00 0.680 0.671 0.680 1 107886016-6 RDA06BRES First Amer Govt Oblig Fund Cl 0.00 0.00 0.00 0.940 0.927 0.940 1 107886020-6 RDA071NT First Amer Govt Oblig Fund Cl 0.00 0.00 0.00 0.000 0.000 1 107886021-6 RDA07PRIN First Amer Govt Oblig Fund Cl 0.00 0.00 0.00 0.930 0.917 0.930 1 107886028-6 RDA07PROJ First Amer Govt Oblig Fund Cl 0.00 0.00 0.00 0.940 0.927 0.940 1 107886026-6 RDA07RES First Amer Govt Oblig Fund Cl 0.00 0.00 0.00 0.940 0.927 0.940 1 136343008-6 RDA10APROJ First Amer Govt Oblig Fund Cl 0.00 0.00 0.00 0.000 0.000 1 136343018-6 RDA10BPROJ First Amer Govt Oblig Fund Cl 0.00 0.00 0.00 0.000 0.000 1 136343000-6 RDA10INT First Amer Govt Oblig Fund Cl 0.00 0.00 0.00 0.000 0.000 1 136343001-6 RDA10PRIN First Amer Govt Oblig Fund Cl 07/01/2018 0.00 0.00 0.00 0.000 0.000 1 136343006-6 RDA10RSRV First Amer Govt Oblig Fund Cl 07/01/2018 0.03 0.03 0.03 0.000 0.000 1 146161000-6 RDA11AINT First Amer Govt Oblig Fund Cl 0.00 0.00 0.00 0.000 0.000 1 146161001-6 RDA11APRIN First Amer Govt Oblig Fund Cl 0.00 0.00 0.00 0.000 0.000 1 94669902-3 03-1 BOND3 First American Treasury 07/01/2018 0.00 0.00 0.00 0.000 0.000 1 94434160-1 RDA 02 INT1 First American Treasury 0.00 0.00 0.00 0.010 0.010 0.010 1 94434161-2 RDA 02 PRIN2 First American Treasury 0.00 0.00 0.00 0.010 0.010 0.010 1 136343018-2 RDA 10B CIP2 First American Treasury 0.00 0.00 0.00 0.010 0.010 0.010 1 146161008-3 RDA11APROJ Federated Institutional Tax Fr 0.00 0.00 0.00 0.800 0.789 0.800 1 146161006-3 RDA11ARSRV Federated Institutional Tax Fr 07/01/2018 0.00 0.00 0.00 0.000 0.000 1 94669921-5 03-01 ACQ11 Federated Tax Free Obligations 0.00 0.00 0.00 0.250 0.247 0.250 1 94669911-5 03-01 ACQA11 Federated Tax Free Obligations 0.00 0.00 0.00 0.250 0.247 0.250 1 94669917-5 03-01 RES Federated Tax Free Obligations 07/01/2018 0.00 0.00 0.00 0.000 0.000 1 94669906-5 03-01 RESA11 Federated Tax Free Obligations 0.00 0.00 0.00 0.001 0.001 0.001 1 94669916-5 03-01 RESB11 Federated Tax Free Obligations 0.00 0.00 0.00 0.250 0.247 0.250 1 94669000-5 03-01SPTAX11 Federated Tax Free Obligations 0.00 0.00 0.00 0.250 0.247 0.250 1 164742006-5 03-06 RES Federated Tax Free Obligations 07/01/2018 0.00 0.00 0.00 0.000 0.000 1 164742000-5 03-06 SPEC Federated Tax Free Obligations 0.00 0.00 0.00 0.250 0.247 0.250 1 Data Updated: SET_MTH: 01/29/2019 12:05 Run Date: 01/29/2019 - 12:05 Portfolio TEME NL! CP PM (PRF_PM2) 7.3.0 Portfolio Managment Treasury Report Portfolio Management Portfolio Details - Investments December 31, 2018 Page 3 Average Purchase Stated YTM YTM Days to Maturity CUSIP Investment # Issuer Balance Date Par Value Market Value Book Value Rate 360 365 Maturity Date Managed Pool Accounts 94669902-5 03-1 bond fd Federated Tax Free Obligations 07/01/2018 0.00 0.00 0.00 0.000 0.000 1 94686001-5 03-4 ADMIN11 Federated Tax Free Obligations 0.00 0.00 0.00 0.250 0.247 0.250 1 94686005-5 03-4 PREP11 Federated Tax Free Obligations 07/01/2018 0.00 0.00 0.00 0.000 0.000 1 94686006-5 03-4 RES11 Federated Tax Free Obligations 0.00 0.00 0.00 0.250 0.247 0.250 1 94669917-1 03-01-1 RES CA Local Agency Investment Fun 0.00 0.00 0.00 2.291 2.260 2.291 1 276213008-1 03-02 IMP CA Local Agency Investment Fun 15,361,373.26 15,361,373.26 15,361,373.26 2.291 2.260 2.291 1 164742006-1 03-06 RES-1 CA Local Agency Investment Fun 317,874.39 317,874.39 317,874.39 2.291 2.260 2.291 1 229462007-1 03-1 2012 RE CA Local Agency Investment Fun 794,686.01 794,686.01 794,686.01 2.291 2.260 2.291 1 94669911-1 03-1 ACQ A2 CA Local Agency Investment Fun 0.00 0.00 0.00 2.291 2.260 2.291 1 94669921-1 03-1 ACQ B2 CA Local Agency Investment Fun 0.00 0.00 0.00 2.291 2.260 2.291 1 744727011-1 03-3 ACQ 2 CA Local Agency Investment Fun 0.00 0.00 0.00 2.291 2.260 2.291 1 164741006-1 0303-1 RES CA Local Agency Investment Fun 1,473,025.81 1,473,025.81 1,473,025.81 2.291 2.260 2.291 1 107886028-1 RDA 07 PRO-1 CA Local Agency Investment Fun 0.00 0.00 0.00 2.291 2.260 2.291 1 107886026-1 RDA 07 RES-1 CA Local Agency Investment Fun 0.00 0.00 0.00 2.291 2.260 2.291 1 136343018-1 RDA 10B CIP1 CA Local Agency Investment Fun 0.00 0.00 0.00 2.291 2.260 2.291 1 229462020-0 03-01 CASH USBANK 619.69 619.69 619.69 0.000 0.000 1 233358050-1 01-2 SPECESC U.S. Treasury 0.00 0.00 0.00 0.360 0.355 0.360 1 Subtotal and Average 43,706,720.09 43,487,049.58 43,487,049.58 43,487,049.58 2.247 2.279 1 Retention Escrow Account NOBEL COMPANY Nobel Comp Banner Bank 0.00 0.00 0.00 0.370 0.365 0.370 1 ARMY CORPS Army Corps Union Bank 602,753.04 602,753.04 602,753.04 0.300 0.296 0.300 1 218848050-0 2002 ESCROW USBANK 07/01/2018 0.00 0.00 0.00 0.000 0.000 1 218848060-0 2006AESCRO USBANK 07/01/2018 0.00 0.00 0.00 0.000 0.000 1 218848070-0 2006BESCRO USBANK 07/01/2018 0.00 0.00 0.00 0.000 0.000 1 218848080-0 2007ESCROW USBANK 07/01/2018 0.00 0.00 0.00 0.000 0.000 1 229462020-2 03-01 ESCROW U.S. Treasury 809,028.18 809,028.18 809,028.18 0.063 0.062 0.063 1 Subtotal and Average 1,401,810.36 1,411,781.22 1,411,781.22 1,411,781.22 0.162 0.164 1 Letter of Credit 218848006-1 2017B RESER ASSURED GUARANTY MUNICIPAL COR 07/01/2018 233358006-1 01-2 REFRESI ASSURANCE CO BOND INSURANCE 07/01/2018 Subtotal and Average 2.00 Data Updated: SET_MTH: 01/29/2019 12:05 Run Date: 01/29/2019 - 12:05 1.00 1.00 1.00 0.000 0.000 1 1.00 1.00 1.00 0.000 0.000 1 2.00 2.00 2.00 0.000 0.000 1 Portfolio TEME NL! CP PM (PRF_PM2) 7.3.0 Portfolio Managment Treasury Report Portfolio Management Portfolio Details - Investments December 31, 2018 Page 4 Average Purchase Stated YTM YTM Days to Maturity CUSIP Investment # Issuer Balance Date Par Value Market Value Book Value Rate 360 365 Maturity Date Trust Accounts 6746058700 PARS Pension US Bank Trust Subtotal and Average 9,247,176.17 Local Agency Investment Funds SYSCITY CITY CA Local Agency Investment Fun SYSRDA RDA CA Local Agency Investment Fun SYSTCSD TCSD CA Local Agency Investment Fun Subtotal and Average 27,704,782.18 Federal Agency Callable Securities 3130A4G89 01207 3130AAME5 01226 3130AANA2 01227 3130AAW38 01228 3130AB3N4 01231 3130ABYY6 01235 3130ACN83 01238 3130ADFV9 01241 3130AFD38 01248 3134G8QB8 01219 3134G8PP8 01220 3134GBAB8 01229 3134GBGZ9 01232 3134GBNK4 01234 3134GBL42 01237 3134GBR95 01239 3134GSGF6 01242 3134GSMF9 01246 3136G2EC7 01205 3136G2WT0 01216 3136G2XH5 01217 3136G3CL7 01218 3136G3TE5 01221 3136G3X59 01222 3136G4ST1 01247 8,907,424.48 8,907,424.48 8,907,424.48 2.180 2.150 2.180 1 8,907,424.48 8,907,424.48 8,907,424.48 2.150 2.180 1 15,753,393.21 15,738,445.24 15,753,393.21 2.291 2.260 2.291 1 1,808.20 1,806.48 1,808.20 2.291 2.260 2.291 1 16,459,258.19 16,443,640.44 16,459,258.19 2.291 2.260 2.291 1 32,214,459.60 32,183,892.16 32,214,459.60 2.260 2.291 1 Federal Home Loan Bank 03/24/2015 1,000,000.00 992,690.00 1,000,000.00 1.650 1.627 1.650 266 09/24/2019 Federal Home Loan Bank 01/30/2017 1,000,000.00 982,410.00 1,000,000.00 2.020 1.948 1.975 1,120 01/25/2022 Federal Home Loan Bank 01/30/2017 1,000,000.00 987,820.00 1,000,000.00 1.750 1.726 1.750 576 07/30/2020 Federal Home Loan Bank 03/22/2017 1,000,000.00 998,010.00 1,000,000.00 1.500 1.479 1.500 1,176 03/22/2022 Federal Home Loan Bank 04/28/2017 1,000,000.00 990,910.00 1,000,000.00 1.550 1.529 1.550 301 10/29/2019 Federal Home Loan Bank 08/24/2017 1,000,000.00 982,180.00 1,000,000.00 1.750 1.726 1.750 785 02/24/2021 Federal Home Loan Bank 10/30/2017 1,000,000.00 988,500.00 1,000,000.00 1.700 1.677 1.700 500 05/15/2020 Federal Home Loan Bank 01/29/2018 1,000,000.00 994,200.00 1,000,000.00 2.250 2.219 2.250 759 01/29/2021 Federal Home Loan Bank 11/27/2018 1,000,000.00 1,002,980.00 1,000,000.00 3.000 2.959 3.000 696 11/27/2020 Federal Home Loan Mtg Corp 03/29/2016 1,000,000.00 997,380.00 1,000,000.00 1.270 1.253 1.270 87 03/29/2019 Federal Home Loan Mtg Corp 03/30/2016 1,000,000.00 981,550.00 1,000,000.00 1.500 1.661 1.684 638 09/30/2020 Federal Home Loan Mtg Corp 03/27/2017 1,000,000.00 988,920.00 1,000,000.00 1.670 1.647 1.670 451 03/27/2020 Federal Home Loan Mtg Corp 04/27/2017 1,000,000.00 984,980.00 1,000,000.00 2.000 1.964 1.991 1,122 01/27/2022 Federal Home Loan Mtg Corp 05/30/2017 1,000,000.00 987,280.00 1,000,000.00 1.625 1.603 1.625 514 05/29/2020 Federal Home Loan Mtg Corp 09/28/2017 1,000,000.00 984,460.00 1,000,000.00 1.670 1.647 1.670 636 09/28/2020 Federal Home Loan Mtg Corp 10/30/2017 1,000,000.00 991,640.00 1,000,000.00 1.625 1.603 1.625 302 10/30/2019 Federal Home Loan Mtg Corp 03/15/2018 1,000,000.00 999,990.00 1,000,000.00 2.625 2.589 2.625 988 09/15/2021 Federal Home Loan Mtg Corp 05/30/2018 1,000,000.00 1,004,560.00 1,000,000.00 3.000 2.959 3.000 1,606 05/26/2023 Federal National Mtg Assn 02/27/2015 1,000,000.00 998,200.00 1,000,000.00 1.300 1.282 1.300 57 02/27/2019 Federal National Mtg Assn 01/27/2016 1,000,000.00 988,130.00 1,000,000.00 1.450 1.430 1.450 391 01/27/2020 Federal National Mtg Assn 02/24/2016 1,000,000.00 987,300.00 1,000,000.00 1.400 1.381 1.400 419 02/24/2020 Federal National Mtg Assn 03/24/2016 1,000,000.00 979,650.00 1,000,000.00 1.420 1.401 1.420 632 09/24/2020 Federal National Mtg Assn 06/29/2016 1,000,000.00 981,380.00 1,000,000.00 1.250 1.233 1.250 545 06/29/2020 Federal National Mtg Assn 08/23/2016 1,000,000.00 990,010.00 1,000,000.00 1.100 1.085 1.100 234 08/23/2019 Federal National Mtg Assn 06/28/2018 1,000,000.00 1,000,820.00 1,000,000.00 2.800 2.762 2.800 909 06/28/2021 Portfolio TEME Data Updated: SET_MTH: 01/29/2019 12:05 NL! CP Run Date: 01/29/2019 - 12:05 PM (PRF_PM2) 7.3.0 Portfolio Managment Treasury Report Portfolio Management Portfolio Details - Investments December 31, 2018 Page 5 Average Purchase Stated YTM YTM Days to Maturity CUSIP Investment # Issuer Balance Date Par Value Market Value Book Value Rate 360 365 Maturity Date Subtotal and Average 25,000,000.00 25,000,000.00 24,765,950.00 25,000,000.00 1.776 1.800 628 Federal Agency Bullet Securities 3133EEHU7 01202 Federal Farm Credit Bank 3133EGJ30 01225 Federal Farm Credit Bank 3133EJT74 01249 Federal Farm Credit Bank 3130A5MH9 01211 Federal Home Loan Bank 3130A8ZV8 01223 Federal Home Loan Bank 3130ABDX1 01233 Federal Home Loan Bank 3130AC3F9 01236 Federal Home Loan Bank 3130ADEB4 01240 Federal Home Loan Bank 3130ADR79 01243 Federal Home Loan Bank 3130ADSJ2 01244 Federal Home Loan Bank 3130ADXUl 01245 Federal Home Loan Bank Subtotal and Average Total and Average Data Updated: SET_MTH: 01/29/2019 12:05 Run Date: 01/29/2019 - 12:05 10,806,451.61 123,894,583.01 01/14/2015 1,000,000.00 999,720.00 1,000,000.00 1.410 1.391 1.410 13 01/14/2019 11/18/2016 1,000,000.00 986,140.00 1,000,000.00 1.100 1.085 1.100 321 11/18/2019 11/15/2018 1,000,000.00 1,013,130.00 1,000,000.00 3.050 3.008 3.050 1,049 11/15/2021 06/26/2015 0.00 0.00 0.00 1.360 1.341 1.360 26 12/26/2018 08/23/2016 1,000,000.00 989,580.00 1,000,000.00 1.000 0.986 1.000 234 08/23/2019 05/24/2017 1,000,000.00 995,400.00 1,000,000.00 1.400 1.381 1.400 143 05/24/2019 08/10/2017 1,000,000.00 992,020.00 1,000,000.00 1.420 1.853 1.878 239 08/28/2019 01/12/2018 1,000,000.00 991,710.00 1,000,000.00 2.125 2.096 2.125 742 01/12/2021 03/20/2018 1,000,000.00 996,820.00 1,000,000.00 2.300 2.268 2.300 444 03/20/2020 03/08/2018 1,000,000.00 999,080.00 1,000,000.00 2.460 2.426 2.460 797 03/08/2021 04/09/2018 1,000,000.00 997,290.00 1,000,000.00 2.320 2.288 2.320 373 01/09/2020 10,000,000.00 9,960,890.00 10,000,000.00 1.878 1.904 436 121,020,716.88 120,716,989.44 121,020,716.88 2.091 2.120 167 Portfolio TEME NL! CP PM (PRF_PM2) 7.3.0 Portfolio Managment Treasury Report Portfolio Management Portfolio Details - Cash December 31, 2018 Page 6 Average Purchase Stated YTM YTM Days to CUSIP Investment # Issuer Balance Date Par Value Market Value Book Value Rate 360 365 Maturity Passbook/Checking Accounts 1453718479 WORKERS COMP BANK OF AMERICA MERRILL LYNC 07/01/2018 15,031.89 15,031.89 15,031.89 0.000 0.000 1 SYSPetty Cash Petty Cash City of Temecula 07/01/2018 3,711.00 3,711.00 3,711.00 0.000 0.000 1 SYSGen Ck Acct Gen Ck Acct Union Bank of California 1,332,447.08 1,332,447.08 1,332,447.08 0.000 0.000 1 SYSParking Ck PARKING CITA Union Bank of California 07/01/2018 8,407.00 8,407.00 8,407.00 0.000 0.000 1 Average Balance 0.00 Total Cash and Investments 123,894,583.01 0 122,380,313.85 122,076,586.41 122,380,313.85 2.091 2.120 167 Portfolio TEME Data Updated: SET_MTH: 01/29/2019 12:05 NL! CP Run Date: 01/29/2019 - 12:05 PM (PRF_PM2) 7.3.0 Cash and Investments Report CITY OF TEMECULA Through December 2018 Fund # Fund Name Beginning Balance Receipts Disbursements Fund Total 001 GENERAL FUND $ 24,008,874.64 $ 9,537,047.61 $ 5,749,628.88 $ 27,796,293.37 002 MEASURE S FUND 3,985,365.84 2,520,877.73 4,134,310.79 2,371,932.78 100 STATE GAS TAX FUND 590,476.12 286.90 - 590,763.02 102 RMRA-ROAD MAINTENANCE REHABILITATION ACT - 166,422.03 71,559.12 94,862.91 103 STREETS MAINTENANCE FUND 350,159.56 350,340.20 - 700,499.76 120 DEVELOPMENT IMPACT FUND 1,862,450.03 57,530.90 150,449.00 1,769,531.93 125 PEG PUBLIC EDUCATION & GOVERNMENT 266,794.16 206.81 964.57 266,036.40 145 TEMECULA ENERGY EFFICIENCY ASSET TEAM 190,679.17 92.65 - 190,771.82 150 AB 2766 FUND 122,501.29 36,782.67 159,283.96 160 SUPPLEMENTAL LAW ENFORCEMENT SERVICES 99,542.07 8,385.87 107,927.94 161 TEMECULA MAJOR CRIMES REWARD FUND 26,067.38 12.67 - 26,080.05 165 AFFORDABLE HOUSING 712,103.61 446.15 34,625.79 677,923.97 170 MEASURE A FUND 3,726,488.98 665,824.97 1,052,579.17 3,339,734.78 190 TEMECULA COMMUNITY SERVICES DISTRICT 1,305,320.07 1,236,922.81 1,781,759.52 760,483.36 194 TCSD SERVICE LEVEL "D" REFUSE/RECYCLING 259,667.07 123.17 6,176.41 253,613.83 195 TCSD SERVICE LEVEL "R" STREET/ROAD MAINT 27,044.34 11.78 2,800.00 24,256.12 196 TCSD SERVICE LEVEL "L" LAKE PARK MAINT. 341,456.10 158.76 14,708.67 326,906.19 197 TEMECULA LIBRARY FUND 334,091.30 173,382.07 19,918.86 487,554.51 198 PUBLIC ART 29,338.61 248.30 - 29,586.91 210 CAPITAL IMPROVEMENT PROJECT FUND 21,665,023.41 2,899,518.58 3,353,288.16 21,211,253.83 275 CFD 03-3 WOLF CREEK IMPROVEMENT FUND 271,047.33 462.76 271,510.09 277 CFD-RORIPAUGH 16,053,110.20 1,012.28 16,054,122.48 278 CFD-RORIPAUGH II 6,538,417.26 11,162.98 - 6,549,580.24 300 INSURANCE FUND 398,306.80 5,604.70 47,953.80 355,957.70 305 WORKER'S COMPENSATION 1,502,582.69 10,726.85 16,641.77 1,496,667.77 310 VEHICLES AND EQUIPMENT FUND 2,544,694.46 288,861.54 29,999.78 2,803,556.22 320 INFORMATION TECHNOLOGY 1,740.38 7,830.48 300,366.57 (290,795.71) 325 TECHNOLOGY REPLACEMENT FUND 906,814.60 125,360.05 - 1,032,174.65 330 CENTRAL SERVICES 334,927.38 148.62 29,058.26 306,017.74 340 FACILITIES 415,148.52 365.72 79,373.34 336,140.90 350 FACILITY REPLACEMENT FUND 83,624.82 125,031.56 143,664.00 64,992.38 380 SARDA DEBT SERVICE FUND 13,292,081.42 7,885,970.19 7,886,959.45 13,291,092.16 381 REDEVELOPMEN PROPERTY TAX TRUST 3,400,157.13 - 3,931,823.38 (531,666.25) 460 CFD 88-12 DEBT SERVICE FUND 91,421.49 44.42 - 91,465.91 472 CFD 01-2 HARVESTON A&B DEBT SERVICE 627,647.89 1,037.34 378.57 628,306.66 473 CFD 03-1 CROWNE HILL DEBT SERVICE FUND 1,752,023.16 10,337.74 378.50 1,761,982.40 474 AD 03-4 JOHN WARNER ROAD DEBT SERVICE 98,283.01 163.43 378.57 98,067.87 475 CFD 03-3 WOLF CREEK DEBT SERVICE FUND 2,030,890.82 525.20 378.57 2,031,037.45 476 CFD 03-6 HARVESTON 2 DEBT SERVICE FUND 367,586.31 46.53 378.57 367,254.27 477 CFD 03-02 RORIPAUGH DEBT SERVICE FUND 825,848.67 1,383.00 378.57 826,853.10 478 CFD-RORIPAUGH II 3,356,796.19 5,701.57 841.50 3,361,656.26 502 SERVICE LEVEL"C"ZONE 2 WINCHESTER CREEK 71,703.33 49.20 2,318.70 69,433.83 503 SERVICE LEVEL"C"ZONE 3 RANCHO HIGHLANDS 15,402.68 28.35 3,146.74 12,284.29 504 SERVICE LEVEL"C"ZONE 4 THE VINEYARDS 1,580.10 21.65 435.84 1,165.91 505 SERVICE LEVEL"C"ZONE 5 SIGNET SERIES 9,929.38 18.99 2,220.56 7,727.81 506 SERVICE LEVEL"C"ZONE 6 WOODCREST COUNTRY 20,817.84 28.40 1,226.65 19,619.59 508 SERVICE LEVEL"C"ZONE 8 VILLAGE GROVE 45,275.71 17.87 8,490.02 36,803.56 509 SERVICE LEVEL"C"ZONE 9 RANCHO SOLANA 23,617.16 33.47 208.92 23,441.71 510 SERVICE LEVEL"C"ZONE 10 MARTINIQUE 8,281.38 23.37 544.93 7,759.82 511 SERVICE LEVEL"C"ZONE 11 MEADOWVIEW 1,861.98 22.59 242.73 1,641.84 512 SERVICE LEVEL"C"ZONE 12 VINTAGE HILLS 59,471.89 29.25 6,524.55 52,976.59 513 SERVICE LEVEL"C"ZONE 13 PRESLEY DEVELOP 9,562.74 18.48 2,901.26 6,679.96 514 SERVICE LEVEL"C"ZONE 14 MORRISON HOMES 1,798.69 20.67 1,126.40 692.96 515 SERVICE LEVEL"C"ZONE 15 BARCLAY ESTATES 2,995.72 21.80 607.44 2,410.08 516 SERVICE LEVEL"C"ZONE 16 TRADEWINDS 36,804.83 30.99 1,710.41 35,125.41 517 SERVICE LEVEL"C"ZONE 17 MONTE VISTA 631.57 22.62 157.42 496.77 518 SERVICE LEVEL"C"ZONE 18 TEMEKU HILLS 17,849.67 9.52 6,958.66 10,900.53 519 SERVICE LEVEL"C"ZONE 19 CHANTEMAR 78,876.37 45.31 3,012.62 75,909.06 520 SERVICE LEVEL"C"ZONE 20 CROWNE HILL 125,706.97 56.15 10,150.16 115,612.96 521 SERVICE LEVEL"C"ZONE 21 VAIL RANCH 150,467.71 65.48 15,696.16 134,837.03 522 SERVICE LEVEL"C"ZONE 22 SUTTON PLACE 4,868.08 23.75 259.66 4,632.17 523 SERVICE LEVEL"C"ZONE 23 PHEASENT RUN 13,706.45 26.97 443.21 13,290.21 524 SERVICE LEVEL"C"ZONE 24 HARVESTON 27,764.97 9.60 9,592.45 18,182.12 525 SERVICE LEVEL"C"ZONE 25 SERENA HILLS 40,518.08 27.73 2,510.92 38,034.89 526 SERVICE LEVEL"C"ZONE 26 GALLERYTRADITION 201.79 22.28 163.04 61.03 527 SERVICE LEVEL"C"ZONE 27 AVONDALE 4,892.09 22.54 699.20 4,215.43 528 SERVICE LEVEL"C"ZONE 28 WOLF CREEK 364,315.88 169.57 15,331.70 349,153.75 530 SERVICE LEVEL"C"ZONE 30 FUTURE ZONES 34,783.99 16.90 - 34,800.89 701 PENSION RATE STABILIZATION FUND $ 9,258,501.23 - 351,076.75 $ 8,907,424.48 Grand Total: $ 125,228,782.56 $ 26,137,283.09 $ 29,289,479.24 $ 122,076,586.41 Journal Entries completed after November's Treasurer's Report was issued are reflected in the Receipts / Disbursements columns. ITEM NO . 6 CITY OF TEMECULA AGENDA REPORT TO: City Manager/City Council FROM: Jennifer Hennessy, Director of Finance DATE: February 12, 2019 SUBJECT: Approve Financial Statements for the 1st Quarter Ended September 30, 2018 PREPARED BY: Pascale Brown, Fiscal Services Manager RECOMMENDATION: That the City Council receive and file the Financial Statements for the 1st Quarter Ended September 30, 2018. BACKGROUND: The attached Financial Statements reflect the unaudited activity of the City for the 1st Quarter Ended September 30, 2018. Please see the attached Financial Statements footnotes for an analytical review of financial activity for each of the various funds. FISCAL IMPACT: None ATTACHMENTS: 1. Quarterly Financial Report Q1' 18-19 2. Combining Balance Sheet as of September 30, 2018. 3. Statement of Revenues, Expenditures and Changes in Fund Balance -Budget and Actual for the 1st Quarter Ended September 30, 2018 (General Fund, Special Revenue Funds, Capital Improvement Fund, Debt Service Fund). 4. Combining Statement of Net Position as of September 30, 2018. 5. Combining Statement of Revenues, Expenses and Changes in Net Position for the 1st Quarter Ended September 30, 2018 (Internal Service Funds). 6. Statement of Net Position — Fiduciary Fund California Employee Retiree Benefit Trust (CERBT) Fund and Pension Rate Stabilization Fund as of September 30, 2018. 7. Statement of Changes in Fiduciary Net Position — Fiduciary Fund (CERBT) and Pension Rate Stabilization Fund for the 1st Quarter Ended September 30, 2018. 1 "101111 Quarterly Financial Update '2018-19 Prepared by the City of Temecula Finance Department The attached report summarizes the results through the first quarter of Fiscal Year 2018-19 for all City funds and the Temecula Community Service District (TCSD). w� 71 The General Fund is the primary operating fund of the City, providing for public safety, public works, planning and development, building and safety, parks maintenance and general City administration. REVENUE HIGHLIGHTS: General Fund major tax revenues include Sales Tax, Property Tax, Gas Tax and Measure C Special Tax, and contribute 80% of total revenue. Fiscal Year 2018-19 General Fund revenue is projected to be $78.4 million. Total Tax Revenue 80% FY18-19 General Fund Revenue Franchise Fees 4% Departmental Revenue 5Y6 Transfers In (excl. Gas Tax) 0% Reim6. Other 4% 7% General Fund revenue through the first quarter of the fiscal year totals $13.6 million, representing 17% of the annual budget. R __t of South,: , , ....:.. Wine Country February 12, 2019 Sales Tax revenue is expected to reach $37.8M for the fiscal year. Through September, $6.5M has been received. General Fund Revenue FY18-19 Budget FY18-19 Actuals % Received Sales Tax 37,845,104 6,564,096 17% Property Tax 8,288,316 580,316 7% Property Tax in lieu of VLF 8,053,066 - 0% Vehicle License Fees 59,579 - 0% Transient Occupancy Tax 3,541,613 791,220 22% Measure C 1,876,280 16,616 1% Gas Tax (Transfer In) 2,809,983 559,911 20% Total Tax Revenue 62,473,941 8,512,159 14% Franchise Fees 3,336,935 488,319 15% Departmental Revenue 4,208,206 2,251,677 54% Transfers In (excl. Gas Tax) - - Reimbursements 2,881,419 561,303 19% Other 5,458,977 1,851,571 34% Total Revenue 78,359,478 13,665,030 17% Property Tax & Property Tax in Lieu of Vehicle License Fees are paid primarily in January and May of each year. Transient Occupancy Tax (TOT) revenue reflects the 8% tax on hotel/motel stays within the City. TOT revenue is falling short of budget projections due to the impact of short-term rentals and the expansion of the Pechanga Resort and Casino, which has diverted visitors away from hotels located within the City. Measure C revenue is a voter -approved special tax specified for Recreation and Parks Maintenance expenditures. 50% of the tax is recorded in the General Fund and the other 50% is recorded in the TCSD Fund. It is received along with Property Tax 1IPage in January and May of each year. Total Measure C revenue for FY18-19 is projected to be $1.8M. Franchise Fees are received from various utility companies, including Southern CA Gas, Southern CA Electric, CR&R, Frontier and Time Warner Cable Services. Total Franchise Fee revenue is collected primarily in the second half of the fiscal year. GENERAL FUND EXPENDITURE HIGHLIGHTS: Gas Tax revenue supports the maintenance of streets and roads, and is trending slightly below budget projections for FY18-19. Reimbursement revenue include the transfer of funds from the Capital Improvement Program (CIP), to offset the cost of CIP administration. The transfers are trending below budget due to the timing of when capital projects are completed. Total General Fund Operating Expenditures for FY18-19 are projected to be $74.6M. Through the first quarter of the fiscal year, expenditures totaled $15.4M, which represents 21% of the annual budget. FY18-19 General Fund % Spent by Department As of 9/30j2018 Animal Control Fire Police Parks Maintenance CIP Administration Public Works Land Development Building & Safety Planning Human Resources Finance City Attorney City Clerk Emergency Management Economic Development City Manager Community Support City Council The majority of departments spent less than 25% of their annual budget. Expenditures are not linear throughout the fiscal year, so this trend is not unusual for the first quarter. City Attorney expenditures are trending over the 25% mark due to significant legal activity and analysis related to major development projects. Economic Development expenditures are trending over the 25% mark due to heavy activity in the beginning of the year for sponsorship and intern fellowship programs. Human Resources expenditures are trending slightly higher than 25% due to legal services charged to this account that were budgeted in the Workers' Compensation Fund. A Mid - Year adjustment will correct this variance. Jl Building & Safety expenditures are trending slightly above 25%, due to higher than anticipated overtime expenditures in the Code Enforcement division, due to supporting police department activity on the weekends and evenings. Community Support expenditures will include grants to local non-profit service providers and Council discretionary grants, which will be expended later in the fiscal year. Emergency Management expenditures are trending slightly higher than 25% due to increased activity in the first portion of the fiscal year. 2 1 P a g e Measure S Fund In November 2016, Temecula voters approved a 1% Transactions Use Tax (Sales Tax) to maintain emergency response times, prevent cuts to local public safety services, improve traffic conditions and fund other general services. The Tax became effective April 1, 2017. In accordance with the Measure S Appropriation Guidelines adopted by Council in February 2017, this new funding source is programmed to fund Public Safety, Asset Management, Capital Improvements and General Services, which primarily supports the Temecula Community Services District. Measure S revenue for FY18-19 is projected to be $27.8M, and is appropriated as reflected in the adjacent chart. Through the first quarter, a total of $3.9M, or 16%, of the annual revenue was received. TCSD Revenue Measure S Appropriations FY2018-19 General Public servi[es, Safety, fi,758,619, 265E 5,296,813, 219E Asset M 104 Manaagege ment, 11650,OW, 6% Capital imprmvements, 1;,235,686, 47% 2018-19 TCSD Revenue is Special Tax (Measure C) 1,876,280 16,616 1 , projected to be $10.4M. Recreation Funding (Measure S) 6,033,431 2,395,687 40% Through September, a total Recreation Program 2,499,346 834,790 33% of $3.2M, or 31% of the Investment Interest 7,000 5,049 72% annual budget has been TOTAL REVENUES 10,416,057 3,252,142 319/c received. Measure C revenue is received in January and May each year, therefore Measure S funds are transferred to TCSD to cover the temporary shortfall in cash due to the timing of the receipt of Measure C revenue. TCSD Expenditures Through September, TCSD Expenditures totaled $2.9M, which represents 26% of the annual Operating Budget of $11.2M. Due to summer programming creating higher activity levels at the Community Recreation Center, Aquatics and Theater, the year-to-date expenditure trends exceed the 25% mark. FY2018-19 TCSD % Spent by Division As of 9130/18 75% sm 25% 11111FVol-lillilift 0% of �� pL5 c`� ,�a iye� �� e e<o ,a �d�'��o�`� Qe� gem a o, 1 o`� � Ide ae 3{Rage uk-i-nmiiiiiii= f N i l am Below is a summary of all City and TCSD Funds providing the Beginning Fund Balance as of July 1, 2018, the actual Revenue and Expenditure activity through the first quarter, and the Ending Fund Balance as of September 30, 2018. The Affordable Housing Fund and the Internal Service Funds' balance include non - spendable assets, such as loans receivable and fixed assets. Beginning Revenue & Expenditures & Ending Funds Balance Transfers In Transfers Out Balance General Fund $30,727,978 $13,665,030 $18,887,777 $25,505,231 Measure S 6,680,793 3,987,211 10,668,004 0 Special Revenue Funds Gas Tax 0 559,911 559,911 0 Road Maint. Rehabilation Act 512,997 494,593 633,191 374,399 Development Impact Fees 3,995,162 403,996 2,723,346 1,675,812 Public, Education & Gov't (PEG) 357,357 1,582 50,742 308,197 Street Maintenance 0 350,262 0 350,262 Community Devel. Block Grant 0 60,834 60,834 0 TEAM 190,274 857 0 191,131 AB2766 (Vehicle Subvention) 132,593 491 10,000 123,084 SLESF (Cops Grant) 0 91,253 91,253 0 Major Crimes Fund 26,012 117 0 26,129 Affordable Housing 10,819,638 5,546 77,443 10,747,741 Measure A 4,243,589 550,049 1,057,839 3,735,799 Capital Improvement Program 20,236,007 19,929,931 10,055,429 30,110,509 2011 Financing Lease 0 532,378 532,378 0 40,513,629 22,981,800 15,852,366 47,643,063 Internal Service Funds Insurance 51,958 321,769 244,836 128,893 Workers' Comp 1,386,621 208,638 51,373 1,543,886 Vehicles & Equipment 2,587,693 321,857 75,475 2,834,075 Information Technology 472,739 872,324 822,441 522,622 Technology Replacement 1,249,447 200,039 116,836 1,332,650 Support Services 444,102 93,372 86,113 451,361 Facilities 521,052 350,008 350,008 521,052 Facility Replacement 0 135,164 0 135,164 6,713,612 2,503,172 1,747,081 7,469,701 TCSD Funds TCSD Operations 927,584 3,252,142 2,975,390 1,204,336 Service Level B (Street Lights) 261,188 20,636 226,320 55,504 Service Level C (Slope Maint.) 1,655,790 7,071 385,736 1,277,125 Service Level D (Refuse/Recycl) 294,489 50,376 19,314 325,551 Service Level R (Road Maint.) 26,791 322 0 27,113 Service Level L (Harveston Lake) 402,667 3,278 57,646 348,299 Library 343,072 197,977 178,636 362,413 Public Art 25,968 5,905 0 31,873 3,937,549 3,537,707 3,843,042 3,632,214 Total of All Funds $88,573,561 $46,674,920 $50,998,270 $84,250,209 4yPage 3 i&--n Throughout the fiscal year, Finance monitors a number of economic indicators which help guide the development of the City's revenue forecasts. Below is a summary of the most recently available data for each indicator. Unemployment rates serve as an indicator of the region's relative economic condition. Unemployment rates across the board have steadily decreased over the past few years, due to an improving economy and higher job growth. As of December 2018, the National Unemployment Rate was 3.7%, California's rate was 4.1%, Riverside County's rate was 4.1%, and Temecula's rate was 3.3%. 7.0 6.5 6A 5.5 5.0 d 4.5 a 4.0 3.5 3.0 Unemployment Rates 0 WRIM �rms-wa Nov�A Jan Mar May Jul Sep r Nov Jan Mar May Jul Sep Nov —National —California —Riverside County Temecula Consumer Confidence Index 160.0 138.4 140.0 )142 120,107.9 100. 94.19 80. 60. 20,0 40.0 n19 Sep'18 Q4'18 Q4'1 ❑.0 National State The Consumer Price Index measures the year - over -year change in the prices of goods and services purchased for consumption by urban households. This economic indicator is the most widely used measure of inflation. Beginning in 2018, Riverside County is grouped with Ontario and San Bernardino, and no longer grouped with LA and Anaheim. The new CPI group is reported every -other month, and as of December the CPI is 3.6%, vs the US Avg of 1.9%. �aI The Consumer Confidence Index measures consumers' outlook on the economy. An index over 100 indicates a higher percentage of optimistic consumers vs. those who are pessimistic. Nationally, the Consumer Confidence index has declined recently due to concerns about the volatility of the financial markets and the government shutdown. California consumer sentiment index has fallen for the past three quarters, resulting from concerns over rising interest rates and declining stock prices. 5.00% 4.00% 3.00% 2.00% 1.00% 0.00% Consumer Price Index CPI-U All Urban Consumers LL i¢ g¢ n o t A ----------------------- d m ¢ o $ o a2 2018 .............................. _U S city Ave rage LA -Anaheim -Riverside (2017) & LA -Long Beaih-An aheim(2018j — Riverside -Ontario -San Be rnardino(2018) 5 J P a g e Fiscal Year 2018-19 Facts at a Glance City Population 773,7&7 Altitude 7,000-7,200 feet Area in Square Miles 37 Parks/Park Acreage 401376 Acres Maintained Streets 375 Education Schools 32 Teachers 7,374 Students (K-72) 2&, 679 Number of Libraries 2 Notels & Motels/Rooms 7712472 Public Safety Number of Fire Stations 5 Fire Department Personnel 75 Number of Police Stations 3 Police Sworn OFFicers 772 Police Non -Sworn Personnel 37 Type of Government General Law Form of Government City Manager Date of Incorporation 72/07/79&9 Authorized Positions 772 General Fund Operating Budges .$76,055,739 Expenditures Per Capita .$672 Safety as % of Genera/ Fund 59% Genera/ Fund Reserves (25%) .$79, 073, 935 Capital Improvement Program .$3&&, 709,097 Median Age 35.7 Average Nousehold Income .$709, 659 Number of Registered Voters 52,&24 Median Nome Price (Apr'207&) .$460, 000 Unemployment Rate (Apr'2076') 3.70% Number of Jobs 55,700 For more information regarding the City of Temecula: www•temeculaca•gov 957-694-6444 or 7-666-7-emecula 6jPage CITY OF TEMECULA COMBINING BALANCE SHEET As of September 30, 2018 Assembly Supplemental Temecula Road Public Community Temecula Bill2766 Financing Streets Law Major Affordable General Measure S State Gas Maintenance Development Education & Development Energy Motor Measure A Capital Project Lease Civic Financing Maintenance Enforcement Crimes Housing TOTAL Fund Fund Tax Fund Rehabilitatio Impact Fund Government Block Grant Efficiency Vehicle Fund Fund Center and Lease MRC Fund Services Reward Fund n Act Fund Fund Asset Team Subvention CRC Fund Fund Fund ASSETS: Cash and Investments $ 25,511,054 $ - $ - $ 197,477 $ 350,000 $ 1,672,025 $ 309,480 $ 190,316 $ 132,283 $ - $ 26,018 $ 756,573 $ 3,469,747 $ 25,428,535 $ - $ - $ 58,043,508 Receivables 6,021,196 2,912,264 387,331 176,922 262 21,446 2,560 60,834 815 801 91,278 111 27,426,416 324,703 7,043,310 - - 44,470,249 Due from Other Funds 502,872 - - - - - - - - - - - - 2,912,264 - - 3,415,136 Advances to SARDA - - - - - - - - - - - - 5,250,954 - - - - 5,250,954 Deposits 1,325 - - - - - - - - - - - - - - - - 1,325 Prepaid- CalPERS 1,709,656 - - - - - - - - - - - - - - - - 1,709,656 Inventory 3,058 - - - - - - - - - - - - - - - - 3,058 Land Held for Resale - - - - - - - - - - - - 4,400,388 - - - - 4,400,388 TOTAL ASSETS $ 33,749,161 $ 2,912,264 $ 387,331 $ 374,399 $ 350,262 $ 1,693,471 $ 312,040 $ 60,834 $ 191,131 $ 133,084 $ 91,278 $ 26,129 $ 37,834,331 $ 3,794,450 $ 35,384,109 $ - $ - $ 117,294,274 LIABILITIES: Due to Other Funds $ - $ 2,912,264 $ 387,331 $ - $ - $ - $ - $ 24,264 $ - $ - $ 91,278 $ - $ - $ - $ - $ - $ - $ 3,415,137 Other Current Liabilities 7,677,044 - - - 17,659 3,844 36,570 - 10,000 - - 14,988 58,652 5,273,600 - - 13,092,357 Unearned Revenue - - - - - - - - - - - - 733,721 - - - - 733,721 TOTAL LIABILITIES 7,677,044 2,912,264 387,331 - - 17,659 3,844 60,834 - 10,000 91,278 - 748,709 58,652 5,273,600 - - 17,241,215 DEFERRED INFLOWS OF RESOURCES: Unavailable Revenues 566,886 - - - - - - - - - - - 26,337,881 - - - - 26,904,767 TOTAL DEFERRED INFLOWS OF RESOURCES 566,886 - - - - - - - - - - - 26,337,881 - - - - 26,904,767 FUND BALANCES: Nonspendable: Advances to SARDA - - - - - - - - - - - - - - - - - - Deposits 1,325 - - - - - - - - - - - - - - - - 1,325 Inventory 3,058 - - - - - - - - - - - - - - - - 3,058 Land Held for Resale - - - - - - - - - - - - 4,400,388 - - - - 4,400,388 Notes and Loans - - - - - - - - - - - - - - - - - - Prepaid Costs 1,709,656 - - - - - - - - - - - - - - - - 1,709,656 Restricted For: - Community Development Projects - - - - - - - - - - - - 6,347,353 - - - - 6,347,353 Capital Projects - - - 374,399 - 1,675,812 - - - 123,084 - - - 3,735,798 - - - 5,909,093 Public Education - - - - - - 308,196 - - - - - - - - - - 308,196 Debt Service - - - - - - - - - - - - - - - - - - Business Incubator Project - - - - - - - - - - - - - - - - - Parks and Recreation - - - - - - - - - - - - - - - - - - Public Works - - - - 350,262 - - - 191,131 - - - - - - - - 541,393 Reward - - - - - - - - - - - 26,129 - - - - - 567,522 Committed To: - Contractual Obligation - Encumbrances 3,156,844 - - - - - - - - - - - - - - - - 3,156,844 Economic Uncertainty (20%) 15,211,148 - - - - - - - - - - - - - - - - 15,211,148 Secondary Reserve (5%) 3,802,787 - - - - - - - - - - - - - - - - 3,802,787 PARS Pension Trust(30%) 1,404,491 1,404,491 Assigned To: - Capital Projects - - - - - - - - - - - - - - 30,110,509 - - 30,110,509 Pechanga-funded Police support 362,694 - - - - - - - - - - - - - - - - 362,694 Unrealized Gains 250,000 - - - - - - - - - - - - - - - - 250,000 Unassigned 1 (963,658) - - - - - - - - - - - - - - - - (963, 658) TOTAL FUND BALANCES 25,505,231 - - 374,399 350,262 1,675,812 308,196 - 191,131 123,084 - 26,129 10,747,741 3,735,798 30,110,509 - - 73,689,685 TOTAL LIABILITIES, DEFERRED INFLOWS OF RESOURCES, and FUND BALANCES $ 33,749,161 $ 2,912,264 $ 387,331 $ 374,399 $ 350,262 $ 1,693,471 $ 312,040 $ 60,834 $ 191,131 $ 133,084 $ 91,278 $ 26,129 $ 37,834,331 $ 3,794,450 $ 35,384,109 $ - $ - $ 117,294,274 NOTE: Balances are unaudited CITY OF TEMECULA STATEMENT OF REVENUES, EXPENDITURES, and CHANGES IN FUND BALANCE - BUDGET AND ACTUAL GENERAL FUND for the 1 st Quarter Ended September 30, 2018 Annual Amended Budget REVENUES: Sales Tax $ 37,845,104 Sales Tax Sharing Agreement (1,301,469) Franchise Fees 3,336,935 Motor Vehicle In Lieu 59,579 Property Tax- Secured/Unsecured 7,444,896 Property Tax in Lieu of VLF 8,053,066 Property Tax Relief (Homeowner) 83,230 Property Transfer Tax 660,190 Residual RPTTF Distribution 100,000 Transient Occupancy Tax 3,541,613 Vehicle Code Fines 562,079 Development Services: Building & Safety 1,388,734 Fire 913,201 Land Development 801,859 Planning 634,699 Park Maintenance 1,932,257 Public Works - NPDES - Police 413,736 Bids and Proposals 6,300 Business Licenses 290,000 Investment Interest 230,000 Lease Income 7,500 Miscellaneous 23,150 Rental Income 107,844 Right of Way Advertising 21,960 AB1379 Collection State Fee/SB1186 State Fee 28,800 Operating Transfers In Measure S 5,296,813 SLESF 186,000 State Gas Tax 2,809,983 Reimbursements: CIP 2,474,844 Mandated Cost 29,000 Pechanga IGA 342,164 Other 35,411 TOTAL REVENUES $ 78,359,478 Total Activity $ 6,564,096 203,447 488,319 391,162 189,154 791,220 109,700 433,276 203,702 1,371,948 91,657 30,728 700 136,282 2,650 19,100 49,038 1,875 16,985 23,047 3,900 6,373 1,324,203 91,253 559,911 48,423 $ 13,665,030 Notes: (1) The sales tax sharing agreement with Medline is paid within thirty days after each quarter. (2) Motor Vehicle Lieu revenues are scheduled to be received in December of this fiscal year. (3) Property taxes revenues are scheduled to be received in January and May of this fiscal year accrued reversal from the prior fiscal year. (4) Special assessment taxes for Park Maintenance is scheduled to be received in January. (5) Business License renewals will primarily start in January 2019 of this fiscal year. Percentage of Budget 17% -16% 15% 0% 5% 0% 0% 29% 0% 22% 20% 31% 22% 171% 14% 2% 0% 33% 42% 7% 21% 25% 73% 21% 18% 22% 25% 49% 20% 20% 97% 0% 137% 17% The activity reflects an (1) (2) (3) (3) (3) (3) (3) (4) (5) CITY OF TEMECULA STATEMENT OF REVENUES, EXPENDITURES, and CHANGES IN FUND BALANCE - BUDGET AND ACTUAL EXPENDITURES: City Council Community Support City Manager Economic Development Emergency Management City Clerk City Attorney Finance Human Resources Planning Building & Safety Land Development Public Works CIP Administration Parks Maintenance Police Fire Animal Control Non Departmental Property Tax Admin Staffing Continuity Reserve Retiree Medical Contribution PERS Replacement Benefit GENERAL FUND for the 1st Quarter Ended September 30, 2018 Annual Amended Budget Year -to -Date Encumbrances Activity Year -to -Date Activity and Encumbrances $ 519,909 $ 127,219 $ 256 $ 127,475 125,000 750 86,500 87,250 1,444,302 335,897 86,156 422,053 1,500,799 465,251 21,173 486,424 254,186 68,469 2,683 71,152 1,390,869 288,923 74,470 363,393 780,300 240,299 - 240,299 2,582,166 606,447 112,907 719,354 1,102,016 296,610 55,548 352,158 2,504,675 511,112 49,646 560,758 3,070,139 817,969 31,320 849,289 1,761,657 377,035 63,353 440,388 6,111,407 1,239,430 389,360 1,628,790 2,506,192 504,994 35,049 540,043 3,939,778 985,018 1,448,881 2,433,899 34,720,353 6,464,457 207,277 6,671,734 9,882,554 2,037,378 135,460 2,172,838 425,572 68,767 356,805 425,572 83,852 - - - 100,000 - - - 1,627,325 189,338 - 189,338 97,483 - - - TOTAL EXPENDITURES (excluding transfers) 76,530,534 15,625,363 3,156,844 18,782,207 Revenues Over/(Under) Expenditures Other Financing Sources/(Uses): Operating Transfer Out 2011 Financing Lease 2018 Financing Lease MRC CIP Transfers Out Revenues Over/(Under) Expenditures and Other Financing Sources/(Uses) Beginning Fund Balance as of 7/01 /2018 Ending Fund Balance as of 9/30/2018 1,828,944 (1,960,333) (2,132,450) (532,378) (367,233) - (2,730,036) (2,730,036) (5,229,719) (3,262,414) (3,400,775) 30,727,978 (5,222,747) 30,727,978 $ 27,327,203 $ 25,505,231 Percentage of Budget 25% 70% 29% 32% 28% 26% 31% 28% 32% 22% 28% 25% 27% 22% 62% 19% 22% 100% 0% 0% 12% 0% 25% Notes: (1) Community Service Program Funding was approved by Council on November 13, 2018 to 23 non profit organizations totaling $86,500. (2) The variance in Parks Maintenance and Animal Control is due to encumbrances that are recorded for the entire fiscal year. (3) Property Tax Admin fees are expected to be paid in January 2019 when Property Tax revenues are received (4) Staffing continuity reserve is spent on an as -needed basis. (5) The payment to CALPERS for employee replacement benefit and the Retiree Medical Contribution will be paid by the end of this fiscal year. (1) (3) (4) (5) (5) CITY OF TEMECULA STATEMENT OF REVENUES, EXPENDITURES, and CHANGES IN FUND BALANCE - BUDGET AND ACTUAL MEASURE S FUND for the 1 st Quarter Ended September 30, 2018 Annual Amended Budget REVENUES: Measure S (Transactions and Use Tax) $ 25,200,000 Investment Interest 17,676 TOTAL REVENUES 25,217,676 Other Financing Sources (Uses): Operating Transfers Out: General Fund (5,296,813) Streets Maintenance (1,400,000) IT Equipment Replacement (500,000) Facility Replacement (500,000) TCSD Operations (6,033,431) TCSD Service Level B (62,661) Library Services (662,527) Vehicle Replacement (1,150,000) Capital Improvement Program (12,235,084) Total Transfers Out (27,840,516) Revenues Over/(Under) Expenditures and Other Financing Sources/(Uses) (2,622,840) Beginning Fund Balance as of 7/01/2018 6,680,793 Ending Fund Balance as of 9/30/2018 $ 4,057,953 Total Percentage of Activity Budget $ 3,973,379 16% 13,832 100% 3,987,211 16% (1,324,203) 25% (350,000) 25% (125,000) 25% (125,000) 25% (1,508,358) 25% (15,665) 25% (165,632) 25% (287,500) 25% (6,766,646) 55% (10,668,004) 38% (6,680,793) 6,680,793 $ 0 Notes: (1) The variance is due to the change in the fair value on investments and fluctuating interest rates. (1) CITY OF TEMECULA STATEMENT OF REVENUES, EXPENDITURES, and CHANGES IN FUND BALANCE - BUDGET AND ACTUAL STATE GAS TAX FUND for the 1st Quarter Ended September 30, 2018 REVENUES: Section 2103 - 2107 Investment Interest TOTALREVENUES Annual Amended Budget $ 2,805,983 4,000 Other Financing Sources (Uses): Transfers Out - General Fund (2,809,983) (2,809,983) Revenues Over/(Under) Expenditures and Other Financing Sources/(Uses) - Beginning Fund Balance as of 7/01/2018 - Ending Fund Balance as of 9/30/2018 $ - Total Percentage Activity of Budget $ 558,898 20% 1,013 25% 559,911 20% (559,911) 20% (559,911) CITY OF TEMECULA STATEMENT OF REVENUES, EXPENDITURES, and CHANGES IN FUND BALANCE - BUDGET AND ACTUAL ROAD MAINTENANCE REHABILITATION ACT for the 1 st Quarter Ended September 30, 2018 REVENUES: RMRA Investment Interest TOTALREVENUES Other Financing Sources (Uses): Transfers Out - CIP Revenues Over/(Under) Expenditures and Other Financing Sources/(Uses) Beginning Fund Balance as of 7/01/2018 Ending Fund Balance as of 9/30/2018 Annual Amended Budget $ 1,843,670 1,843,670 (2,476,861) (2,476,861) (633,191) 512,997 $ (120,194) Total Activity $ 492,571 2,022 494,593 (633,191) (633,191) (138,598) 512,997 $ 374,399 Percentage of Budget 27% 100% (1) 27% 26% Note: (1) The variance is due to the change in the fair value on investments and fluctuating interest rates. CITY OF TEMECULA STATEMENT OF REVENUES, EXPENDITURES, and CHANGES IN FUND BALANCE - BUDGET AND ACTUAL STREET MAINTENANCE FUND for the 1st Quarter Ended September 30, 2018 REVENUES: Operating Transfers In -Measure S Investment Interest TOTALREVENUES EXPENDITURES: Operating Expenses TOTAL EXPENDITURES Revenues Over/(Under) Expenditures and Other Financing Sources/(Uses) Beginning Fund Balance as of 7/01/2018 Ending Fund Balance as of 9/30/2018 Annual Amended Budget 1,400,000 1,400,000 1,400,000 $ 1,400,000 Total Activity 350,000 262 350,262 350,262 $ 350,262 Percentage of Budget 25% 0% 25% CITY OF TEMECULA STATEMENT OF REVENUES, EXPENDITURES, and CHANGES IN FUND BALANCE - BUDGET AND ACTUAL DEVELOPMENT IMPACT FEES FUND for the 1 st Quarter Ended September 30, 2018 Annual Total Percentage Amended Activity of Budget Budget REVENUES: Open Space 180,232 15,234 8% Investment Interest 70,000 17,466 0% Quimby 675,343 - 0% Street Improvements 1,983,148 224,119 11 % Traffic Signals 282,601 32,806 12% Parks & Recreation 618,336 52,264 8% Corporate Facilities 249,406 20,873 8% Fire Protection 139,761 18,063 13% Library 282,062 13,920 5% Police 158,422 9,252 6% TOTAL REVENUES 4,639,311 403,996 9% (1) EXPENDITURES: Other Financing Sources (Uses): Transfers Out (8,063,855) (2,723,346) 34% Revenues Over/(Under) Expenditures and Other Financing Sources/(Uses) (3,424,544) (2,319,350) Beginning Fund Balance as of 7/01/2018 3,995,162 3,995,162 Ending Fund Balance as of 9/30/2018 $ 570,618 $ 1,675,812 Notes: (1) The variance in Development Impact Fees Fund (DIF) revenues is due to the timing of developers pulling permits, as the DIF fees are paid when permits are granted. CITY OF TEMECULA STATEMENT OF REVENUES, EXPENDITURES, and CHANGES IN FUND BALANCE - BUDGET AND ACTUAL PUBLIC EDUCATION & GOVERNMENT FUND for the 1 st Quarter Ended September 30, 2018 Annual TD Total Amended Activity Encumbrances Activity Budget REVENUES: PEG Fees Revenues $ 224,323 $ - $ - $ - Investment Interest 3,000 1,582 - 1,582 TOTAL REVENUES 227,323 1,582 - 1,582 EXPENDITURES: Operating Expenses - Equipment 364,995 50,742 18,635 69,377 TOTAL EXPENDITURES 364,995 50,742 18,635 69,377 Revenues Over/(Under) Expenditures (137,672) (49,161) Beginning Fund Balance as of 7/01/2018 357,357 357,357 Ending Fund Balance as of 9/30/2018 $ 219,685 $ 308,196 Notes: (1) Public Education revenues are collected in January and May of this fiscal year. (2) The variance is due to the change in the fair value on investments and fluctuating interest rates. Percentage of Budget 0% 53% 1% 19% 19% CITY OF TEMECULA STATEMENT OF REVENUES, EXPENDITURES, and CHANGES IN FUND BALANCE - BUDGET AND ACTUAL COMMUNITY DEVELOPMENT BLOCK GRANT for the 1st Quarter Ended September 30, 2018 Annual YTD Percentage of Amended Activity Encumbrances Total Activity Budget Budget REVENUES: Grant Revenue $ 546,925 $ 60,834 $ - $ 60,834 11 % (1) TOTAL REVENUES 546,925 60,834 - 60,834 11 % EXPENDITURES: Salaries and Wages 109,385 30,919 (21,360) 9,559 9% Other Outside Services 113,880 29,915 (13,908) 16,007 14% TOTAL EXPENDITURES 223,265 60,834 (35,268) 25,566 27% Revenues Over/(Under) Expenditures 323,660 (0) Other Financing Sources/(Uses): Transfers Out (812,825) - 0% (1) Revenues Over/(Under) Expenditures and Other Financing Sources/(Uses) - (0) Beginning Fund Balance as of 7/01/2018 Ending Fund Balance as of 9/30/2018 $ - $ (0) Notes: (1) CDBG Revenue is booked on a reimbursement basis as eligible expenditures occur. The construction projects Sidewalks Old Town Boardwalk Enhancement and Sidewalks - Citywide have started but are not yet completed. CITY OF TEMECULA STATEMENT OF REVENUES, EXPENDITURES, and CHANGES IN FUND BALANCE - BUDGET AND ACTUAL TEMECULA ENERGY EFFICIENCY ASSET MANAGEMENT TEAM for the 1 st Quarter Ended September 30, 2018 REVENUES: Investment Interest Reimbursements TOTALREVENUES Other Financing Sources/(Uses): Transfers Out Revenues Over/(Under) Expenditures and Other Financing Sources/(Uses) Beginning Fund Balance as of 7/01/2018 Ending Fund Balance as of 9/30/2018 Annual Total Percentage of Amended Activity Budget Budget $ 2,000 $ 857 43% 2,000 857 43% 2,000 857 190,274 190,274 $ 192,274 $ 191,131 Notes: (1) The variance is due to the change in the fair value on investments and fluctuating interest rates. (1) CITY OF TEMECULA STATEMENT OF REVENUES, EXPENDITURES, and CHANGES IN FUND BALANCE - BUDGET AND ACTUAL ASSEMBLY BILL 2766 MOTOR VEHICLE SUBVENTION for the 1st Quarter Ended September 30, 2018 REVENUES: AB 2766 Investment Interest TOTAL REVENUES EXPENDITURES: Other Outside Services TOTAL EXPENDITURES Revenues Over/(Under) Expenditures Other Financing Sources/(Uses): Transfers Out Revenues Over/(Under) Expenditures and Other Financing Sources/(Uses) Beginning Fund Balance as of 7/01/2018 Ending Fund Balance as of 9/30/2018 Annual Total Amended Activity Budget $ 144,430 $ - 300 491 144,730 491 10,000 10,000 10,000 10,000 134,730 (9,509) (226,353) - (91,623) (9,509) 132,593 132,593 $ 40,970 $ 123,084 Percentage of Budget 0% 164% 0% 100% 100% (1) Notes: (1) The variance is due to the change in the fair value on investments and fluctuating interest rates. CITY OF TEMECULA STATEMENT OF REVENUES, EXPENDITURES, and CHANGES IN FUND BALANCE - BUDGET AND ACTUAL SUPPLEMENTAL LAW ENFORCEMENT SERVICES FUND (SLESF) for the 1st Quarter Ended September 30, 2018 REVENUES: AB 3229 - COPS Investment Interest TOTAL REVENUES Other Financing Sources (Uses): Transfers Out Revenues Over/(Under) Expenditures and Other Financing Sources/(Uses) Beginning Fund Balance as of 7/01/2018 Ending Fund Balance as of 9/30/2018 Annual Total Percentage of Amended Activity Budget Budget $ 186,000 $ 91,138 49% 115 0% 186,000 91,253 49% (186,000) (91,253) 49% Notes: (1) The variance is due to more than anticipated revenues received this quarter due to growth development. (1) (1) CITY OF TEMECULA STATEMENT OF REVENUES, EXPENDITURES, and CHANGES IN FUND BALANCE - BUDGET AND ACTUAL TEMECULA MAJOR CRIMES REWARD FUND for the 1st Quarter Ended September 30, 2018 REVENUES: Investment Interest TOTAL REVENUES EXPENDITURES: Other Outside Services TOTAL EXPENDITURES Revenues Over/(Under) Expenditures and Other Financing Sources/(Uses) Beginning Fund Balance as of 7/01/2018 Ending Fund Balance as of 9/30/2018 Notes: Annual Amended Budget $ 300 $ 300 300 26,012 Total Activity 117 117 117 26.012 $ 26,312 $ 26,129 (1) Percentage of Budget 39% 39% (1) A resolution of the City Council of the City of Temecula establishing the Temecula Major Crimes Reward Fund and Amending Resolution NOS.13-25 and 15-37. Resolution 13-25 A Resolution of the City Council of the City of Temecula providing for the establishment and distribution of a reward to the persons who furnish information leading to the arrest and conviction of the person or persons who caused the death of Larry Robinson on March 22, 2013. The Larry Robinson Murder Reward Fund was merged into the Temecula Major Crimes Reward Fund Resolution 15-37. The Justin Triplett Reward Fund was also merged into the Temecula Major Crime Reward Fund. On April 10, 2018, Council adopted Resolution No. 18-24 for the continuation of the reward for an additional three years to assist the Sherriff in investigation since no person has been arrested for the Larry Robinson murder. CITY OF TEMECULA STATEMENT OF REVENUES, EXPENDITURES, and CHANGES IN FUND BALANCE - BUDGET AND ACTUAL AFFORDABLE HOUSING FUND for the 1st Quarter Ended September 30, 2018 REVENUES: Contributions to Agency Trust Forgivable Loan Repayment Investment Interest Loan Interest Reimbursements Rental Income Residual Receipt Payment TOTALREVENUES EXPENDITURES: OPERATING EXPENDITURES: Salaries & Benefits Operating and Administrative Expenditures TOTAL EXPENDITURES Revenues Over/(Under) Expenditures and Other Financing Sources/(Uses) Beginning Fund Balance as of 7/01 /2018 Annual YTD Total Percentage Amended Activity Encumbrances Activity of Budget Budget $ 250,000 $ - $ - $ - 0% - 198 - 198 100% 9,000 3,695 - 3,695 41 % 597 153 - 153 26% - 1,500 1,500 122,593 - - - 0% 37,222 - - - 0% 419,412 5,546 - 5,546 1 % 260,716 58,026 - 58,026 22% 284,909 19,417 21,095 40,512 14% 545,625 77,443 21,095 98,538 18% (126,213) (71,897) 10,819,638 10,819,638 Ending Fund Balance as of 9/30/2018 $ 10,693,425 $ 10,747,741 Notes: (1) The variance is due to the change in the fair value on investments and fluctuating interest rates. (2) The variance in loan interest is due to one of the two First Time Homebuyer loan was paid off during this fiscal year. (3) Rental Income and Residual Receipt payment are based on available cash balances from Temecula Gardens and Mission Village apartments. (1) (2) (3) (3) CITY OF TEMECULA STATEMENT OF REVENUES, EXPENDITURES, and CHANGES IN FUND BALANCE - BUDGET AND ACTUAL MEASURE A FUND for the 1st Quarter Ended September 30, 2018 REVENUES: Investment Interest Reimbursements Measure "A" TOTALREVENUES EXPENDITURES: Street Maintenance TOTAL EXPENDITURES Revenues Over/(Under) Expenditures Other Financing Sources/(Uses): Transfers Out Revenues Over/(Under) Expenditures and Other Financing Sources/(Uses) Beginning Fund Balance as of 7/01/2018 Ending Fund Balance as of 9/30/2018 Annual Total Amended Activity Encumbrances Budget $ 40,000 $ 14,753 $ - 3,184,000 535,296 - 3,224,000 550,049 - 2,008,540 57,839 1,355,374 2,008,540 57,839 1,355,374 1,215,460 492,209 (4,057,668) (1,000,000) (2,842,208) (507,791) 4,243,589 4,243,589 $ 1,401,381 $ 3,735,798 Total Percentage Activity of Budget $ 14,753 37% - 0% 535,296 17% 550,049 17% 1,413,213 70% 1,413,213 70% Notes: (1) The variance is due to the change in the fair value on investments and fluctuating interest rates. (2) Routine Street Maintenance projects was approved by Council on September 11, 2018 for Slurry Seal Project and construction will begin in Fiscal Year 2018-19. (1) (2) CITY OF TEMECULA STATEMENT OF REVENUES, EXPENDITURES, and CHANGES IN FUND BALANCE - BUDGET AND ACTUAL CAPITAL IMPROVEMENT PROJECTS FUND for the 1st Quarter Ended September 30, 2018 Account Number REVENUE: Operating Transfers In Operating Transfers In -Measure S Grants Reimbursements / TUMF Investment Interest TOTAL REVENUE EXPENDITURES: Pechanga Parkway Environmental 165-516 Diaz Road Widening 165-521 Emergency Vehicle Preemption 165-522 Traffic Cameras Communication Equipment 165-523 Pechanga Parkway Widening 165-530 Ynez Road Improvements 165-535 Fiber Optic Communication System 165-550 Sidewalk Sixth Street Improvements 165-555 Overland Drive Extension Commerce Center Drive to West of Enterprise Circle) 165-602 Illuminated Street Name Sign Replace 165-603 Nicolas Road Extension & Improvements 165-604 Traffic Signal Park & Ride Access Improv 165-605 American with Disabilities Act (ADA) Plan 165-612 PW-Roundabout Improvements on Ynez Road 165-613 Abbott Corporation Roadway Improvements 165-620 Medians and Parkway Citywide 165-622 Murrieta Creek Bridge @ Overland 165-648 Pavement Rehabilitation Program - Winchester Road 165-650 Pavement Rehabilitation Program - Citywide 165-655 Western Bypass Bridge Over Murrieta Creek 165-660 Interstate-15 / State Route 79 South Ultimate Interchange 165-662 Flashing Beacons & Speed Advisory Signs 165-670 Annual Year -to -Date Percentage Amended Activity Encumbrances Total Activity of Budget Budget $ 42,294,467 $ 7,095,073 $ - $ 7,095,073 17% 12,235,084 5,879,317 - 5,879,317 48% 24,528,003 6,905,000 - 6,905,000 28% 18,809,268 1,494 - 1,494 0% - 49,047 - 49,047 0% 97,866,822 19,929,931 - 19,929,931 20% (1) 289,498 3,458 34,578 38,036 13% 651,174 420 - 420 0% 155,545 - - - 0% 805,035 446,272 297,516 743,788 92% 4,247,006 20,419 201,851 222,270 5% 580,142 47,943 334,306 382,249 66% 1,321,200 29,870 73,130 103,000 8% 176,969 23,342 139,138 162,480 92% 1,358,333 126,816 474,300 601,116 44% 100,000 - - - 0% 11,639,788 - - - 0% 952,230 - - - 0% 323,660 79 - 79 0% 500,000 8,186 - 8,186 2% 750,000 - - - 0% 188,000 - - - 0% 1,154,909 7,778 - 7,778 1 % 395,534 3,644 - 3,644 1 % 8,189,858 1,351,909 1,195,810 2,547,718 31 % 61,239 - - - 0% 14,747,147 4,834,956 7,587,829 12,422,785 84% 66,111 9,637 - 9,637 15% CITY OF TEMECULA STATEMENT OF REVENUES, EXPENDITURES, and CHANGES IN FUND BALANCE - BUDGET AND ACTUAL CAPITAL IMPROVEMENT PROJECTS FUND (continued) for the 1st Quarter Ended September 30, 2018 Account Annual Year -to -Date Percentage Number Amended Activity Encumbrances Total Activity of Budget Budget EXPENDITURES - cont'd: Traffic Signal Equipment Replacement Program -Citywide 165-680 130,656 2,657 19,909 22,566 17% Traffic Signal Installation -Citywide 165-682 782,632 10,932 329,009 339,941 43% PW-Electric Vehicles Charging Station 165-683 156,000 - - - 0% Fire Station 84 Training Room Improvement 165-687 666,750 - - - 0% Citywide Street Light Acquisition and LED Retrofit 165-688 7,203,311 - - - 0% Expanded Recycled Water Plant Material Conversion Project 165-689 568,039 - - - 0% 1 15 Branding and visioning- Conceptual Landscape Corridor Plan 165-690 398,960 2,102 - 2,102 1% Main Street Property Improvements 165-691 125,647 - - - 0% Margarita Recreation Center 165-692 7,911,264 19,138 124,366 143,504 2% Old Town parking Structure 165-694 971,171 45,968 42,072 88,040 9% Old Town Street Lighting LED 165-695 16,246 - - - 0% Sidewalks -Old Town Boardwalk Enhancement 165-696 857,422 32,216 32,216 4% City Facilities Rehabilitation 165-701 184,280 2,607 4,728 7,335 4% Bike Lane and Trail Program Citywide 165-703 365,867 - - - 0% Medians & Urnamental Pedestrian Barriers - Citywide 165-704 267,000 39,362 2,874 42,237 16% Sidewalks -Citywide 165-708 344,038 9,610 12,181 21,791 6% Citywide Surveillance Cameras 165-711 1,842,831 1,458,674 383,806 1,842,480 100% American With Disabilities ACT (ADA) Transition Plan Upgrade 165-713 86,134 8,445 39,164 47,609 55% Citywide Storm Drain Improvements 165-715 9,275 - - - 0% Bike Lane Trail Prgm Pump Track 165-718 300,000 2,453 74,485 76,938 26% French Valley Pkwy/1-15 Improvements - Phase 1 165-719 180,539 3,941 33,384 37,325 21 % Butterfield Stage Road Extension 165-723 11,727,233 55,900 24,214 80,113 1 % French Valley Pkwy/1-15 Improvements - Phase 11 165-726 7,758,162 300,188 2,408,056 2,708,244 35% French Valley/1-15 Phase 111 165-728 30,000 - - - 0% Murrieta Creek Improvements 165-735 294,283 4,154 22,708 26,862 9% Santa Gertrudis Creek Pedestrian Bicycle Trail Extension and Interconnect 165-739 4,810,267 34,715 112,918 147,633 3% Temecula Park and Ride 165-747 1,643,388 664,901 737,714 1,402,614 85% Fire Station Roripaugh- Phase 11 165-753 5,462 - 5,462 5,462 100% Developer Reimbursements 165-763 82,328 - - - 0% Emergency Operations Center (EOC) 165-765 11,317 2,764 - 2,764 24% Sidewalks -Old Town Improvements 165-766 409,273 58,071 365,428 423,499 103% CITY OF TEMECULA STATEMENT OF REVENUES, EXPENDITURES, and CHANGES IN FUND BALANCE - BUDGET AND ACTUAL CAPITAL IMPROVEMENT PROJECTS FUND (continued) for the 1 st Quarter Ended September 30, 2018 Account Number EXPENDITURES - cont'd: Ronald H Roberts Temecula Public Library Enhancement 165-773 Sidewalk-Ynez Road 165-775 Utility Undergrounding-Citywide 165-776 Sport Field Lighting LED Conversion 190-113 Ronald Reagan Sports Park Restroom Expansion and Renovation 190-114 Fallen Heroes Memorial 190-115 Community Recreation Center (CRC) Pool Site Enhancements & Renovations 195-116 Community Services Master Plan 195-117 Playground Equipment Enhancement and Safety Surfacing 190-120 Teen Village 190-122 Children's Museum Enhancement 190-125 Flood Control Channel Reconstruction and repair 190-127 Parks Improvement Program 190-130 Sam Hicks Monument Park Playground Enhancement 190-132 Harveston Lake Infrastructure Improvements 190-136 Sports Court Resurfacing 190-141 Temecula Elementary School TES Pool 190-143 Library Parking- Phase II 190-153 Public Restroom Renovations 190-155 Ronald Reagan Sports Park Channel Silt Removal and Desilting Pond 190-187 Tenant Improvement- 199-5213 TOTAL EXPENDITURES Revenues Over/(Under) Expenditures and Other Financing Sources/(Uses) Beginning Fund Balance as of 7/01/2018 Ending Fund Balance as of 9/30/2018 Annual Amended Year -to -Date Encumbrances Total Activity Budget Activity Percentage of Budget 1,927 - - - 0% 30,565 902 3,216 4,118 13% 155,314 - - - 0% 250,000 - - - 0% 725,000 - - - 0% 203,273 139,800 54,542 194,342 96% 833,977 60,503 86,706 147,209 18% 250,000 - - - 0% 889,008 - - - 0% 1,137,915 - - - 0% 488,000 - 6,200 6,200 1 % 1,009,153 5,886 44,786 50,672 5% 241,202 80,426 30,679 111,105 46% 325,335 110,000 100,000 335,100 2,116,915 308,706 25,085 191,500 108, 521,127 (10,654,305) 20,236,007 31,141 20,409 42,833 189,559 74,667 220,700 20,409 117,499 - 25,085 25,085 - 191,500 191,500 10,055,429 15,787,874 25,843,303 9,874,502 20,236,007 $ 9,581,702 $ 30,110,509 Notes: (1) The variance is primarily due to the timing of project expenditures and revenues differing from that anticipated in the budget. 68% 19% 0% 0% 6% 0% 100% 100% 24% (1) CITY OF TEMECULA STATEMENT OF REVENUES, EXPENDITURES, and CHANGES IN FUND BALANCE - BUDGET AND ACTUAL 2011 FINANCING LEASE CIVIC CENTER AND COMMUNITY RECREATION CENTER (CRC) for the 1st Quarter Ended September 30, 2018 REVENUES: 2011 Financing Lease Revenues TOTALREVENUES EXPENDITURES: Debt Service Principal Debt Service Interest TOTAL EXPENDITURES Revenues Over/(Under) Expenditures Beginning Fund Balance as of 7/01/2018 Ending Fund Balance as of 9/30/2018 Annual Amended Budget $ 2,132,450 2,132,450 1,439,000 693,450 2,132,450 0 $ 0 Total Activity $ 532,378 532,378 354,000 178,378 532,378 Percentage of Budget 25% 25% 25% 26% 25% CITY OF TEMECULA STATEMENT OF REVENUES, EXPENDITURES, and CHANGES IN FUND BALANCE - BUDGET AND ACTUAL 2018 FINANCING LEASE MARGARITA RECREATION CENTER (MRC) for the 1st Quarter Ended September 30, 2018 REVENUES: Operating Transfers In 2018 Financing Lease MRC TOTALREVENUES EXPENDITURES: Debt Service Principal Debt Service Interest Cost of Issuance TOTAL EXPENDITURES Revenues Over/(Under) Expenditures Beginning Fund Balance as of 7/01/2018 Ending Fund Balance as of 9/30/2018 Annual Amended Budget $ 367,233 100,000 467,233 53,491 313,742 95,000 462,233 5,000 Total Activity 95,000 95,000 95,000 95,000 $ 5,000 $ - Percentage of Budget 0% 95% 20% 0% 0% 100% 21% ASSETS: Cash and Investments Receivables Prepaid Assets Property, Plant, and Equipment (net of accumulated depreciation) CITY OF TEMECULA COMBINING STATEMENT OF NET POSITION INTERNAL SERVICE FUNDS for the 1st Quarter Ended September 30, 2018 Insurance Workers' Vehicles and Information Technology Support Facilities Facility Compensation Equipment Technology Replacement Services Fund Replacement TOTAL Fund Fund Fund Fund Fund Fund Fund $ 395,657 $ 1,527,506 $ 2,554,344 $ 702,959 $ 780,525 $ 400,504 $ 626,003 $ 135,080 $ 7,122,578 1,274 5,437 10,600 5,234 2,745 1,830 1,927 84 29,131 338,523 35,995 - - - - - - 374,518 - - 269,131 425,861 549,380 97,681 - 1,342,053 TOTAL ASSETS 735,454 1,568,938 2,834,075 1,134,054 1,332,650 500,015 627,930 135,164 8,868,280 LIABILITIES AND NET POSITION LIABILITIES: Current Liabilities 606,561 25,052 - 185,571 - 27,095 106,878 951,157 Capital Leases Payable - - - 425,861 - 21,559 - 447,420 TOTAL LIABILITIES 606,561 25,052 - 611,432 - 48,654 106,878 - 1,398,577 NET POSITION: TOTAL NET POSITION $ 128,893 $ 1,543,886 $ 2,834,075 $ 522,622 $ 1,332,650 $ 451,361 $ 521,052 $ 135,164 $ 7,469,703 NOTE: Balances are unaudited REVENUES: Investment Interest Transfer In- Measure S Charges for Services TOTALREVENUES EXPENSES: Salaries and Wages Operating Expenses Interest Depreciation TOTALEXPENSES Revenues Over/(Under) Expenses Net Position as of 7/01 /2018 Net Position as of 9/30/2018 CITY OF TEMECULA COMBINING STATEMENT OF REVENUES, EXPENSES, and CHANGES IN NET POSITION INTERNAL SERVICE FUNDS for the 1st Quarter Ended September 30, 2018 Insurance Workers' Vehicles and Information Technology Support Facilities Facility Compensation Equipment Technology Replacement Replacement TOTAL Fund Fund Fund Fund Fund Services Fund Fund Fund $ 969 $ 320,800 6,022 $ 10,268 $ - 287,500 202,616 24,089 890 $ 2,969 $ - 125,000 871,434 72,070 1,573 $ 1,929 $ 67 $ 24,687 - - 125,000 537,500 91,799 348,079 10,097 1,940,984 321,769 208,638 321,857 872,324 200,039 93,372 350,008 135,164 2,503,172 9,010 8,266 - 465,964 - 60,625 101,103 644,966 235,824 43,107 75,475 356,477 116,836 24,831 248,905 1,101,456 - - - - - 657 - - 657 244,834 51,373 822,441 350,008 1,747,079 75,475 116,836 86,113 - 76,935 157,265 246,382 49,883 83,203 7,259 (0) 135,164 756,093 51,958 1,386,621 2,587,693 472,739 1,249,447 444,102 521,052 0 6,713,612 $ 128,893 $ 1,543,886 $ 2,834,075 $ 522,622 $ 1,332,650 $ 451,361 $ 521,052 $ 135,164 $ 7,469,703 CITY OF TEMECULA STATEMENT OF NET POSITION - Fiduciary Fund CALIFORNIA EMPLOYEE RETIREE BENEFIT TRUST (CERBT) FUND for the 1st Quarter Ended September 30, 2018 CERBTFUND ASSETS: Cash and Investments $ 10,650,724 TOTAL ASSETS 10,650,724 LIABILITIES: Accounts Payable 64,383 TOTAL LIABILITIES 64,383 NET POSITION: 10,586,341 Held in Trust for Retiree Benefits 10,586,341 TOTAL NET POSITION $ 10,586,341 NOTE: Balances are unaudited CITY OF TEMECULA STATEMENT OF CHANGES IN FIDUCIARY NET POSITION - Fiduciary Fund CALIFORNIA EMPLOYEE RETIREE BENEFIT TRUST FUND for the 1st Quarter Ended September 30, 2018 CERBT FUND ADDITIONS CONTRIBUTIONS: Employer $ 189,338 Investment Earnings 220,414 TOTAL CONTRIBUTIONS 409,752 DEDUCTIONS: Benefits 253,721 TOTAL DEDUCTIONS 253,721 TOTAL ADDITIONS - Net Position as of 7/01/2018 10,430,310 Net Position as of 9/30/2018 $ 10,586,341 CITY OF TEMECULA STATEMENT OF NET POSITION - Fiduciary Fund PENSION RATE STABILIZATION FUND for the 1st Quarter Ended September 30, 2018 PENSION FUND ASSETS: Cash and Investments $ 8,094,202 TOTAL ASSETS 8,094,202 LIABILITIES: Accounts Payable - TOTAL LIABILITIES - NET POSITION: 8,094,202 Held in Trust for Retiree Benefits 8,094,202 TOTAL NET POSITION $ 8,094,202 NOTE: Balances are unaudited CITY OF TEMECULA STATEMENT OF CHANGES IN FIDUCIARY NET POSITION - Fiduciary Fund PENSION RATE STABILIZATION FUND for the 1st Quarter Ended September 30, 2018 PENSION FUND F-1191911111501M CONTRIBUTIONS: Employer $ - Investment Earnings 84,848 TOTAL CONTRIBUTIONS 84,848 DEDUCTIONS: Benefits - TOTAL DEDUCTIONS - TOTAL ADDITIONS - Net Position as of 7/01/2018 8,009,354 Net Position as of 9/30/2018 $ 8,094,202 ITEM NO . 7 CITY OF TEMECULA AGENDA REPORT TO: City Manager/City Council FROM: Kevin Hawkins, Director of Community Services DATE: February 12, 2019 SUBJECT: Approve a Memorandum of Understanding with the Foundation for Senior Care for Transportation and Parking Lot Related Services at the Mary Phillips Senior Center PREPARED BY: Yvette Martinez, Community Services Manager RECOMMENDATION: That the City Council approve the Memorandum of Understanding with the Foundation for Senior Care for transportation services provided by the Foundation utilizing the Mary Phillips Senior Center (MPSC) parking lot. BACKGROUND: The City of Temecula incorporated in 1989 with a population of less than 30,000 residents and a senior population of less than 10%. The City has grown to over three times the size with a population of over 113,000, with a senior population of approximately 25%. The City of Temecula recognizes the need to assist in providing services and amenities to enrich quality of life, provide information and education, and support the emotional and physical needs of aging adults within our community. For the past 22 years, the Mary Phillips Senior Center (MPSC) has grown along with the community by providing hundreds of programs, activities, and services for aging adults and those with special needs. It is the City's goal to provide the commitment and leadership to identify residents' needs, increase access to existing programs, develop tangible solutions, and plan for the future. The facility has become a place to socialize and participate, earning a reputation as "The Place Where Friends Meet." Coinciding with the increase in the senior population, caregivers are experiencing a need for services provided by Adult Day Care Centers that is not currently met by MPSC. Adult day care centers are designed for aging adults who are isolated or can no longer manage independently, by providing both mental and social stimulation for the seniors and a respite for caregivers. Currently, the nearest Adult Day Care Centers are in Fallbrook and Hemet. The Foundation for Senior Care provides care services, programs, and resource information for the senior population in Northern San Diego and Southwest Riverside Counties; and operates an adult day care center located in Fallbrook. This center provides professional care and assistance for frail, disabled and memory -impaired adults and is open from 9:00 am to 5:00 pm, Monday through Friday excluding major holidays observed by the Foundation (outlined in the attachment). To meet this need, the City and the Foundation for Senior Care wish to utilize the City facility, MPSC, as a pick-up and drop-off location offered to their clients needing transportation to the Foundation adult day care center located in Fallbrook. This service will be provided on Tuesday and Thursday of each week, excluding holidays observed by both the Foundation and the City. The MPSC, located at 41845 Sixth Street, Temecula, is open from 9:00 am to 5:00 pm, Monday through Friday excluding all City -observed holidays. According to the City of Temecula's Quality of Life Master Plan, "Transportation mobility means moving people and goods efficiently, safely and cost effectively throughout the community and regions by having transportation choices and well -planned networks. Connectivity means providing residents access to good jobs, housing, restaurant, recreation, shopping, medical facilities and services that make a city desirable and livable. It also means making sure that everyone has equal access to these assets." By granting the Foundation for Senior Care permission to utilize the MPSC parking lot as a connectivity destination within the designated area, the City will meet our goal of expanding public and private transportation options that improve the overall quality of life to seniors and caregivers, while achieving effective collaboration with relevant agencies to increase livability, improve productivity, provide opportunities for more healthy lifestyles, and provide increase access to services for all residents. The proposed Memorandum of Understanding has a term of three years. FISCAL IMPACT: None ATTACHMENTS: Memorandum of Understanding between the City of Temecula and Foundation for Senior Care MEMORANDUM OF UNDERSTANDING BETWEEN THE CITY OF TEMECULA AND FOUNDATION FOR SENIOR CARE This Memorandum of Understanding ("MOU") is made and effective as of February 12, 2019 between the City of Temecula, a municipal corporation (hereinafter referred to as "City"), and Foundation For Senior Care (hereinafter referred to as "Foundation"). 1. BACKGROUND The Foundation provides supervised care services, programs, and resource information for the senior population in identified communities of Northern San Diego and Southwest Riverside Counties; and operates an adult day care center located at 135 South Mission Road, Fallbrook CA, 92088, The Foundation adult day care center provides professional care and assistance for frail, physically challenged, and memory impaired adults. The center is open from 9:00 a.m. to 5:00 p.m. Monday -Friday excluding "major" holidays observed by the Foundation. The City operates the Mary Philips Senior Center located at 41845 Sixth Street, Temecula, CA 92590. The Mary Philips Senior Center is open from 9:00 a.m. to 5:00 p.m. Monday -Friday excluding all City observed holidays. The Foundation wishes to utilize City facility, Mary Philips Senior Center, as a pick- up/drop-off location offered to their clients needing transportation to the Foundation adult day care center located in Fallbrook on Tuesday and Thursday of each week, excluding holidays observed by both the Foundation and the City. 2. RECITALS The parties agree that this MOU is made with respect to the following facts and purposes: a. The purpose of this MOU is to document the obligations of the City and Foundation as they relate to the provision of transportation services provided by the Foundation and utilizing City facility, Mary Philips Senior Center parking lot, as a connectivity destination for pick-up and drop-off of Foundation clients. b. The City is the owner of certain real property in the City of Temecula, known as the Mary Philips Senior Center located at 41845 Sixth Street, Temecula CA 92590. C. The Foundation is a private organization for senior care and is offering to its clients transportation from the Mary Philips Senior Center parking lot to the Foundation Adult Day Care Center, located at 135 South Mission Road, Fallbrook CA 92088 with return service. The Foundation will offer this service to its clients on Tuesday and Thursday of each week, with a departure time of 9:00 a.m. and a return time between the hours of 4:00-4:30 p.m. d. The City is willing to grant permission to the Foundation to utilize the Mary Philips Senior Center parking lot as a connectivity destination within the designated area, outlined in horizontal lines, in Exhibit A attached hereto and incorporated herein as though set forth in full. e. The Foundation will not offer services on the Foundation's observed holidays as outlined in Exhibit B of this Agreement attached hereto and incorporated herein as though set forth in full. f. The Foundation acknowledges the Mary Philips Senior Center facility will not be open on Saturday, Sunday, or City observed holidays as outlined in Exhibit B of this Agreement attached hereto and incorporated herein as though set forth in full. The City facility schedule and holidays observed may change at any time. It shall be the Foundation's responsibility to verify if the Mary Philips Senior Center facility is open and the parking lot available on the dates Foundation will be utilizing the connectivity destination. g. The City acknowledges the Mary Philips Senior Center is a public facility and its restrooms and waiting area may be utilized by Foundation transportation clients. The Foundation shall ensure and communicate to its clients, their caretakers if applicable, and Foundation employees, volunteers, and staff that Foundation clients utilizing transportation services must be accompanied at all.times. h. The Foundation warrants and represents the transportation program and its client participation is the sole responsibility and scheduling of the Foundation and the City has no participation in or responsibility to the program, scheduling requirements, or the well-being of any of the transportation participants. i. There shall be no cost to the Foundation for utilizing the Mary Philips Senior Center parking lot as a connectivity destination and the City shall have no oversight over the Foundation program(s) or any fees associated with the transportation services or any program and service offered or provided by the Foundation. 3. OBLIGATIONS 3.1 Obligations of the Foundation. The Foundation shall, a. Be solely responsible for staffing, scheduling, and providing transportation services to its clients. The Foundation acknowledges its clients may be frail, physically challenged, and/or memory impaired and warrants and represents that employees, volunteers, or any staff providing transportation services are fully responsible for their client's well- being and are adequately trained, licensed, and prepared according to prevailing professional standards in caring for their clients and providing services. b. Be solely responsible for determining the Class driver's license required per California Department of Motor Vehicle (DMV) policy for the type vehicle the Foundation utilizes for transportation services. The Foundation is also responsible for ensuring their employee(s), volunteer(s) or any staff or person assigned to provide transportation services has a valid State of California driver's license in good standing and is fit to drive. C. Be responsible for the maintenance and any mechanical needs of Foundation vehicle(s). d. Be solely responsible for all clients, employees, volunteers, staff and other participants utilizing and conducting the transportation services. The Foundation warrants and represents they are solely responsible for the well-being of their clients and no client shall not be left unattended at the Mary Philips Senior Center facility or parking lot prior to pick- up or after return drop-off. e. Clearly indicate within all Foundation client release documents, advertising, flyers, social media communications, website information and all collateral materials and outreach programs that the City has no affiliation with the Foundation, is not responsible for 2 clients, and has no oversight of any Foundation programs, costs and fees, or transportation and other services provided. 3.2 Obligations of the City. The City shall, a. Provide to Foundation access to the Mary Philips Senior Center parking lot for utilization as a connectivity destination to pick-up and drop-off Foundation clients participating in their transportation services program on Tuesday and Thursday of each week, excluding any City and Foundation holidays or City special events. b. City will notify Foundation, in advance as knowingly possible, of inability to access parking lot on any day not already identified as a City holiday. 4. TERM a. This MOU shall commence on February 12, 2019 and shall remain and continue in effect as a multi -year agreement until February 8, 2022. b. Renewal: The City and Foundation by mutual agreement may extend the term of this MOU by amendment. C. Termination: Either party may terminate this MOU with or without cause by giving thirty (30) days prior written notice to the other party, after which neither party will have any further obligation under this MOU, except that the indemnification provisions set forth below in Section 6. 5. CONTACT INFORMATION AND NOTICES a. The contact and notice information for the Foundation shall be: Contact: Foundation For Senior Care Staff 135 South Mission Road Fallbrook, CA 92088 Foundation E-Mail: fscCo-foundationforseniorcare.org Foundation Phone Number: 760-723-7570 Notices: Foundation For Senior Care Attn: Rachel A. Mason Executive Director 135 South Mission Road Fallbrook, CA 92088 b. The contact and notice information for the City shall be: Contact: Mary Philips Senior Center Yvette Martinez, Community Services Manager 41845 Sixth Street Temecula, CA 92590 Mary Philips Senior Center 3 Notices: City of Temecula Attn: City Manager 41000 Main Street Temecula, CA 92590 6. INDEMNIFICATION The Foundation agrees to defend, indemnify, protect and hold harmless the City of Temecula, Temecula Community Services District, and/or the Successor Agency to the Temecula Redevelopment Agency, its officers, officials, employees and volunteers from and against any and all claims, demands, losses, defense costs or expenses, including attorney fees and expert witness fees, or liability of any kind or nature which the City of Temecula, Temecula Community Services District, and/or the Successor Agency to the Temecula Redevelopment Agency, its officers, agents, employees or volunteers may sustain or incur or which may be imposed upon them for injury to or death of persons, or damage to property arising out of Foundation's negligent or wrongful acts or omissions arising out of or in any way related to the performance or non- performance of this Agreement, or the acts or omissions of Foundation, its officers, employees, agents or contractors, excepting only liability arising out of the negligence of the City of Temecula, Temecula Community Services District, and/or the Successor Agency to the Temecula Redevelopment Agency. 7. INSURANCE REQUIREMENTS Foundation shall procure and maintain for the duration of the contract insurance against claims for injuries to persons or damages to property, which may arise from or in connection with the performance of the work hereunder by the Foundation, its agents, representatives, or employees. a. Minimum Scope of Insurance. Coverage shall be at least as broad as: 1. Insurance Services Office Commercial General Liability form No. CG 00 01 11 85 or 88. 2. Insurance Services Office Business Auto Coverage form CA 00 01 06 92 covering Automobile Liability, code 1 (any auto). If the Foundation owns no automobiles, a non - owned auto endorsement to the General Liability policy described above is acceptable. 3. Worker's Compensation insurance as required by the State of California and Employer's Liability Insurance. If the Foundation has no employees while performing under this Agreement, worker's compensation insurance is not required, but Foundation shall execute a declaration that it has no employees. b. Minimum Limits of Insurance. Foundation shall maintain limits no less than: 1. General Liability: Two Million Dollars ($2,000,000) per occurrence for bodily injury, personal injury and property damage. If Commercial General Liability Insurance or other form with a general aggregate limit is used, either the general aggregate limit shall apply separately to this project/location or the general aggregate limit shall be twice the required occurrence limit. 2. Automobile Liability: Two Million Dollars ($2,000,000) per accident for bodily injury and property damage. 0 3. Worker's Compensation as required by the State of California; Employer's Liability: One Million Dollars ($1,000,000) per accident for bodily injury or disease. C. Deductibles and Self -Insured Retentions. Any deductibles or self -insured retentions shall not exceed Twenty Five Thousand Dollars and No Cents ($25,000). d. Other Insurance Provisions. The general liability and automobile liability policies are to contain, or be endorsed to contain, the following provisions: 1) The City of Temecula, the Temecula Community Services District, the Successor Agency to the Temecula Redevelopment Agency, their officers, officials, employees and volunteers are to be covered as insured's, as respects: liability arising out of activities performed by or on behalf of the Foundation; products and completed operations of the Foundation; premises owned, occupied or used by the Foundation; or automobiles owned, leased, hired or borrowed by the Foundation. The coverage shall contain no special limitations on the scope of protection afforded to the City of Temecula, the Temecula Community Services District, the Successor Agency to the Temecula Redevelopment Agency, their officers, officials, employees or volunteers. 2) For any claims related to this project, the Foundation's insurance coverage shall be primary insurance as respects the City of Temecula, the Temecula Community Services District, the Successor Agency to the Temecula Redevelopment Agency, their officers, officials, employees and volunteers. Any insurance or self -insured maintained by the City of Temecula, Temecula Community Services District, and/or the Successor Agency to the Temecula Redevelopment Agency, its officers, officials, employees or volunteers shall be excess of the Foundation's insurance and shall not contribute with it. 3) Any failure to comply with reporting or other provisions of the policies including breaches of warranties shall not affect coverage provided to the City of Temecula, the Temecula Community Services District, and the Successor Agency to the Successor Agency to the Temecula Redevelopment Agency, their officers, officials, employees or volunteers. 4) The Foundation's insurance shall apply separately to each insured against whom claim is made or suit is brought, except with respect to the limits of the insurer's liability. 5) Each insurance policy required by this agreement shall be endorsed to state in substantial conformance to the following: If the policy will. be canceled before the expiration date the insurer will notify in writing to the City of such cancellation not less than thirty (30) days' prior to the cancellation effective date. 6) If insurance coverage is canceled or, reduced in coverage or in limits the Foundation shall within two (2) business days of notice from insurer phone, fax, and/or notify the City via certified mail, return receipt requested of the changes to or cancellation of the policy. e. Acceptability of Insurers. Insurance is to be placed with insurers with a current A.M. Best rating of A-:Vll or better, unless otherwise acceptable to the City. Self insurance shall not be considered to comply with these insurance requirements. f. Verification of Coverage. Foundation shall furnish the City with original endorsements effecting coverage required by this clause. The endorsements are to be signed by a person authorized by that insurer to bind coverage on its behalf. The endorsements are to be on forms provided by the City. All endorsements are to be received and approved by the City before work commences. As an alternative to the City's forms, the Foundation's insurer may 5 provide complete, certified copies of all required insurance policies, including endorsements affecting the coverage required by these specifications. 8. INDEPENDENT CONTRACTOR a. Foundation is and shall at all times remain as to the City a wholly independent contractor. The personnel performing the services under this Agreement on behalf of Foundation shall at all times be under Foundation's exclusive direction and control. Neither City nor any of its officers, employees, agents, or volunteers shall have control over the conduct of Foundation or any of Foundation's officers, employees, or agents except as set forth in this Agreement. Foundation shall not at any time or in any manner represent that it or any of its officers, employees or agents are in any manner officers, employees or agents of the City. Foundation shall not incur or have the power to incur any debt, obligation or liability whatever against City, or bind City in any manner. b. No employee benefits shall be available to Foundation in connection with the performance of this Agreement. Except for the fees paid to Foundation as provided in the Agreement, City shall not pay salaries, wages, or other compensation to Foundation for performing services hereunder for City. City shall not be liable for compensation or indemnification to Foundation for injury or sickness arising out of performing services hereunder. 9. ASSIGNMENT The Foundation shall not assign the performance of this Agreement, nor any part thereof, nor any monies due hereunder, without prior written consent of the City. Upon termination of this Agreement, Foundation's sole compensation shall be payment for actual services performed up to, and including, the date of termination or as may be otherwise agreed to in writing between the City Council and the Foundation. 10. LICENSES At all times during the term of this Agreement, Foundation shall have in full force and effect, all licenses required of it by law for the performance of the services described in this Agreement. 11. GOVERNING LAW The City and Foundation understand and agree that the laws of the State of California shall govern the rights, obligations, duties and liabilities of the parties to this Agreement and also govern the interpretation of this Agreement. Any litigation concerning this Agreement shall take place in the municipal, superior, or federal district court with geographic jurisdiction over the City of Temecula. In the event such litigation is filed by one party against the other to enforce its rights under this Agreement, the prevailing party, as determined by the Court's judgment, shall be entitled to reasonable attorney fees and litigation expenses for the relief granted. 12. LEGAL RESPONSIBILITIES The Foundation shall keep itself informed of all local, State and Federal ordinances, laws and regulations which in any manner affect those employed by it or in any way affect the performance of its service pursuant to this Agreement. The Foundation shall at all times observe and comply with all such ordinances, laws and regulations. The City, and its officers and employees, shall not be liable at law or in equity occasioned by failure of the Foundation to comply with this section. no 13. ENTIRE AGREEMENT This Agreement contains the entire understanding between the parties relating to the obligations of the parties described in this Agreement. All prior or contemporaneous agreements, understandings, representations and statements, oral or written, are merged into this Agreement and shall be of no further force or effect. Each party is entering into this Agreement based solely upon the representations set forth herein and upon each party's own independent investigation of any and all facts such party deems material. 14. AUTHORITY TO EXECUTE THIS AGREEMENT The person or persons executing this Agreement on behalf of Foundation warrants and represents that he or she has the authority to execute this Agreement on behalf of the Foundation and has the authority to bind Foundation to the performance of its obligations hereunder. The City Manager is authorized to enter into an amendment on behalf of the City to make the following non -substantive modifications to the agreement: (a) name changes; (b) extension of time; (c) non -monetary changes in scope of work; (d) agreement termination. 7 IN WITNESS WHEREOF, the parties hereto have caused this Agreement to be executed the day and year first above written. CITY OF TEMECULA By: Michael S. Naggar, Mayor ATTEST: By: Randi Johl, City Clerk APPROVED AS TO FORM: FOUNDATION FOR SENIOR CARE (Two Signatures of corporate officers required unless corporate documents authorize only one person to sign the agreement on behalf of the corporation.) By: Rachel A. Mason, M.S.,M.A. Executive Director By: Mike McReynolds, Foundation President Senior Care Board of Directors By: Peter M. Thorson, City Attorney FOUNDATION Foundation for Senior Care Attn: Rachel A. Mason, M.S., M.A. Executive Director 135 South Mission Road Fallbrook, CA 92088 Phone: 760-723-7570 Cell Phone: 909-838-8071 E-Mail: mason@foundationforseniorcare.org PM Initials: Date: EXHIBIT A 41XMWW__jtdV_'1 PARKING LOT MAP OF MARY PHILIPS SENIOR CENTER The Foundation for Senior Care is authorized to pick-up and drop-off their clients at the Mary Philips Senior Center parking lot on Tuesday and Thursday of each week, excluding any City and Foundation holidays or City special events within the designated area outlined in horizontal lines on the attached map attached hereto and incorporated herein as though set forth in full. Mary Phillips'Senior Center 0 EXHIBIT B HOLIDAYS OBSERVED BY CITY AND FOUNDATION The Mary Philips Senior Center is open from 9:00 a.m. to 5:00 p.m. Monday -Friday excluding all City observed holidays. The Foundation center is open from 9:00 a.m. to 5:00 p.m. Monday - Friday excluding "major" holidays observed by the Foundation. The City and Foundation schedules are per the attached listing attached hereto and incorporated herein as though set forth in full. Foundation acknowledges the Mary Philips Senior Center facility and parking lot schedule may change at any time for any reason and City observed holidays may also change at any time. There are also occasions the City closes the Mary Philips Senior Center for special events. It shall be the Foundation's responsibility to verify the availability and schedule of the Mary Philips Senior Center on those dates Foundation will utilize the City facility parking lot for connectivity destination. 10 CITY OF TEMECULA OBSERVED HOLIDAYS The City of Temecula observes the following holidays. If the holiday falls on a Saturday, the holiday is observed the Friday before the holiday date. If the holiday falls on a Sunday, the holiday is observed the Monday following the holiday date. Y2 day — New Year's Eve Afternoon (Observed) New Year's Day Martin Luther King, Jr. Birthday President's Day Memorial Day Independence Day Labor Day Veteran's Day Thanksgiving Day Friday after Thanksgiving '/2 day — Christmas Eve Afternoon (Observed) Christmas Day 11 FOUNDATION FOR SENIOR CARE OBSERVED HOLIDAYS New Year's Day Martin Luther King, Jr. Birthday President's Day Memorial Day Independence Day Labor Day Veteran's Day Thanksgiving Day Friday after Thanksgiving Christmas Day 12 ITEM NO . 8 CITY OF TEMECULA AGENDA REPORT TO: City Manager/City Council FROM: Kevin Hawkins, Director of Community Services DATE: February 12, 2019 SUBJECT: Approve a Cooperative Agreement with Nonprofit Senior Golden Years in Support of Various Senior Services Activities PREPARED BY: Yvette Martinez, Community Services Manager RECOMMENDATION: That the City Council approve the Cooperative Agreement with nonprofit Senior Golden Years in support of various senior services activities. BACKGROUND: The City of Temecula incorporated in 1989 with a population of less than 30,000 residents and a senior population of less than 10%. The City has grown to over three times the size with a population of over 113,000, with a senior population of approximately 25%. The City of Temecula recognizes the need to assist in providing services and amenities to enrich quality of life, provide information and education, and support the emotional and physical needs of aging adults within our community. For the past 22 years, the Mary Phillips Senior Center (MPSC) has grown along with the community by providing hundreds of programs, activities, and services for aging adults and those with special needs. It is the City's goal to provide the commitment and leadership to identify residents' needs, increase access to existing programs, develop tangible solutions, and plan for the future. The facility has become a place to socialize and participate, earning a reputation as "The Place Where Friends Meet." The Senior Golden Years (SGY) is a nonprofit organization dedicated to the improvement of the lives of Temecula Valley Seniors through social, educational, and nutritional activities. SGY has played an integral part in the City's senior services since the formation of the MPSC in 1989. The Partnership between the City of Temecula and Senior Golden Years exists to leverage resource opportunities; create, expand, and improve activities and services; and promote senior support. The City of Temecula and Senior Golden Years have worked cooperatively to host various activities for residents of Temecula and surrounding cities. The City will sponsor the use of space at the Mary Phillips Senior Center in order for the nonprofit to conduct their services. This partnership will continue through the following: Board Meetings: The City will sponsor the use of space at the Mary Phillip's Senior Center to conduct the nonprofit's monthly board meetings. The Board Meetings are closed to the public and are for members of the board to conduct business. Member Meetings: The City will sponsor the use of space at the Mary Phillips Senior Center to conduct the non -profit's bi-monthly member meetings. The Member Meetings are open to members of the club or anyone interested in joining. Meetings serve on average 50-60 seniors. Bingo Activity: The City will sponsor the use of space at the Mary Phillips Senior Center to conduct a Bingo Activity. The activity is open to all seniors ages 55 and over. The nonprofit is required to obtain a Charitable Organization Bingo License in order to perform this activity. This activity serves on average 50-75 seniors. Social Activities: The City will sponsor the use of space at the Mary Phillips Senior Center to hold various social events like Saturday Socials. These activities will be open to all seniors ages 55 and over. These activities serve on average 25-100, people depending on the event. Use of Storage: The City will grant access to closet and cabinet space to store items and materials that are used for activities/events. The amount of space is outlined in the Cooperative Agreement. In order to fulfill the desired outcomes of the Human Services Division to serve seniors and active adults, the City seeks to formalize the cooperative partnership between the City of Temecula and Senior Golden Years, which is essential in continuing to provide these types of activities to the senior population. This three-year agreement entails the use of in -kind Community Services facility and staff support valued at $3,768 and $815 respectively, refreshments costs of $480, and in -kind promotional services valued at $8,300. The nonprofit Senior Golden Years shall provide the following benefits and in -kind services for the citizens of Temecula which include City of Temecula logo/name on advertisements, press releases, and all other promotional materials, and coordinate various Senior Social Activities as described above. FISCAL IMPACT: In -kind Community Services facility and staff support valued at $3,768 and $815 respectively, refreshments costs of $480, and in -kind promotional services valued at $8,300 annually. Current funding has been allocated in the FY 2018/19 TCSD Budget. As typical, funding for the balance of the term will be allocated as part of the Annual Operating Budget process. ATTACHMENTS: Cooperative Agreement COOPERATIVE AGREEMENT BETWEEN CITY OF TEMECULA AND SENIOR GOLDEN YEARS THIS AGREEMENT is made and effective as of this 12th day of February, 2019, by and between the City of Temecula , a municipal corporation (hereinafter referred to as "City"), and Senior Golden Years, a California nonprofit corporation (hereinafter referred to as the "Nonprofit"). In consideration of the mutual covenants, conditions and undertakings set forth herein, the parties agree as follows: 1. RECITALS This Agreement is made with respect to the following facts and purposes which each of the parties acknowledge and agree are true and correct: a.) The Nonprofit shall operate their Board Meetings (hereinafter referred to as the "Event") on 2nd Wednesday of each month from 12:00 — 12:30 pm at the Mary Phillips Senior Center (room based on availability). i. The Board Meetings are closed to the general public for members of the board to conduct business. ii. City Staff will setup and breakdown meetings. iii. The Nonprofit is responsible for clean up. b.) The Nonprofit shall operate their Member Meetings on the 2"d & 4tn Wednesday of each month from 12:45 — 2:00 pm at the Mary Phillips Senior Center (room based on availability). i. The Member Meetings are open to members of the Senior Golden Years. ii. The City will sponsor coffee and condiments. iii. City Staff will setup and breakdown meetings. iv. The Nonprofit is responsible for clean up. c.) The Nonprofit shall operate their Bingo Activity on the 2nd & 4t" Wednesday of each month from 2:00 — 4:00 pm at the Mary Phillips Senior Center. i. This activity is open to the general public for seniors ages 55 and over. ii. The City will sponsor coffee and condiments. iii. City Staff will setup and breakdown event. iv. The Nonprofit is responsible for clean up. v. The Nonprofit may store their Bingo machine in the Multipurpose Room closet. vi. The Nonprofit is required to obtain a Charitable Organization Bingo License from the City of Temecula. d.) The Nonprofit shall operate their Saturday Socials on the 3rd Saturday of each month from 4:00 — 8:00 pm at the Mary Phillips Senior Center (based on availability). i. The activity is open to the general public for seniors ages 55 and over. ii. The City will sponsor coffee and condiments. iii. City Staff will setup and breakdown activity. iv. The Nonprofit is responsible for clean up. e.) The Nonprofit shall have access to the following closets/cabinets for the use of storage at the Mary Phillips Senior Center. i. The City will provide the closet in the Multipurpose Room to store the bingo machine. ii. The City will allow the use of one storage cabinet in the Craft Room to store meeting items and craft items. iii. The City will provide one cabinet in the kitchen pantry to store refreshment items. f.) Alcohol will not be served at any of the above mentioned events/programs. g.) The City desires to be a Co -Sponsor of all the above mentioned activities/events, providing in -kind support including facilities, staff support, refreshments, storage use, and advertising as described in Exhibit B. 2. TERM This Agreement shall commence on February 12, 2019, and shall remain and continue in effect until tasks described herein are completed, but in no event later than February 8, 2022 unless sooner terminated pursuant to the provisions of this Agreement. A. 3. CONSIDERATION a. As a Co -Sponsor the City shall receive sponsor benefits as listed in Exhibit b. WRITTEN REPORT Within ninety (90) days after the conclusion of the Event, the Nonprofit shall prepare and submit to the Assistant City Manager a written report evaluating the Event, its attendance, media coverage, and description of the materials in which the City has listed as a Co -Sponsor. 4. PERMITS The Nonprofit shall file applications for a Charitable Organization Bingo License with the City no later than thirty (30) days prior to the first day of the Event. The City retains its governmental jurisdiction to determine whether to issue the permits and the nature and scope of Conditions of Approval. The Nonprofit shall comply with all conditions of approval for the Charitable Organization Bingo License, or any other City -issued permits. Failure to comply with the Conditions of Approval of such permits shall constitute a default of this Agreement and is grounds for termination of this Agreement. 5. MEETING ATTENDANCE The Nonprofit shall attend all City pre -event planning meetings and event recap meetings if warranted. 6. INDEMNIFICATION The Nonprofit shall indemnify, protect, defend and hold harmless the City of Temecula, Temecula Community Services District, and/or the Successor Agency to the Temecula Redevelopment Agency, its elected officials, officers, employees, volunteers, and representatives from any and all suits, claims, demands, losses, defense costs or expenses, actions, liability or damages of whatsoever kind and nature which the City of Temecula, Temecula Community Services District, and/or the Successor Agency to the Temecula Redevelopment Agency, its officers, agents and employees may sustain or incur or which may be imposed upon them for injury to or death of persons, or damage to property arising out of the Nonprofit's negligent or wrongful acts or omissions arising out of or in any way related to the performance or non- performance of this Agreement. 7. INSURANCE The Nonprofit shall secure and maintain from a State of California admitted insurance company, pay for and maintain in full force and effect for the duration of this Agreement an insurance policy of comprehensive general liability against claims for injuries to persons or damages to property, which may arise from or in connection with the performance of the work hereunder by February 12, 2019, its agents, representatives, or employees. a. Minimum Scope of Insurance. Coverage shall be at least as broad as: 1) Insurance Services Office Commercial General Liability form No. CG 00 01 11 85 or 88. 2) Insurance Services Office Business Auto Coverage form CA 00 01 06 92 covering Automobile Liability, code 1 (any auto). If the Recipient owns no automobiles, a non -owned auto endorsement to the General Liability policy described above is acceptable. 3) Worker's Compensation insurance as required by the State of California and Employer's Liability Insurance. If the Recipient has no employees while performing under this Agreement, worker's compensation insurance is not required, but Consultant shall execute a declaration that it has no employees. b. Minimum Llmits of Insurance. Consultant shall maintain limits no less than: 1) General Liability: One million ($1,000,000) per occurrence for bodily injury, personal injury and property damage. If Commercial General Liability Insurance or other form with a general aggregate limit is used, either the general aggregate limit shall apply separately to this project/location or the general aggregate limit shall be twice the required occurrence limit. 2) Worker's Compensation insurance is required only if Consultant employs any employees. Consultant warrants and represents to the City of Temecula, Temecula Community Services District, and/or the Successor Agency to the Temecula Redevelopment Agencythat it has no employees and that it will obtain the required Worker's Compensation Insurance upon the hiring of any employees. C. Deductibles and Self -Insured Retentions. Any deductibles or self -insured retentions shall not exceed Twenty Five Thousand Dollars and No Cents ($25,000). d. Other Insurance Provisions. The general liability and automobile liability policies are to contain, or be endorsed to contain, the following provisions: 1) The City of Temecula, the Temecula Community Services District, the Successor Agency to the Temecula Redevelopment Agency, their officers, officials, employees and volunteers are to be covered as insured's, as respects: liability arising out of activities performed by or on behalf of the NonProfit; products and completed operations of the Recipient; premises owned, occupied or used by the Nonprofit; or automobiles owned, leased, hired or borrowed by the Nonprofit. The coverage shall contain no special limitations on the scope of protection afforded to the City of Temecula, the Temecula Community Services District, the Successor Agency to the Temecula Redevelopment Agency, their officers, officials, employees or volunteers. 2) For any claims related to this project, the Nonprofit's insurance coverage shall be primary insurance as respects the City of Temecula, the Temecula Community Services District, the Successor Agency to the Temecula Redevelopment Agency, their officers, officials, employees and volunteers. Any insurance or self -insured maintained by the City of Temecula, Temecula Community Services District, and/or the Successor Agency to the Temecula Redevelopment Agency, its officers, officials, employees or volunteers shall be excess of the Consultant's insurance and shall not contribute with it. 3) Any failure to comply with reporting or other provisions of the policies including breaches of warranties shall not affect coverage provided to the City, the Temecula Community Services District, the Successor Agency to the Temecula Redevelopment Agency, their officers, officials, employees or volunteers. 4) The Nonprofit's insurance shall apply separately to each insured against whom claim is made or suit is brought, except with respect to the limits of the insurer's liability. 5) Each insurance policy required by this agreement shall be endorsed to state: should the policy be canceled before the expiration date the issuing insurer will endeavor to mail thirty (30) days prior written notice to the City. 6) If insurance coverage is canceled or, reduced in coverage or in limits the Nonprofit shall within two (2) business days of notice from insurer phone, fax, and/or notify the City via certified mail, return receipt requested of the changes to or cancellation of the policy. e. Acceptability of Insurers. Insurance is to be placed with insurers with a current A.M. Best rating of A-:VII or better, unless otherwise acceptable to the City. Self insurance shall not be considered to comply with these insurance requirements. f. Verification of Coverage. Nonproft shall furnish the City with original endorsements effecting coverage required by this clause. The endorsements are to be signed by a person authorized by that insurer to bind coverage on its behalf. The endorsements are to be on forms provided by the City. All endorsements are to be received and approved by the City before work commences. As an alternative to the City's forms, the Nonprofit's insurer may provide complete, certified copies of all required insurance policies, including endorsements affecting the coverage required by these specifications. 8. GOVERNING LAW The City and the Nonprofit understand and agree that the laws of the State of California shall govern the rights, obligations, duties and liabilities of the parties to this Agreement and also govern the interpretation of this Agreement. Any litigation concerning this Agreement shall take place in the municipal, superior, or federal district court with geographic jurisdiction over the City of Temecula. In the event such litigation is filed by one party against the other to enforce its rights under this Agreement, the prevailing party, as determined by the Court's judgment, shall be entitled to reasonable attorney fees and litigation expenses for the relief granted. 9. LEGAL RESPONSIBILITIES The Nonprofit shall keep itself informed of all local, State and Federal ordinances, laws and regulations which in any manner affect those employed by it or in any way affect the performance of its service pursuant to this Agreement. The Nonprofit shall at all times observe and comply with all such ordinances, laws and regulations. The City, and its officers and employees, shall not be liable at law or in equity occasioned by failure of the Nonprofit to comply with this section. 10. ASSIGNMENT The Nonprofit shall not assign the performance of this Agreement, nor any part thereof, nor any monies due hereunder, without prior written consent of the City. 11. NOTICES Any notices which either party may desire to give to the other party under this Agreement must be in writing and may be given either by (i) personal service, (ii) delivery by a reputable document delivery service, such as but not limited to, Federal Express, that provides a receipt showing date and time of delivery, or (iii) mailing in the United States Mail, certified mail, postage prepaid, return receipt requested, addressed to the address of the party as set forth below or at any other address as that party may later designate by Notice: Mailing Address: City of Temecula Attn: City Manager 41000 Main Street Temecula, CA 92590 To Recipient: Senior Golden Years Attn: Caroline Hoelzle PO BOX 69 Wildomar, CA 92595 15. INDEPENDENT CONTRACTOR a. The Nonprofit shall at all times remain as to the City a wholly independent contractor. The personnel performing the services under this Agreement on behalf of the Nonprofit shall at all times be under the Nonprofit's exclusive direction and control. Neither City nor any of its officers, employees, agents, or volunteers shall have control over the conduct of Recipient or any of the Nonprofit's officers, employees, or agents except as set forth in this Agreement. The Nonprofit shall not at any time or in any manner represent that it or any of its officers, employees or agents are in any manner officers, employees or agents of the City. The Nonprofit shall not incur or have the power to incur any debt, obligation or liability whatever against City, or bind City in any manner. No employee benefits shall be available to the Nonprofit in connection with the performance of this Agreement. Except for the fees paid to the Nonprofit as provided in the Agreement, City shall not pay salaries, wages, or other compensation to the Nonprofit for performing services hereunder for City. City shall not be liable for compensation or indemnification to the Nonprofit for injury or sickness arising out of performing services hereunder. 16. ENTIRE AGREEMENT This Agreement contains the entire understanding between the parties relating to the obligations of the parties described in this Agreement. All prior or contemporaneous agreements, understandings, representations and statements, oral or written, are merged into this Agreement and shall be of no further force or effect. Each party is entering into this Agreement based solely upon the representations set forth herein and upon each party's own independent investigation of any and all facts such party deems material. 17. AUTHORITY TO EXECUTE THIS AGREEMENT The person or persons executing this Agreement on behalf of the Nonprofit warrants and represents that he or she has the authority to execute this Agreement on behalf of the Nonprofit and has the authority to bind the Nonprofit to the performance of its obligations hereunder. The City Manager is authorized to enter into an amendment on behalf of the City to make the following non -substantive modifications to the agreement: (a) name changes; (b) extension of time; (c) non -monetary changes in scope of work; (d) agreement termination. IN WITNESS WHEREOF, the parties hereto have caused this Agreement to be executed the day and year first above written. CITY OF TEMECULA By: Mike Naggar, Mayor ATTEST: By: Randi Johl, City Clerk APPROVED AS TO FORM: By: - - Peter M. Thorson, City Attorney SENIOR GOLDEN YEARS (Two Signatures of corporate officers required unless corporate documents authorize only one person to sign the agreement on behalf of the corporation.) �f By: Caroline Hoelzle, President Ron Hoelzle, Treasurer NONPROFIT Senior Golden Years Caroline Hoelzle PO Box 69 Wildomar, CA 92595 _(951) 244-6409 Sweetcc4l@yahoo.com PM Initial Date: Date: ] EXHIBIT "A" CITY OF TEMECULA SPONSORSHIP BENEFITS CO-SPONSOR Senior Golden Years shall provide the following benefits and services for the citizens of the City of Temecula: • City of Temecula logo/name on advertisements, press releases, and other promotional materials • Bingo Activity for City of Temecula and patrons of the senior community • Saturday Social events for City of Temecula and patrons of the senior community • Craft Boutique for City of Temecula and its attendees EXHIBIT "B" IN -KIND SERVICES ESTIMATED VALUE OF CITY SUPPORT SERVICES AND COSTS Based on the input from City departments we received estimated cost projections for the Board Meetings, Member Meetings, Bingo Activity, Saturday Socials, and Craft Boutique event. The following expenses can be anticipated for the event: Mary Phillips Senior Center Facility Rental: $ 3,768.00 Community Services Staff Hours: $ 815.00 Community Services Refreshments Costs: $ 480.00 TOTAL: $ 5,063.00 ESTIMATED VALUE OF PROMOTIONAL SERVICES PROVIDED BY THE CITY OF TEMECULA The estimated value for in -kind promotional assistance provided by The City of Temecula for the Senior Golden Years is as follows: Item Cable Channel Event slide appears approximately once per hour for 30 seconds City Website Event listing on the City of Temecula's event calendar Promotional Poster 42X66 poster located in the concourse at the Civic Center Guide to Leisure Activities Senior Golden Years information listed TOTAL VALUE: Value $ 5,100.00 $ 2,200.00 $ 1,000.00 ITEM NO . 9 CITY OF TEMECULA AGENDA REPORT TO: City Manager/City Council FROM: Kevin Hawkins, Director of Community Services DATE: February 12, 2019 SUBJECT: Approve a Cooperative Agreement with the Heart of Temecula LEO Club in Support of Facility Use (Ronald H. Roberts Temecula Public Library) PREPARED BY: Lisa Waterman, Senior Administrative Assistant RECOMMENDATION: That the City Council approve the Cooperative Agreement with the Heart of Temecula LEO Club in support of facility use (Ronald H. Roberts Temecula Public Library). BACKGROUND: LEO ("Leadership, Experience, Opportunity") clubs, part of the Lions Club International, encourage youth to develop leadership skills through participation in social service activities. The Temecula Lions Club sponsors the Heart of Temecula LEO Club, which is the high school component of the Temecula Lions Club. The Heart of Temecula LEO Club provides a program called Teens Teaching Tech. This program offers free technology assistance to anyone interested in learning more about how to use personal technological devices. The program is meant to aid parents and grandparents in understanding their technology through one-on-one tutoring with high school students. The high school students are from various high schools in Temecula and Murrieta. All student members undergo an interview process to ensure that they have the knowledge required to answer questions and the patience to impart their knowledge to others. A Temecula Lions Club member is required to attend all LEO events and meetings. Teens Teaching Tech classes are offered the first Tuesday of every month at the Ronald H. Roberts Temecula Public Library and are open to the public. FISCAL IMPACT: Total facility use in -kind costs valued at $500 annually have been allocated in the TCSD Fiscal Year 2018-19 Annual Operating Budget. ATTACHMENTS: Cooperative Agreement COOPERATIVE AGREEMENT BETWEEN CITY OF TEMECULA AND HEART OF TEMECULA LEO CLUB THIS AGREEMENT is made and effective as of this 12th day of February, 2019, by and between the City of Temecula , a municipal corporation (hereinafter referred to as "City"), and Heart of Temecula LEO Club, a California nonprofit (hereinafter referred to as the "Nonprofit"). In consideration of the mutual covenants, conditions, and undertakings set forth herein, the parties agree as follows: 1. RECITALS This Agreement is made with respect to the following facts and purposes which each of the parties acknowledge and agree are true and correct: a. The Nonprofit shall hold technology assistance classes known as Teens Teaching Tech (hereinafter referred to as the "Event") one time each month at the Ronald H. Roberts Temecula Public Library (room based on availability) as follows, or on alternate dates pending facility availability as determined by Library Staff: First Tuesday of each month or other date based on availability - 3 hour room reservation Additional dates and times considered based on availability i. The Classes are open to the general public for members of the Nonprofit to conduct the Teens Teaching Technology classes. Class sign-up/registrations coordinated through the Heart of Temecula LEO Club. ii. City Staff will setup and breakdown meetings. iii. The Nonprofit is responsible for clean up. b. Alcohol will not be served at any of the above mentioned events/programs. c. The City desires to be a Co -Sponsor of the Hearts of Temecula LEO Club Teens Teaching Tech program by providing in -kind support including facility and staff support as described in Exhibit B. 2. TERM This Agreement shall commence on February 12, 2019, and shall remain and continue in effect until tasks described herein are completed, but in no event later than December 31, 2019, unless sooner terminated pursuant to the provisions of this Agreement. 3. CONSIDERATION a. As a Co -Sponsor the City shall receive sponsor benefits as listed in Exhibit A. 04/18/2018 4. WRITTEN REPORT Within thirty (30) days after the conclusion of the year, the Nonprofit shall prepare and submit to the Assistant City Manager a written report evaluating the Event, its attendance, media coverage, and description of the materials in which the City has listed as a Co -Sponsor. 5. MEETING ATTENDANCE The Nonprofit shall attend all City pre -event planning meetings and event recap meetings if warranted. 6. INDEMNIFICATION The Nonprofit shall indemnify, protect, defend and hold harmless the City of Temecula, Temecula Community Services District, and/or the Successor Agency to the Temecula Redevelopment Agency, its elected officials, officers, employees, volunteers, and representatives from any and all suits, claims, demands, losses, defense costs or expenses, actions, liability or damages of whatsoever kind and nature which the City of Temecula, Temecula Community Services District, and/or the Successor Agency to the Temecula Redevelopment Agency, its officers, agents and employees may sustain or incur or which may be imposed upon them for injury to or death of persons, or damage to property arising out of the Nonprofit's negligent or wrongful acts or omissions arising out of or in any way related to the performance or non- performance of this Agreement. 7. INSURANCE The Nonprofit shall secure and maintain from a State of California admitted insurance company, pay for and maintain in full force and effect for the duration of this Agreement an insurance policy of comprehensive general liability against claims for injuries to persons or damages to property, which may arise from or in connection with the performance of the work hereunder by February 12, 2019, its agents, representatives, or employees. a. Minimum Scope of Insurance. Coverage shall be at least as broad as: 1) Insurance Services Office Commercial General Liability form No. CG 00 01 11 85 or 88. 2) Insurance Services Office Business Auto Coverage form CA 00 01 06 92 covering Automobile Liability, code 1 (any auto). If the Recipient owns no automobiles, a non -owned auto endorsement to the General Liability policy described above is acceptable. 3) Worker's Compensation insurance as required by the State of California and Employer's Liability Insurance. If the Recipient has no employees while performing under this Agreement, worker's compensation insurance is not required, but Consultant shall execute a declaration that it has no employees. 4) General Liability: Two million ($2,000,000) per occurrence for bodily injury, personal injury and property damage. If Commercial General Liability Insurance or other form with a general aggregate limit is used, either the general aggregate limit shall apply separately to this project/location or the general aggregate limit shall be twice the required occurrence limit. 5) Automobile Liability: One million ($1,000,000) per accident for bodily injury and property damage. 04/18/2018 6) Worker's Compensation as required by the State of California; Employer's Liability: One million dollars ($1,000,000) per accident for bodily injury or disease. Worker's Compensation insurance is required only if Consultant employs any employees. Consultant warrants and represents to the City of Temecula, Temecula Community Services District, and/or the Successor Agency to the Temecula Redevelopment Agencythat it has no employees and that it will obtain the required Worker's Compensation Insurance upon the hiring of any employees. b. Deductibles and Self -insured Retentions. Any deductibles or self -insured retentions shall not exceed Twenty Five Thousand Dollars and No Cents ($25,000). C. Other Insurance Provisions. The general liability and automobile liability policies are to contain, or be endorsed to contain, the following provisions: 1) The City of Temecula, the Temecula Community Services District, the Successor Agency to the Temecula Redevelopment Agency, their officers, officials, employees and volunteers are to be covered as insured's, as respects: liability arising out of activities performed by or on behalf of the NonProfit; products and completed operations of the Recipient; premises owned, occupied or used by the Nonprofit; or automobiles owned, leased, hired or borrowed by the Nonprofit. The coverage shall contain no special limitations on the scope of protection afforded to the City of Temecula, the Temecula Community Services District, the Successor Agency to the Temecula Redevelopment Agency, their officers, officials, employees or volunteers. 2) For any claims related to this project, the Nonprofit's insurance coverage shall be primary insurance as respects the City of Temecula, the Temecula Community Services District, the Successor Agency to the Temecula Redevelopment Agency, their officers, officials, employees and volunteers. Any insurance or self -insured maintained by the City of Temecula, Temecula Community Services District, and/or the Successor Agency to the Temecula Redevelopment Agency, its officers, officials, employees or volunteers shall be excess of the Consultant's insurance and shall not contribute with it. 3) Any failure to comply with reporting or other provisions of the policies including breaches of warranties shall not affect coverage provided to the City, the Temecula Community Services District, the Successor Agency to the Temecula Redevelopment Agency, their officers, officials, employees or volunteers. 4) The Nonprofit's insurance shall apply separately to each insured against whom claim is made or suit is brought, except with respect to the limits of the insurer's liability. 5) Each insurance policy required by this agreement shall be endorsed to state: should the policy be canceled before the expiration date the issuing insurer will endeavor to mail thirty (30) days prior written notice to the City. 6) If insurance coverage is canceled or, reduced in coverage or in limits the Nonprofit shall within two (2) business days of notice from insurer phone, fax, and/or notify the City via certified mail, return receipt requested of the changes to or cancellation of the policy. d. Acceptability of Insurers. Insurance is to be placed with insurers with a current A.M. Best rating of A-:VII or better, unless otherwise acceptable to the City. Self insurance shall not be considered to comply with these insurance requirements. e. Verification of Coverage. Nonproft shall furnish the City with original endorsements effecting coverage required by this clause. The endorsements are to be signed 04/18/2018 by a person authorized by that insurer to bind coverage on its behalf. The endorsements are to be on forms provided by the City. All endorsements are to be received and approved by the City before work commences. As an alternative to the City's forms, the Nonprofit's insurer may provide complete, certified copies of all required insurance policies, including endorsements affecting the coverage required by these specifications. 8. GOVERNING LAW The City and the Nonprofit understand and agree that the laws of the State of California shall govern the rights, obligations, duties and liabilities of the parties to this Agreement and also govern the interpretation of this Agreement. Any litigation concerning this Agreement shall take place in the municipal, superior, or federal district court with geographic jurisdiction over the City of Temecula. In the event such litigation is filed by one party against the other to enforce its rights under this Agreement, the prevailing party, as determined by the Court's judgment, shall be entitled to reasonable attorney fees and litigation expenses for the relief granted. 9. LEGAL RESPONSIBILITIES The Nonprofit shall keep itself informed of all local, State and Federal ordinances, laws and regulations which in any manner affect those employed by it or in any way affect the performance of its service pursuant to this Agreement. The Nonprofit shall at all times observe and comply with all such ordinances, laws and regulations. The City, and its officers and employees, shall not be liable at law or in equity occasioned by failure of the Nonprofit to comply with this section. 10. ASSIGNMENT The Nonprofit shall not assign the performance of this Agreement, nor any part thereof, nor any monies due hereunder, without prior written consent of the City. 11. NOTICES Any notices which either party may desire to give to the other party under this Agreement must be in writing and may be given either by (i) personal service, (ii) delivery by a reputable document delivery service, such as but not limited to, Federal Express, that provides a receipt showing date and time of delivery, or (iii) mailing in the United States Mail, certified mail, postage prepaid, return receipt requested, addressed to the address of the party as set forth below or at any other address as that party may later designate by Notice: Mailing Address: City of Temecula Attn: City Manager 41000 Main Street Temecula, CA 92590 To Recipient: Heart of Temecula Leo Club Attn: Beth LaScola 31997 Corte Avalina Temecula, CA 92592 04/18/2018 15. INDEPENDENT CONTRACTOR a. The Nonprofit shall at all times remain as to the City a wholly independent contractor. The personnel performing the services under this Agreement on behalf of the Nonprofit shall at all times be under the Nonprofit's exclusive direction and control. Neither City nor any of its officers, employees, agents, or volunteers shall have control over the conduct of Recipient or any of the Nonprofit's officers, employees, or agents except as set forth in this Agreement. The Nonprofit shall not at any time or in any manner represent that it or any of its officers, employees or agents are in any manner officers, employees or agents of the City. The Nonprofit shall not incur or have the power to incur any debt, obligation or liability whatever against City, or bind City in any manner. No employee benefits shall be available to the Nonprofit in connection with the performance of this Agreement. Except for the fees paid to the Nonprofit as provided in the Agreement, City shall not pay salaries, wages, or other compensation to the Nonprofit for performing services hereunder for City. City shall not be liable for compensation or indemnification to the Nonprofit for injury or sickness arising out of performing services hereunder. 16. ENTIRE AGREEMENT This Agreement contains the entire understanding between the parties relating to the obligations of the parties described in this Agreement. All prior or contemporaneous agreements, understandings, representations and statements, oral or written, are merged into this Agreement and shall be of no further force or effect. Each party is entering into this Agreement based solely upon the representations set forth herein and upon each party's own independent investigation of any and all facts such party deems material. 17. AUTHORITY TO EXECUTE THIS AGREEMENT The person or persons executing this Agreement on behalf of the Nonprofit warrants and represents that he or she has the authority to execute this Agreement on behalf of the Nonprofit and has the authority to bind the Nonprofit to the performance of its obligations hereunder. The City Manager is authorized to enter into an amendment on behalf of the City to make the following non -substantive modifications to the agreement: (a) name changes; (b) extension of time; (c) non -monetary changes in scope of work; (d) agreement termination. 04/18/2018 IN WITNESS WHEREOF, the parties hereto have caused this Agreement to be executed the day and year first above written. CITY OF TEMECULA By: Michael S. Naggar, Mayor ATTEST: By: Randi Johl, City Clerk APPROVED AS TO FORM: By: Peter M. Thorson, City Attorney HEART OF TEMECULA LEO CLUB (Two Signatures of corporate officers required unless corporate documents authorize only one person to sign the agreement on behalf of the corporation.) By: Beth LaScola, LEO Advisor Carl Drucke, President Temecula Lions Club NONPROFIT Heart of Temecula Leo Club Attn: Beth LaScola 31997 Corte Avalina Temecula, CA 92592 beth.lascola ahoo.com PM Initials• Date: ! 4 1 04/18/2018 EXHIBIT "A" CITY OF TEMECULA SPONSORSHIP BENEFITS CO-SPONSOR Heart of Temecula Leo Club shall provide the following benefits and services for the citizens of the City of Temecula: • City of Temecula logo/name on advertisements, flyers, press releases, or other promotional material 04/18/2018 EXHIBIT "B" IN -KIND SERVICES ESTIMATED VALUE OF CITY SUPPORT SERVICES AND COSTS Based on the input from City departments we received estimated cost projections for the Nonprofit meetings. The following expenses can be anticipated for the event and include staff support for room set-up cost: Library Facility Rental Total Costs: $ 500.00 TOTAL VALUE: 04/18/2018 ITEM NO . 10 CITY OF TEMECULA AGENDA REPORT TO: City Council FROM: Greg Butler, Assistant City Manager DATE: February 12, 2019 SUBJECT: Approve the First Amendment to the Office Lease Between the City of Temecula and Temecula Valley Convention & Visitors Bureau dba Visit Temecula Valley PREPARED BY: Betsy Lowrey, Senior Management Analyst RECOMMENDATION: That the City Council approve the First Amendment to the Office Lease between the City of Temecula and Temecula Valley Convention & Visitors Bureau dba Visit Temecula Valley and appropriate $50,000 from the Measure S Fund. BACKGROUND: Pursuant to the Office Lease between the City of Temecula and the Temecula Valley Convention & Visitors Bureau dba Visit Temecula Valley ("Lease"), approved by City Council on February 13, 2018, Visit Temecula Valley is expanding its leased space to include the second floor directly above its current location. The second floor area is currently an unimproved shell accessed through the public parking garage that will be improved for additional office space. Visit Temecula Valley will also vacate approximately 521 square feet of existing leased space on the ground floor and reconfigure the floor plan to allow the Temecula Police Department to expand into this area for more police presence in Old Town. It has become apparent that the construction cost for the build -out is higher than originally anticipated and will require an additional $50,000. To offset this cost, Visit Temecula Valley has agreed to increase their monthly rent payment to the City by $850.17, which will generate revenue over the term of the 5-year lease that exceeds $51,000. In total, the 5-year term of the Lease, plus the attached Amendment, will generate more than $456,000 in revenue paid to the City (plus completed tenant improvements), exceeding the City contribution of $250,000 toward tenant improvements. Upon certificate of occupancy, the monthly rent paid by Visit Temecula Valley will be $7,601.52, with annual increases based on the Consumer Price Index. Upon expiration of the five-year Lease, the Lease will renew automatically unless terminated by either party with a 30-day notice. FISCAL IMPACT: A total of $50,000 in Measure S funds will augment the previously appropriated $200,000 allocated from the remaining 2007 Tax Allocation Bond proceeds. Visit Temecula Valley has agreed to a monthly rent increase of $850.17, which will generate revenue over the term of the 5-year lease that exceeds $50,000. ATTACHMENTS: First Amendment FIRST AMENDMENT TO OFFICE LEASE BETWEEN THE CITY OF TEMECULA AND TEMECULA VALLEY CONVENTION & VISITORS BUREAU DBA VISIT TEMECULA VALLEY This First Amendment to Office Lease ("First Amendment') Between the City of Temecula and Temecula Valley Convention & Visitors Bureau dba Visit Temecula Valley is made by and between the City of Temecula, a municipal corporation ("City" or "Landlord") and Temecula Valley Convention & Visitors Bureau, a California non-profit corporation, dba Visit Temecula Valley ("Tenant') and is effective on the date it is fully executed. The City and Tenant may be referred to below collectively as the "Parties". 1. RECITALS. This First Amendment is made with respect to the following facts and for the following purposes, which the Parties hereto acknowledge as true and correct: A. On February 13, 2018, the Parties entered into that certain Office Lease between the City of Temecula and Temecula Valley Convention & Visitors Bureau dba Visit Temecula Valley ("Office Lease") regarding the extension of the lease by Tenant of the Premises described in Exhibit "A" to the 2009 Office Lease and authorizing Tenant to lease the Expansion Premises described in Exhibit "A" to the Office Lease pursuant to the terms and conditions of the Office Lease. B. Section 4.B. of the Office Lease provided for up to $200,000 in reimbursement for Tenant Improvements. The Monthly Rent set forth at Section 5.A.1) of the Office Lease considered the reimbursement for Tenant Improvements provided by the Office Lease. The Parties wish to enter into this First Amendment to amend Section 4.B. of the Office Lease to provide for up to $250,000.00 in reimbursement for the Tenant Improvements. The Parties also wish to modify the Monthly Rent set forth at Section 5.A.1) of the Office Lease and the Security Deposit set forth in Section 5.C. of the Office Lease in consideration of the $50,000.00 increase in reimbursement for the Tenant Improvements. NOW THEREFORE, in consideration of the terms and conditions of this First Amendment, the City and Tenant agree to amend Section 4.B. and Sections 5.A.1) and 5.C. of the Office Lease, subject to the terms and conditions set forth below. 2. AMENDMENT TO SECTION 4.13 OF OFFICE LEASE. Pursuant to this First Amendment, the City and Tenant agree to amend and replace Section 4.13. of the Office Lease titled "Tenant Improvements" to change the reimbursement amount from $200,000.00 to $250,000.00. The City and Tenant agree to amend and replace Section 4.13. of the Office Agreement titled "Tenant Improvements" to read as follows: 4. TERM; TENANT IMPROVEMENTS; RENEGOTIATION OPTION. B. Tenant Improvements. As used herein, the term "Tenant Improvements" will mean the improvements described on Exhibit "C", which is attached hereto and incorporated herein by this reference. Tenant will have the right to enter the approximate 3,787 square foot portion of the 2019 Expansion Premises located on the second floor of the Building 31 days after the date this Lease is fully executed by the Parties to construct the Tenant Improvements. City agrees to remove any property or equipment stored by the City in the approximate 3,787 square foot portion of the 2019 Expansion Premises within 30 days of the date this Lease is fully executed by the Parties to allow Tenant to complete said -1- 11086.0111 \224625 8v 1 Tenant Improvements. City agrees to reimburse Tenant up to $250,000.00 towards the costs of the Tenant Improvements ("City reimbursement"). City will issue a warrant(s) payable to Tenant at the address identified in Paragraph 26.0 below for the costs of the Tenant Improvements within 20 calendar days of receiving from Tenant an invoice from Visit Temecula Valley with copies of the contractor invoices and/or receipts identifying the specific Tenant Improvements completed, up to the $250,000.00 City reimbursement. Tenant agrees that it may submit said invoices to City for reimbursement up to twice a month. As described in the Recitals herein, the Parties recognize the value of Lessee's operations to the City of Temecula and its residents and the value of the offices of Tenant being located in the Building, adjacent to City Hall. Pursuant to Government Code Section 37110, the legislative body of the City is authorized to spend City funds on promotion of the City. The $250,000.00 City reimbursement is the Parties' estimate of Tenant's cost to complete the Tenant Improvements. The up to $250,000.00 City reimbursement will be used by Tenant to construct the 2019 Tenant Improvements in the order of priority identified on Exhibit "C" hereto. Tenant is solely responsible for any costs in excess of said $250,000.00 City reimbursement for the Tenant Improvements. The Tenant Improvements include, but are not limited to, the reconfiguration by Tenant of the first floor walls, HVAC, and potential removal of a closet for a door at the portion of the 2019 Expansion Premises located in the Building and reconfiguration of the portion of the 2019 Expansion Premises located on the second floor of the Building, including signs. Tenant will cause the construction of the Tenant Improvements in compliance with applicable federal, state, and local regulations and in substantial conformance with the description and in the order of priority identified on Exhibit "C" hereto. Any changes to the Tenant Improvements that are not in substantial conformance with the description attached at Exhibit "C" hereto require the approval of the Assistant City Manager. Tenant is solely responsible for tasks relating to the construction of the Tenant Improvements, including, but not limited to bidding, hiring, managing and overseeing all contractors, and obtaining all applicable building permits and inspections. Tenant must comply with California's prevailing wage laws, Government Code Section 1720 et seq. and applicable regulations (Title 8, California Code of Regulations, Section 16001 et seq.) in connection with the Tenant Improvements. 3. AMENDMENT TO SECTIONS 5.A.1) AND 5.C. OF OFFICE LEASE. Pursuant to this First Amendment and in consideration of the amendment to the reimbursement amount for Tenant Improvements, the City and Tenant agree to amend and replace Section 5.A.1) of the Office Lease titled "Monthly Rent" to modify the monthly rent and Section 5.C. of the Office Lease titled "Security Deposit" to modify the Security Deposit. The City and Tenant agree to amend and replace Section 5.A.1) of the Office Agreement titled "Monthly Rent" and Section 5.C. titled "Security Deposit" to read as follows: 5. RENT; ADJUSTMENTS; SECURITY DEPOSIT. A. Monthly Rent. 1) Commencing on July 1, 2019 or on the date that Tenant completes the Tenant Improvements described in Paragraph 4.B. and receives a certificate of occupancy from City for the approximate 3,787 square foot portion of the 2019 Expansion Premises located on the second floor of the Building, -2- 11086.0111 \2246258v l whichever is sooner, Tenant will pay to City for Tenant's lease of the 2019 Expansion Premises, as monthly rent, without deduction, setoff, notice or demand, in advance, on or before the first business day of each calendar month the sum of $7,601.52 per month (5001 square feet @ $1.52 per square foot), which will be adjusted in accordance with Paragraph 5.13. of the Lease. All rental payments hereunder will be paid by Tenant to City of Temecula, Attention: Finance Department, 41000 Main Street, Temecula, California, or at such other address or to such other persons as the City may from time to time designate in writing. If Tenant has not received a certificate of occupancy for the 2019 Expansion Premises by July 1, 2019, the Assistant City Manager or City Manager's designee has sole discretion to extend the above date for commencement of the monthly rent for the 2019 Expansion Premises if necessary to allow additional time for completion of the Tenant Improvements, for delays in construction due to the City's processing of building permits, or if the Assistant City Manager or City Manager's designee finds other good cause exists for such extension. C. Security Deposit. Pursuant to the terms of the 2009 Office Lease, Tenant deposited with City a security deposit in the amount of $2,832.00 as security for Tenant's faithful performance of its obligations under the 2009 Office Lease. Within 30 days of the date this Lease is fully executed by the Parties, Tenant agrees to deposit with the City an additional security deposit of $4,769.00 for a total security deposit of $7,601.00 ("Security Deposit") as security for Tenant's faithful performance of its obligations under this Lease. If Tenant fails to pay rent, or otherwise defaults under this Lease, City may use, apply or retain all or any portion of said Security Deposit for the payment of any amount already due City for rent which will be due in the future, and/or to reimburse or compensate City for any liability, expense, loss or damage which City may suffer or incur by reason thereof. If City uses or applies all or any portion of the Security Deposit, Tenant will within ten days after written request thereof, deposit monies with City sufficient to restore said Security Deposit to the full amount required by this Lease. When the rent increases during the term of this Lease, Tenant will, upon written request from City, deposit additional monies with City so that the total amount of the Security Deposit will at all times bear the same proportion to the increased rent as the initial Security Deposit bore to the initial rent. City will not be required to keep the Security Deposit separate from its general accounts. Within 90 days after the expiration or termination of this Lease (or such earlier date as required by law), City will return that portion of the Security Deposit not used or applied. No part of the Security Deposit will be considered to be held in trust, to bear interest or to be prepayment for any monies to be paid by Tenant under this Lease. 4. NO OTHER CHANGES. Except for the changes specifically set forth in this First Amendment, all other terms and conditions of the Office Lease will remain in full force and effect. [SIGNATURES ON NEXT PAGE] -3- 11086.0111\2246258v1 IN WITNESS WHEREOF, the Parties have executed this First Amendment as of the date set forth below: City/Landlord: Lessee: CITY OF TEMECULA, a municipal TEMECULA VALLEY CONVENTION & corporation VISITORS BUREAU, a California nonprofit corporation, dba Visit Temecula Valley Dated: , 2019 By: Greg Butler, Assistant City Manager ATTEST: Randi Johl, City Clerk Approved as to form: Peter M. Thorson, City Attorney Print Name: W' In sly Title: tr6�-5 f CJ Dated: 1 We 2019 By: lAr �! Print Name: 15�'tf A- yd, I 5o� Title: -4- 11086.0111 \2246258v1 ITEM NO . 11 CITY OF TEMECULA AGENDA REPORT TO: City Manager/City Council FROM: Patrick Thomas, Director of Public Works/City Engineer DATE: February 12, 2019 SUBJECT: Approve the First Amendment to the Agreement for Consultant Services with T.Y. Lin International for the French Valley Parkway/I-15 Improvements — Phase II, PW 16-01 PREPARED BY: Amer Attar, Principal Civil Engineer Kendra Hannah-Meistrell, Senior Civil Engineer RECOMMENDATION: That the City Council approve the First Amendment to the Agreement for Consultant Services with T.Y. Lin International, in the amount of $54,760, for the French Valley Parkway/I-15 Improvements — Phase II, PW16-01. BACKGROUND: This First Amendment to the Agreement for Consultant Services with T.Y. Lin International is for the preparation and submittal of an application and supporting documentation for a fiscal year (FY) 2019 U.S. Department of Transportation (USDOT) Infrastructure for Rebuilding America (INFRA) Grant for the French Valley Parkway/I-15 Improvement Project — Phase II, PW16-01. The Nationally Significant Freight and Highway Projects (INFRA Grants) program provides federal financial assistance to highway and freight projects of national or regional significance. To maximize the value of FY 2019 INFRA funds, the USDOT is focusing the competition on transportation infrastructure projects that support four key objectives: 1. Supporting economic vitality at the national and regional level; 2. Leveraging federal funding to attract other non-federal sources of infrastructure investment; 3. Deploying innovative technology, encouraging innovative approaches to project delivery, and incentivizing the use of innovative financing; and 4. Holding grant recipients accountable for their performance. The Notice of Funding Opportunity for INFRA grants for FY 2019 funding was opened on January 7, 2019. Applications must be submitted by 8:00 p.m. EST on March 4, 2019. INFRA grants may be used for up to sixty percent of future eligible project costs. City staff requested T.Y. Lin International to provide a proposal for preparation and submittal of the application for the INFRA Grant. The project to be submitted for the funding opportunity is Phase II of the French Valley Parkway/I-15 Improvements project. The total estimated cost of the project included in the grant application is approximately $108,000,000. FISCAL IMPACT: The French Valley Parkway/I-15 Improvements — Phase II project is included in the City's Capital Improvement Program (CIP) Budget for Fiscal Year 2019-23. The project is funded with General Fund, Measure S, TUMF (WRCOG), TUMF (CETAP/RCTC), SAFETEA-LU, and STIP. Adequate funds are available in the project accounts to cover the First Amendment amount of $54,760, for a total Agreement amount of $4,328,083. ATTACHMENTS: 1. First Amendment 2. Project Description 3. Project Location FIRST AMENDMENT TO AGREEMENT BETWEEN CITY OF TEMECULA AND T.Y. LIN INTERNATIONAL FRENCH VALLEY PARKWAY/1-15 IMPROVEMENTS — PHASE II THIS FIRST AMENDMENT is made and entered into as of February 12, 2019 by and between the City of Temecula, a municipal corporation (hereinafter referred to as "City"), and T.Y. Lin International, a Corporation (hereinafter referred to as "Consultant"). In consideration of the mutual covenants and conditions set forth herein, the parties agree as follows: This Amendment is made with the respect to the following facts and purposes: a. On October 25, 2016, the City and Consultant entered into that certain Agreement entitled "Agreement for Consultant Services between City of Temecula and T.Y. Lin International, French Valley Parkway/Interstate 15 Overcrossing and Interchange Improvements — Phase II," in the amount of $3,947,823, plus contingency in the amount of $325,500. b. The parties now desire to add scope of work, increase the payment in the amount of $54,760, and to amend the Agreement as set forth in this Amendment. 2. Section 6 of the Agreement entitled "PAYMENT" at paragraph "a" is hereby amended to read as follows: The City agrees to pay Consultant monthly, in accordance with the payment rates and schedules and terms set forth in Exhibit B, Payment Rates and Schedule, attached hereto and incorporated herein by this reference as though set forth in full, based upon actual time spent on the above tasks. Any terms in Exhibit B, other than the payment rates and schedule of payment, are null and void. The FIRST Amendment amount shall not exceed Fifty Four Thousand Seven Hundred Sixty Dollars ($54,760), for additional services to prepare and submit an application for the 2019 FY Infrastructure for Rebuilding America (INFRA) Grant for a total Agreement amount of Four Million Three Hundred Twenty Eight Thousand Eighty Three Dollars ($4,328,083). 3. Exhibit A and Exhibit B to the Agreement are hereby amended by adding thereto the items set forth on Attachment A to this Amendment, which is attached hereto and incorporated herein as though set forth in full. 4. Except for the changes specifically set forth herein, all other terms and conditions of the Agreement shall remain in full force and effect. IN WITNESS WHEREOF, the parties hereto have caused this Agreement to be executed the day and year first above written. CITY OF TEMECULA By: Michael S. Naggar, Mayor ATTEST: By: Randi Johl, City Clerk APPROVED AS TO FORM: T.Y. LIN INTERNATIONAL (Two Signatures of corporate officers required unless corporate documents authorize only one person to sign the agreement on behalf of the corporation.) By: J jesL. Rucker, Vice President By: Peter M. Thorson, City Attorney CONSULTANT T.Y. Lin International Attn: Rodrigo Gonzalez 3633 East Inland Empire Blvd., Suite 900 Ontario, CA 91764 909-912-6903 rodri o. onzalez t lin.com PM Initials: Date: ATTACHMENT A EXHIBIT A Attached hereto and incorporated herein as though set forth in full is the additional scope of work as provided by the Consultant. This additional scope of work is for the preparation and submittal of the application and supporting documentation for a FY 2019 U.S. Department of Transportation (USDOT) Infrastructure for Rebuilding America (INFRA) Grant for the French Valley Parkway/1-15 Improvement Project — Phase 11. We are able to begin preparation of the grant application documents immediately with the goal of submitting the application ahead of the March 4, 2019 deadline. The anticipated scope of work for preparing and submitting the grant application is based on the guidelines presented in the FY 2019 Notice of Funding Opportunity (NOFO) and the information presented on the USDOT's INFRA grants website and the grants.gov website. We are also assuming that the application previously prepared by their team in November 2017 will be the basis for the information presented in this application. In addition, according to instructions from the City, this application will be tailored to Phase 11 of the project. The required tasks are summarized as follows: Task 1 — Project Management. This includes administrative tasks for project set-up, tracking, monitoring progress, and coordination through the March 4, 2019 deadline. Also included under this task is the QC review of all components of the application package. Task 2 — Research and Coordination. This work will include collecting, compiling and reviewing pertinent project reports, plans, estimates, and data needed for documenting the application narrative. Coordination with City staff is anticipated to obtain the reference material and verification as necessary, and to obtain input on the City's preferences for presenting the material in the grant application package. Task 3 — Application Preparation. Generating the components of the project narrative is included in this task. Following the program guidelines and instructions, the complete project narrative that accompanies the application forms will be prepared, including: • Cover sheet Project Narrative consisting of: o Summary — description, previously incurred costs, location maps, and participants o Funding — grant funds, sources and uses of project funds o Merit criteria — explanations and justifications for how the project complies with the program criteria addressing economic vitality, leveraging of federal funding, innovation, and performance/accountability. o Project readiness — documentation of technical feasibility, schedule, required approvals obtained, and assessment of project risks and proposed mitigation strategies Benefit -Cost Analysis. This analysis will include costs of developing, constructing, operating and maintaining the project. Task 4 — Assistance with Application Submittal. The process of filling in the application forms 424 and 424C on the grants.gov website and uploading project narrative components and supporting documentation for a complete application package is accomplished by this submittal task. Task 5 —Other Direct Costs. Reimbursement of other direct costs. Task 6 — Funding Specialist Support. This task will include services from our federal funding programs specialist, Mr. Robert Mariner. Prior to joining TYLI, Mr. Mariner served as the Program Manager for the USDOT's Better Utilizing Investments to Leverage Development (BUILD) Discretionary Grant Program (formerly the TIGER Discretionary Grant Program) since the program's inception in 2009, as well as the INFRA (formerly FASTLANE Grant Program) grant program. He also served as the Deputy Director for the USDOT's Office of Infrastructure Finance and Innovation responsible for serving as the offices subject matter expert on the Transportation Infrastructure Finance and Innovation Act (TIFIA) loan and the Railroad Rehabilitation and Improvement Financing (RRIF) loan programs and Private Activity Bonds (PABs). EXHIBIT B Attached hereto and incorporated herein as though set forth in full is the additional pricing as provided by the Consultant. GRANT APPLICATION PREPARATION SUMMARY OF FEES FRENCH VALLEY PARKWAY/I-15 OVERCROSSING & INTERCHANGE TASK DESCRIPTION FEE Al-1 PROJECT MANAGEMENT $7,620 Al-2 RESEARCH AND COORDINATION $5,400 Al-3 APPLICATION PREPARATION $31,560 Al-4 ASSISTANCE WITH APPLICATION SUBMITTAL $4,880 Al-5 OTHER DIRECT COSTS $300 Al-6 FUNDING SPECIALIST SUPPORT $5,000 SUBTOTAL $54,760 SR-79 WINCHESTER ROAD/1-15 INTERCHANGE TASK DESCRIPTION FEE Al-1 PROJECT MANAGEMENT $0 Al-2 RESEARCH AND COORDINATION $0 Al-3 APPLICATION PREPARATION $0 A1-4 ASSISTANCE WITH APPLICATION SUBMITTAL $0 Al-5 OTHER DIRECT COSTS $0 Al-6 FUNDING SPECIALIST SUPPORT $0 SUBTOTAL $0 FRENCH VALLEY PARKWAY/1-15 OVERCROSSING & INTERCHANGE - SUBTOTAL $54,760 SR-79 WINCHESTER ROAD/1-15 INTERCHANGE - SUBTOTAL $0 TOTAL $54,760 Capital Improvement Program Fiscal Years 2019-23 FRENCH VALLEY PARKWAY / I - 15 IMPROVEMENTS - PHASE II Circulation Project Project Description: This project includes the design and construction of the two lane northbound collector/distributer road system beginning north of the Winchester Road Interchange on -ramps and ending just north of the 1-15/1-215 junction with connectors to 1-15 and 1-215. Benefit / Core Value: This project will address and improve traffic circulation in the City's northern area by providing the northbound collector/distributer road system. In addition, this project satisfies the City's Core Value of Transportation Mobility and Connectivity. Project Status: The environmental re-evaluation and design are estimated to be completed in Fiscal Year 2019-20. Department: Public Works - Account No. 210.165.726 PW 16-01 (Ref: PW02-11) Level: Project Cost: Prior Years FYE2018 2018-19 2022-23 Actual Carryover Adopted 2019-20 2020-21 2021-22 Projected and Total Project Expenditures Budget Appropriation Projected Projected Projected Future Years Cost Administration $ 2,207,098 $ 225,701 $ 227,000 $ 227,000 $ 227,000 $ 227,000 $ 133,000 $ 3,473,799 Acquisition $ 9,393,251 $4,069,870 $ 990,000 $ 14,453,121 Caltrans Oversight $ 671,000 $ 6,140,000 $ 6,811,000 Construction $ 41,500,000 $ 41,500,000 Construction Engineering $ 830,000 $ 830,000 Design/Environmental $14,527,875 $3,333,613 $ 17,861,488 Utilities $ 1,993 $ 1,993 Totals $26,130,217 $7,629,184 $ 898,000 $ 49,687,000 $ 227,000 $ 227,000 $ 133,000 $ 84,931,401 Prior Years FYE 2018 2018-19 Source of Funds: Actual Carryover Adopted 2019-20 2020-21 2021-22 2022-23 Total Project Expenditures Budget Appropriation Projected Projected Projected Projected Cost General Fund"I $ 3,702,784 $ 563,390 $ 4,266,174 CFD(Harveston) $ 1,005,840 $ 1,005,840 DIF (Street Improvements) $ 75,360 $ 75,360 Federal Highway Administration $ 8,000 $ 8,000 Measure A (Local Streets and Roads) $ 1,627,914 $ 1,627,914 Measure S $ 227,000 $ 227,000 $ 1,155,640 $ 1,609,640 Reimbursements/ Other (Land Donation) $ 6,000,000 $ 6,000,000 SAFETEA-LU $ 671,000 $ 931,360 $ 1,602,360 STIP Augmentation $ 37,600,000 $ 37,600,000 STIPI2I $ 10,000,000 $ 10,000,000 TUMF (Rcrc)i'I $ 2,343,000 $ 2,343,000 TUMF (WRCOG)(<) $ 7,521,691 $3,568,169 $ 11,089,860 TUMF (WRCOG)(') $ 3,211,199 $ 507,545 $ 3,718,744 TUMF(WRCOG)Isl $ 59,015 $1,865,985 $ 1,925,000 TUMF (CETAP/WRCOG)I'I $ 348,414 $1,124,095 $ 1,472,509 Unspecified''' $ 227,000 $ 227,000 $ 133,000 $ 587,000 Total Funding: $26,130,217 L$7,629,184 $ 898,000 $ 49,687,000 $ 227,000 $ 227,000 $ 133,000 $ 84,931,401 Future Operation & Maintenance Costs: 2018-19 2020-21 2021-22 2022-23 $ 15,000 (1) General Fund Includes Required Contribution match for TUMF(CETAP/RCTC) funds. (2) State Transportation Improvement Program -2014 RCTC Call for projects as approved by the Commission on November 13, 2013($10,000,000). (3) TUMF (RCTC)- Regional funding is pursuant to RCTC Agreement No. 06-72-048-00 for a total of $7,517,000($5,517,000-ROW; $2,000,000-PS&E). $200,000 City Match, Phase I expended $3,174,000-ROW; $2,000,000 PS&E; $200,000 City Match. Phase 11 expended $2,343,000 ROW. (4) TUMF (WRCOG) - TUMF Zone funding is pursuant to WRCOG Agreement No. 06-SW-TEM-1079 for a total of $11,575,000 reduced to $11,451,875($975,752-PA&ED; $8,801,875- PS&E; $1,674,248-ROW) for Phase I and Phase 11. (5) TUMF (WRCOG) - TUMF Zone funding is pursuant to WRCOG Agreement No. 05-SW-TEM-1064 for $4,078,000 reduced to $4,043,000 ($108,724 PA&ED;3,934,296 PS&E) for Phase I and Phase 11. (6) TUMF (WRCOG) - TUMF Zone Funding is pursuant to WRCOG Agreement No. 05-SW-TEM-1064 for $1,925,000-ROW. No expenditures for Phase 1. (7) TUMF (CETAP/RCTC) - Funding is pursuant to the RCTC Agreement No. 17-73-007-00 in the amount of $1,472,509 ($673,562 ROW; $798,947 DESIGN; $106,603 City Match). (8) Project cannot be constructed until a funding source is identified. 55 FRENCH VALLEY PARKWAY/1-15 IMPROVEMENTS - PHASE II Circulation Project Location MIIRRIETA HOT SPRINGS RDf ' k�L sS. �P 1v. SON ... P F '•i[ --_ _y� 'Py FJ1E Si" ?S� �lirOOS SAV I y.. 9 O 11' 01 •iMONTAGEL' !!J�- b0 ••••5555�--.kY�' vt.'4ti`� NNOF,fL '�.' �_�"� �p�P�� ppSt F JNLWNNEO ?+ �A ��O�O� S M1+hF �}ry 'qLO q�N... 4pPpS lgNF. ip •� N +. F. h O ? OLFNgL ,. � BHg2 by OP •' 2' _ qOP l 00 ype.y. .: t.* 3p 'r .�i !o. o�o ,i•. ".w�' y'. op :PN UP40 ._ �y C.CIpOCi Ili � W f. f p may. 9 ♦ 'JYM1ry 4 f Jx p yy F J 5+ R Cf qSN �f } �� } � � OFF �. frf+ r� f''•'{,}� 4 .; A.': Epp � .. Op. ph 1 pJ i 'kip' .% PO C P $� (� O �yJgL y.k ppU 90a '.��4 i 4 p 4. 4Y PF' Opp+0~ ?pi p4: 4 Y w� iCp �LF S .` Feet kpEiu Aerial Data - 2015 0 750 1,500 3,000 4 ITEM NO . 12 CITY OF TEMECULA AGENDA REPORT TO: City Manager/City Council FROM: Patrick Thomas, Director of Public Works/City Engineer DATE: February 12, 2019 SUBJECT: Approve the Fifth Amendment to the Agreement with California Watershed Engineering Corporation (CWE) for the Flood Control Channel Reconstruction and Repair (Pala Community Park), PWI I-10 PREPARED BY: Avlin Odviar, Senior Civil Engineer Nino Abad, Associate Civil Engineer RECOMMENDATION: That the City Council approve the Fifth Amendment to the Agreement with California Watershed Engineering Corporation (CWE), in the amount of $89,132, for additional environmental work associated with addressing bank erosion adjacent to Pala Community Park. BACKGROUND: On February 11, 2014, the City Council approved an agreement to investigate solutions to erosion at three park sites (Pala Community Park, Margarita Community Park, and Butterfield Stage Park). On August 26, 2014, City Council approved the First Amendment to this Agreement to provide full working drawings for the improvement of Pala Community Park with a groin (spur) system. On April 14, 2015, City Council approved the Second Amendment in order to complete various environmental studies and permitting. On June 21, 2016 and November 28, 2017 the City Council approved the Third and Fourth Amendments for time extension. The project is now moving into the final stages of environmental permitting. Additional environmental surveys and studies are required for final approval of the project. In August of 2018, City Staff submitted a Joint Project Review (JPR) to the Riverside Conservation Authority (RCA) as required by the Multiple Species Habitat Conservation Plan (MSHCP). The RCA determined that additional environmental surveys and/or studies were required to complete the JPR. With consultation from the Planning Division, a proposal was requested from CWE for the additional field surveys, studies, and reports required by the RCA. The total cost for these services is $89,132.00. The scope of work and fee have been reviewed by City staff. Upon approval of the Fifth Amendment, the resulting Agreement base amount will be $351,465.00, with an authorized contingency of $21,460.00. FISCAL IMPACT: The Flood Control Channel Reconstruction and Repair is identified within the City's Capital Improvement Program, Fiscal Years 2019-23, and is funded with General Fund and Measure S. Sufficient funds for the recommended action is available within the project accounts. ATTACHMENTS: Fifth Amendment FIFTH AMENDMENT TO AGREEMENT BETWEEN CITY OF TEMECULA AND CALIFORNIA WATERSHED ENGINEERING CORPORATION d/b/a CWE FLOOD CONTROL CHANNEL RECONSTRUCTION AND REPAIR, PW11-10 (CONTRACT #14-017) THIS FIFTH AMENDMENT is made and entered into as of February 12, 2019 by and between the City of Temecula, a municipal corporation (hereinafter referred to as "City"), and California Watershed Engineering d/b/a CWE, a Corporation (hereinafter referred to as "Consultant"). In consideration of the mutual covenants and conditions set forth herein, the parties agree as follows: This Amendment is made with the respect to the following facts and purposes: a. On February 11, 2014, the City and Consultant entered into that certain Agreement entitled "Agreement for Consultant Services" in the amount of $94,816.00 plus contingency of $21,460.00, for a total Agreement amount of $116,276.00. b. On August 26, 2014, the City and Consultant entered into the First Amendment to that certain agreement entitled "Agreement for Consultant Services" to add scope of work and increase the payment in the amount of $47,715.00. C. On April 14, 2015, the City and the Consultant entered into the Second Amendment to that certain Agreement entitled "Agreement for Consultant Services" to amend the Prevailing Wage section of the Agreement, add scope of work, and increase the payment in the amount of $119,802.00. d. On June 21, 2016, the City and the Consultant entered into the Third Amendment to that certain Agreement entitled "Agreement for Consultant Services" to extend the term of the agreement to December 31, 2017. e. On November 28, 2017, the City and the Consultant entered into the Fourth Amendment to that certain Agreement entitled "Agreement for Consultant Services", to extend the term of the agreement to December 31, 2019. f. The parties now desire to add scope of work and increase payment in the amount of $89,132.00, and amend the agreement as set forth in this Amendment 2. Section 5 of the Agreement entitled "Payment" at paragraph "a" is hereby amended to read as follows: "The City agrees to pay Consultant monthly, in accordance with the payment rates and schedules and terms set forth in Exhibit B, Payment Rates and Schedule, attached hereto and incorporated herein by this reference as though set forth in full, based upon actual time spent on the above tasks. Any terms in Exhibit B, other than the payment rates and schedule of payment, are null and void. The Fifth Amendment amount shall not exceed Eighty Nine Thousand One Hundred Thirty Two Dollars ($89,132.00) for additional environmental studies and permitting, for a total contract amount of Three Hundred Seventy Two Thousand Nine Hundred Twenty Five Dollars ($372,925.00). 3. Exhibits "A" and "B" to the Agreement are hereby amended by adding thereto the items set forth on Attachment "A" to this Amendment, which is attached hereto and incorporated herein is through set forth in full. 4. Except for the changes specifically set forth herein, all other terms and conditions of the Agreement shall remain in full force and effect. IN WITNESS WHEREOF, the parties hereto have caused this Agreement to be executed the day and year first above written. CITY OF TEMECULA By: Michael S. Naggar, Mayor ATTEST: By: Randi Johl, City Clerk APPROVED AS TO FORM: By: Peter M. Thorson, City Attorney California Watershed Engineering Corporation d/b/a CWE (Two Signatures of corporate officers required unless corporate documents authorize only one person to sign the agreement on behalf of the corporation.) By: Vik Bapna, Chief Exe utive Officer By: on Pereira, Sec tart' CONSULTANT California d/b/a CWE Attn: Jason Pereira Watershed Engineering Corporation 1561 E Oran ethorpe Avenue, Suite 240 Fullerton, CA 92831-5202 714-526-7004 jpereira@cwecorp.com PM Initials: Date: 3 Attachment "A" Attached hereto and incorporated herein is the additional scope of work and associated cost as provided by the Consultant. CWE 1561 E. ORANGETHORPE AVENUE SUITE 240 FULLERTON, CA 92831-5202 (714) 526-7500 PHONE (714) 526-7004 FAX www.cwecorp.com January 15, 2019 EMAIL Mr. Nino Abad Associate Civil Engineer City of Temecula 41000 Main Street Temecula, California 92590 Pala Park Channel Restoration — Spur System Project Joint Project Review Support Dear Mr. Abad, CWE is please to submit this cost proposal to support the Joint Project Review (JPR) for the City of Temecula (City), to implement the Pala Park Channel Restoration — Spur System Project. CWE has supported the preparation of the preliminary application, and will develop the habitat assessment report addendum for the project construction, and revise the regulatory applications based on the biological report addendum and the JPR decision. The following sections provide CWE's proposed scope of work to support the JPR process. Scope of Work CWE will conduct the following scopes as identified below and detailed in Exhibit A: 1. JPR application, support, and meeting 2. Habitat assessment report 3. Revisions to the Mitigated Negative Declaration and regulatory permit applications 4. Special status plant surveys 5. Burrowing owl surveys 6. Pre -construction burrowing owl survey 7. Vernal pool branchiopod surveys 8. Least bell's vireo surveys 9. Pre -construction nesting bird/raptor survey Creating a Better Tomorrow, TodayTm Mr. Nino Abad January 15, 2019 Page 2 10. Update construction cost estimate Fee CWE will provide the identified scope of work as noted in the fee matrix below. The proposed fee is valid for 90 days from the date of the letter. If additional coordination or site meetings are required, CWE staff can attend on a time and materials basis per the enclosed CWE fee schedule. Item Scope Fee 1 JPR application, support, and meeting $2,756 2 Habitat assessment report $23,927 3 Revisions to the Mitigated Negative Declaration and regulatory permit applications $2' 356 4 Special status plant surveys $6,848 5 Burrowing owl surveys $7,574 6 Pre -construction burrowing owl survey $3,064 7 Vernal pool branchiopod surveys $25,476 8 Least bell's vireo surveys $9,917 9 Pre -construction nesting bird/raptor survey $4,708 10 Update construction cost estimate $2,506 TOTAL $89,132 If you have any questions or require additional information, please contact Mr. Vik Bapna at (714) 526-7500 Ext. 212 or vbapna@cwecorp.com. Respectfully submitted, CWE jl-- � 1 Jason Pereira, PE, CPSWQ, QSD Principal Enc. Creating a Better Tomorrow, TodayTm Exhibit A Scope of Work Task 1 JPR application, support, and meeting CWE has prepared a JPR application and met with the City and JPR to discuss comments. Task 2 Habitat assessment report CWE will prepare the habitat assessment report with the following subtasks. Task 2.1 Updated literature review An updated literature review will be conducted to determine which species have been identified as special status by state, federal, and local resources agencies and organizations and have a potential to occur within the project site or immediate vicinity. Sources to be reviewed include: (1) special status species lists from the California Department of Fish and Wildlife (CDFW), U.S. Fish and Wildlife Service (USFWS), and California Native Plant Society (CNPS); (2) database searches of the California Natural Diversity Database (CNDDB) and the Electronic Inventory of the CNPS; (3) the most recent Federal Register listing package and critical habitat determination for each federally listed Endangered or Threatened species potentially occurring on the project site; (4); the Regional Conservation Authority (RCA) Multiple Species Habitat Conservation Plan (MSHCP) Information Tool; and (5) other readily available biological studies conducted in the vicinity of the project site. Task 2.2 Habitat assessment and vegetation mapping A habitat assessment consistent with guidelines set forth in the Western Riverside County MSHCP will be prepared for the project site. The project site will be assessed for the potential presence of riparian/riverine resources, vernal pool habitat, urban/wildlands interface issues, and U.S. Army Corps of Engineers (USACE) and CDFW jurisdictional resources. According to the RCA MSHCP Information Tool, the project site is located within an MSHCP Criteria Area and an assessment of burrowing owl habitat will also be conducted. The habitat assessment will include a one -day field visit performed by a Botanist and Wildlife Biologist to map the vegetation and describe the current conditions on the project site. Any notable biological resources observed will be mapped on an aerial photograph. Concurrent with the habitat assessment described above, CWE will perform a jurisdictional delineation to determine the limits of jurisdictional "waters of the U.S.," including wetlands (if present), "waters of the State", and/or CDFW jurisdictional waters located within the boundaries of the project's proposed impact area. The project's proposed impact area is defined as the ultimate limits of project disturbance including grading and any other construction -related activity that involves temporary and/or permanent ground disturbance that can be characterized as dredge or fill within "waters of the U.S.," including wetlands, 11waters of the State", and/or CDFW jurisdictional waters. The City or the Project Engineer will provide digital files (in CAD or GIS) of the project's permanent and temporary disturbance areas to CWE to be used for impact analysis. The City or its Project Engineer will also provide CWE with digital files showing existing topographic contour data (at 2-foot intervals if available). Following the field survey, a Consistency Analysis Report will be developed based on the comments received from the City of Temecula on the Habitat Assessment Report for the Geotechnical Explorations portion of the project, previous documentation, literature review updates, and field verification surveys. Creating a Better Tomorrow, TodayTm Exhibit A Scope of Work The report will include the following: (1) introduction; (2) description of the proposed project; (3) the methodology used to conduct the survey; (4) a general description of the existing vegetation types and associated wildlife resources on the project site; (5) jurisdictional delineation results; and (6) recommendations based on MSHCP guidelines. In addition, the report will include a Determination of Biologically Equivalent or Superior Preservation (DBESP) section to address potential impacts on Riparian/Riverine resources, least Bell's vireo, and/or burrowing owl (if present). This section will include the following: (1) summary of biological studies and resource mapping of the project site; (2) demonstration of the infeasibility of avoidance; (3) quantification of unavoidable impacts; (4) mitigation/conservation measures; and (5) biologically equivalent or superior alternative conclusion and determination. This Scope of Work assumes one draft version of the report will be submitted in .pdf format to the Client and a final report, which incorporates required modifications will be submitted in .pdf format Additional revisions to the report will be billed on a time and materials basis using the budget from Task 3 below. Any special status species observed will be reported to the CNDDB. The report will make recommendations for focused surveys that may be required by the MSHCP. If the habitat assessment identifies species associated with riparian resources and vernal pools (e.g., least Bell's vireo, southwestern willow flycatcher, and/or fairy shrimp) or suitable habitat for burrowing owl, recommendations for additional studies will be included in the report. Please Note: This Scope of Work does not include the preparation and processing of regulatory permits or the development of a habitat mitigation concept or habitat mitigation and monitoring program. If these services are required, a budget augment will be requested. Task 2.3 Project management and meetings CWE will spend up to eight hours revising reports and performing project management and coordination tasks. Any time beyond this effort will be billed on a time and materials basis after prior approval or will require a budget augment. In addition, CWE will attend two meetings with the City of Temecula. The first will be a project initiation meeting via teleconference to discuss the response to comments on the previous Habitat Assessment Report for Geotechnical Explorations and to discuss the project and to obtain available information on project design and project features. The second in -person meeting will be with the City of Temecula and the RCA. Additional time beyond this effort will be billed on a time and materials basis after prior approval or will require a budget augment. Task 3 Revisions to the Mitigated Negative Declaration and regulatory permit applications Based on the revisions proposed in the JPR and the RCA process, CWE will make the necessary revisions and incorporate the changes into the Mitigated Negative Declaration (MND) and the regulatory permit applications. Creating a Better Tomorrow, TodayTm Exhibit A Scope of Work Optional Tasks Task 4 Special status plant surveys If suitable habitat is determined to be present after the field survey, a survey for special status plant species will be conducted on the project site. These surveys will focus on species not covered by the MSHCP. These surveys will be conducted during the blooming periods for each of the plants, which vary depending on rainfall and temperature. Therefore, reference populations will be monitored to determine the appropriate survey time (generally between March and July). Since blooming periods for special status species typically overlap, one early spring and one late spring survey can be conducted to cover all of the target species. The focused surveys will be conducted to systematically cover all suitable habitat on the project site. Field notes will be taken during the survey. If any special status plant species are found, the location of each population will be mapped, and voucher specimens will be collected and deposited in an appropriate herbarium to ensure the accuracy of the identification. A collecting permit is required for the collection of any state -listed Endangered species and the team of surveying botanists will have the appropriate permits. This scope of work assumes that the entire project site would provide habitat for special status plant species. Upon completion of the survey effort, a Letter Report that documents survey findings will be prepared. The letter will include a methods and results section with locations and descriptions of all special status plant species found. This Scope of Work assumes one draft version of the report will be submitted in .pdf format to the Client and a final report, which incorporates required modifications will be submitted in .pdf format. Any special status species observed will be reported to the CDFW's CNDDB. Task 5 Burrowing owl surveys If suitable habitat is determined to be present after the field survey, a focused survey, including a 500- foot buffer (if accessible) will be conducted following the Burrowing Owl Survey Instructions for the Western Riverside Multiple Species Habitat Conservation Plan (MSHCP) Area (March 2006). The survey for the burrowing owl will be conducted by a qualified Biologist. A total of four surveys will be conducted during the burrowing owl breeding season (March 1 through August 31) and will cover all suitable habitats (e.g., grassland, disturbed areas, channels, road edges, or other open vegetation types) in the project survey area. The surveys will be conducted during appropriate weather conditions from either two hours before sunset to one hour after, or from one hour before sunrise to two hours after. All potential habitat within the project will be surveyed by walking the survey area in transects, which will allow 100 percent visual coverage of the area. Any active burrows and burrowing owl sightings will be mapped on an aerial photograph and recorded with a Global Positioning System (GPS) unit. The number of burrowing owls will be noted on each visit and data will be collected on general habitat characteristics for each burrowing owl observed. Any pertinent behavior will also be recorded. A total of one field day would be required to cover the project survey area during each survey visit; therefore, this scope of work assumes a total of four Biologists field days to complete the work throughout the project survey area. Upon completion of the survey effort, a Letter Report that documents survey findings will be prepared. The Letter will include a methods and results section with locations and descriptions of any burrowing owls observed. This Scope of Work assumes one draft version of the report will be submitted in .pdf Creating a Better Tomorrow, TodayTm Exhibit A Scope of Work format to the Client and a final report, which incorporates required modifications will be submitted in .pdf format. Any special status species observed will be reported to the CDFW's CNDDB. Task 6 Pre -construction burrowing owl survey Pursuant to the MSHCP Objective 6 of the Species Account for the burrowing owl, a pre -construction burrowing owl survey is required prior to the issuance of a grading permit. The purpose of this survey is to verify the presence or absence of the burrowing owl on the project site. The survey will be conducted by a qualified Biologist no more than 30 days prior to construction. The locations of any burrowing owls observed on the project site will be mapped on an aerial photograph. Any pertinent behavior will also be recorded. Upon completion of the survey effort, a Letter Report that documents survey findings will be prepared. The Letter will include a description of survey methods, results section with locations and descriptions of any burrowing owls observed, and any limits to construction due to burrowing owl presence on or adjacent to the project site. This Scope of Work assumes one draft version of the report will be submitted in .pdf format to the Client and a final report, which incorporates required modifications will be submitted in .pdf format. Any special status species observed will be reported to the CDFW's CNDDB. Task 7 Vernal pool branchiopod (fairy shrimp) surveys The purpose of these surveys is to determine the presence or absence of federally listed vernal pool branchiopod species on the project site. If suitable habitat is determined to be present after the field survey, focused surveys will be conducted according to the USFWS' Survey Guidelines for the Listed Large Branchiopods (USFWS 2015). Pursuant to the MSHCP take agreement, one dry season and one wet season survey is required where suitable habitat (including stock ponds, ephemeral ponds, or other human -modified depressions) is present and cannot be avoided. Surveys will be performed by Biologists with the appropriate USFWS permits. The USFWS requires a 15-day notification prior to the anticipated start date of the surveys. Task 7A Dry season survey In accordance with USFWS dry season survey guidelines, soil will first be collected when it is dry to avoid damaging or destroying fairy shrimp cysts, which are more fragile when wet. The amount of soil collected will be proportional to the size of the ponding feature, ranging from 10 samples collected from smaller features up to 100 samples collected from larger features. Soil will be collected from the top 1 to 3 centimeters of sediment. The soil samples will be processed, and cyst density will be determined by a biologist who holds a permit with the appropriate terms and conditions specifically for conducting processing, isolating, and identifying listed large branchiopod eggs. If cysts are present in the samples, cysts will be cultured and reared to adulthood for identification by the permitted Biologist. Upon completion of the survey effort, a Letter Report that documents soil collection activities and processing/rearing of cysts will be prepared. The report will be submitted to the USFWS, the CDFW, and the City of Temecula within 90 days of completion of the soil and cyst analysis, as required by the surveying Biologist's 10(a)(1)(A) permit requirements. This scope assumes a draft and final version of the Creating a Better Tomorrow, TodayTm Exhibit A Scope of Work Letter Report will be submitted in .pdf format. Voucher specimens of all listed vernal pool branchiopod species will be collected and deposited to either the California Academy of Sciences or the Natural History Museum of Los Angeles County. Any special status species observed will be reported to the CNDDB. Task 7B Wet season survey A survey will begin after initial storm events to determine when pools/swales have been sufficiently inundated to begin the survey (i.e., greater than 3 centimeters of standing water 24 hours after a rain event). Following rainfall events, the hydrology of the pools on the project site will be monitored. This fee estimate includes up to 3 monitoring visits before surveys are initiated. The frequency and termination of surveys differ for three geographic subdivisions of the California Floristic Province. The project site is located within Survey Zone C. In accordance with Survey Zone C requirements, once the pools are sufficiently inundated, surveys will begin no later than 7 days following the initial inundation and continue once every week until pools are no longer inundated or until they have experienced 120 days of continuous inundation. This scope assumes that the ponds will be continuously inundated and includes 17 survey visits. If the pools dry and pond a second time during the season, additional surveys may be required, and a budget augment may be necessary. If a listed species is observed during a wet season survey, the USFWS will be notified within 10 working days and subsequent surveys may not be required. Upon completion of the survey effort, a Letter Report that documents survey findings will be prepared. The report will be submitted to the USFWS, the CDFW, and the City of Temecula within 90 days of completion of surveys, as required by the surveying Biologist's 10(a)(1)(A) permit requirements. This scope assumes a draft and final version of the Letter Report will be submitted in .pdf format. Voucher specimens of all listed vernal pool branchiopod species will be collected and deposited to either the California Academy of Sciences or the Natural History Museum of Los Angeles County. Any special status species observed will be reported to the CNDDB. NOTE: A single wet season survey may be considered unreliable if moderate to extreme drought conditions persist through the wet season or if a subsequent dry season survey detects branchiopod resting eggs. Additional surveys in subsequent wet seasons with sufficient rainfall may be required by the USFWS and a budget augment may be necessary. Task 8 Least bell's vireo surveys If suitable habitat is determined to be present after the field survey, a focused survey for the least Bell's vireo will follow the USFWS protocol (USFWS 2001). Surveys for the least Bell's vireo will be conducted by a qualified Biologist. Focused surveys for the least Bell's vireo will be conducted within all suitable habitat (i.e., riparian vegetation) in the project survey area. The least Bell's vireo protocol requires that a total of eight surveys be conducted at approximately ten-day intervals starting after April 10 and ending by July 31. Recordings will not be used for the least Bell's vireo as they are not required by the protocol. All surveys will be conducted during appropriate weather conditions, generally between dawn and 11:00 A.M. The locations where vireo are first observed will be mapped on an aerial photograph and recorded with a GPS unit. The number of birds (individuals or pairs) will be noted on each subsequent visit and data will be collected on general habitat characteristics for any least Bell's vireo observed. Any pertinent behavior will also be recorded. A total of one field day would be required to cover the project survey area Creating a Better Tomorrow, TodayTm Exhibit A Scope of Work during each survey visit; therefore, this scope of work assumes a total of eight Biologists field days to complete the work throughout the project survey area. Upon completion of the survey effort, a Letter Report that documents survey findings will be prepared. The report will include a methods and results section with locations and descriptions of any least Bell's vireo observed, and the least Bell's vireo survey and detection form. This Scope of Work assumes one draft version of the report will be submitted in .pdf format to the Client and a final report, which incorporates required modifications will be submitted in .pdf format. Any special status species observed will be reported to the CDFW's CNDDB. Task 9 Pre -construction nesting bird/raptor survey This task would be required if construction would occur during the migratory bird or raptor nesting season (i.e., generally between March 1 and June 30 for migratory birds and February 1 to June 30 for raptors). This task would not be required if construction occurs between July 1 and January 31. Pre -construction surveys for nesting birds and raptors will be conducted by a qualified Biologist ending no more than three days prior to construction within a 300-foot buffer around the project impact area (within 500 feet for raptors). If nesting birds/raptors are found, locations will be mapped, and a determination will be made on the nesting stage of the bird. In addition, if nesting bird/raptors s are found, excavation activities within 300 feet of nesting habitat (within 500 feet of raptor nests) would be delayed until the nest is vacated, juveniles have fledged, and there is no evidence of a second nesting attempt. Limits of avoidance will be flagged or staked with construction fencing. This scope assumes two survey visits will be conducted to (1) locate active nests and (2) monitor nesting stage; additional surveys to monitor active nests will require a contract augment. Upon completion of the survey effort, a Letter Report will be prepared on the survey findings. The report will include a methods and results section with locations and descriptions of nesting birds found and recommendations for appropriate further actions. This scope assumes a draft and final version of the Letter Report will be submitted in .pdf format. Any special status species observed will be reported to the CDFS's CNDDB. Task 10 Update construction cost estimate CWE will revise the current cost estimates for the project to reflect expected prices in 2020 when the project is put out for bid. Recent trends in construction bids are higher than current engineering estimates at the City of Temecula. CWE will evaluate recent aerial photography flown by the City against the topographic data collected during the original evaluation of the park in 2014. This will allow comparison of bank locations to see if more fill is required in the system design. Costs submitted recently by construction companies on other similar projects will be evaluated to determine the current costs of construction materials and labor and to see if these values are currently trending upwards. Costs for 2020 will be estimated considering inflation and the rising trends. Creating a Better Tomorrow, TodayTm Exhibit A Scope of Work Assumptions and Exclusions ➢ The Client will provide right -of -entry permits. ➢ The Client will provide site maps in electronic format and GIS shape files of sufficient detail to determine site boundaries in the field. ➢ Field surveys for biological resources, other than those explicitly detailed in this Scope of Work, that may be requested or required by the resource agencies are not included in this proposal. ➢ Surveys for biological resources cannot be performed in inclement weather. Inclement weather may affect project schedule. ➢ The above costs are estimates, and each task will be performed on a time and materials basis. Each cost has been estimated based on CWE's current knowledge of the proposed project. Agency or client requests that entail additional out of scope work efforts not explicitly described above will require and additional Scope of Work and Fee Estimate. ➢ Changes to the project description, project design, grading, or other changes that occur after the initiation of field surveys or after the draft report has been prepared will result in additional costs. ➢ CWE will respond to one set of written consensus comments that incorporate comments from the Client to the draft deliverables described above and will provide a final product based on those comments. Response to additional comments will be on a time and materials basis. ➢ Other services not expressly described are excluded. Creating a Better Tomorrow, TodayTm ITEM NO . 13 CITY OF TEMECULA AGENDA REPORT TO: City Manager/City Council FROM: Patrick Thomas, Director of Public Works/City Engineer DATE: February 12, 2019 SUBJECT: Approve the Plans and Specifications for the Installation of Public Art for the Roundabout Improvements on Ynez Road, PW 18-06 PREPARED BY: Amer Attar, Principal Civil Engineer Ron Moreno, Senior Civil Engineer — Land Development RECOMMENDATION: That the City Council: Approve the plans and specifications for the installation of public art for the Roundabout Improvements on Ynez Road, PW 18-06; 2. Approve an appropriation of $25,000 from the Public Art fund to the Roundabout Improvements on Ynez Road, PW18-06; Approve a transfer of $100,000 from the Overland Drive Extension, PW 16-06 to the Roundabout Improvements on Ynez Road, PW 18-06; 4. Approve an increase to the contract contingency with Hillcrest Contracting, Inc., the contractor for the Roundabout Improvements on Ynez Road Project, PW18-06, in the amount of $100,000 and increase the authority of the City Manager to approve change orders by the same amount. BACKGROUND: On June 12, 2018, the City Council approved the Plans and Specifications and authorized the Department of Public Works to solicit construction bids for the Roundabout Improvements on Ynez Road, PW18-06. In addition, on November 27, 2018, the City Council awarded a construction contract to Hillcrest Contracting, Inc. for the same project and authorized the City Manager to enter into Art Donation Agreement with Los Ranchitos Homeowners Association for the donation of artwork intended for installation in the center of the roundabout. Also, on November 27, 2018, the City Council authorized the City Manager to enter into funding agreements with Gateway Developer for $10,000 and Los Ranchitos Homeowners Association for $30,000. Both parties have executed the agreements and submitted their funding contribution. The Roundabout Improvements on Ynez Road will provide a traffic circle at the intersection of La Paz and Ynez Roads. The project includes the installation of a raised traffic circle with desert style hardscape inside the circle, stamped concrete in medians and streetlights. Los Ranchitos Homeowners Association has donated a public art piece, in the form of a horse statue that will be placed in the center of the proposed roundabout. As part of the installation of the art and construction of the roundabout, a Southern California Edison (SCE) power service line will be extended to the center of the roundabout for safety lighting and illumination of the art. The requested additional appropriation will cover cost of providing power service from Vallejo Avenue to the roundabout, safety light poles and fixtures, art illumination fixtures, and the installation of the public art. The electrical service will also serve as the power source for the electrical needs the upcoming Ynez Road widening project. FISCAL IMPACT: The Roundabout Improvements on Ynez Road is identified in the City's Capital Improvement Program (CIP) for Fiscal Years 2019-23, and is funded with Reimbursement — Developer Contribution Gateway, DIF Street Improvements, and a donation from the Los Ranchitos Homeowner's Association. With the recommended appropriation of $25,000 from the Public Art Fund, and the transfer of $100,000 from the Overland Drive Extension project, adequate funds will be available for construction of the project and the added improvements. ATTACHMENTS: 1. Monument Plans and Specifications 2. Project Location Map - A iVug o 'a, I vg m Fo a A saa"s»iq o 4 R m2 As m D 02 n s• 4 rn £ R ME. Ai ifi En pig 4> 0i^g_\ � � a F Fq "_ >Z� a ova ooi g iv 6 S s� " as Pao �� b"';22 I I lee Ile / If / — —— N3 d Z LAP STRE �^ a �, COZ,t74 Cc 28 '2p:E� Rpm' o�z I \ �'�• M Z �Trom7o N moIl E '' am>Rg2 m QQ a z .E6DUMALL� A yz�a ski o=oo sa2�a� o=�=s= p m z m3- Rab 'B g'"�a7N2>� O 3 .i� 99 mr M 0 b w gPX m�< 99r�€ rn b H:\PDATA\1650J6\CADD\LAND\DLV\IMPROVE\MONUMENT\165]J6-IRON-001.D= STOUEEER, JASON A 1/26/2019 9:09 AM ROUNDABOUT IMPROVEMENTS ON YNEZ ROAD Circulation Project 4", 4.1 V. Ile y. 40 4k� Aerial ❑ata - 2015 ITEM NO . 14 CITY OF TEMECULA AGENDA REPORT TO: City Manager/City Council FROM: Patrick Thomas, Director of Public Works/City Engineer DATE: February 12, 2019 SUBJECT: Approve the Plans and Specifications and Authorize the Solicitation of Construction Bids for the Citywide Concrete Repairs FY 2017-18, PW18-07 PREPARED BY: Amer Attar, Principal Civil Engineer Avlin R. Odviar, Senior Civil Engineer RECOMMENDATION: That the City Council: Approve the plans and specifications, and authorize the Department of Public Works to solicit construction bids for the Citywide Concrete Repairs FY 2017-18, PW 18-07; 2. Make a finding that this project is exempt from CEQA per Article 19, Categorical Exemption, Section 15301, Existing Facilities, of the CEQA Guidelines. BACKGROUND: The Citywide Concrete Repairs is an annual maintenance project to repair various concrete facilities within the City's public right-of-way. The Department of Public Works, Maintenance Division surveys the City and compiles a list of the improvements that are in need of repair. This year's project will remove and replace curb and gutter, sidewalk, access ramps, driveways, cross gutters, and under sidewalk drains at over 200 locations identified on the attached List of Concrete Repair Areas. The project plans, specifications, and contract documents are complete and the project is ready to be advertised for construction bids. The bid documents are available for review in the office of the Director of Public Works. The Engineer's Estimate of construction cost is $315,000.00. The time limits of work is eighty- five (85) working days, which is approximately four (4) months. This project is exempt from the CEQA requirements pursuant to Article 19, Categorical Exemption, Section 15301, Existing Facilities, of the CEQA Guidelines. Section 15301 states that the repair and maintenance of existing highways, streets, and gutters are Class 1 activities, which are exempt from CEQA. FISCAL IMPACT: Adequate funds are available in the Department of Public Works, Maintenance Division, Fiscal Year 2018-19 budget for routine street maintenance. The source of funds for Citywide Concrete Repairs is Measure A. ATTACHMENTS: List of Concrete Repair Areas City of Temecula LIST OF CONCRETE AREAS PW18-07 Department of Public Works Page 1 of 19 CONCRETE ID NO. STREET OR PARK LOCATION FACILITY TYPE 1 RIVERTON LN 31082 RIVERTON LN SIDEWALK NIBLICK RD 2 NIBLICK RD S/O DOG LEG CIR SIDEWALK E/S OF STREET HARW ICK LN 3 HARWICK LN N/O STONEFIELD LN SIDEWALK W/S OF STREET 4 SHOREWOOD CT 41899 SHOREWOOD CT SIDEWALK 5 CAMINO ROMO 42245 CAMINO ROMO DRIVE APPROACH WOLF CREEK DR SOUTH 6 WOLF CREEK DR SOUTH BETWEEN FIRESIDE DR AND LIVE OAK DR SIDEWALK E/S OF STREET CURB & 7 PENNANT CT 31479 PENNANT CT GUTTER 8 CORTE SANTA CATALINA 32318 CORTE SANTA CATALINA SIDEWALK CAMINO RUBI 9 CAMINO RUBI BEHIND (S/O) 45624 CORTE ROYAL SIDEWALK N/S OF STREET INTERSECTION OF CALLE REDONDELA & CORTE SAGUNTO 10 CALLE REDONDELA N/E CORNER SIDEWALK PARKSIDE DR 11 PARKSIDE DR SIDEWALK BETWEEN TISCHA DR & ALLEYWAY 12 CAMINO HERNANDEZ 33482 CAMINO HERNANDEZ SIDEWALK City of Temecula LIST OF CONCRETE AREAS PW18-07 Department of Public Works Page 2 of 19 CONCRETE ID NO. STREET OR PARK LOCATION FACILITY TYPE BUTTERFIELD STAGE RD 13 BUTTERFIELD STAGE RD APPROX. 580 FT S/O ROTHENBERG DR SIDEWALK W/S OF STREET AGENA ST 14 AGENA ST APPROX. 50 FT N/O SKY TERRACE DR CURB & GUTTER W/S OF STREET 15 AGENA ST INTERSECTION OF AGENA ST & SOUTHERN CROSS RD APRON CATCH BASIN AT S/E CORNER 16 AGENA ST INTERSECTION OF AGENA ST & SOUTHERN CROSS RD CURB & CATCH BASIN AT S/E CORNER GUTTER CAMPANULA WY 17 CAMPANULA WY APPROX. 140 FT W/O MEADOWS PKWY SIDEWALK S/S OF STREET CAMPANULA WY 18 CAMPANULA WY APPROX. 80 FT E/O VOLTA WY SIDEWALK S/S OF STREET CAMPANULA WY 19 CAMPANULA WY APPROX. 130 FT E/O VOLTA WY SIDEWALK S/S OF STREET CAMPANULA WY 20 CAMPANULA WY APPROX. 225 FT E/O VOLTA WY SIDEWALK S/S OF STREET CAMPANULA WY 21 CAMPANULA WY APPROX. 330 FT E/O VOLTA WY SIDEWALK S/S OF STREET CAMPANULA WY 22 CAMPANULA WY APPROX. 430 FT E/O VOLTA WY SIDEWALK S/S OF STREET CAMPANULA WY 23 CAMPANULA WY APPROX 160 FT E/O PAVIA WY SIDEWALK S/S OF STREET INTERSECTION OF CAMPANULA WY & PAVIA WY ADA ACCESS 24 CAMPANULA WY N/E CORNER RAMP City of Temecula LIST OF CONCRETE AREAS PW18-07 Department of Public Works Page 3 of 19 CONCRETE ID NO. STREET OR PARK LOCATION FACILITY TYPE INTERSECTION OF CAMPANULA WY & PAVIA WY CURB & 25 CAMPANULA WY N/E CORNER GUTTER PAVIA WY 26 PAVIA WY APPROX. 20 FT S/O CAMPANULA WY SIDEWALK E/S OF STREET PAVIA WY CURB & 27 PAVIA WY APPROX. 20 FT S/O CAMPANULA WY GUTTER E/S OF STREET TEE DR 28 TEE DR APPROX. 40 FT N/O RANCHO CALIFORNIA RD SIDEWALK W/S OF STREET MEADOWS PKWY 29 MEADOWS PKWY APPROX. 290 FT S/O DE PORTOLA RD SIDEWALK E/S OF STREET BUTTERFIELD STAGE RD 30 BUTTERFIELD STAGE RD APPROX 250 FT N/O JEREZ LN SIDEWALK W/S OF STREET BUTTERFIELD STAGE RD 31 BUTTERFIELD STAGE RD APPROX 120 FT S/O JEREZ LN SIDEWALK W/S OF STREET BUTTERFIELD STAGE RD 32 BUTTERFIELD STAGE RD APPROX 275 FT N/O DE PORTOLA RD SIDEWALK W/S OF STREET MARGARITA RD CURB & 33 MARGARITA RD APPROX 200 FT S/O WINCHESTER RD GUTTER E/S OF STREET CURB & 34 AGENA ST 42672 AGENA ST GUTTER BUTTERFIELD STAGE RD 35 BUTTERFIELD STAGE RD APPROX. 1140 FT S/O ROTHENBERG DR SIDEWALK W/S OF STREET 36 COSMIC DR 42029 COSMIC DR SIDEWALK City of Temecula LIST OF CONCRETE AREAS PW18-07 Department of Public Works Page 4 of 19 CONCRETE ID NO. STREET OR PARK LOCATION FACILITY TYPE RANCHO VISTA RD 37 RANCHO VISTA RD APPROX. 70 FT E/O AVENIDA DE LA REINA SIDEWALK N/S OF STREET INTERSECTION OF CORTE MADERA & VIA EL GRECO ADA ACCESS 38 CORTE MADERA S/E CORNER RAMP INTERSECTION OF DE PORTOLA RD & MONTOVA DR 39 DE PORTOLA RD S/W CORNER SIDEWALK INTERSECTION OF REDHAWK PKWY & VIA RIO TEMECULA ADA ACCESS 40 REDHAWK PKWY N/W CORNER RAMP ROCK BLUFF AVE 41 ROCK BLUFF AVE APPROX. 120 FT N/O RAINBOW CREEK DR SIDEWALK E/S OF STREET ROCK BLUFF AVE CURB AND 42 ROCK BLUFF AVE APPROX. 120 FT N/O RAINBOW CREEK DR GUTTER E/S OF STREET 42015 COSMIC DR CURB & 43 COSMIC DR OPPOSITE SIDE OF STREET GUTTER 44 BUSINESS PARK DR 43475 BUSINESS PARK DR SIDEWALK 45 BUSINESS PARK DR 43475 BUSINESS PARK DR SIDEWALK 46 BUSINESS PARK DR 43475 BUSINESS PARK DR SIDEWALK 47 CAMINO ROMO 42245 CAMINO ROMO SIDEWALK 48 ANNAPOLIS DR 40163 ANNAPOLIS DR SIDEWALK City of Temecula LIST OF CONCRETE AREAS PW18-07 Department of Public Works Page 5 of 19 CONCRETE ID NO. STREET OR PARK LOCATION FACILITY TYPE 49 WINCHESTER RD INTERSECTION OF WINCHESTER RD & PROMENADE MALL EAST ADA ACCESS S/E CORNER RAMP 50 WINCHESTER RD INTERSECTION OF WINCHESTER RD & PROMENADE MALL EAST ADA ACCESS S/E CORNER RAMP 51 WINCHESTER RD INTERSECTION OF WINCHESTER RD & PROMENADE MALL EAST SIDEWALK S/E CORNER 52 WINCHESTER RD INTERSECTION OF WINCHESTER RD & PROMENADE MALL EAST CURB & S/E CORNER GUTTER WINCHESTER RD 53 WINCHESTER RD APPROX. 175 FT E/O PROMENADE MALL EAST CURB & GUTTER S/S OF STREET 54 HARVESTON DR INTERSECTION OF HARVESTON DR & FARIMONT LN SIDEWALK S/W CORNER 55 MARGARITA RD INTERSECTION OF MARGARITA RD & OVERLAND DR ADA ACCESS N/W CORNER RAMP 56 MARGARITA RD INTERSECTION OF MARGARITA RD & OVERLAND DR ADA ACCESS N/W CORNER RAMP 57 MARGARITA RD INTERSECTION OF MARGARITA RD & OVERLAND DR CURB & N/W CORNER GUTTER 58 LIVE OAK DR 32154 LIVE OAK DR SIDEWALK HONORS DR 59 HONORS DR APPROX. 40 FT W/O BALATA DR SIDEWALK S/S OF STREET HONORS DR 60 HONORS DR APPROX. 100 FT W/O VARDON DR SIDEWALK N/S OF STREET City of Temecula LIST OF CONCRETE AREAS PW18-07 Department of Public Works Page 6 of 19 CONCRETE ID NO. STREET OR PARK LOCATION FACILITY TYPE INTERSECTION OF HONORS DR & VARDON DR 61 HONORS DR SIDEWALK N/W CORNER INTERSECTION OF HONORS DR & SOUTHERN HILLS DR ADA ACCESS 62 HONORS DR N/E CORNER RAMP INTERSECTION TEMEKU DR & GLENEAGLES DR ADA ACCESS 63 TEMEKU DR N/E CORNER RAMP INTERSECTION TEMEKU DR & GLENEAGLES DR ADA ACCESS 64 TEMEKU DR N/E CORNER RAMP INTERSECTION TEMEKU DR & GLENEAGLES DR 65 TEMEKU DR S/E CORNER SIDEWALK VIA LA VIDA 66 VIA LA VIDA APPROX. 45 FT S/O SOLONA WY SIDEWALK E/S OF STREET VIA LA VIDA CURB AND 67 VIA LA VIDA APPROX. 45 FT S/O SOLONA WY GUTTER E/S OF STREET INTERSECTION OF VIA LA VIDA & SOLANA WY ADA ACCESS 68 VIA LA VIDA S/W CORNER RAMP INTERSECTION OF VIA LA VIDA & SOLANA WY ADA ACCESS 69 VIA LA VIDA S/W CORNER RAMP INTERSECTION OF VIA LA VIDA & SOLANA WY 70 VIA LA VIDA SIDEWALK S/W CORNER 71 LEIGH LN 31943 LEIGH LN SIDEWALK 41397 BUECKING DR UNDER 72 BUECKING DR APPROX. 60 FT E/O DRIVE APPROACH SIDEWALK N/S OF STREET DRAIN City of Temecula LIST OF CONCRETE AREAS PW18-07 Department of Public Works Page 7 of 19 CONCRETE ID NO. STREET OR PARK LOCATION FACILITY TYPE 41397 BUECKING DR 73 BUECKING DR APPROX. 60 FT E/O DRIVE APPROACH SIDEWALK N/S OF STREET 41397 BUECKING DR CURB AND 74 BUECKING DR APPROX. 60 FT E/O DRIVE APPROACH GUTTER N/S OF STREET 75 CAMINO ROMO 42245 CAMINO ROMO SIDEWALK INTERSECTION OF LOGGER TR & FIRESIDE DR 76 LOGGER TR SIDEWALK N/W CORNER 77 SWEETBRIER CIR 39881 SWEETBRIER CIR SIDEWALK 78 MADISON AVE 27235 MADISON AVE SIDEWALK 79 BRISTOL RD 28905 BRISTOL RD SIDEWALK MARGARITA RD 80 MARGARITA RD APPROX. 290 FT N/O DE PORTOLA RD SIDEWALK W/S OF STREET UNDER 81 RIO NEDO RD 42327 RIO NEDO RD SIDEWALK DRAIN CURB & 82 RIO NEDO RD 42327 RIO NEDO RD GUTTER RANCHO VISTA RD 83 RANCHO VISTA RD APPROX. 100 FT E/O CAMINO ROMO SIDEWALK S/S OF STREET HARVESTON DR 84 HARVESTON DR APPROX. 215 FT S/O SAVANNAH DR SIDEWALK E/S OF STREET City of Temecula LIST OF CONCRETE AREAS PW18-07 Department of Public Works Page 8 of 19 CONCRETE ID NO. STREET OR PARK LOCATION FACILITY TYPE HARVESTON DR 85 HARVESTON DR APPROX. 110 FT S/O SAVANNAH DR SIDEWALK E/S OF STREET HARVESTON DR 86 HARVESTON DR APPROX. 15 FT S/O SAVANNAH DR SIDEWALK E/S OF STREET INTERSECTION OF HARVESTON DR & SAVANNAH DR ADA ACCESS 87 HARVESTON DR S/E CORNER RAMP INTERSECTION OF HARVESTON DR & SAVANNAH DR ADA ACCESS 88 HARVESTON DR S/E CORNER RAMP HARVESTON DR 89 HARVESTON DR APPROX. 100 FT S/O EASTON PL SIDEWALK E/S OF STREET HARVESTON DR 90 HARVESTON DR APPROX. 10 FT S/O EASTON PL SIDEWALK E/S OF STREET HARVESTO DR 91 HARVESTON DR APPROX. 150 FT S/O HARVESTON SCHOOL RD SIDEWALK E/S OF STREET HARVESTO DR 92 HARVESTON DR APPROX. 125 FT S/O HARVESTON SCHOOL RD SIDEWALK E/S OF STREET HARVESTO DR 93 HARVESTON DR APPROX. 55 FT S/O HARVESTON SCHOOL RD SIDEWALK E/S OF STREET INTERSECTION OF HARVESTON DR & HARVESTON SCHOOL RD ADA ACCESS 94 HARVESTON DR S/E CORNER RAMP HARVESTON SCHOOL RD 95 HARVESTON SCHOOL RD APPROX. 85 FT E/O HARVESTON DR SIDEWALK S/S OF STREET HARVESTON SCHOOL RD 96 HARVESTON SCHOOL RD APPROX. 15 FT E/O HARVESTON DR SIDEWALK S/S OF STREET City of Temecula LIST OF CONCRETE AREAS PW18-07 Department of Public Works Page 9 of 19 CONCRETE ID NO. STREET OR PARK LOCATION FACILITY TYPE INTERSECTION OF HARVESTON DR & HARVESTON SCHOOL RD 97 HARVESTON DR N/E CORNER SIDEWALK HARVESTON DR 98 HARVESTON DR APPROX. 50 FT S/O WELLSLEY CT SIDEWALK E/S OF STREET HARVESTON DR 99 HARVESTON DR APPROX. 150 FT N/O WELLSLEY CT SIDEWALK E/S OF STREET HARVESTON DR UNDER 100 HARVESTON DR APPROX. 80 FT N/O TOWNSHIP RD SIDEWALK W/S OF STREET DRAIN TOWNSHIP RD 101 TOWNSHIP RD APPROX. 130 FT E/O VILLAGE RD SIDEWALK S/S OF STREET TOWNSHIP RD 102 TOWNSHIP RD APPROX. 35 FT W/O HARVESTON DR SIDEWALK S/S OF STREET TOWNSHIP RD 103 TOWNSHIP RD APPROX. 10 FT W/O HARVESTON DR SIDEWALK S/S OF STREET HARVESTON DR 104 HARVESTON DR APPROX. 20 FT W/O AUBURN LN SIDEWALK N/S OF STREET INTERSECTION OF HARVESTON DR & FAIRMONT LN ADA ACCESS 105 HARVESTON DR S/W CORNER RAMP HARVESTON DR 106 HARVESTON DR APPROX. 55 FT S/O FAIRMONT LN SIDEWALK W/S OF STREET HARVESTON DR 107 HARVESTON DR APPROX. 170 FT S/O FAIRMONT LN SIDEWALK W/S OF STREET HARVESTON DR 108 HARVESTON DR APPROX. 220 FT S/O FAIRMONT LN SIDEWALK W/S OF STREET City of Temecula LIST OF CONCRETE AREAS PW18-07 Department of Public Works Page 10 of 19 CONCRETE ID NO. STREET OR PARK LOCATION FACILITY TYPE HARVESTON DR 109 HARVESTON DR APPROX. 240 FT S/O FAIRMONT LN SIDEWALK W/S OF STREET HARVESTON DR 110 HARVESTON DR APPROX. 300 FT S/O FAIRMONT LN SIDEWALK W/S OF STREET INTERSECTION OF CONGRESSIONAL DR & SEA ISLAND CT 111 CONGRESSIONAL DR ADJACENT TO CATCH BASIN ON S/S OF STREET SIDEWALK CONGRESSIONAL DR UNDER 112 CONGRESSIONAL DR APPROX. 60 FT W/O SEA ISLAND CT SIDEWALK S/S OF STREET DRAIN CONGRESSIONAL DR 113 CONGRESSIONAL DR APPROX. 60 FT W/O SEA ISLAND CT SIDEWALK S/S OF STREET CONGRESSIONAL DR UNDER 114 CONGRESSIONAL DR APPROX. 90 FT E/O SEA ISLAND CT SIDEWALK S/S OF STREET DRAIN CONGRESSIONAL DR 115 CONGRESSIONAL DR APPROX. 90 FT E/O SEA ISLAND CT SIDEWALK S/S OF STREET MEADOW BROOK WY 116 MEADOW BROOK WY APPROX. 70 FT S/O CONGRESSIONAL DR SIDEWALK W/S OF STREET RANCHO CALIFORNIA RD 117 RANCHO CALIFORNIA RD APPROX. 220 FT W/O TEE DR SIDEWALK N/S OF STREET RANCHO CALIFORNIA RD 118 RANCHO CALIFORNIA RD APPROX. 135 FT W/O BAHIA VISTA SIDEWALK N/S OF STREET HARVESTON DR 119 HARVESTON DR APPROX. 500 FT W/O CHARLESTON LN SIDEWALK N/S OF STREET HARVESTON DR 120 HARVESTON DR APPROX. 580 FT W/O CHARLESTON LN SIDEWALK N/S OF STREET City of Temecula LIST OF CONCRETE AREAS PW18-07 Department of Public Works Page 11 of 19 CONCRETE ID NO. STREET OR PARK LOCATION FACILITY TYPE HARVESTON DR 121 HARVESTON DR APPROX. 600 FT W/O CHARLESTON LN SIDEWALK N/S OF STREET HARVESTON DR 122 HARVESTON DR APPROX. 660 FT W/O CHARLESTON LN SIDEWALK N/S OF STREET HARVESTON DR 123 HARVESTON DR APPROX. 50 FT N/O ABERDEEN LN SIDEWALK W/S OF STREET HARVESTON DR 124 HARVESTON DR APPROX. 110 FT N/O FAIRMONT LN SIDEWALK W/S OF STREET INTERSECTION OF HARVESTON DR & PASADENA DR ADA ACCESS 125 HARVESTON DR S/W CORNER RAMP INTERSECTION OF HARVESTON DR & PASADENA DR ADA ACCESS 126 HARVESTON DR S/W CORNER RAMP INTERSECTION OF HARVESTON DR & PASADENA DR 127 HARVESTON DR S/W CORNER SIDEWALK INTERSECTION OF HARVESTON DR & PASADENA DR ADA ACCESS 128 HARVESTON DR S/E CORNER RAMP INTERSECTION OF HARVESTON DR & PASADENA DR 129 HARVESTON DR S/E CORNER SIDEWALK LAKEVIEW RD 130 LAKEVIEW RD APPROX. 145 FT S/O DATE ST SIDEWALK W/S OF STREET LAKEVIEW RD 131 LAKEVIEW RD APPROX. 195 FT S/O DATE ST SIDEWALK W/S OF STREET LAKEVIEW RD 132 LAKEVIEW RD APPROX. 210 FT S/O DATE ST SIDEWALK W/S OF STREET City of Temecula LIST OF CONCRETE AREAS PW18-07 Department of Public Works Page 12 of 19 CONCRETE ID NO. STREET OR PARK LOCATION FACILITY TYPE LAKEVIEW RD 133 LAKEVIEW RD APPROX. 240 FT S/O DATE ST SIDEWALK W/S OF STREET LAKEVIEW RD 134 LAKEVIEW RD APPROX. 290 FT S/O DATE ST SIDEWALK W/S OF STREET LAKEVIEW RD 135 LAKEVIEW RD APPROX. 160 FT N/O HARVESTON DR SIDEWALK W/S OF STREET LAKEVIEW RD 136 LAKEVIEW RD APPROX. 15 FT N/O HARVESTON DR SIDEWALK W/S OF STREET RANCHO CALIFORNIA RD 137 RANCHO CALIFORNIA RD APPROX. 60 FT E/O CALLE ARAGON SIDEWALK N/S OF STREET RANCHO CALIFORNIA RD 138 RANCHO CALIFORNIA RD APPROX. 40 FT E/O CALLE ARAGON SIDEWALK N/S OF STREET RANCHO CALIFORNIA RD 139 RANCHO CALIFORNIA RD APPROX. 90 FT W/O MEADOWS PKWY SIDEWALK N/S OF STREET RANCHO CALIFORNIA RD 140 RANCHO CALIFORNIA RD APPROX. 150 FT W/O MEADOWS PKWY SIDEWALK N/S OF STREET RANCHO CALIFORNIA RD 141 RANCHO CALIFORNIA RD APPROX. 220 FT W/O MEADOWS PKWY SIDEWALK N/S OF STREET RANCHO CALIFORNIA RD 142 RANCHO CALIFORNIA RD APPROX. 420 FT E/O MARGARITA RD SIDEWALK N/S OF STREET RANCHO CALIFORNIA RD 143 RANCHO CALIFORNIA RD APPROX. 25 FT E/O MARGARITA RD SIDEWALK N/S OF STREET INTERSECTION OF RANCHO CALIFORNIA RD & MARGARITA RD ADA ACCESS 144 RANCHO CALIFORNIA RD N/E CORNER RAMP City of Temecula LIST OF CONCRETE AREAS PW18-07 Department of Public Works Page 13 of 19 CONCRETE ID NO. STREET OR PARK LOCATION FACILITY TYPE INTERSECTION OF RANCHO CALIFORNIA RD & MARGARITA RD 145 RANCHO CALIFORNIA RD N/E CORNER SIDEWALK RANCHO CALIFORNIA RD 146 RANCHO CALIFORNIA RD APPROX. 50 FT E/O YUKON RD SIDEWALK N/S OF STREET YUKON RD CURB & 147 YUKON RD APPROX. 25 FT N/O RANCHO CALIFORNIA RD GUTTER W/S OF STREET RORIPAUGH RD 148 RORIPAUGH RD APPROX. 160 FT N/O STARLING ST SIDEWALK W/S OF STREET HARVESTON DR 149 HARVESTON DR APPROX 85 FT E/O CHARLESTON LN SIDEWALK N/S OF STREET HARVESTON DR 150 HARVESTON DR APPROX 45 FT W/O CHARLESTON LN SIDEWALK N/S OF STREET HARVESTON DR 151 HARVESTON DR APPROX 320 FT W/O CHARLESTON LN SIDEWALK N/S OF STREET LAKEVIEW RD 152 LAKEVIEW RD APPROX. 35 FT N/O HARVESTON DR SIDEWALK W/S OF STREET LAKEVIEW RD 153 LAKEVIEW RD APPROX. 130 FT N/O HARVESTON DR SIDEWALK W/S OF STREET LAKEVIEW RD 154 LAKEVIEW RD APPROX. 75 FT N/O HARVESTON DR SIDEWALK W/S OF STREET LAKEVIEW RD 155 LAKEVIEW RD APPROX. 205 FT N/O HARVESTON DR SIDEWALK W/S OF STREET INTERSECTION OF HARVESTON DR & ANN ARBOR PL 156 HARVESTON DR S/E CORNER SIDEWALK City of Temecula LIST OF CONCRETE AREAS PW18-07 Department of Public Works Page 14 of 19 CONCRETE ID NO. STREET OR PARK LOCATION FACILITY TYPE INTERSECTION OF HARVESTON DR & NEWPORT RD ADA ACCESS 157 HARVESTON DR S/W CORNER RAMP INTERSECTION OF HARVESTON DR & NEWPORT RD ADA ACCESS 158 HARVESTON DR S/W CORNER RAMP INTERSECTION OF HARVESTON DR & NEWPORT RD 159 HARVESTON DR S/W CORNER SIDEWALK INTERSECTION OF NEWPORT RD & HARVESTON DR 160 NEWPORT RD S/E CORNER SIDEWALK HARVESTON DR ADA ACCESS 161 HARVESTON DR APPROX. 10 FT E/O NEWPORT RD RAMP S/S OF STREET HARVESTON DR 162 HARVESTON DR APPROX. 10 FT E/O NEWPORT RD SIDEWALK S/S OF STREET HARVESTON DR 163 HARVESTON DR APPROX. 180 FT E/O NEWPORT RD SIDEWALK S/S OF STREET HARVESTON DR 164 HARVESTON DR APPROX. 265 FT E/O NEWPORT RD SIDEWALK S/S OF STREET HARVESTON DR 165 HARVESTON DR APPROX. 175 FT W/O SHERBOURNE PL SIDEWALK S/S OF STREET HARVESTON DR 166 HARVESTON DR APPROX. 215 FT W/O SHERBOURNE PL SIDEWALK S/S OF STREET SHERBOURNE PL 167 SHERBOURNE PL APPROX. 20 FT N/O HARVESTON DR SIDEWALK W/S OF STREET INTERSECTION OF HARVESTON DR & SHERBOURNE PL ADA ACCESS 168 HARVESTON DR N/W CORNER RAMP City of Temecula LIST OF CONCRETE AREAS PW18-07 Department of Public Works Page 15 of 19 CONCRETE ID NO. STREET OR PARK LOCATION FACILITY TYPE HARVESTON DR 169 HARVESTON DR APPROX. 80 FT W/O SHERBOURNE PL SIDEWALK N/S OF STREET HARVESTON DR 170 HARVESTON DR APPROX. 160 FT W/O SHERBOURNE PL SIDEWALK N/S OF STREET INTERSECTION OF HARVESTON DR & EVANSTON PL ADA ACCESS 171 HARVESTON DR N/E CORNER RAMP HARVESTON DR 172 HARVESTON DR APPROX. 270 FT W/O EVANSTON PL SIDEWALK N/S OF STREET HARVESTON DR 173 HARVESTON DR APPROX. 340 FT W/O EVANSTON PL SIDEWALK N/S OF STREET INTERSECTION OF HARVESTON DR & NEWPORT RD 174 HARVESTON DR N/S OF STREET SIDEWALK HARVESTON DR 175 HARVESTON DR APPROX. 20 FT W/O NEWPORT RD SIDEWALK N/S OF STREET INTERSECTION OF HARVESTON DR & ANN ARBOR PL 176 HARVESTON DR S/S OF STREET SIDEWALK INTERSECTION OF HARVESTON DR & ANN ARBOR PL ADA ACCESS 177 HARVESTON DR N/E CORNER RAMP INTERSECTION OF HARVESTON DR & ANN ARBOR PL ADA ACCESS 178 HARVESTON DR N/E CORNER RAMP INTERSECTION OF HARVESTON DR & ANN ARBOR PL ADA ACCESS 179 HARVESTON DR N/W CORNER RAMP INTERSECTION OF HARVESTON DR & ANN ARBOR PL ADA ACCESS 180 HARVESTON DR N/W CORNER RAMP City of Temecula LIST OF CONCRETE AREAS PW18-07 Department of Public Works Page 16 of 19 CONCRETE ID NO. STREET OR PARK LOCATION FACILITY TYPE HARVESTON DR 181 HARVESTON DR APPROX. 90 FT W/O ANN ARBOR PL SIDEWALK N/S OF STREET LAKEVIEW RD 182 LAKEVIEW RD APPROX. 110 FT N/O HARVESTON DR SIDEWALK E/S OF STREET LAKEVIEW RD 183 LAKEVIEW RD APPROX. 140 FT N/O HARVESTON DR SIDEWALK E/S OF STREET LAKEVIEW RD 184 LAKEVIEW RD APPROX. 160 FT N/O HARVESTON DR SIDEWALK E/S OF STREET LAKEVIEW RD 185 LAKEVIEW RD APPROX. 230 FT N/O HARVESTON DR SIDEWALK E/S OF STREET NORTH END OF PARKING LOT 186 PALA COMMUNITY PARK ADJACENT TO BASKETBALL COURTS SIDEWALK AT LIGHT POLE 187 PALA COMMUNITY PARK ENTRANCE TO PICNIC TABLE AT NORTH END OF BASKETBALL COURTS SIDEWALK PARKING STALL NEXT TO MAIN ENTRANCE @ BASKETBALL COURT NEXT TO CURB & 188 PALA COMMUNITY PARK BIKE RACK GUTTER PARKING STALL NEXT TO MAIN ENTRANCE @ BASKETBALL COURT NEXT TO 189 PALA COMMUNITY PARK BIKE RACK SIDEWALK FIRST PARKING STALL ON RIGHT HAND SIDE (S/S) OF ENTRANCE FROM 190 PATRICA H. BIRDSALL SPORTS PARK WOLF CREEK DR SOUTH SIDEWALK 191 PABLO APIS PARK AT EXIT FROM LARGE PLAYGROUND SLIDE SIDEWALK 192 TEMECULA CREEK TRAIL PARK BACK OF PLAYGROUND BETWEEN SLIDE STRUCTURE AND LARGE TREE SIDEWALK City of Temecula LIST OF CONCRETE AREAS PW18-07 Department of Public Works Page 17 of 19 CONCRETE ID NO. STREET OR PARK LOCATION FACILITY TYPE ENTRANCE FROM DE PORTOLA RD ADA ACCESS 193 PALOMA DEL SOL PARK S/E CORNER RAMP ENTRANCE FROM DE PORTOLA RD 194 PALOMA DEL SOL PARK S/E CORNER SIDEWALK ENTRANCE FROM DE PORTOLA RD DRIVE 195 PALOMA DEL SOL PARK S/E CORNER APPROACH ENTRANCE FROM DE PORTOLA RD CURB & 196 PALOMA DEL SOL PARK S/E CORNER GUTTER 197 RONALD REAGAN SPORTS PARK TOP OF ADA RAMP @ NORTH/SOUTH FIELD SIDEWALK 198 RONALD REAGAN SPORTS PARK BOTTOM OF ADA RAMP @ NORTH/SOUTH FIELD SIDEWALK 199 RONALD REAGAN SPORTS PARK BOTTOM OF ADA RAMP @ NORTH/SOUTH FIELD CURB CROSS 200 RONALD REAGAN SPORTS PARK CROSS GUTTER THROUGH WASH TO SKATE PARK GUTTER 201 RONALD REAGAN SPORTS PARK BEHIND HOME PLATE OF FIELD #5 SIDEWALK 202 RONALD REAGAN SPORTS PARK BEHIND BLEACHERS OF FIELD #3 SIDEWALK 203 RONALD REAGAN SPORTS PARK ADA RAMP @ 3RD BASE LINE OF FIELD #6 SIDEWALK 204 MARGARITA DOG PARK NEAR SPRING PLAYGROUND FEATURE @ TRASH CAN & BIG TREE SIDEWALK City of Temecula LIST OF CONCRETE AREAS PW18-07 Department of Public Works Page 18 of 19 ID NO. STREET OR PARK LOCATION CONCRETE FACILITY TYPE 205 TEMEKU HILLS PARK NORTH END OF PARKING LOT FROM MEADOWS PKWY AT YELLOW BOLLARDS AND BASKETBALL COURT SIDEWALK 206 RIVERTON PARK AT PICNIC SHELTER AND SWING SET, ADJACENT TO BENCH SIDEWALK 207 NICOLAS ROAD PARK ADJACENT TO 27680 PARKSIDE DR SIDEWALK 208 LONG CANYON CREEK PARK BETWEEN MOTORCYCLE SPRING PLAYGROUND FEATURE AND LARGE TREE SIDEWALK 209 MARGARITA COMMUNITY PARK AT CORNER OF SPLASH PAD FENCE BY ACCESS PATH TO TENNS COURTS SIDEWALK 210 MARGARITA COMMUNITY PARK AT DRINKING FOUNTAIN BETWEEN TENNIS COURTS AND HOCKEY RINK SIDEWALK 211 HARVESTON COMMUNITY PARK PARKING LOT OFF EQUITY DR NEXT TO N/E PARKING SPOT AT BIG TREE SIDEWALK 212 HARVESTON LAKE PARK AT PARK OFF BALBOA DR BEHIND /RESTROOM BUILDING SIDEWALK 213 HARVESTON LAKE PARK AT PARK OFF BALBOA DR BY TRASH CAN NEAR PARK RULES SIGN SIDEWALK 214 HARVESTON LAKE PARK ACROSS FROM 40101 BALBOA DR SIDEWALK 215 HARVESTON LAKE PARK ACROSS FROM 40053 BALBOA DR AT TREE SIDEWALK 216 HARVESTON LAKE PARK LAKE SIDE OF 40079 ASHVILLE LN SIDEWALK City of Temecula LIST OF CONCRETE AREAS PW18-07 Department of Public Works Page 19 of 19 ID NO. STREET OR PARK LOCATION CONCRETE FACILITY TYPE 217 HARVESTON LAKE PARK LAKE SIDE OF 40085 ASHVILLE LN SIDEWALK 218 HARVESTON LAKE PARK LAKE SIDE OF 40164 STOWE RD SIDEWALK ITEM NO . 15 CITY OF TEMECULA AGENDA REPORT TO: City Manager/City Council FROM: Patrick Thomas, Director of Public Works/City Engineer DATE: February 12, 2019 SUBJECT: Approve Specifications and Authorize Solicitation of Construction Bids for the Pavement Rehabilitation Program — Citywide, Meadowview Loop, Project PW18-10 PREPARED BY: Avlin R. Odviar, Senior Civil Engineer Nino Abad, Associate Civil Engineer RECOMMENDATION: That the City Council approve the specifications and authorize the Department of Public Works to solicit construction bids for the Pavement Rehabilitation Program — Citywide, Meadowview Loop, Project Number PW18-10. BACKGROUND: This project will rehabilitate approximately one million square feet of roadway in the Meadowview community. Project limits include the full width of Del Rey Road, Via Norte, Calle Pina Colada (between Via Norte and North General Kearney) and Avenida Barca (between Del Rey Road and Margarita Road). The roadway rehabilitation will consist of a 3/a" asphalt concrete leveling course, an Asphalt Rubber and Aggregate Membrane (ARAM) chip seal, and a Type II rubberized slurry seal coat. Removal of existing pavement delineation, restriping, and replacement of existing curb ramps with ADA compliant curb ramps are also included. Specifications are complete and the project is ready to be advertised for construction bids. The contract documents are available for review in the Director of Public Works' office. The Engineer's estimate of construction cost is $1,600,000 and estimate of construction duration is 100 working days (approximately 5 months). FISCAL IMPACT: The Pavement Rehabilitation Program — Citywide is identified in the City's Capital Improvement Program (CIP) budget for Fiscal Years 2019-2023 with Measure A and SB 1/Road Maintenance and Rehabilitation (RMRA) funding specifically identified for the Meadowview Loop. Adequate funds are available in the project accounts to construct this project. ATTACHMENTS: 1. Project Description 2. Project Area Map Capital Improvement Program Fiscal Years 2019-23 PAVEMENT REHABILITATION PROGRAM - CITYWIDE Circulation Project Project Description: This project includes the environmental processing, design, construction of pavement rehabilitation, and reconstruction of major streets as recommended in the Pavement Management System. Benefit / Core Value: This project improves pavement conditions so that the transportation needs of the public, business industry, and government can be met. In addition, this project satisfies the City's Core Value of Transportation Mobility and Connectivity. Project Status: A priority list of rehabilitation projects is used to determine the allocation of available funding. Installations are completed on an ongoing basis. Department: Public Works - Account No. 210.165.655 Level: I 2022-23 Project Cost: Prior Years FYE 2018 2018-19 Projected Actual Carryover Adopted 2019-20 2020-21 2021-22 and Future Total Project Expenditures Budget Appropriation Projected Projected Projected Years Cost Administration $ 2,312,408 $ 285,652 $ 300,000 $ 300,000 $ 300,000 $ 300,000 $ 120,000 $ 3,918,060 Construction $ 18,394,986 $ 3,895,090 $ 2,629,591 $ 2,577,154 $ 2,655,941 $ 2,736,689 $ 3,199,397 $ 36,088,848 Construction Engineering $ 289,799 $ 664,960 $ 250,000 $ 250,000 $ 250,000 $ 250,000 $ 50,000 $ 2,004,759 Design/Environmental $ 781,049 $ 516,993 $ 1,298,042 Totals $ 21,778,242 $ 5,362,695 $ 3,179,591 $ 3,127,154 $ 3,205,941 $ 3,286,689 $3,369,397 $ 43,309,709 Source of Funds: Prior Years FYE 2018 2018-19 Actual Carryover Adopted 2019-20 2020-21 2021-22 2022-23 Total Project Expenditures Budget Appropriation Projected Projected Projected Projected Cost General Fund $ 4,543,670 $ 1,148,944 $ 5,692,614 Gas Tax $ 341,187 $ 858,813 $ 1,200,000 RMRA (') $ 633,191 $ 1,843,670 $ 1,880,543 $ 1,918,154 $ 1,956,517 $ 1,995,647 $ 10,227,722 Measure A $ 14,893,385 $ 2,721,747 $ 1,335,921 $ 1,246,611 $ 1,287,787 $ 1,330,172 $ 1,373,750 $ 24,189,373 Measure S $ 2,000,000 $ 2,000,000 Total Funding: $ 21,778,242 $ 5,362,695 $ 3,179,591 $ 3,127,154 $3,205,941 $3,286,689 $3,369,397 $ 43,309,709 Future Operation & Maintenance Costs: 2018-19 2019-20 2020-21 2021-22 2022-23 (1) Road Repair and Accountability Act (RMRA) ATM° G°E"O EV G 00 ,,\I- DE acj G RORIPAUG NPJ 9F GPRM C/R ELITq 2iApERO � J5� O,P ¢ O W n o 3 �P °. yPGGESS RD VERO�y G,t3�� � � m 1p PO 2 'P°1s SOS (cN�RP �o R`Z. NORM G 9 O O Oda G m z AVENIpq 9 SOL F� 3 W VDWOOD CIR �\N g GEORGECARLE VAIL SRO°k pR P �EWOOD DR Y Los NOGO-ES RD WAYN -� o pPONTE VERDE RD A Q �¢ 9m MARHILLCIR O ¢ a ti SO`Aryq WY QVP CALLS PA NyyNO GO�,�t� GO?- 0 'PIANO 9GF/ VIA LA VIDA VIA LAS CHPGQ4 N C'OR 2°9 Y SFLjL44 CASTILLE ¢ O w 3 ¢ ¢ 3 Ey GT 5 a Oe AVENID4 VISTAS �RAESANLUIS n ..,AS CALLS AVENIDA CIMA DELSOL G�EK P � �J A Limits of Work Pavement Rehabilitation Program - Citywide Meadowview Loop, PW18-10 J\p, CORSICq 1 O O�y T �Q Gil <� �FppsgO w U G P 6 EP RD BPG�RAT RO w U o �PSUERPF AVEN/pq � Q AVEN�OP L REpOSO oy VIA LO` P O 0'1/10 OQ L °P0\�OLE s Y y �O V GF G O Rrq E DR CALLE PINA COLAIDA m \ ESs k m off¢ �P CPKHI�� t O RD qp4' yK SAN PASQUAL RD n � � x m m c~ STEP 0 z W ¢ r-1 G z t<ARD O� y¢ rn NUMBEROR G� O U �O� FEATtI U OG� �P4 �N OR SRO 0 1,000 2,000 Feet J ^� f ITEM NO . 16 CITY OF TEMECULA AGENDA REPORT TO: City Manager/City Council FROM: Patrick Thomas, Director of Public Works/City Engineer DATE: February 12, 2019 SUBJECT: Accept Improvements and File the Notice of Completion for FY18/19 Citywide Slurry Program, PW18-09 PREPARED BY: Avlin Odviar, Senior Civil Engineer Nino Abad, Associate Civil Engineer RECOMMENDATION: That the City Council: 1. Accept the improvements for the FYI 8/19 Citywide Slurry Program, PW18-09; 2. Direct the City Clerk to file and record the Notice of Completion, release the Performance Bond, and accept a one-year Maintenance Bond in the amount of 10% of the final contract amount; 3. Release the Labor and Materials Bond seven months after filing the Notice of Completion, if no liens have been filed. BACKGROUND: On September 11, 2018 the City Council awarded a construction contract to American Asphalt South in the amount of $1,406,372.58, and authorized the City Manager to approve change orders within the contract amount. PW 18-09 is a component of the Citywide Slurry Seal that is included in the City's five-year Capital Improvement Program. The project included the slurry seal of nearly six million square feet of various, primarily residential, roadways south of Temecula Parkway (see attached project map). Task related to the slurry seal operations such as crack filling and restriping were also included in the contract. American Asphalt South has completed the work in accordance with the approved specifications and to the satisfaction of the Director of Public Works/City Engineer. All work is warrantied for a period of one year from December 10, 2018, the date the City obtained "beneficial use" of the project improvements. The retention for this project will be released pursuant to the provisions of Public Contract Code Section 7107. FISCAL IMPACT: There is no Fiscal Impact for project acceptance and filing of the Notice of Completion. ATTACHMENTS: 1. Notice of Completion 2. Maintenance Bond 3. Contractor's Affidavit and Final Release 4. Project Area Map RECORDING REQUESTED BY AND RETURN TO: CITY CLERK CITY OF TEMECULA 41000 Main Street Temecula, CA 92590 EXEMPT FROM RECORDER'S FEES Pursuant to Government Code Sections 6103 and 27383 NOTICE OF COMPLETION NOTICE IS HEREBY GIVEN THAT: The City of Temecula is the owner of the property hereinafter described. 2. The full address of the City of Temecula is 41000 Main Street, Temecula, California 92590. 3. The Nature of Interest is a Contract which was awarded by the City of Temecula to American Asphalt South, Inc. 14436 Santa Ana Avenue, Fontana, CA 92337 to perform the following work of improvement: FY18/19 Citywide Slurry Program Project No. PW 18-09 4. Said work was completed by said company according to plans and specifications and to the satisfaction of the Director of Public Works of the City of Temecula and that said work was accepted by the City Council of the City of Temecula at a regular meeting thereof held on February 12, 2019. That upon said contract The Guarantee Company of North America USA, One Town Square, Ste. 1470, Southfield, MI 48076 was surety for the bond given by the said company as required by law. 5. The property on which said work of improvement was completed is in the City of Temecula, County of Riverside, State of California, and is described as follows: Various Streets South of Temecula Parkway Project No. PW 18-09 6. The location of said property is: Various Streets South of Temecula Parkway Dated at Temecula, California, this 12t" day of February, 2019. City of Temecula Randi Johl, City Clerk STATE OF CALIFORNIA ) COUNTY OF RIVERSIDE ) ss CITY OF TEMECULA ) I, Randi Johl, City Clerk of the City of Temecula, California, do hereby certify under penalty of perjury, that the foregoing NOTICE OF COMPLETION is true and correct, and that said NOTICE OF COMPLETION was duly and regularly ordered to be recorded in the Office of the County Recorder of Riverside by said City Council. Dated at Temecula, California, this 121" day of February, 2019. City of Temecula Randi Johl, City Clerk CITY OF TEMECULA, DEPARTMENT OF PUBLIC WORKS BOND NO. 12163034 MAINTENANCE BOND for FY18/19 CITYIWDE SLURRY PROGRAM PROJECT NO. PW18-09 KNOW ALL PERSONS BY THESE PRESENT THAT American Asphalt South, Inc. P.O. Box 31DO36, Fontana, CA 92331 NAME AND ADDRESS OF CONTRACTOR a Corporation (hereinafter called "Principal"), and (fill in whether a Corporation, Partnership, or Individual) The Guarantee Company of North America USA One Towne Square, Ste. 1470, Southfield, MI 48076 NAME AND ADDRESS OF SURETY (hereinafter called "Surety"), are held and firmly bound unto CITY OF TEMECULA (hereinafter called "Owner") in the penal sum of * DOLLARS AND CENTS ($__137,631.89 ) in lawful money of the United States, said sum being not less than ten percent (10%) of the Contract value payable by the said City of Temecula under the terms of the Contract, for the payment of which, we bind ourselves, successors, and assigns, jointly and severally, firmly by these presents. THE CONDITION OF THIS OBLIGATION is such that whereas, the Principal entered into a certain Contract with the Owner, dated the 11th day of September , 2019 a copy of which is hereto attached and made a part hereof for the construction of FY18119 CITYWIDE SLURRY PROGRAM, PROJECT NO. PW18-09. WHEREAS, said Contract provides that the Principal will furnish a bond conditioned to guarantee for the period of one year after approval of the final estimate on said jab, by the Owner, against all defects in workmanship and materials which may become apparent during said period; and WHEREAS, the said Contract has been completed, and was the final estimate approved on this the 10th day of December 20 18 . NOW, THEREFORE, THE CONDITION OF THIS OBLIGATION IS SUCH, that if within one year from the date of approval of the final estimate on said job pursuant to the Contract, the work done under the terms of said Contract shall disclose poor workmanship in the execution of said work, and the carrying out of the terms of said Contract, or it shall appear that defective materials were furnished thereunder, then this obligation shall remain in full force and virtue, otherwise this instrument shall be void. As a part of the obligation secured hereby and in addition to the face amount specif-P.ri, costs and reasonable expenses and fees shall be included, including reasonable attorney's fees * One Hundred Thirty Seven Thousand Six Hundred Thirty One Dollars and 89/100 MAINTENANCE BOND MB-1 incurred by the City of Temecula in successfully enforcing this obligation, all to be taxed as costs and included in any judgment rendered. The Surety hereby stipulates and agrees that no change, extension of time, alteration, or addition to the terms of the Contract, or to the work to be performed thereunder, or to the specifications accompanying the same, shall in any way affect its obligations on this bond, and it does hereby waive notice of any such change, extension of time, alteration, or addition to the terms of the Contract, or to the work, or to the Specifications. Signed and sealed this 25th day of January , 20 19 (Seal) SURETY: The Guarantee Company of North America A By: Eliza bet llodi (Name) Attorney -In -Fact (Title) APPROVED AS TO FORM: PRINCIPAL: American halt outh, Inc. By: D (Name) (Title) (Name) 5ecrre4a.t v\ Peter M. Thorson, City Attorney (Title) J NOTE:' Signatures of two corporate officers required for corporations. A Notarial Acknowledgement or Jurat must be attached for each of the Surety and Principal Signatures. MAINTENANCE BOND MB-2 ACKNOWLEDGMENT A notary public or other officer completing this certificate verifies only the identity of the individual who signed the document to which this certificate is attached, and not the truthfulness, accuracy, or validity of that document. State of California County of Butte On January 25th, 2019 personally appeared who proved to me on the basis of satisfactory evidence to be the person() whose name(x) is/am subscribed to the within instrument and acknowledged to me that k1*/she/ executed the same in kirs/herAk9k authorized capacity( e&), and that byihis;/her/Aiwair signature(a) on the instrument the person(i), or the entity upon behalf of which the person(a) acted, executed the instrument. before me, ^ Deanna Quintero, Notary Public (insert name and title of the officer) Elizabeth Collodi I certify under PENALTY OF PERJURY under the laws of the State of California that the foregoing paragraph is true and correct. DEANNA QUINTERO WITNESS my hand and official seal. ] COMM. # 2261479 D ire NOTARY PUBLIC • CALIFORNIA Ca a COUNTY OF BUTTE w I Comm. Exp1m OCT. 6. 2= J Signature (Seal) THE TM The Guarantee Company of North America USA GUARANTEE POWER OF ATTORNEY Southfield, Michigan KNOW ALL BY THESE PRESENTS: That THE GUARANTEE COMPANY OF NORTH AMERICA USA, a corporation organized and existing under the laws of the State of Michigan, having its principal office in Southfield, Michigan, does hereby constitute and appoint Renee Ramsey, John Hopkins, Elizabeth Collodi, Bobbie Beeny, Phillip O. Watkins, Mindy Whitehouse, Jennifer Lakmann, Sara Walliser, John J. Weber, Stephanie Agapoff, Katherine Gordon, Jessica Monlux, Breanna Bofman, Vicky Troyan Interwest Insurance Services, LLC its true and lawful attorney(s)-in-fact to execute, seal and deliver for and on its behalf as surety, any and all bonds and undertakings, contracts of indemnity and other writings obligatory in the nature thereof, which are or may be allowed, required or permitted by law, statute, rule, regulation, contract or otherwise. The execution of such instrument(s) in pursuance of these presents, shall be as binding upon THE GUARANTEE COMPANY OF NORTH AMERICA USA as fully and amply, to all intents and purposes, as if the same had been duly executed and acknowledged by its regularly elected officers at the principal office. The Power of Attorney is executed and may be certified so, and may be revoked, pursuant to and by authority of Article IX, Section 9.03 of the By -Laws adopted by the Board of Directors of THE GUARANTEE COMPANY OF NORTH AMERICA USA at a meeting held on the 311'day of December, 2003. The President, or any Vice President, acting with any Secretary or Assistant Secretary, shall have power and authority: To appoint Attorney(s)-in-fact, and to authorize them to execute on behalf of the Company, and attach the Seal of the Company thereto, bonds and undertakings, contracts of indemnity and other writings obligatory in the nature thereof; and To revoke, at any time, any such Attorney -in -fact and revoke the authority given, except as provided below In connection with obligations in favor of the Florida Department of Transportation only, it is agreed that the power and authority hereby given to the Attorney -in -Fact includes any and all consents for the release of retained percentages and/or final estimates on engineering and construction contracts required by the State of Florida Department of Transportation. It is fully understood that consenting to the State of Florida Department of Transportation making payment of the final estimate to the Contractor and/or its assignee, shall not relieve this surety company of any of its obligations under its bond. In connection with obligations in favor of the Kentucky Department of Highways only, it is agreed that the power and authority hereby given to the Attorney -in -Fact cannot be modified or revoked unless prior written personal notice of such intent has been given to the Commissioner — Department of Highways of the Commonwealth of Kentucky at least thirty (30) days prior to the modification or revocation. Further, this Power of Attorney is signed and sealed by facsimile pursuant to resolution of the Board of Directors of the Company adopted at a meeting duly called and held on the 6th day of December 2011, of which the following is a true excerpt: RESOLVED that the signature of any authorized officer and the seal of the Company may be affixed by facsimile to any Power of Attorney or certification thereof authorizing the execution and delivery of any bond, undertaking, contracts of indemnity and other writings obligatory in the nature thereof, and such signature and seal when so used shall have the same force and effect as though manually affixed. IN WITNESS WHEREOF, THE GUARANTEE COMPANY OF NORTH AMERICA USA has caused this instrument to be signed and its corporate seal to be affixed by its authorized officer, this 2"'day of October,2015. STATE OF MICHIGAN County of Oakland THE GUARANTEE COMPANY OF NORTH AMERICA USA Stephen C. Ruschak, President & Chief Operating Officer Randall Musselman, Secretary On this 2nd day of October, 2015 before me came the individuals who executed the preceding instrument, to me personally known, and being by me duly sworn, said that each is the herein described and authorized officer of The Guarantee Company of North America USA; that the seal affixed to said instrument is the Corporate Seal of said Company; that the Corporate Seal and each signature were duly affixed by order of the Board of Directors of said company. Cynthia A. Takai Notary Public, State of Michigan County of Oakland My Commission Expires February 27, 2024 40 Acting in Oakland County IN WITNESS WHEREOF, I have hereunto set my hand at The Guarantee Company of North America USA offices the day and year above written. r' l I, Randall Musselman, Secretary of THE GUARANTEE COMPANY OF NORTH AMERICA USA, do hereby certify that the above and foregoing is a true and correct copy of a Power of Attorney executed by THE GUARANTEE COMPANY OF NORTH AMERICA USA, which is still in full force and effect. rwTrr IN WITNESS WHEREOF, I have thereunto set my hand and attached the seal of said Company this 25th day of January 2019 F Randall Musselman, Secretary ACKNOWLEDGMENT A notary public or other officer completing this certificale-verifies"Unly the identity of the individual who signed the document to which this certificate is attached,- a-nd-not--th,e--truthfulness, accuracy, or validity of that document. State --of California County of San Bernardino On �fR „��g � �, � a � before me, Richard Entrikin-Notary �Y (insert name and title of the officer) personally appeared Lyle Stone and Jeff Petty who proved to me on the basis of satisfactory evidence to be the person(s) whose name(s)�s/are subscribed to the within instrument and acknowledged to me that he/she/they executed the same in b.Wbe-r/their authorized capacity(ies), and that by kris/be/their signature(s) on the instrument the person(s), or the entity upon behalf of which the person(s) acted, executed the instrument. I certify under PENALTY OF PERJURY under the laws of the State of California that the foregoing paragraph is true and correct. WITNESS my hand and official seal_ Signature RICHARD ENTRttLIi+I COMM. #2201331 z Notary Public - California o a San Bernardino County Comm.J@My Ex 'resA 13, WI (Seal) CITY OF TEMECULA, DEPARTMENT OF PUBLIC WORKS CONTRACTOR'S AFFIDAVIT AND FINAL RELEASE for FYI 8/19 CITYWIDE SLURRY PROGRAM PROJECT NO. PW18-09 This is to certify that A"C1660 APVy,4- Ste" ' A 1 f � C' (hereinafter the "Contractor") declares to the City of Temecula, under oath, that he/she/it has paid in full for all materials, supplies, labor, services, tools, equipment, and all other bills contracted for by the Contractor or by any of the Contractor's agents, employees or subcontractors used or in contribution to the execution of its Contract with the City of Temecula, with regard to the building, erection, construction, or repair of that certain work of improvement known as FY18/19 CITYWIDE SLURRY PROGRAM, PROJECT NO. PW18-09, situated in the City of Temecula, State of California, more particularly described as follows: ADDRESS OR DESCRIBE LOCATION OF WORK The Contractor declares that it knows of no unpaid debts or claims arising out of said Contract which would constitute grounds for any third party to claim a Stop Notice against of any unpaid sums owing to the Contractor. Further, in connection with the final payment of the Contract, the Contractor hereby disputes the following amounts: Description 1-)& t/e. Dollar Amount to Dispute Pursuant to Public Contract Code Section 7100, the Contractor does hereby fully release and acquit the City of Temecula and all agents and employees of the City, and each of them, from any and all claims, debts, demands, or cause of action which exist or might exist in favor of the Contractor by reason of payment by the City of Temecula of any contract amount which the Contractor has not disputed above. CONTRACTOR: Dated: — (� By: Ok Sign Je- Print Name and Titlel RELEASE R-1 0 2,500 5,000 Feet / "1 ITEM NO . 17 CITY OF TEMECULA AGENDA REPORT TO: City Manager/City Council FROM: Patrick Thomas, Director of Public Works/City Engineer DATE: February 12, 2019 SUBJECT: Receive and File Temporary Street Closures for 2019 Springfest Events PREPARED BY: Ron Moreno, Senior Civil Engineer Steve Charette, Associate Civil Engineer RECOMMENDATION: That the City Council receive and file the following proposed action by the City Manager to temporarily close certain streets for the following 2019 Springfest events: TEMECULA ROD RUN TASTE OF TEMECULA REALITY RALLY A TRIBUTE TO HEROES Four special events scheduled for March, April and May 2019 necessitate the physical closure of all or portions of certain streets within the Old Town area. The closures are necessary to facilitate the events and protect participants and viewers. The four events and the associated street closures are as follows: 1) TEMECULA ROD RUN — March 111 and 2nd The annual Spring Rod Run will be held March Pt and 2nd in Old Town Temecula. Street closures are scheduled as follows: Old Town Front Street 4:00 p.m. to 8:30 p.m. on Friday, March 1st from South Moreno Road to Second Street and 4:30 a.m. to 5:00 p.m. on Saturday, March 2na Main Street 8:00 a.m. on Friday, March 1" Old Town Front Street to Mercedes Street to 5:00 p.m. on Saturday, March 2ra Sixth, Fifth, Fourth, and Third Streets 4:00 p.m. on Friday, March 1st from Mercedes Street to Murrieta Creek to 5:00 p.m. on Saturday, March 2nd The street closure location for the Temecula Rod Run event is shown on Exhibit "A" attached hereto. Show car parking will be at designated parking lots and along both sides of Old Town Front Street, also as shown on Exhibit "A." Northbound and southbound traffic will detoured around the event via Mercedes Street. The entire length of Mercedes Street will be open for the duration of the event starting Friday, March 1 st at 4:00 p.m. The Old Town Parking Garage will be open with ample free parking available to the public. Access to the parking garage during the Rod Run from the north will be via Moreno Road to Mercedes Street, and from the south via Old Town Front Street to Second Street to Mercedes Street. 2) TASTE OF TEMECULA — April 251 through April 281 The annual Taste of Temecula event street closures will be April 25th through April 28th in the Town Square. Street closures are scheduled as follows: Main Street from the easterly driveway edge of 28636 8:00 a.m. on Thursday, April 25th Old Town Front Street at Rosa's Cantina to to Mercedes Street 8:00 a.m. on Sunday, April 28th Mercedes Street 8:00 a.m. on Thursday, April 25th between Fourth Street and Third Street to 8:00 a.m. on Sunday, April 28th The street closure location for the Taste of Temecula event is shown on Exhibit `B" attached hereto. 3) REALITY RALLY — May 4th The annual Reality Rally event will be held May 4th at the Town Square. Street closures are scheduled as follows: Main Street from the easterly driveway edge of 28636 n a.m. to p.m. th Old Town Front Street at Rosa's Cantina to on Saturday, May 4 o , Mercedes Street Mercedes Street 6:00 a.m. to 4:00 p.m. between Fourth Street and Third Street on Saturday, May 4th The street closure location for the Reality Rally event is shown on Exhibit `B" attached hereto. 4) A TRIBUTE TO HEROES — May 25th A Tribute to Heroes event will be held Friday, May 25thth. Street closures are scheduled as follows: Main Street from the easterly driveway edge of 28636 12:00 p.m. to 10 p.m. Old Town Front Street at Rosa's Cantina to on Friday, May 25th Mercedes Street Mercedes Street 12:00 p.m. to 10 p.m. between Fourth Street and Third Street on Friday, May 25th The street closure location for the A Tribute to Heroes event is shown on Exhibit `B" attached hereto. Street closures are allowed by the California Vehicle Code upon approval by the local governing body for certain conditions. Under Vehicle Code Section 21101, "Regulation of Highways," local authorities, for those highways under their jurisdiction, may adopt rules and regulations by ordinance or resolution for, among other instances, "temporary closing a portion of any street for celebrations, parades, local special events, and other purposes, when, in the opinion of local authorities having jurisdiction, the closing is necessary for the safety and protection of persons who are to use that portion of the street during the temporary closing." Chapter 12.12 of the Temecula Municipal Code, Parades and Special Events, provides standards and procedures for special events on public streets, highways, sidewalks, or public right of way and authorizes the City Council or City Manager to temporarily close streets, or portions of streets, for these events. FISCAL IMPACT: The costs of police services, as well as services provided by the City Public Works Maintenance Division (for providing, placing and retrieving of necessary warning and advisory devices), are appropriately budgeted within the City's operating budget. ATTACHMENTS: 1. Exhibit A — Temecula Rod Run Site Plan 2. Exhibit B — Springfest Street Closures 2019 TEMECULA ROD RUN Site Plan March 1, 2019 (4:00 PM — 8:30 PM) March 2, 2019 (4:30 AM — 5:00 PM) Merchant Parking Lots End of L-12 30 Lot L-14 26 End of L-1 55 Lot L-16 13 Public Parking Structure 480 Handicap Parking; Sixth Street First Street Mercedes Street Open to Public Civic Center Parking Structure Open to Public Additional motorcycle parking at L-13 Friday evening (until 6:00 PM) Third Street closure will move up to Kid's World parking area to allow for child pickup Trash Bins Portable Toilets (ADAAcoessible) 7Road Closure Public Parking _ , Parcels - Event Headquarters Incident Command Post (ICP) 1: • ,j Show Car Parking Handicap Parking - Private Lot (for Stampede Employees) Service by Appointment Only (Customer Parking) L _ Merchant Parking Motorcycle Parking 10 0 95 190 3B0 570 760 Feet Emergency Response Area, at Fire Station 12 Old Town Cna rlMp w.a maw h`� � Dp a remewa ocwvr' e 1!%�D�r Eryalaga 7rla rngn Mend Miri�LaaaNY Yiplpyarppan avd lf'dr Vary,paaaMApax, DfRm�wf CbvIA' 7no Sir or i.nacw �awrnam aka erlga n ws++axr wr sr Mwrnatra wr./ en wrpU bagasa�:a me0/�Y Trr Ogplpnc Nrameron ejHM am1 other adw'eea>fwP19v 4� la Ino oroal c�a iN�pfa.rNla� ina +Iq la rwl M�erlraernHq Map PraWna Fawyll A1D ryiauceaiamnDp__DrgWTn_�Itl12010 maa {_� , I1ACpARAY CIR - --_ _ _ — Ir:cidenl r L12 1-11 f ' SIXTH ST ' SIXTH ST moftefevele Pairk111g 6 I T 1II — I L 9 Z o FIFTH ST _ z - [T.JJ FOURTH ST I � I � � m III MAIN ST S�ulrfe II_ I I L-1A L-5 j THIRD ST I ' ,(,i tiur� AMU — I ILA far in 8trueiure j�_I I �` SECOND ST. Y I Public �arkl 0 J _ — Handicap qurkinr L :S+3ivf0ed b Boy ca is ' 6,7 %�] _ ' HandicapIh1 ���- 1 Street/ EXHIBIT `A' 1 • ■ c 'p s c� ,o c'�F D� P s � SFRINGFEST STREET CLOSURES - 2019 (MAIN STREET AND MERCEDES STREET) * TASTE OF TEMECULA - APRIL 25 - 28 LEGEND * REALITY RALLY - MA Y 4 STREET CLOSURE * TRIBUTE TO HEROES - MAY 25 BARRICADE EXHIBI T 'B I TEMECULA COMMUNITY SERVICES DISTRICT - CONSENT ITEM NO . 18 ACTION MINUTES TEMECULA COMMUNITY SERVICES DISTRICT MEETING COUNCIL CHAMBERS 41000 MAIN STREET TEMECULA, CALIFORNIA JANUARY 22, 2019 CALL TO ORDER at 7:37 PM: President James "Stew" Stewart ROLL CALL: Edwards, Naggar, Rahn, Schwank, Stewart CSD PUBLIC COMMENTS None CSD CONSENT CALENDAR 9. Approve the Action Minutes of January 8, 2019 Recommendation: That the Board of Directors approve the action minutes of January 8, 2019. Approved the Staff Recommendation (4-0): Motion by Naggar, Second by Schwank; and electronic vote reflected unanimous approval with Rahn absent. CSD DIRECTOR OF COMMUNITY SERVICES REPORT CSD GENERAL MANAGER REPORT CSD BOARD OF DIRECTORS REPORTS CSD ADJOURNMENT At 7:39 PM, the Community Services District meeting was formally adjourned to Tuesday, February 12, 2019, at 5:30 PM for a Closed Session, with a regular session commencing at 7:00 PM, City Council Chambers, 41000 Main Street, Temecula, California. James Stewart, President ATTEST: Randi Johl, Secretary [SEAL] ITEM NO . 19 TEMECULA COMMUNITY SERVICES DISTRICT AGENDA REPORT TO: General Manager/Board of Directors FROM: Jennifer Hennessy, Director of Finance DATE: February 12, 2019 SUBJECT: Approve Financial Statements for the 1st Quarter Ended September 30, 2018 PREPARED BY: Pascale Brown, Fiscal Services Manager Jordan Snider, Accountant I RECOMMENDATION: That the Board of Directors receive and file the Financial Statements for the 1st Quarter Ended September 30, 2018. BACKGROUND: The attached Financial Statements reflect the unaudited activity of the Temecula Community Services District for the 1st Quarter Ended September 30, 2018. Please see the attached Financial Statements for an analytical review of financial activity. FISCAL IMPACT: None ATTACHMENTS: 1. Combining Balance Sheet as of September 30, 2018. 2. Statement of Revenues, Expenditures and Changes in Fund Balance — Budget and Actual for the 1st Quarter Ended September 30, 2018. TEMECULA COMMUNITY SERVICES DISTRICT COMBINING BALANCE SHEET as of September 30, 2018 ASSETS: Cash and Investments Receivables TOTAL ASSETS LIABILITIES: Other Current Liabilities TOTAL LIABILITIES DEFERRED INFLOWS OF RESOURCES: Unavailable Revenues TOTAL DEFERRED INFLOWS OF RESOURCES FUND BALANCES: Restricted For: Community Services Committed To: Contractual Obligations (Encumbrance) TOTAL FUND BALANCES TOTAL LIABILITIES, DEFERRED INFLOWS OF RESOURCES, and FUND BALANCES NOTE: Balances are unaudited Parks & Service Service Level Service Level Recreation Level B C Slope D Refuse Street Lights Maintenance Recycling $ 1,891,833 $ 123,777 $ 1,396,175 $ 207,754 30,143 4,856 7,858 121,690 $ 1,921,976 $ 128,633 $ 1,404,033 $ 329,444 $ 717,640 $ 73,129 $ 126,908 $ 3,893 717,640 73,129 126,908 3,893 317,007 55,504 1,277,125 325,551 887,329 - - 1,204,336 55,504 1,277,125 325,551 $ 1,921,976 $ 128,633 $ 1,404,033 $ 329,444 TEMECULA COMMUNITY SERVICES DISTRICT COMBINING BALANCE SHEET as of September 30, 2018 Service Level R Service Level Street Road L Lake Park Library Public Art Total Maintenance Maintenance ASSETS: Cash and Investments $ 26,792 $ 358,465 $ 384,332 $ 31,747 $ 4,420,875 Receivables 321 1,869 1,767 126 168,630 TOTAL ASSETS $ 27,113 $ 360,334 $ 386,099 $ 31,873 $ 4,589,505 LIABILITIES: Other Current Liabilities $ - $ 12,035 $ 23,686 $ - $ 957,291 TOTAL LIABILITIES DEFERRED INFLOWS OF RESOURCES: Unavailable Revenues TOTAL DEFERRED INFLOWS OF RESOURCES FUND BALANCES: Restricted For: Community Services 27,113 Committed To: Contractual Obligations (Encumbrance) - TOTAL FUND BALANCES 27,113 TOTAL LIABILITIES, DEFERRED INFLOWS OF 12,035 23,686 - 957,291 348,299 267,602 27,847 2,646,048 94,811 4,026 986,166 348,299 362,413 31,873 3,632,214 RESOURCES, and FUND BALANCES $ 27,113 $ 360,334 $ 386,099 $ 31,873 $ 4,589,505 NOTE: Balances are unaudited TEMECULA COMMUNITY SERVICES DISTRICT STATEMENT OF REVENUES, EXPENDITURES, and CHANGES IN FUND BALANCE - BUDGET AND ACTUAL CITYWIDE OPERATIONS for the 1st Quarter Ended September 30, 2018 Annual Total % Amended YTD Activity Encumbrances Activity Budget Budget REVENUES: Special Tax (Measure C) $ 1,876,280 $ 16,616 $ - $ 16,616 1 % (1) Recreation Funding(Measure S) 6,033,431 2,395,687 - 2,395,687 40% (2) Recreation Program 2,499,346 834,790 - 834,790 33% Investment Interest 7,000 5,049 - 5,049 72% (3) TOTAL REVENUES $ 10,416,057 $ 3,252,142 - $ 3,252,142 31% EXPENDITURES: General Operations 2,517,597 633,474 114,884 748,358 30% Senior Center 518,044 118,751 27,794 146,545 28% Community Recreation Center (CRC) 1,053,232 327,468 78,218 405,686 39% Special Events 1,056,027 270,601 243,045 513,646 49% Temecula Community Center (TCC) 239,717 59,662 17,541 77,203 32% Museum 424,408 105,101 31,042 136,143 32% Aquatics 1,028,636 323,858 53,415 377,273 37% Sports 331,409 49,565 69,551 119,116 36% Children's Museum 107,325 26,478 6,687 33,165 31% Community Theater 1,339,964 381,207 154,502 535,709 40% Cultural Arts 246,283 50,292 17,573 67,865 28% Conference Center 82,901 20,352 950 21,302 26% Human Services 218,251 62,483 14,905 77,388 35% Margarita Recreation Center 157,040 33,550 13,738 47,288 30% Jefferson Recreation Center 52,570 12,193 5,331 17,524 33% Contract Classes 856,730 213,032 9,919 222,951 26% Park Rangers 217,299 71,841 2,587 74,428 34% Responsible Compassion 817,172 215,482 25,647 241,129 30% TOTAL EXPENDITURES Revenues Over/(Under) Expenditures and Transfers Beginning Fund Balance as of 7/01 /2018 Ending Fund Balance as of 9/30/2018 11,264,605 (848,548) 927,584 $ 79,036 $ 2,975,390 887,329 3,862,719 34% (4) 276,752 927,584 1,204,336 NOTES: (1) Special assessment taxes are primarily received in January and May each fiscal year. (2) The variance in Measure S funding is due to timing of transfers to cover encumbrances committed for this quarter. (3) The variance is due to the change in the fair value on investments, fluctuating interest rates, and improved cash flows. (4) The variance is operating expenditures is due to encumbrances that are recorded for the entire fiscal year. TEMECULA COMMUNITY SERVICES DISTRICT STATEMENT OF REVENUES, EXPENDITURES, and CHANGES IN FUND BALANCE - BUDGET AND ACTUAL SERVICE LEVEL B - RESIDENTIAL STREET LIGHTS for the 1st Quarter Ended September 30, 2018 REVENUES: Assessments Recreation Funding(Measure S) Investment Interest TOTAL REVENUES EXPENDITURES: Salaries and Wages Street Lighting Fees Property Tax Admin Fees TOTAL EXPENDITURES Revenues Over/(Under) Expenditures Beginning Fund Balance as of 7/01 /2018 Ending Fund Balance as of 9/30/2018 Annual Amended Budget $ 641,384 $ 62,661 200 704,245 21,451 755,000 12,750 789,201 3 261,188 Total YTD Activity 3,903 15,665 1,068 20,636 5,821 220,499 226,320 (205,684) 261,188 $ 176,232 $ 55,504 % of Budget 1% 25% 100% 3% 27% 29% 0% 29% (1) NOTES: (1) Special assessment taxes are primarily received in January and May each fiscal year. (2) The variance is due to the change in the fair value on investments, fluctuating interest rates, and improved cash flows. TEMECULA COMMUNITY SERVICES DISTRICT STATEMENT OF REVENUES, EXPENDITURES, and CHANGES IN FUND BALANCE - BUDGET AND ACTUAL REVENUES: Assessments Investment Interest TOTAL REVENUES EXPENDITURES: Zone 1 Saddlewood Zone 2 Winchester Creek Zone 3 Rancho Highlands Zone 4 The Vineyards Zone 5 Signet Series Zone 6 Woodcrest Country Zone 7 Ridgeview Zone 8 Village Grove Zone 9 Rancho Solana Zone 10 Martinique Zone 11 Meadowview Zone 12 Vintage Hills Zone 13 Presley Development Zone 14 Morrison Homes Zone 15 Barclay Estates Zone 16 Tradewinds Zone 17 Monte Vista Zone 18 Temeku Hills Zone 19 Chantemar Zone 20 Crowne Hill Zone 21 Vail Ranch Zone 22 Sutton Place Zone 23 Pheasent Run Zone 24 Harveston Zone 25 Serena Hills Zone 26 Gallery Tradition Zone 27 Avondale Zone 28 Wolf Creek Zone 29 Gallery Portrait TOTAL EXPENDITURES Revenues Over/(Under) Expenditures Beginning Fund Balance as of 7/01 /2018 SERVICE LEVEL C - PERIMETER LANDSCAPING AND SLOPE MAINTENANCE for the 1 st Quarter Ended September 30, 2018 Annual Amended Total YTD Total % of Budget Activity Encumbrances Activity Budget $ 1,586,430 $ - $ - $ - 0% 12,630 7,071 - 7,071 56% 1,599,060 7,071 - 7,071 0% 37,184 8,950 19,961 28,911 78% 41,875 8,801 20,460 29,261 70% 40,149 9,640 17,790 27,430 68% 6,204 1,419 2,802 4,221 68% 34,029 9,252 14,371 23,623 69% 22,579 6,339 10,881 17,220 76% 14,912 3,272 4,929 8,201 55% 125,998 37,182 57,492 94,674 75% 4,491 708 814 1,522 34% 9,260 1,927 2,589 4,516 49% 2,417 454 589 1,043 43% 86,918 31,373 31,778 63,151 73% 31,068 8,708 11,029 19,737 64% 14,034 3,413 4,607 8,020 57% 8,741 1,923 3,953 5,876 67% 36,273 8,599 15,179 23,778 66% 1,999 454 643 1,097 55% 93,649 21,008 43,107 64,115 68% 53,671 10,903 27,320 38,223 71 % 166,083 43,114 66,971 110,085 66% 213,760 51,238 103,363 154,601 72% 4,274 919 1,404 2,323 54% 8,299 2,025 2,562 4,587 55% 157,656 49,060 66,080 115,140 73% 43,273 8,119 19,791 27,910 64% 2,147 582 563 1,145 53% 9,031 2,302 2,943 5,245 58% 216,133 53,446 82,398 135,844 63% 2,868 606 792 1,398 49% 1,488,975 385,736 637,161 1,022,897 69% 110,085 (378,665) 1,655,790 1,655,790 Ending Fund Balance as of 9/30/2018 $ 1,765,875 $ 1,277,125 NOTES: (1) Special assessment taxes are primarily received in January and May each fiscal year. (2) The variance is due to the change in the fair value on investments, fluctuating interest rates, and improved cash flows. (3) The variance in expenditures is due to encumbrances that are recorded for the entire year. (3) TEMECULA COMMUNITY SERVICES DISTRICT STATEMENT OF REVENUES, EXPENDITURES, and CHANGES IN FUND BALANCE - BUDGET AND ACTUAL SERVICE LEVEL D - REFUSE COLLECTION, RECYCLING & STREET SWEEPING for the 1st Quarter Ended September 30, 2018 REVENUES: Assessments Recycling Program/Grant Investment Interest TOTAL REVENUES EXPENDITURES: Salaries and Wages Department of Conservation Grant Refuse Hauling Operating Expenditures TOTAL EXPENDITURES Revenues Over/(Under) Expenditures Beginning Fund Balance as of 7/01 /2018 Ending Fund Balance as of 9/30/2018 Annual Amended Budget $ 7,991,790 18,000 4,000 8,013,790 70,247 49,731 7,899,813 59,100 NONE :L7L:iUr (65,101) Total YTD Activity $ 49,324 1,052 50,376 17,980 1,334 19,314 31,062 294,489 $ 229,388 $ 325,551 % of Budget 1% (1) 0% (2) 26% 1% 26% 0% 0% 2% 0% (3) NOTES: (1) Special assessment taxes are primarily received in January and May each fiscal year. (2) Recycling grant program revenues are expected to be received by the end of this fiscal year. (3) The variance in expenditures is due to the first payment to CR&R for refuse hauling services is not due until January 2019. TEMECULA COMMUNITY SERVICES DISTRICT STATEMENT OF REVENUES, EXPENDITURES, and CHANGES IN FUND BALANCE - BUDGET AND ACTUAL SERVICE LEVEL R - STREETS AND ROADS for the 1st Quarter Ended September 30, 2018 REVENUES: Assessments Investment Interest TOTAL REVENUES EXPENDITURES: Emergency Street Maintenance Property Tax Admin Fees TOTAL EXPENDITURES Revenues Over/(Under) Expenditures Beginning Fund Balance as of 7/01 /2018 Ending Fund Balance as of 9/30/2018 Annual Amended Budget $ 5,532 $ 300 5,832 9,500 163 9,663 (3,831) 26,791 Total YTD Activity 202 120 322 322 26,791 $ 22,960 $ 27,113 % of Budget 4% 40% 6% 0% 0% 0% NOTES: (1) Special assessment taxes are primarily received in January and May each fiscal year. (2) The variance is due to the timing of Emergency Street Maintenance repair during this quarter. (1) (2) (1) TEMECULA COMMUNITY SERVICES DISTRICT STATEMENT OF REVENUES, EXPENDITURES, and CHANGES IN FUND BALANCE - BUDGET AND ACTUAL SERVICE LEVEL L - LAKE PARK MAINTENANCE for the 1st Quarter Ended September 30, 2018 REVENUES: Assessments Harveston Lake Boat Fees Investment Interest TOTAL REVENUES EXPENDITURES: Salaries and Wages Operating Expenditures TOTAL EXPENDITURES Revenues Over/(Under) Expenditures Beginning Fund Balance as of 7/01 /2017 Ending Fund Balance as of 9/30/2018 Annual Amended Total YTD Total Encumbrances % of Budget Activity Activity Budget $ 241,870 $ - $ - $ - 0% (1) 4,200 1,558 - 1,558 37% 3,500 1,720 - 1,720 49% (2) 249,570 3,278 - 3,278 1 % 17,706 4,541 229,570 53,105 247,276 57,646 2,294 (54,368) 402,667 402,667 $ 404,961 $ 348,299 70,227 70,227 4,541 26% 123,332 54% 127,873 52% NOTES: (1) Special assessment taxes are primarily received in January and May each fiscal year. (2) The variance is due to the change in the fair value on investment as well as fluctuating interest rates. (3) The variance in expenditures is due to encumbrances that are recorded for Lake Park, Rehabilitation and Landscape maintenance services for the entire fiscal year. (3) TEMECULA COMMUNITY SERVICES DISTRICT STATEMENT OF REVENUES, EXPENDITURES, and CHANGES IN FUND BALANCE - BUDGET AND ACTUAL TEMECULA LIBRARY for the 1st Quarter Ended September 30, 2018 REVENUES: Library Services Recreation Funding(Measure S) Investment Interest TOTAL REVENUES EXPENDITURES: Salaries and Wages Operating Expenditures TOTAL EXPENDITURES Revenues Over/(Under) Expenditures Beginning Fund Balance as of 7/01 /2018 Ending Fund Balance as of 9/30/2018 Annual Amended Budget Total YTD Encumbrances Total % of Activity Activity Budget $ 105,623 $ 30,711 $ - $ 30,711 29% 662,527 165,632 - 165,632 25% 2,500 1,634 - 1,634 65% 770,650 197,977 - 197,977 26% 88,003 24,363 - 24,363 28% 906,136 154,273 94,811 249,084 27% 994,139 178,636 94,811 273,447 28% (223,489) 19,341 343,072 343,072 $ 119,583 $ 362,413 NOTES: (1) The variance is due to the change in the fair value on investment as well as fluctuating interest rates. (1) TEMECULA COMMUNITY SERVICES DISTRICT STATEMENT OF REVENUES, EXPENDITURES, and CHANGES IN FUND BALANCE - BUDGET AND ACTUAL PUBLIC ART for the 1st Quarter Ended September 30, 2018 REVENUES: Public Art Revenues Investment Interest TOTAL REVENUES Other Financing Sources (Uses): Operating Expenditures TOTAL EXPENDITURES Revenues Over/(Under) Expenditures Other Financing Sources/(Uses) Transfers Out Beginning Fund Balance as of 7/01 /2018 Ending Fund Balance as of 9/30/2018 Annual Amended Total YTD Budget Activity $ 73,511 $ 1,000 5,770 135 74,511 5,905 4,026 - 4,026 - 70,485 5,905 25,968 25,968 $ 96,453 $ 31,873 Encumbrances Total Activity $ 5,770 5,905 4,026 4,026 4,026 4,026 NOTES: (1) The variance in Public Art revenues is due to the timing of developer pulling permits. (2) The variance is due to the change in the fair value on investment as well as fluctuating interest rates. (3) The variance in Operating Expenditures is due to encumbrances that are recorded for entire fiscal year. % of Budget 8% 100% 8% 100% (1) (2) (3) ITEM NO . 20 TEMECULA COMMUNITY SERVICES DISTRICT AGENDA REPORT TO: General Manager/Board of Directors FROM: Kevin Hawkins, Director of Community Services DATE: February 12, 2019 SUBJECT: Approve the Amended and Restated Cooperation Agreement with Temecula Valley Museum, Inc. for Operation of the Wedding Chapel, Courtyard, and Concessions Facility PREPARED BY: Tracy Frick, Community Services Manager RECOMMENDATION: That the Board of Directors approve the Amended and Restated Cooperation Agreement with Temecula Valley Museum, Inc. for operation of the wedding chapel, courtyard, and concessions facility. BACKGROUND: The Temecula Valley Museum facility comprises a museum, chapel, concessions facility, and public park. The Temecula Valley Museum is located at 28314 Mercedes Street in Old Town Temecula. It is a 7,200-square foot two-story history -based facility with permanent and rotating exhibits and houses a 511-square foot gift shop. The Chapel of Memories is located at 28300 Mercedes Street in Old Town Temecula. The Chapel of Memories is 3,400 square feet, consisting of the former St. Catherine's Church (a historic structure) with an attached fenced courtyard. The adjacent Concessions Facility, also located at 28300 Mercedes Street in Old Town Temecula, is 200 square feet and includes cabinetry, a sink, a refrigerator and a utility closet with sink. Since the opening of the Temecula Valley Museum and Chapel of Memories, the Temecula Valley Museum, Inc., a nonprofit organization, has overseen both the gift shop and chapel rental operations. During the past seventeen years, they have successfully managed both operations. Proceeds from the gift shop and Chapel operations have allowed contributions of items by Temecula Valley Museum, Inc. including a new refrigerator, exhibit cases, DVD player and monitor, new carpeting, window coverings and furnishings for the Chapel. In addition, funding for security cameras and monitors, computers, video transfers, special exhibit receptions, and acquisitions for the Museum's permanent collection including historic books, paintings and motorized vehicles have also been provided. Due to the difficulty in maintaining consistent operations of the gift shop, revenue has been decreasing, affecting the ability to raise funds for the museum. As a result, the Temecula Valley Museum, Inc. Board of Directors has determined that it is in the best interest of the organization and the City to relinquish the right to operate the 511-square foot gift shop at this time, but would like to receive right of first refusal should the issue be revisited in the future. Temecula Valley Museum, Inc. will continue in its mission to lead revenue generation and fund raising activities to enhance and assist in the operation and maintenance of the Museum facility and Chapel through operation of the Wedding Chapel, courtyard and concessions facility. This agreement relinquishes the right of the Temecula Valley Museum, Inc. to use the 511- square foot museum gift shop, provides right of first refusal should the City wish to discontinue operations, and continues Temecula Valley Museum Inc.'s use of the courtyard and concessions facility adjacent to the Chapel to hold fundraising events and opportunities. Proceeds from the courtyard and concessions facility will continue to be utilized to offer additional educational opportunities to the public. FISCAL IMPACT: City of Temecula will retain all current inventory and revenues generated, and will be responsible for expenditures to maintain current levels of inventory and staffing. Expenditures have been allocated through the Annual Operating Budget process for Fiscal Year 2018-19. ATTACHMENTS: Agreement AMENDED AND RESTATED COOPERATION AGREEMENT BETWEEN TEMECULA COMMUNITY SERVICES DISTRICT AND TEMECULA VALLEY MUSEUM, INC. FOR THE OPERATION OF WEDDING CHAPEL, COURTYARD, AND CONCESSIONS FACILITY This Amended and Restated Cooperation Agreement Between the Temecula Community Services District and Temecula Valley Museum, Inc. for the Operation of Wedding Chapel, Courtyard, and Concessions Facility ("Agreement") is made and entered into as of February 12, 2019 by and between the Temecula Community Services District ("TCSD") and Temecula Valley Museum Inc., a California non-profit corporation ("Association"). The TCSD and the Association are referred to below collectively as the "Parties". In consideration of the mutual covenants and conditions set forth herein, the Parties agree as follows: 1. Recitals. This Agreement is made with respect to the following facts and for the following purposes, which the Parties acknowledge are true and correct: A. The City of Temecula is the owner of the real property located at 28314 Mercedes Street in the City of Temecula, which is more particularly described on Exhibit A attached hereto ("Property") and incorporated herein by this reference. The Property consists of the Temecula Valley Museum ("Museum") and the historic St. Catherine's Church. The Temecula Valley Museum represents the life of residents and visitors in the Temecula Valley through time and different cultures featuring permanent and special rotating exhibits and educational programs. . St. Catherine's Church is a historic building originally constructed in 1917 and restored by the TCSD. Although St. Catherine's Church has been restored to its decor and style of the 1900s, it is a fragile historical structure and its restoration has not been designed to accommodate substantial public traffic. B. The TCSD was formed, and established pursuant to the Community Services District Law, Title 6, Division 3 of the California Government Code. C. The Association is a non-profit corporation duly incorporated and authorized to do business in the State of California that is dedicated to promoting the Museum and raising funds for exhibits in the Museum. D. The TCSD is responsible for overseeing and managing the Property on behalf of the City. E. The TCSD and the Association have partnered to operate the Property since 1999. Specifically, the TCSD and the Association entered into that certain License Agreement described below for the operation of the Property, which the Parties subsequently amended seven times to reflect the evolving needs of the City, Association, and the community. The operation of the Property included the Association's operation of a gift shop in the Museum building ("Gift Shop") and a wedding chapel in the St. Catherine's Church ("Wedding Chapel"). (1) On May 25, 1999, the TCSD and the Association entered into that certain Agreement entitled "License Agreement between the Temecula Community Services District and the Temecula Valley Museum, Inc. for Operation of Museum Gift Shop and Wedding Chapel" ("Original Agreement"). (2) On June 25, 2000, the TCSD and Association entered into that certain "First Amendment to License Agreement between the Temecula Community Services District and the Temecula Valley Museum, Inc. for Operation of Museum Gift Shop and Wedding Chapel". The First Amendment amended Section 4 (License Fee) of the Original Agreement to suspend the license fee for the Gift Shop as of April 1, 2000. The First Amendment retained the license fee for the Wedding Chapel. It also provided for quarterly reporting of the Association's financial statements. (3) On February 24, 2004, the TCSD and Association entered into that certain "Amendment No. 2 License Agreement Between the Temecula Community Services District and the Temecula Valley Museum, Inc. for Operation of Museum Gift Shop and Wedding Chapel." The Second Amendment amended Section 3 (Term) to extend the term to June 30, 2007 with an extension for one-two year option upon mutual agreement of the Parties. (4) On June 26, 2007, the TCSD and Association entered into that "Amendment No. 3 to License Agreement Between the Temecula Community Services District and the Temecula Valley Museum, Inc. for Operation of Museum Gift Shop and Wedding Chapel." The Third Amendment amended Section 3 (Term) to extend the term to June 30, 2009, and to authorize either party to terminate the Agreement for any reason upon 60-day written notice. (5) On February 9, 2010, the TCSD and Association entered into that certain "Fourth Amendment to License Agreement between Temecula Community Services District and Temecula Valley Museum, Inc. Operation of the Museum Gift Shop and Wedding Chapel." The Fourth Amendment amended Section 3 (Term) to extend the term to June 30, 2012. The Fourth Amendment also provided for an extension of the Agreement for two additional one- year terms. (6) On October 23, 2012, the TCSD and Association entered into that certain "Fifth Amendment to Agreement Between Temecula Community Services District and Temecula Valley Museum, Inc. Operation of the Museum Gift Shop and Wedding Chapel." The Fifth Amendment amended Section 3 (Term) to extend the term to June 30, 2014. The Fifth Amendment provided for an extension of the Agreement for two additional one-year terms. The Fifth Amendment also amended Section 4 of the Agreement (License Fee) and Section 8 (Association, Officers, Employees, Agents and Volunteers). (7) On June 23, 2015, the TCSD and Association entered into that certain "Sixth Amendment to Agreement Between Temecula Community Services District and Temecula Valley Museum, Inc. Operation of the Museum Gift Shop and Wedding Chapel." The Sixth Amendment amended Section 3 of the Agreement to extend the term to June 30, 2017. The Sixth Amendment also provided for two additional one-year terms. (8) On May 23, 2017, the TCSD and Association entered into that certain "Seventh Amendment to Agreement Between Temecula Community Services District and Temecula Valley Museum, Inc. Operation of the Museum Gift Shop, Wedding Chapel, Courtyard and Concessions Facility." The Seventh Amendment changed the name of the Agreement to "Operation of the Museum Gift Shop, Wedding Chapel, Courtyard and Concessions Facility." The Seventh Amendment amended Section 3 of the Agreement to extend the term to June 30, 2020. The Seventh Amendment also provided for two additional one-year terms. The Seventh Amendment also amended Section 4 (License Fee), Section 5 (Use Permits), Section 7 (Use of Premises: Merchandise), Section 22 (Notice), and Exhibit B to the Original Agreement. F. Pursuant to the Original Agreement, as amended by the First through Seventh Amendments, the Association was authorized to use and operate the approximate 511 2 square foot Gift Shop in the Temecula Museum, the Wedding Chapel, Courtyard, and adjacent Concessions Facility. The Parties intend that as of the Effective Date, the Association will relinquish its rights to use and operate the Gift Shop and that the TCSD will use and operate the Gift Shop at such time. The Association will have no right to use the Gift Shop or responsibility for operation of said Gift Shop as of the Effective Date. If TCSD determines not to operate the Gift Shop in the future, TCSD will provide written notice of said decision to Association and Association will have the first right of refusal to negotiate with TCSD the terms of the operation of the Gift Shop. Association will confirm in writing to TCSD within 60 days of the date of TCSD's notice whether Association wishes to exercise the right of first refusal to negotiate the terms of Association's operation of the Gift Shop. Failure by Association to provide written confirmation of its decision regarding the operation of the Gift Shop will be deemed a waiver by Association of said right of first refusal. TCSD will have no further obligations to Association in connection with the Gift Shop if the Parties do not reach an agreement regarding the terms of the operation of the Gift Shop. Any agreement regarding the change in the operation of the Gift Shop and the terms of such operation would be reflected in an Amendment to this Agreement executed by both Parties. G. The Parties desire to enter into this Agreement to provide the terms by which Association will use and operate the Wedding Chapel, Courtyard, and adjacent Concessions Facility on the Property, which are depicted collectively on Exhibit A hereto (referred to collectively as "Premises"), which is incorporated herein by this reference. H. The Parties intend that this Agreement will supersede and replace the Original Agreement, as amended by the First through Seventh Amendments, and that said Original Agreement, as amended by the First through Seventh Amendments and said Operating Memoranda, will have no force or effect. 2. Grant of License to Use and Operate Premises; Merchandise. The City hereby grants a license to Association to use and operate the Premises, consisting of the Wedding Chapel, Courtyard, and Concessions Facility depicted on Exhibit A hereto ("Property and Premises"), in accordance with, and subject to the terms and conditions of, this Agreement. The Wedding Chapel or Chapel of Memories and the Courtyard are approximately 3,400 square feet in size. The Concessions Facility is approximately 200 square feet in size. A. Use and Operation of Premises. Except as specifically provided in this Agreement to the contrary, Association will have the exclusive right and obligation to use the Premises to offer weddings and memorials (events) in the Wedding Chapel, Courtyard, and Concessions, and to operate the Concessions Facility for Wedding Chapel events, Courtyard events, park events, and general park use. Association will not use the Premises for any uses other than those authorized for Association in this Agreement without the prior written consent of the Director of the City's Community Services Department ("Director"). Association will not interfere with the use and enjoyment of the portion of the Property outside of the area constituting the Premises. (1) Association will operate the Wedding Chapel as a Chapel of Memories to provide non -denominational wedding and memorial chapel services with fenced courtyard, and adjacent Concessions Facility for events and concession sales. (2) Association will not use the Wedding Chapel Courtyard, or Concessions Facility for any reason more than twenty (20) hours per week measured from 12:00 a.m. Monday until 11:59 p.m. on the following Sunday. Authorized uses include weddings and wedding practices, but exclude maintenance activities. B. Sale of Merchandise. Association is authorized to sell merchandise related to the theme of the Wedding Chapel in connection with is operation of the Premises. Association agrees that all sales of said merchandise will be of good quality and condition. The TCSD retains the right to require Association to discontinue sale or use of those items that the Director reasonably determines are not of good quality and condition upon five calendar days written notice from the Director. For sales tax purposes, the point of sale for all merchandise will be the Property. The Parties agree and acknowledge that the City will also have the right to sell food or beverages on any portion of the Property, including the Premises in connection with City - sponsored activities or events. C. Relinquishment of Right to Use and Operate Museum Gift Shop and Museum Gift Shop Merchandise. Association will relinquish, as of the Effective Date, any and all rights to use and operate the approximate 511 square foot Museum Gift Shop in the Museum that was the subject of the Original Agreement, as amended by the First through Seventh Amendments. All merchandise from the Museum Gift Shop will become the property of the City as of the Effective Date. Association will provide to TCSD a full accounting of merchandise from the Museum Gift Shop on the Effective Date. D. Electronic Equipment from Museum Gift Shop. Association will retain all electronic equipment relating to the Museum Gift Shop sales for Associations' use in connection with the Association's use and operation of the Premises. Association will, at its sole cost and expense, maintain, repair, and replace any such electronic equipment that is necessary for Association's operation of the Premises. 3. Term; Termination. A. Term. This Agreement will remain and continue in effect from the Effective Date until June 30, 2022, unless sooner terminated by the Parties pursuant to Section 3.6. below. The Parties may mutually agree to extend the term for two additional three-year terms. If the Parties agree to extend the term by the first three-year extension, the Agreement will terminate on June 30, 2025. If the Parties agree to extend the term by the second three-year extension, the Agreement will terminate on June 30, 2028. B. Termination. Either party may terminate this Agreement for any reason, with or without cause, by providing 60 calendar days prior written notice of termination to the other party at the addresses shown below in Section 15 (Notice). If the Parties terminate this Agreement in accordance with this Section 3.B., this Agreement will terminate on the date that is 60 calendar days from the date on which either party to this Agreement provides written notice of termination. 4. License Fee. A. Association's primary mission is to lead revenue generating and fund- raising activities to enhance and assist with the operation and maintenance of the Temecula Museum and Wedding Chapel. Association will pay to the TCSD a license fee of ten percent (10%) of the net revenues (as described in Section 4.C. below), including but not limited to fees, services, and merchandise for events held on the Premises. rd B. Association will pay the license fee to the TCSD within 30 calendar days of the end of each calendar quarter based on the net revenues of the Premises during the calendar quarter. Calendar quarters will end on March 30, June 30, September 30, and December 31 of each calendar year. C. Association will keep complete and accurate records, in accordance with standard and customary retail business practices, of each transaction or receipt of revenue at the Premises by means of cash register receipts or numbered receipts so as to allow accurate determination of the gross revenues and expenses. The net revenues from which the license fee that the Association will pay to TCSD is the difference between the gross revenues of the Premises and the Association's expenses in connection with operating the Premises Association will keep and secure all records relating to the Premises, including but not limited to, cash register and revenue receipts, for three years from the end of Association's fiscal year in which the record was prepared. Association's revenue accounting procedures and documentation requirements will be approved in writing by the City's Director of Finance prior to the Effective Date. Any change in Association's revenue accounting procedures and documentation relating to the gross revenues in connection with the Premises will also be approved in writing by the City's Director of Finance prior to implementation. D. Association agrees that all revenues from the Premises will be used by the Association, in its discretion, to fund the Association's operating expenses for the Premises, to purchase materials for the Premises, and to fund events, programs, and services for the benefit of the Temecula Valley Museum. Association and Director will work cooperatively in the planning of such events, programs, and services. President of the Association and the Director will meet periodically to determine where additional revenue from the Premises may be used to support the Temecula Valley Museum's operations or programs. E. The President of Association and the City Manager of the City of Temecula are authorized to enter into implementation agreements to establish accounting procedures and definitions for determining net revenues and other matters affecting this Agreement, provided the terms of such implementation agreements do not conflict with the terms of this Agreement. 5. Licenses, Permits, and Approvals. Association agrees that it will obtain a Use Permit or Outdoor Event Permit from the City for uses other than the operation of the Premises in accordance with the terms of this Agreement. Association will, at Association's sole cost and expense, obtain any and all licenses, permits, and approvals required for the performance or use of the Premises that may be required by other governmental entities. Association will comply with all governmental rules, regulations, statutes, ordinances, and conditions of approval of permits. Association agrees to pay all facility use fees applicable to any such Use Permits pursuant to such ordinances and resolution of the City of Temecula setting fees for use of City facilities. Association may obtain a temporary Alcoholic Beverage Control License Permit ("ABC permit") for use of the Premises and Property, subject to any conditions imposed in said ABC permit and any permits issued by the City. 6. Association Officers, Employees, Agents, and Volunteers. Association is responsible for ensuring that all of Association's officers, employees, agents, and volunteers ("Personnel") are fingerprinted through Live Scan for completion of a criminal record check by the State Department of Justice ("DOJ" ), at TCSD's sole costs and expense. Personnel convicted of a misdemeanor or felony involving moral turpitude according to the DOJ report will not use the Premises on the terms and conditions and for the uses specified in this Agreement. If any Personnel have been convicted of a misdemeanor or felony involving moral turpitude according to the DOJ report, TCSD may terminate this Agreement immediately. If TCSD terminates this Agreement under this Section 6, Association's rights under this Agreement shall be relinquished immediately. 7. Third -Party Acareements. Association, will not, without the express prior written consent of the City Manager of the City of Temecula or designee, enter into agreements with third parties concerning, among other things, advertising and signage on the Premises, operation of concessions, and sale of food, beverage, and concession items at the Premises. 8. Damage to Premises. Association will pay for the repair and/or replacement of any damaged structures, equipment, and facilities on the Premises that are occupied or used by Association and are damaged through any act of Association, or Association's officers, employees, agents, volunteers, subcontractors, and persons attending or participating in any Association event on the Premises. 9. Liens. Association will not directly or indirectly create or permit to be created or to remain, and will promptly discharge, at its sole expense, any mortgage, lien, encumbrance, charge, or pledge of the Premises or fixtures or furnishings, or any part thereof. Within 15 calendar days of the Effective Date, TCSD will cause to be posted and recorded on the Premises a "Notice of Non-Resoonsibility" in the manner reauired by law. 10. Improvements, Repairs, and Maintenance. Association will make no substantial alteration or repair to the Premises without the prior written consent of the Director, including but not limited to grading, carpentry, electrical, sewer, plumbing, paving, and painting. Association will, at its sole cost and expense, repair and maintain in good order the interior of the Wedding Chapel and the fixtures provided by the City, including but not limited to the church pews, lecterns, and lighting.. 11. Return of Premises. Upon the termination of this Agreement, Association will return the Premises to the City in as good a condition and repair as the existing condition of the Premises, reasonable wear and tear excepted. 12. Indemnification. Association agrees to defend, indemnify, protect and hold harmless the City of Temecula, Temecula Community Services District, and/or the Successor Agency to the Temecula Redevelopment Agency, their respective officers, officials, employees and volunteers from and against any and all claims, demands, losses, defense costs or expenses, including attorney fees and expert witness fees, or liability of any kind or nature which the City of Temecula, Temecula Community Services District, and/or the Successor Agency to the Temecula Redevelopment Agency, their respective officers, agents, employees or volunteers may sustain or incur or that may be imposed upon them for injury to or death of persons, or damage to property arising out of the negligent or wrongful acts or omissions arising out of or in any way related to Association's use or occupancy of the Premises pursuant to this Agreement. 13. Insurance. The Association shall secure and maintain from a State of California admitted insurance company, pay for and maintain in full force and effect for the duration of this Agreement an insurance policy of comprehensive general liability against claims for injuries to persons or damages to property, which may arise from or in connection with the performance of the work hereunder by Feb 1, 2019, its agents, representatives, or employees. a. Minimum Scope of Insurance. Coverage shall be at least as broad as: 2 1) Insurance Services Office Commercial General Liability form No. CG 00 01 11 85 or 88. 2) Insurance Services Office Business Auto Coverage form CA 00 01 06 92 covering Automobile Liability, code 1 (any auto). If the Association owns no automobiles, a non -owned auto endorsement to the General Liability policy described above is acceptable. 3) Worker's Compensation insurance as required by the State of California and Employer's Liability Insurance. If the Association has no employees while performing under this Agreement, worker's compensation insurance is not required, but Association shall execute a declaration that it has no employees. 4) Liquor Liability for bodily injury, personal injury, and property damages. b. Minimum Limits of Insurance. Association shall maintain limits no less than: 1) General Liability: Two million ($2,000,000) per occurrence for bodily injury, personal injury and property damage. If Commercial General Liability Insurance or other form with a general aggregate limit is used, either the general aggregate limit shall apply separately to this project/location or the general aggregate limit shall be twice the required occurrence limit. 2) Automobile Liability: One million ($1,000,000) per accident for bodily injury and property damage. 3) Worker's Compensation as required by the State of California; Employer's Liability: One million dollars ($1,000,000) per accident for bodily injury or disease. 4) Liquor Liability: One million dollars ($1,000,000) combined single limit per occurrence for bodily injury, personal injury and property damage. Worker's Compensation insurance is required only if Association employs any employees. Association warrants and represents to the City of Temecula, Temecula Community Services District, and/or the Successor Agency to the Temecula Redevelopment Agency that it has no employees and that it will obtain the required Worker's Compensation Insurance upon the hiring of any employees. C. Deductibles and Self -Insured Retentions. Any deductibles or self -insured retentions shall not exceed Twenty Five Thousand Dollars and No Cents ($25,000). d. Other Insurance Provisions. The general liability and automobile liability policies are to contain, or be endorsed to contain, the following provisions: 1) The City of Temecula, the Temecula Community Services District, the Successor Agency to the Temecula Redevelopment Agency, their officers, officials, employees and volunteers are to be covered as insured's, as respects: liability arising out of activities performed by or on behalf of the Association; products and completed operations of the Association; premises owned, occupied or used by the Nonprofit; or automobiles owned, leased, hired or borrowed by the Association. The coverage shall contain no special limitations on the scope of protection afforded to the City of Temecula, the Temecula Community Services District, the Successor Agency to the Temecula Redevelopment Agency, their officers, officials, employees or volunteers. 7 2) For any claims related to this project, the Association's insurance coverage shall be primary insurance as respects the City of Temecula, the Temecula Community Services District, the Successor Agency to the Temecula Redevelopment Agency, their officers, officials, employees and volunteers. Any insurance or self -insured maintained by the City of Temecula, Temecula Community Services District, and/or the Successor Agency to the Temecula Redevelopment Agency, its officers, officials, employees or volunteers shall be excess of the Association's insurance and shall not contribute with it. 3) Any failure to comply with reporting or other provisions of the policies including breaches of warranties shall not affect coverage provided to the City, the Temecula Community Services District, the Successor Agency to the Temecula Redevelopment Agency, their officers, officials, employees or volunteers. 4) The Association's insurance shall apply separately to each insured against whom claim is made or suit is brought, except with respect to the limits of the insurer's liability. 5) Each insurance policy required by this agreement shall be endorsed to state: should the policy be canceled before the expiration date the issuing insurer will endeavor to mail thirty (30) days prior written notice to the City. 6) If insurance coverage is canceled or, reduced in coverage or in limits the Association shall within two (2) business days of notice from insurer phone, fax, and/or notify the City via certified mail, return receipt requested of the changes to or cancellation of the policy. e. Acceptability of Insurers. Insurance is to be placed with insurers with a current A.M. Best rating of A-:VII or better, unless otherwise acceptable to the City. Self insurance shall not be considered to comply with these insurance requirements. f. Verification of Coverage. Association shall furnish the City with original endorsements effecting coverage required by this clause. The endorsements are to be signed by a person authorized by that insurer to bind coverage on its behalf. The endorsements are to be on forms provided by the City. All endorsements are to be received and approved by the City before work commences. As an alternative to the City's forms, the Association's insurer may provide complete, certified copies of all required insurance policies, including endorsements affecting the coverage required by these specifications. 14. TCSD's Reservation of Right of Entry. TCSD, through the Director or the Director's designee, will have the right to enter the Premises at all times during the period covered by this Agreement in order to ensure compliance with this Agreement. 15. Notice. All notices and demands will be given in writing by personal delivery, certified mail, postage prepaid, and return receipt requested, or by Federal Express or other overnight carrier. Notices will be considered given upon the earlier of (i) personal delivery, (ii) two business days following deposit in the United States mail, postage prepaid, certified or registered, return receipt requested, or (iii) one business day following deposit with Federal Express or other overnight carrier. If notice is received on a Saturday, Sunday, or legal holiday, it will be deemed received on the next business day. The Parties will address such notices as provided below or as may be amended by written notice: TCSD: Temecula Community Services District 41000 Main Street Temecula, California 92590 Attention: Director Association: Temecula Valley Museum, Inc. 28314 Mercedes Street Temecula, California 92590 Attention: President 16. Default. A. Default by Association. If Association should fail to perform, keep, or observe any of the terms, conditions or covenants as set forth in this Agreement, TCSD will give Association written notice to correct the failure within 30 calendar days of said notice. If Association does not cure such default within the 30-calendar day period, Association will be in default of this Agreement and Association's rights under this Agreement, at the sole discretion of TCSD, may be terminated and forfeited. Such election to terminate will not be construed as a waiver of any claim that TCSD may have against Association, consistent with such termination. If, however, any failure is of such nature that it cannot be physically remedied within 30 calendar days of the date of the TCSD's notice, except for the payment of money, and if Association has commenced the elimination of such failure promptly after the receipt of such notice, and continuously and diligently proceeds in good faith to eliminate such default, then the period for correction will be extended for such length of time as is reasonably necessary to complete such correction. The failure of Association to fund the necessary corrections will not justify an extension of the time to cure beyond the initial 30-calendar day period. B. Surrender of Possession Upon Termination by Default. Upon the termination of this Agreement pursuant to any such default under Section 16.A. Association covenants and agrees to surrender and to forfeit this Agreement, and deliver up the Premises to the TCSD immediately upon any such termination. If Association remains in possession of the Premises after any such termination of this Agreement based on such default, Association will be deemed guilty of an unlawful possession of the Premises. C. Default by TCSD. Notwithstanding any other provision of this Agreement to the contrary, TCSD will not be deemed to be in default under this Agreement until 30 calendar days after notice of default is given by Association to TCSD. If such default cannot be cured within such 30-calendar day period, TCSD will not be deemed to be in default provided that, within such 30-calendar day period, TCSD commences and thereafter diligently prosecutes efforts to cure the default. 17. Independent Contractor. The relationship of the Parties to this Agreement is that of independent contractors and in no event will Association be considered an officer, agent, servant or employee of TCSD. Association is solely responsible for any workers' compensation, withholding taxes, unemployment insurance and any other employer obligations associated with the Association's employees, agents and performers. 18. Acknowledgements; Disclaimer of Warranties. Unless otherwise set forth in this Agreement, Association acknowledges that Association has operated all or part of the Premises since 1999, subject to the terms of the Original Agreement and Amendments thereto. Association further acknowledges it has had the opportunity to inspect the Premises and that it will use and operate the Premises "As Is" without any representations or warranties from the City or TCSD. 6 ASSOCIATION AGREES AND ACKNOWLEDGES THAT THE CITY AND TCSD MAKE NO WARRANTY OR REPRESENTATION, EITHER EXPRESS OR IMPLIED, AS TO THE VALUE, DESIGN, CONDITION, MERCHANTABILITY OR FITNESS FOR ANY PARTICULAR PURPOSE OR FITNESS FOR THE USE CONTEMPLATED BY ASSOCIATION OF THE PREMISES, OR ANY OTHER REPRESENTATION OR WARRANTY WITH RESPECT TO SAID PREMISES. IN NO EVENT WILL THE CITY, TCSD, AND THEIR RESPECTIVE ASSIGNS BE LIABLE FOR INCIDENTAL, INDIRECT, SPECIAL OR CONSEQUENTIAL DAMAGES IN CONNECTION WITH OR ARISING OUT OF THIS AGREEMENT, OR THE EXISTENCE, FURNISHING, FUNCTIONING OR ASSOCIATION'S USE OF THE PREMISES. Association Initial 19. Taxes and Assessments. Association will pay all applicable Federal, Sstate, or local taxes, fees, charges, or assessments, including any possessory interest taxes, arising from Association's use and operation of the Premises in accordance with the terms of this Agreement. 20. Legal Responsibilities; Non -Discrimination. Association will keep itself informed of all local, State and Federal ordinances, laws and regulations which in any manner affect those employed by it or in any way affect the performance of its services described in this Agreement. Association covenants by and for itself and any successors in interest that there will be no discrimination against or segregation of any person or group of persons on account of race, color, ancestry, national origin, religion, creed, age, disability, handicap, sex, gender, sexual orientation, gender identity, marital status, medical condition, genetic information, military, or veteran status in the use or enjoyment of the Premises. Nor will the Association itself or any person claiming under or through it establish or permit any such practice or practices of discrimination or segregation with reference to the selection, location, number, use or occupancy of licensees, sub -licensees, or vendees of the Premises. Association will at all times observe and comply with all such ordinances, laws and regulations. The City, TCSD, and their respective officers and employees, will not be liable at law or in equity occasioned by failure of Association to comply with this Section. 21. Legal Remedies. Each of the Parties to this Agreement will have all remedies that may be allowed by law or equity to enforce its rights under this Agreement. No legal action will be filed by one party against the other party until such time as the other party has received a notice of default and provided time for cure of said default as provided in this Agreement. 22. Miscellaneous. A. Assignment. Association will not assign its interest in this Agreement or in the right to use and operate the Premises to any person or entity without first obtaining the City Manager's or designee's written consent. Any assignment without the City Manager's or designee's prior written consent will be voidable and, at the City Manager's or designee's election, will constitute a default under this Agreement. 10 B. Governing Law and Venue. This Agreement will be interpreted and enforced according to, and the Parties' rights and obligations, including any non -contractual claims, will be governed by the domestic law of the State of California, without regard to its laws regarding choice of applicable law. Any proceeding or action to enforce this Agreement will occur in the federal court with jurisdiction over Riverside County and the state courts located in Riverside County, California. C. Attorneys' Fees. In the event any litigation is filed by one party against the other to enforce the party's rights under this Agreement, the prevailing party, as determined by the court's judgment, will be entitled to reasonable attorneys' fees and litigation expenses for the relief granted. D. Counterparts. This Agreement may be executed in any number of counterparts, each of which, when executed and delivered, will be deemed to be an original, and all of which, taken together, will be deemed to be one and the same instrument. E. Amendments. Any modifications or amendments to this Agreement will be in writing executed by both Parties. F. Interpretation. Each party had the full opportunity to participate in the drafting of this Agreement and, therefore, the Agreement will not be interpreted against any party on the ground that the party drafted the Agreement or caused it to be prepared. G. Entire Agreement. This Agreement with its attached Exhibits is the entire agreement and understanding between the Parties with respect to the subject matter of this Agreement. It is the intent of the Parties to supersede the Original Agreement, as amended by the First through Seventh Amendment. H. Authority to Execute Agreement. Association has expressly authorized the execution of this Agreement on its behalf and bind said party and each party's respective administrators, officers, directors, shareholders, divisions, subsidiaries, agents, employees, successors, assigns, principals, partners, joint ventures, insurance carriers, and any others who may claim through it to this Agreement. The person executing this Agreement on behalf of Association warrants and represents to TCSD that this Agreement has been duly approved by the Association and that all applicable notices and procedures were complied with and that he is duly authorized by the Association to execute this Agreement on behalf of the Association. 11 Wherefore, the Parties have executed this Agreement as of the date set forth below TEMECULA COMMUNITY SERVICES TEMECULA VALLEY MUSEUM, INC., a DISTRICT California non-profit corporation (Two signatures of corporate officers required unless corporate documents authorize only one person to sign the agreement on behalf of the corporation.) Dated: James Stewart, TCSD President ATTEST: Randi Johl, Secretary APPROVED AS TO FORM: Peter M. Thorson, General Counsel Dated: Bette (Bonnie) Maitland, President Dated: / / /-7 /2-01 9 By: Dale Garcia, Vice President 11086-0007\2236380v l .doe Exhibit A Description of Property and Premises 11 086-0007\2236380v I. doc SUCCESSOR AGENCY TO THE TEMECULA REDEVELOPMENT AGENCY - CONSENT ITEM NO . 21 THE SUCCESSOR AGENCY TO THE TEMECULA REDEVELOPMENT AGENCY AGENDA REPORT TO: Executive Director/Board of Directors FROM: Jennifer Hennessy, Director of Finance DATE: February 12, 2019 SUBJECT: Approve Financial Statements for the 1 st Quarter Ended September 30, 2018 PREPARED BY: Rudy J. Graciano, Fiscal Services Manager RECOMMENDATION: That the Board of Directors receive and file the Financial Statements for the 1st Quarter Ended September 30, 2018. BACKGROUND: The attached Financial Statements reflect the unaudited activity of the Successor Agency to the Temecula Redevelopment Agency for the 1st Quarter Ended September 30, 2018. Please see the attached Financial Statements for analytical review of financial activity. FISCAL IMPACT: None ATTACHMENTS: 1. Statement of Fiduciary Net Position as of September 30, 2018. 2. Statement of Changes in Fiduciary Net Position -for the 1st Quarter Ended September 30, 2018. SARDA STATEMENT OF FIDUCIARY NET POSITION As of September 30, 2018 Successor Agency to the Former RDA ASSETS: Cash and Investments $ 3,694,906 Receivables 16,844 Prepaid Insurance 1,416,245 Land Held for Resale 98,484 Restricted Cash and Investments with Fiscal Agent 13,161,029 Land 3,819,108 Property, Plant, and Equipment (net of accumulated depreciation) 26,546,437 TOTAL ASSETS $ 48,753,053 DEFERRED OUTFLOW OF RESOURCES: Deferred Amounts on Refundings $ 6,607,669 TOTAL DEFERRED OUTFLOWS 6,607,669 LIABILITIES: Accounts Payable $ 20,000 Advances from City-SERAF 5,250,954 Accrued Interest Payable 965,411 Net Bonds Payable 83,617,639 (2) TOTAL LIABILITIES 89,854,004 NET POSITION/(DEFICIT): TOTAL NET POSITION/(DEFICIT) (34,493,282) (1) NOTES: Note: Amounts are unaudited (1) The deficit balance is primarily attributed to SARDA long term debt, which will be reduced when future revenues are received and matched with their annual debt service payments. (2) Net Bonds Payable includes the TABs 2017 Refunding Bonds and related unamortized bond premiums/discounts. SARDA STATEMENT OF CHANGES IN FIDUCIARY NET POSITION For the 1st Quarter Ended September 30, 2018 Successor Agency to the Former RDA ADDITIONS: Investment Earnings $ 268,367 TOTAL ADDITIONS 268,367 DEDUCTIONS: Affordable Housing Obligations 305,000 Debt Service - Interest 834,304 Depreciation 294,999 Bond Insurance Premium 17,191 Operating Transfers Out 8,500 TOTAL DEDUCTIONS 1,459,994 Change in Net Position (1,191,627) Net Position/(Deficit) as of July 1, 2018 (33,301,655) Net Position/(Deficit) as of September 30, 2018 $ (34,493,282) (1) Note: Amounts are unaudited (1) The deficit balance is primarily attributed to SARDA long term debt, which will be reduced when future revenues are received and matched with their annual debt service payments. TEMECULA PUBLIC FINANCING AUTHORITY - CONSENT ITEM NO . 22 ACTION MINUTES TEMECULA PUBLIC FINANCING AUTHORITY MEETING COUNCIL CHAMBERS 41000 MAIN STREET TEMECULA, CALIFORNIA JANUARY 22, 2019 CALL TO ORDER at 7:40 PM: Chairperson Mike Naggar ROLL CALL: Edwards, Rahn, Schwank, Stewart, Naggar TPFA PUBLIC COMMENTS None TPFA CONSENT CALENDAR 11. Approve the Action Minutes of January 8, 2019 Recommendation: That the Board of Directors approve the action minutes of January 8, 2019. Approved the Staff Recommendation (4-0): Motion by Edwards, Second by Stewart; and electronic vote reflected unanimous approval with Rahn absent. 12. Adopt Ordinance No. TPFA 19-01 Levying Special Taxes within Temecula Public Financing Authority Community Facilities District No. 19-01 (Municipal Services) for Cypress Ridge Development, Tri Pointe Homes, Inc. (Second Reading) Recommendation: That the Board of Directors adopt an ordinance entitled: ORDINANCE NO. TPFA 19-01 AN ORDINANCE OF THE TEMECULA PUBLIC FINANCING AUTHORITY LEVYING SPECIAL TAXES WITHIN TEMECULA PUBLIC FINANCING AUTHORITY COMMUNITY FACILITIES DISTRICT NO. 19-01 (MUNICIPAL SERVICES) Approved the Staff Recommendation (4-0): Motion by Edwards, Second by Stewart; and electronic vote reflected unanimous approval with Rahn absent. TPFA EXECUTIVE DIRECTOR REPORT TPFA BOARD OF DIRECTORS REPORTS TPFA ADJOURNMENT At 7:41 PM, the Temecula Public Financing Authority meeting was formally adjourned to Tuesday, February 12, 2019, at 5:30 PM, for a Closed Session, with regular session commencing at 7:00 PM, City Council Chambers, 41000 Main Street, Temecula, California. Michael S. Naggar, Chair ATTEST: Randi Johl, Secretary [SEAL] CITY COUNCIL - BUSINESS v ITEM NO . 23 CITY OF TEMECULA AGENDA REPORT TO: City Council FROM: Aaron Adams, City Manager DATE: February 12, 2019 SUBJECT: Approve Nominees Jack and Linda Williams for Placement on the Wall of Honor (At the Request of Mayor Naggar) PREPARED BY: Betsy Lowrey, Senior Management Analyst RECOMMENDATION: That the City Council approve nominees Jack and Linda Williams for placement on the Wall of Honor (at the request of Mayor Naggar). BACKGROUND: At the request of Mayor Naggar, it is proposed that Jack and Linda Williams be recognized with the placement of their names on the City's Wall of Honor, currently located in the foyer of the Civic Center. The Wall of Honor Ad Hoc Subcommittee of Mayor Naggar and Council Member Edwards, and the Temecula Community Services Commission, also approved this proposal. Pursuant to its procedure for establishment and continuing operation, the Wall of Honor is intended to honor and recognize individuals who have made outstanding contributions to the City of Temecula. To be eligible, an individual must have made a major contribution to improve the quality of life for the residents of the City of Temecula over a significant period of time. Jack and Linda Williams are the founders of Richie's Real American Diner located in Temecula (and Murrieta). Jack passed away in 2018. Mr. and Mrs. Williams, known as one of Temecula's most kind-hearted business owners and residents (since 1980s), opened Richie's Diner restaurant in Temecula in 1991 on Jefferson Avenue, and then relocated it to Temecula Parkway where it remains a City landmark for its "pleasin' people good country cookin" philosophy and small-town atmosphere. As the City grew, Jack and Linda ensured all patrons experienced a part of Temecula's family -friendly hometown feel. Temecula and Murrieta City Councils recognized Mr. and Mrs. Williams for their 2014 Silver Plate Award (the restaurant industry's equivalent of the Academy Awards). Even more importantly, they are representative of so much more than great food. They exemplified hard work, integrity, love and devotion to their employees, customers and the entire community that lives or visits Temecula's hometown restaurant. They sought to serve others, and to make all feel welcome in Temecula with genuine hospitality and generosity. They give back by supporting those in need, hosting fundraising events with nonprofits, and are well-known for their vigorous support for all branches of military and veterans, as well as first responders. Jack also served his country as a Marine. His selfless legacy of "community" carries on in Temecula through his wife Linda and their family, and throughout their restaurants, businesses, and employees. FISCAL IMPACT: The addition of a name to the Wall of Honor is anticipated to be less than $100. Adequate funds are available in the City Manager Other Outside Services (account number 001.110.999.5250) for this request. ATTACHMENTS: City of Temecula Wall of Honor Nomination When completed, please return to: City of Temecula TCSD- 41000 Main Street Temecula, CA 92590 (951)694-6480 fax (951)694-6488 City of Temecula Wall of Honor Non inc- ion Nominee: Jack and Linda Williams Date: Dec. 27, 2018 Nominee's Address: Nominee's Phone Number: Statement in support of Me nomineelone hundr'bd words of less): Jack and Linda Williams are the founders of Richie's Real American Diner located in Temecula (and Murrieta). Jack passed away in 2018. Mr. and Mrs. Williams, known as one of Temecula's most kind-hearted business owners and residents (since 1980s), opened their Richie's Diner restaurant in Temecula in 1991 on Jefferson Avenue, and then relocated it to Temecula Parkway where it remains a City landmark for its "pleasin' people good country cookin" philosophy and small-town atmosphere. As the City grew, Jack and Linda have ensured all patrons experience a part of Temecula's family -friendly hometown feel. Temecula and Murrieta City Councils recognized Mr. and Mrs. Williams for their 2014 Silver Plate Award (the restaurant industry's equivalent of the Academy Awards) but, even more importantly, they are representative of so much more than great food. They have exemplified hard work, integrity, love and devotion to their employees, customers and the entire community that lives or visits Temecula's hometown restaurant. They have sought to serve others, and to make all feel welcome in Temecula with genuine hospitality and generosity. They give back by supporting those in need, hosting fundraising events with non -profits, and are well-known for their vigorous support for all branches of military and veterans, as well as first responders, and law enforcement. Jack also served his country as a Marine. His selfless legacy of "community" carries on in Temecula through his wife Linda and their family, and throughout their restaurants, businesses, and employees. ITEM NO . 24 CITY OF TEMECULA AGENDA REPORT TO: City Council FROM: Aaron Adams, City Manager DATE: February 12, 2019 SUBJECT: Approve Nominee Robert Morris for Placement on the Wall of Honor (At the Request of Mayor Naggar) PREPARED BY: Betsy Lowrey, Senior Management Analyst RECOMMENDATION: That the City Council approve nominee Robert Morris for placement on the Wall of Honor (at the request of Mayor Naggar). BACKGROUND: At the request of Mayor Naggar, it is proposed that Robert Morris be recognized with the placement of his name on the City's Wall of Honor, currently located in the foyer of the Civic Center. The Wall of Honor Ad Hoc Subcommittee of Mayor Naggar and Council Member Edwards, and the Temecula Community Services Commission, also approved this proposal. Pursuant to its procedure for establishment and continuing operation, the Wall of Honor is intended to honor and recognize individuals who have made outstanding contributions to the City of Temecula. To be eligible, an individual must have made a major contribution to improve the quality of life for the residents of the City of Temecula over a significant period of time. Renowned local artist and Temecula De Luz resident, Robert Morris (known to many as "Bob" Morris), was among the last of a cowboy generation. Arriving in Temecula on horseback in 1969, he took one look at the rolling hills and quaint small town and knew he was home. Bob's easygoing nature and creative spirit were a perfect fit for the growing community, and he quickly became a town favorite. Mr. Morris was the co-founder of the Great Temecula Tractor Race that began in 1977 and lasted nearly three decades. Mr. Morris appreciated Temecula's Western appeal, and worked to recreate Old Town to an Old West era and embellish it with an 1890s theme. His artistic ironwork is on display all throughout Old Town, including the gateway arches at both ends of Old Town (designed with metal fabricator Randy Howe), depicting a cattle drive, arrival of Butterfield Stage, and Native American life. Bob Morris also designed the metal end caps on the Main Street Bridge, the iron medallions on the sidewalks at all four corners in Old Town Front and Main Streets, and other hidden wonders in Old Town Temecula including a water tank and a trough. Mr. Morris worked with Howe Welding & Fabrication to create the metal artwork that adorns the Overland Drive Bridge, spanning Interstate 15 and depicting Temecula's hot-air balloons and rolling hills. His work is seen throughout Temecula on private developments such as business signs including at the historical Bank (Mexican Restaurant), architectural iron/wood elements of buildings, decorative windmills, private driveway gates of wagon wheels, fences, posts or other decor reminiscent of old Temecula. Bob Morris branded Old Town Temecula with his vision and creativity. Mr. Morris passed away in 2018, but his legacy of 1890s era ironwork will outlive generations to come in Temecula. Mr. Morris' daughter Belinda, and the TCSD Commission, recommend his Wall of Honor nameplate be titled Robert Morris, rather than Bob Morris. FISCAL IMPACT: The addition of a name to the Wall of Honor is anticipated to be less than $100. Adequate funds are available in the City Manager Other Outside Services (account number 001.110.999.5250) for this request. ATTACHMENTS: Wall of Honor Nomination When completed, please return to: City of Temecula TCSD- 41000 Main Street Temecula, CA 92590 (951)694-6480 fax (951)694-6488 City of Temecula. Wall of Honor Non inc- ion Bob Morris Date: Dec. 27, 2018 Nominee's Address: Nominee's Phone Number: Statement in support of the nominee (one hundred words or less): Renowned local artist and Temecula De Luz resident, Bob Morris, was among the last of a cowboy generation. Arriving in Temecula on horseback in 1969, he took one look at the rolling hills and quaint small town and knew he was home. Bob's easygoing nature and creative spirit were a perfect fit for the growing community, and he quickly became a town favorite. Mr. Morris was the co-founder of the Great Temecula Tractor Race that began in 1977 and lasted nearly 3 decades. Mr. Morris appreciated Temecula's Western appeal, and worked to recreate Old Town to its Old West era and embellish it with an 1890s theme. His artistic ironworks are all throughout Old Town, including the gateway arches at both ends of Old Town (designed with metal fabricator Randy Howe), depicting a cattle drive, arrival of Butterfield Stage, and Native American life. Bob Morris also designed the metal end caps on the Main Street Bridge, the iron medallions on the sidewalks at all four corners in Old Town Front and Main Streets, and other hidden wonders in Old Town Temecula including a water tank and a trough. Mr. Morris worked with Howe Welding & Fabrication to create the metal artwork that spans Overland Bridge, above Interstate 15, depicting Temecula's hot-air balloons and rolling hills. His work is seen throughout Temecula also on private developments such as business signs including at the historical Bank (Mexican Restaurant), architectural iron / wood elements of buildings, decorative windmills, private driveway gates of wagon wheels, fences, posts or other decor reminiscent of old Temecula. Bob Morris branded Old Town Temecula with his vision and creativity. Mr. Morris passed away in 2018, but his legacy of 1890s era ironwork will outlive generations to come in Temecula. ITEM NO . 25 CITY OF TEMECULA AGENDA REPORT TO: City Manager/City Council FROM: Randi Johl, Director of Legislative Affairs/City Clerk DATE: February 12, 2019 SUBJECT: Conduct Annual Joint Meeting Between the City Council and the Planning Commission PREPARED BY: Randi Johl, Director of Legislative Affairs/City Clerk RECOMMENDATION: That the City Council conduct the annual joint meeting between the City Council and the Planning Commission. BACKGROUND: On January 26, 2016 the City Council approved an amendment to the role and authority of Board and Commission Members, as set forth in the Board and Commission Handbook, to include annual joint meetings between the City Council and each board and/or commission. At the annual joint meeting, each board and/or commission will provide a brief overview of the previous year highlights, anticipated activities for the upcoming year, and take further direction from the City Council as necessary. The schedule for the 2019 annual joint meetings is as follows: Planning Commission (February 12, 2019), Old Town Local Review Board (February 12, 2019), Public Traffic/Safety Commission (February 26, 2019), and Community Services Commission (March 12, 2019). FISCAL IMPACT: None ATTACHMENTS: None ITEM NO . 26 CITY OF TEMECULA AGENDA REPORT TO: City Manager/City Council FROM: Randi Johl, Director of Legislative Affairs/City Clerk DATE: February 12, 2019 SUBJECT: Conduct Annual Joint Meeting Between the City Council and the Old Town Local Review Board PREPARED BY: Randi Johl, Director of Legislative Affairs/City Clerk RECOMMENDATION: That the City Council conduct the annual joint meeting between the City Council and the Old Town Local Review Board. BACKGROUND: On January 26, 2016 the City Council approved an amendment to the role and authority of Board and Commission Members, as set forth in the Board and Commission Handbook, to include annual joint meetings between the City Council and each board and/or commission. At the annual joint meeting, each board and/or commission will provide a brief overview of the previous year highlights, anticipated activities for the upcoming year, and take further direction from the City Council as necessary. The schedule for the 2019 annual joint meetings is as follows: Planning Commission (February 12, 2019), Old Town Local Review Board (February 12, 2019), Public Traffic/Safety Commission (February 26, 2019), and Community Services Commission (March 12, 2019). FISCAL IMPACT: None ATTACHMENTS: None REQUESTS TO SPEAK AND DOCUMENTS SUBMITTED FOR THE RECORD "' REQUEST TO SPEAK .,+ ,,O 41,1 CITY OF TEMECULA 1989 - Date: 4/.11/1 I wish to speak on: Public Comment Circle One: CITY COUNCIL/CSD/SARDA/THA//TPFA Subject: N _ *,n.gr� d�� "2 1^0 c.0 (d� l (a l �`" Y�� n Agenda Item No. For piAgainst n dT--(_ ?Ckicr-e_ Request to Speak forms for Public Comments or items listed on the Consent Calendar may be submitted to th ty Clerk prior to the City Council commencing the Public Comment period. For all Public Hearing or Council Business items on the Agenda, a Request to Speak form may be submitted to the City Clerk prior to the City Council addressing that item. Once the speaker is called to speak, please come forward to the podium Address: ` If yomere representing an organization or roup, please give the name: ' /17)Y5*Ck)ffYY) e_ i b I Ibine()iiii.0c, wine) 6-v41-KJ Please note that all information presented at a City Council meeting becomes public record. All information provided is optional. REQUEST TO SPEAK �,+ iiti •k) CITY OF TEMECULA.1 ,t..... 1989 3 Date: / /o' I wish to speak on: a( Public Comment Circle One: CITY COUNCIL/C�SD/SARDA/THA/TPFA Subject: ��(1 1-r»s 1;r- p( IIJ 111-2_ OP t4 t'ry pi Agenda Item No. For 111 Against n st. PC4- I Request to Speak forms for Public Comments or items listed on the Consent Calendar may aitted to the City Clerk prior to the City Council commencing the Public Comment period. For all Public Hearing or Council Business items on the Agenda, a Request to Speak form may be submitted to the City Clerk prior to the City Council addressing that item. Once the speaker is called to speak, please come forward to the podium and state your name for the record. l� - Address: / C 9� (� If you are representing an o ganization or group, please give the/name::- .„ / -� !� f) C?-f- t-e f�-P G 1,A� (/VG r 2 , Please note that all information rre ent cTf CityCouncil meetingbecomes publicre cord. All information provided is optional. REQUEST TO SPEAK .,.�\ ij" .,; CITY OF TEMECULA 1989 ( �)� �� Date: �Y`� ' I wish to speak on: ryi Public Comment Circle One: CITY COUNCIL/ CSD /SARDA/THA/TPFA Subject: Agenda Item No. For Against Request to Speak forms for Public Comments or items listed on the Consent Calendar may be submitted to the City Clerk prior to the City Council commencing the Public Comment period. For all Public Hearing or Council Business items on the Agenda, a Request to Speak form may be submitted to the City Clerk prior to the City Council addressing that item. Once the speaker is called to speak, please come forward to the podium and state your name for the record�� AAIN ��Name: 5 Phone Number: Address:Address: ci(J (17.‘ - Email address: If you are representing an organization or group, please give the name: Please note that all information presented at a City Council meeting becomes public record. All information provided is optional. REQUEST TO SPEAK i CITY OF TEMECULA Date: I wish to speak on: f Public Comment Circle One: CITY COUNCIL /CSD/ SARDA/THA/TPFA Subbj'elct: V-AP 11+ 1,<N( 7-0 tei ( DM}-ittlio ly up ?•( tz.) A-MAgenda Item No. ForFir Against i �� 1 tC si 7 � 9 p p rt8 orSh�� Request to Speak forms for Public Comments or items listed on the Consent Calendar may be submitted to the City Clerk prior to the City Council commencing the Public Comment period. For all Public Hearing or Council Business items on the Agenda, a Request to Speak form may be submitted to the City Clerk prior to the City Council addressing that item. Once the speaker is called to speak, please come forward to the podium and state your name for the record. Name: C(- 1' l MJ KO&EE• c-- ( IL) Phone Number: Address: t=}'LEULC , Cr.N I Email address: If you are representing an organization or group, please give the name: Please note that all information presented at a City Council meeting becomes public record. All information provided is optional. �,..''�� REQUEST TO SPEAK t� ild IS 4, CITY OF TEMECULA 1989 3 Date: — 1 q I wish to speak on: RI Public Comment Circle One: CITE Y COUNCIL/CSD/SARDA/THA/TPFA Subject: Read A- c r o c ) A erIC a D/ ,- nAgenda Item No. For n Against n Request to Speak forms for Public Comments or items listed on the Consent Calendar may be submitted to the City Clerk prior to the City Council commencing the Public Comment period. For all Public Hearing or Council Business items on the Agenda, a Request to Speak form may be submitted to the City Clerk prior to the City Council addressing that item. Once the speaker is called to speak, please come forward to the podium and state your name for the record. Name: Te S S f iV d l+ C C ( fl C 1 ( Phone Number: Address: Email address: If you are representing an organization or group, please give the name: Please note that all information presented at a City Council meeting becomes public record. All information provided is optional. TE �T M O F QC' 4 4:."-' "'''1 C'4' ,, WI N National Cowgirl Hall of Fame 2016 , y, s ' Owner Wilson Creek Winery ....:. 1 • ' ** L. c . -itr t,. �. ,, �' iL.. I xf, ,�� `+� k ��r ) 7 + t `��� �n �y � • d TeIyor&City Council z a c(onell WaielaiM ed I'1)6"k k I I( ' on,.,,, Western En�iner&Song Writer Parade&Drill Team Temecula Chief of Police Temecula Fire Chief ,1___O i i , -� �} WILSON CREEK !il��` r ,.. y �1 . ;0 ,,,s k � ., . '_ WINERY & VINEYARDS GALWAY tv a . 1f :' 1 DOWNS k �iLsorr C,eek rery Cat",Wvon -/-,, nti a Driven by Temecula Carriage Co. A LEGEND REBORN. Owner Galway Downs //oteewi,nei7-0-7/eCella WI C011ilky Our Mission Temecula Wine Country's history is deeply rooted in a Farming and Ranching Lifestyle. Temecula was once a famous"Cow Town"of the Old West and if our trails could talk, they would tell a tale of cowboys on horseback driving cattle thru the mist of the valley. Cowboys who rode the dusty trail routes once traveled by local Indians,church missionaries,hopeful California Gold Rush emigrants,and tired passengers aboard the Butterfield Stage line. Today's Temecula remains a special place where despite busy modern-day life,families can settle or just come for a visit. It is a place to relax and enjoy the many aspects of our beloved community,while surrounded by mountains high and a countryside framed by beautiful vineyards. The Horsewomen of Temecula Wine Country represent a group of determined women of all ages and walks of life,whose love of country and pride of city,compels them to preserve this rich heritage. Together they work to promote and preserve an attainable,safe lifestyle within an agricultural region,many choosing to enjoy an Equestrian Lifestyle which is enduring the test of time. These horse-loving women are successful community leaders who strive to encourage the next generation to follow their lead by one day taking over the reins. Our Goal In January 2019 Wine Enthusiast Magazine included Temecula Wine Country in the TOP TEN Wine Country travel destinations in the World! Tonight,we are asking the City Council-leaders to please support our efforts to cover our expenses associated with entering the contest for a coveted Equestrian Entry in the Pasadena CA Tournament of Roses Parade. Rose Parade Equestrian entries must also perform at the Equestfest Horse Show on December 29',staying for the week at the Los Angeles Equestrian Center. On January 1,2020 it is our dream to proudly travel down Colorado Boulevard with our modern day all women wagon train escorted by the Temecula Cowgirl Color Guard outriders,while 50 million parade viewers put a visit to Temecula Wine Country on their bucket lists. For more information and to make a donation please contact us at https://www.horsewomenoftemeculawinecountry.com/