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HomeMy WebLinkAbout022321 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 11]. AGENDA TEMECULA CITY COUNCIL REGULAR MEETING COUNCIL CHAMBERS 41000 MAIN STREET TEMECULA, CALIFORNIA FEBRUARY 23, 2021 - 7:00 PM IMPORTANT NOTICE REGARDING THIS MEETING This meeting is being conducted utilizing teleconferencing and electronic means consistent with State of California Executive Order N-29-20, dated March 17, 2020, regarding the COVID-19 pandemic. In accordance with the order, the public may not view the meeting in -person in the Council Chamber. The live stream of the meeting may be viewed on television and/or online. Details can be found at temeculaca.gov/tv. Submission of Public Comments: For those wishing to make public comments at the meeting, please submit your comments by email to be read aloud into the record at the meeting by the City Clerk. Email comments must be submitted to randi.johl@temeculaca.gov. Email comments on matters not on the agenda must be received prior to the time the item for Public Comments is called. Email comments on agenda items must be received prior to the time Public Comments for the agenda item is called. Email comments on public hearing items must be received prior to the time the public hearing is opened to hear public comments. All email comments shall be subject to the same rules as would otherwise govern public comments at an in -person meeting. Public Comments for this meeting may only be submitted via email. Comments via text and social media will not be accepted. Reading of Public Comments: The City Clerk shall read all email comments, provided that the reading shall not exceed three (3) minutes, or such other time as the Council may provide, consistent with the time limit for speakers at an in -person Council meeting. The email comments shall become part of the meeting record. CLOSED SESSION: 6:00 P.M. CONFERENCE WITH LEGAL COUNSEL — POTENTIAL LITIGATION. The City Council will meet in closed session with the City Attorney pursuant to Government Code Section 54956.9(d)(4) with respect to one matter of potential litigation. A point has been reached where, in the opinion of the City Attorney, based on existing facts and circumstances, there is a significant exposure to litigation involving the City. Based on existing facts and circumstances, the City Council will decide whether to initiate litigation. 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 approximately Page 1 City Council Agenda February 23, 2021 3.64 acres located at the northwest corner of Rancho California Road and Diaz Road, along with a portion of adjacent right of way, owned by the City (APN 951-021-989). The parties to the negotiations for the potential sale of the property are Alitra, LLC and the City of Temecula. Negotiators for the City of Temecula are Aaron Adams, Greg Butler, Christine Damko, and Peter Thorson. Under negotiation are the price and terms of payment for the potential sale of the property. CONFERENCE WITH REAL PROPERTY NEGOTIATORS. The City Council will meet in closed session pursuant to Government Code Section 54956.8 regarding four parcels of real property owned by the City of Temecula, as successor to the assets of the Redevelopment Agency of the City of Temecula, consisting of approximately 1 acre (APN 922-360-004, 005, 006 & 007) located on Main Street at Mercedes Street in the City of Temecula. The parties to the negotiations for the potential sale of the property are Marketplace Old Town, LLC (Truax Development) and the City of Temecula. Negotiators for the City of Temecula are Aaron Adams, Greg Butler, and Luke Watson. Under negotiation are price and terms for the sale of the property. CALL TO ORDER: Mayor Maryann Edwards INVOCATION: Pastor William Rench of Calvary Baptist Church FLAG SALUTE: Mayor Maryann Edwards ROLL CALL: Alexander, Edwards, Rahn, Schwank, Stewart PRESENTATIONS Presentation by David Showalter of Eide Bailly, LLP Regarding Comprehensive Annual Financial Report BOARD AND COMMISSION REPORTS Old Town Local Review Board, Planning Commission, and Race, Equity, Diversity and Inclusion Commission PUBLIC SAFETY REPORT Riverside County Sheriffs Department 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. For all Public Hearing or Business items on the agenda, each speaker is limited to five minutes. For this meeting, public comments may be submitted and read into the record pursuant to the important notice provided at the top of this agenda. 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. Page 2 City Council Agenda February 23, 2021 ANNUAL JOINT MEETING - CITY COUNCIL / OLD TOWN LOCAL REVIEW BOARD Conduct the annual joint meeting between the City Council and the Old Town Local Review Board and receive presentation regarding the same. 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 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. Attachments: Agenda Report 2. Approve Action Minutes of February 9, 2021 Recommendation That the City Council approve the action minutes of February 9, 2021. Attachments: Action Minutes 3. Approve List of Demands Recommendation: That the City Council adopt a resolution entitled: RESOLUTION NO. A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF TEMECULA ALLOWING CERTAIN CLAIMS AND DEMANDS AS SET FORTH IN EXHIBIT A Attachments: Agenda Report Resolution List of Demands 4. Approve City Treasurer's Report as of December 31, 2020 Recommendation: That the City Council approve and file the City Treasurer's Report as of December 31, 2020. Attachments: Agenda Report Treasurer's Report 5. Receive and File the Police Services Joint Powers Authority Feasibility Assessment Prepared by Citygate Associates (At the Request of Public Safety Ad -Hoc Subcommittee Mayor Edwards and Mavor Pro Temnore Rahn) Page 3 City Council Agenda February 23, 2021 Recommendation: That the City Council receive and file the Police Services Joint Powers Authority (JPA) Feasibility Assessment prepared by Citygate Associates dated February 2, 2021. Attachments: Agenda Report Feasibility Assessment 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/OR THE TEMECULA PUBLIC FINANCING AUTHORITY Page 4 City Council Agenda February 23, 2021 TEMECULA COMMUNITY SERVICES DISTRICT MEETING CALL TO ORDER: President Zak Schwank ROLL CALL: Alexander, Edwards, 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. For all Public Hearing or Business items on the agenda, each speaker is limited to five minutes. For this meeting, public comments may be submitted and read into the record pursuant to the important notice provided at the top of this agenda. CSD 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 Temecula Community Services District request specific items be removed from the Consent Calendar for separate action. 6. Approve Action Minutes of February 9, 2021 Recommendation That the Board of Directors approve the action minutes of February 9, 2021. Attachments: Action Minutes CSD DIRECTOR OF COMMUNITY SERVICES REPORT CSD GENERAL MANAGER REPORT CSD BOARD OF DIRECTOR REPORTS CSD ADJOURNMENT The next regular meeting of the Temecula Community Services District will be held on Tuesday, March 9, 2021, at 5:30 p.m., for a Closed Session, with regular session commencing at 7:00 p.m., at the Council Chambers located at 41000 Main Street, Temecula, California. Page 5 City Council Agenda February 23, 2021 SUCCESSOR AGENCY TO THE TEMECULA REDEVELOPMENT AGENCY CALL TO ORDER: Chair Maryann Edwards ROLL CALL: Alexander, Edwards, Rahn, Schwank, Stewart 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. For all Public Hearing or Business items on the agenda, each speaker is limited to five minutes. For this meeting, public comments may be submitted and read into the record pursuant to the important notice provided at the top of this agenda. 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. 7. Approve Action Minutes of February 9, 2021 Recommendation: Attachments That the Board of Directors approve the action minutes of February 9, 2021. Action Minutes SARDA EXECUTIVE DIRECTOR REPORT SARDA BOARD OF DIRECTOR REPORTS SARDA ADJOURNMENT The next regular meeting of the Successor Agency to the Redevelopment Agency will be held on Tuesday, March 9, 2021, at 5:30 p.m., for a Closed Session, with regular session commencing at 7:00 p.m., at the Council Chambers located at 41000 Main Street, Temecula, California. Page 6 City Council Agenda February 23, 2021 TEMECULA HOUSING AUTHORITY - NO MEETING JOINT MEETING - TEMECULA PUBLIC FINANCING AUTHORITY / CITY COUNCIL CALL TO ORDER: Chair Maryann Edwards ROLL CALL: Alexander, Edwards, Rahn, Schwank, Stewart 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. For all Public Hearing or Business items on the agenda, each speaker is limited to five minutes. For this meeting, public comments may be submitted and read into the record pursuant to the important notice provided at the top of this agenda. TPFA / COUNCIL BUSINESS 8. Approve and Adopt Resolutions of Intention to Form CFD 20-01, Authorize the Lew of Special Taxes, Incur Bonded Indebtedness and Approve Related Documents and Agreements Recommendation: That the City Council/Board of Directors adopt the following resolutions entitled: RESOLUTION NO. TPFA A RESOLUTION OF THE BOARD OF DIRECTORS OF THE TEMECULA PUBLIC FINANCING AUTHORITY DECLARING ITS INTENTION TO ESTABLISH A COMMUNITY FACILITIES DISTRICT AND TO AUTHORIZE THE LEVY OF SPECIAL TAXES THEREIN - (HEIRLOOM FARMS) RESOLUTION NO. TPFA A RESOLUTION OF THE BOARD OF DIRECTORS OF THE TEMECULA PUBLIC FINANCING AUTHORITY DECLARING ITS INTENTION TO INCUR BONDED INDEBTEDNESS OF THE PROPOSED TEMECULA PUBLIC FINANCING AUTHORITY COMMUNITY FACILITIES DISTRICT NO.20-01 (HEIRLOOM FARMS) RESOLUTION NO. A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF TEMECULA APPROVING JOINT COMMUNITY FACILITIES AGREEMENT RELATING TO THE FINANCING OF PUBLIC IMPROVEMENTS AND IMPLEMENTATION OF AN ACQUISITION Page 7 City Council Agenda February 23, 2021 AGREEMENT Attachments: Agenda Report Petition TPFA Resolution - Establish Community Facilities District TPFA Resolution - Incur Indebtedness City Resolution - Community Facilities District Joint Communitv Facilities Agreement Acquisition Agreement Draft Boundary Map TPFA EXECUTIVE DIRECTOR REPORT TPFA BOARD OF DIRECTOR REPORTS TPFA ADJOURNMENT The next regular meeting of the Temecula Public Financing Authority will be held on Tuesday, March 9, 2021, at 5:30 p.m., for a Closed Session, with regular session commencing at 7:00 p.m., at the Council Chambers located at 41000 Main Street, Temecula, California. Page 8 City Council Agenda February 23, 2021 JOINT MEETING - CITY COUNCIL / TEMECULA COMMUNITY SERVICES DISTRICT COUNCIL / CSD 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 / Community Services District request specific items be removed from the Consent Calendar for separate action. 9. Approve Fiscal Year 2020-21 Mid -Year Budget Adjustments Recommendation: That the City Council/TCSD Board of Directors adopt the following resolutions entitled: RESOLUTION NO. A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF TEMECULA AMENDING THE FISCAL YEAR 2020-21 ANNUAL OPERATING BUDGET RESOLUTION NO. CSD A RESOLUTION OF THE BOARD OF DIRECTORS OF THE TEMECULA COMMUNITY SERVICES DISTRICT OF THE CITY OF TEMECULA AMENDING THE FISCAL YEAR 2020-21 ANNUAL OPERATING BUDGETS RESOLUTION NO. A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF TEMECULA AMENDING THE CAPITAL IMPROVEMENT PROGRAM FISCAL YEARS 2021-25 AND AMENDING THE CAPITAL IMPROVEMENT BUDGET FOR FISCAL YEAR 2020-21 Attachments: Agenda Report Resolution - City Exhibit A - General / Measure S Fund Exhibit B - Special Revenue / Debt Service Funds Exhibit C - Internal Service Funds Resolution - Community Services District Exhibit A - Community Services District Funds Resolution - Capital Improvement Program Exhibit 1 - Capital Improvement Program COUNCIL / CSD ADJOURNMENT Page 9 City Council Agenda February 23, 2021 RECONVENE TEMECULA CITY COUNCIL BUSINESS 10. Discuss and Provide Direction Regarding an Alternate Facility to Serve as the Base of Operations for the Sheriff's Deputies Assigned to Temecula, a Temecula Police Station within the Cit. Limits At the Request of Council Member Stewart) Recommendation: Attachments That the City Council: 1. Discuss the current Base of Operations, the Southwest Station, the current deployment model, and the concept of shifting to a Base of Operations within the City limits; and 2. Provide direction on exploring an alternate Base of Operations, if, after discussion, the Council wishes to do so. Additionally, consider forming a City Council ad -hoc subcommittee to guide the process. Agenda Report DEPARTMENTAL REPORTS (Receive and File) 11. Community Development Department Monthly Report Attachments: Agenda Report Planning Activity Report 12. Fire Department Monthly Report Attachments: Agenda Report Monthly Report 13. Police Department Monthly Report Attachments: Agenda Report 14. Public Works Department Monthly Report Attachments: Agenda Report Project Status Report CITY MANAGER REPORT CITY ATTORNEY REPORT Page 10 City Council Agenda February 23, 2021 ADJOURNMENT The next regular meeting of the City Council will be held on Tuesday, March 9, 2021, at 5:30 p.m., for a Closed Session, with regular session commencing at 7:00 p.m., at the Council Chambers located at 41000 Main Street, Temecula, California. NOTICE TO THE PUBLIC 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 online at temeculaca.gov at least 72 hours prior to the meeting. If you have questions regarding any item on the agenda, please contact the City Clerk's Department at (951) 694 6444. Page 11 Item No. 1 CITY OF TEMECULA AGENDA REPORT TO: City Manager/City Council FROM: Randi Johl, Director of Legislative Affairs/City Clerk DATE: February 23, 2021 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 FEBRUARY 9, 2021 - 7:00 PM IMPORTANT NOTICE REGARDING THIS MEETING This meeting is being conducted utilizing teleconferencing and electronic means consistent with State of California Executive Order N-29-20, dated March 17, 2020, regarding the COVID-19 pandemic. In accordance with the order, the public may not view the meeting in -person in the Council Chamber. The live stream of the meeting may be viewed on television and/or online. Details can be found at temeculaca.gov/tv. Submission of Public Comments: For those wishing to make public comments at the meeting, please submit your comments by email to be read aloud into the record at the meeting by the City Clerk. Email comments must be submitted to randi.johl@temeculaca.gov. Email comments on matters not on the agenda must be received prior to the time the item for Public Comments is called. Email comments on agenda items must be received prior to the time Public Comments for the agenda item is called. Email comments on public hearing items must be received prior to the time the public hearing is opened to hear public comments. All email comments shall be subject to the same rules as would otherwise govern public comments at an in -person meeting. Public Comments for this meeting may only be submitted via email. Comments via text and social media will not be accepted. Reading of Public Comments: The City Clerk shall read all email comments, provided that the reading shall not exceed three (3) minutes, or such other time as the Council may provide, consistent with the time limit for speakers at an in -person Council meeting. The email comments shall become part of the meeting record. CLOSED SESSION: 6:00 P.M. CONFERENCE WITH REAL PROPERTY NEGOTIATORS. The City Council will meet in closed session pursuant to Government Code Section 54956.8 regarding four parcels of real property owned by the City of Temecula, as successor to the assets of the Redevelopment Agency of the City of Temecula, consisting of approximately 1 acre (APN: 922-360-004, 005, 006 & 007) located on Main Street at Mercedes Street in the City of Temecula. The parties to the negotiations for the potential sale of the property are Marketplace Old Town, LLC (Truax Development) and the City of Temecula. Negotiators for the City of Temecula are Aaron Adams, Greg Butler, and Luke Watson. Under negotiation are price and terms for the sale of the property. CALL TO ORDER: Mayor Maryann Edwards INVOCATION: Aaron Adam, City Manager FLAG SALUTE: Mayor Maryann Edwards ROLL CALL: Alexander, Edwards, Rahn, Schwank, Stewart PUBLIC COMMENTS The following individual(s) submitted an electronic comment on non-agendized item(s): • Nydia Ibarra • PJ in Temecula • Jonathan Hawes • Maria Pezer • Kelsey Rosendale • Treva Bennett • Sarah Peyton • Gordon Shipp • Moira Johnson • Melinda Reyes • Maureen O'Sullivan • Maria Gyori - • Suzanne Lane • Melissa Bourbonnais • Bob Kowell Temecula Resident • Courtney Sheehan • Desar6 Ferraro • Jordan Bourbonnais CITY COUNCIL REPORTS BOARD AND COMMISSION REPORTS • Kevin Baeta • Rick Reiss • Christopher Bout • Phebe O'Neill • Laurel LaMont • Tammy Acme • Geor e Harris Community Services Commission, Planning Commission, Public Traffic/Safety Commission PUBLIC SAFETY REPORT California Department of Forestry and Fire Protection (CAL FIRE) ANNUAL JOINT MEETING - CITY COUNCIL / COMMUNITY SERVICES COMMISSION Conduct the annual joint meeting between the City Council and the Community Services Commission and receive presentation regarding the same. CONSENT CALENDAR Unless otherwise indicated below, the following pertains to all items on the Consent Calendar. Approved the Staff Recommendation (5-0): Motion by Schwank, Second by Rahn. The vote reflected unanimous approval. 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 Action Minutes of January 26, 2021 Recommendation: That the City Council approve the action minutes of January 26, 2021. 3. Approve List of Demands Recommendation: That the City Council adopt a resolution entitled: RESOLUTION NO. 2021-05 A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF TEMECULA ALLOWING CERTAIN CLAIMS AND DEMANDS AS SET FORTH IN EXHIBIT A 4. Adopt Resolution Reaffirming and Proclaiming the Existence of a Local Emergency Related to the COVID-19 Virus Pandemic Recommendation: That the City Council adopt a resolution entitled: RESOLUTION NO. 2021-06 A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF TEMECULA REAFFIRMING AND PROCLAIMING THE EXISTENCE OF A LOCAL EMERGENCY RELATING TO THE COVID-19 VIRUS PANDEMIC AND ISSUING CERTAIN ORDERS FOR THE CONDUCT OF CITY AFFAIRS DURING THE LOCAL EMERGENCY Approved the Staff Recommendation (4-1): Motion by Schwank, Second by Rahn. The vote reflected unanimous approval with Alexander opposing. 5. Approve the Transportation Uniform Mitigation Fee Agreement with Western Riverside Council of Governments for the French Valley Parkway Phase III (Jefferson Ave to Ynez Rd) Right -of -Way Phase, Project No. PW19-03 Recommendation: RECESS: That the City Council: 1. Approve the Transportation Uniform Mitigation Fee (TUMF) Agreement to reimburse TUMF funds with Western Riverside Council of Governments (WRCOG) for the French Valley Parkway Phase III (Jefferson Ave to Ynez Rd) - Right -of -Way (ROW) Phase, Project No. PW 19-03, and authorize the City Manager to execute the agreement; and 2. Appropriate $1,500,000 in WRCOG TUMF funding to the French Valley Parkway/I-15 Improvements, Phase III Capital Project. At 8:20 PM, the City Council recessed and convened as the Temecula Community Services District Meeting. At 8:22 PM, the City Council convened to the Successor Agency to the Temecula Redevelopment Agency / City Council Joint Meeting. At 8:25 PM the City Council resumed with the remainder of the City Council Agenda. 3 JOINT MEETING - SUCCESSOR AGENCY TO THE TEMECULA REDEVELOPMENT AGENCY / CITY COUNCIL CALL TO ORDER at 8:22 PM: Chair Maryann Edwards ROLL CALL: Alexander, Edwards, Rahn, Schwank, Stewart SARDA / COUNCIL PUBLIC COMMENTS - None SARDA / COUNCIL CONSENT CALENDAR Unless otherwise indicated below, the following pertains to all items on the Consent Calendar. Approved the Staff Recommendation (5-0): Motion by Alexander, Second by Stewart. The vote reflected unanimous approval. 7. Approve Purchase and Sale Agreement for the Purchase of Two Vacant Parcels - Assessor Parcel Numbers 910-262-009 and 910-262-010 Recommendation: That the City Council and Board of Directors take the following actions: 1. Adopt a resolution entitled: RESOLUTION NO. 2021-07 A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF TEMECULA APPROVING THAT CERTAIN AGREEMENT ENTITLED PURCHASE AND SALE AGREEMENT AND JOINT ESCROW INSTRUCTIONS BETWEEN THE CITY OF TEMECULA, AS BUYER, AND HOFF INVESTMENTS, L.P. AND PMD INVESTMENTS, L.P. AS SELLERS (APNS 910-262-009 AND 910-262-010) 2. Appropriate $1,669,794 from the 2017B Housing Bond proceeds to the French Valley Parkway/I-15, Phase III Capital Project; and 3. Authorize the City Manager to approve and execute all necessary documents, including those in substantially the form attached to the Agenda Report, and take all necessary actions to effectuate the purchase of Assessor's Parcel Numbers 910-262-009 and 910-262-010. SARDA EXECUTIVE DIRECTOR REPORT SARDA BOARD OF DIRECTOR REPORTS SARDA ADJOURNMENT At 8:25 PM, the Successor Agency to the Temecula Redevelopment Agency meeting was formally adjourned to Tuesday, February 23, 2021, at 5:30 PM for a Closed Session, with a regular session 4 commencing at 7:00 PM, City Council Chambers, 41000 Main Street, Temecula, California. RECONVENE TEMECULA CITY COUNCIL BUSINESS 8. Review Fiscal Year 2021-22 Budget Policies and Priorities Recommendation: That the City Council review the Fiscal Year 2021-22 budget policies and priorities, and provide feedback on fiscal policy metrics. Receive and file, no action. CITY MANAGER REPORT CITY ATTORNEY REPORT ADJOURNMENT At 8:52 PM, the City Council meeting was formally adjourned to Tuesday, February 23, 2021, at 5:30 PM for Closed Session, with regular session commencing at 7:00 PM, City Council Chambers, 41000 Main Street, Temecula, California. Maryann Edwards, Mayor ATTEST: Randi Johl, City Clerk [SEAL] Item No. 3 CITY OF TEMECULA AGENDA REPORT TO: City Manager/City Council FROM: Jennifer Hennessy, Director of Finance DATE: February 23, 2021 SUBJECT: Approve the List of Demands PREPARED BY: Jada Shafe, Accounting Technician II RECOMMENDATION: That the City Council adopt a resolution entitled: RESOLUTION NO. 2021- 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.2021- 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 $6,905,858.83. 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 23rd day of February, 2021. Maryann Edwards, 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. 2021- was duly and regularly adopted by the City Council of the City of Temecula at a meeting thereof held on the 23rd day of February, 2021, 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 01/28/2021 TOTAL CHECK RUN: 02/04/2021 TOTAL CHECK RUN: 02/04/2021 TOTAL PAYROLL RUN: $ 5,454,699.53 908,871.41 542,287.89 TOTAL LIST OF DEMANDS FOR 2/23/2021 COUNCIL MEETING: $ 6,905,858.83 DISBURSEMENTS BY FUND: CHECKS: CITY OF TEMECULA LIST OF DEMANDS 001 GENERAL FUND $ 873,309.22 140 COMMUNITY DEV BLOCK GRANT 13,646.94 165 AFFORDABLE HOUSING 5,058.05 190 TEMECULA COMMUNITY SERVICES DISTRICT 130,267.10 192 TCSD SERVICE LEVEL B STREET LIGHTS 687.40 194 TCSD SERVICE LEVEL D REFUSE RECYCLING 4,270,473.67 196 TCSD SERVICE LEVEL "L" LAKE PARK MAINT. 11,893.83 197 TEMECULA LIBRARY FUND 9,124.61 210 CAPITAL IMPROVEMENT PROJECTS FUND 692,919.29 300 INSURANCE FUND 44,282.84 305 WORKERS' COMPENSATION 2,335.71 320 INFORMATION TECHNOLOGY 94,395.32 325 TECHNOLOGY REPLACEMENT FUND 30,394.43 330 SUPPORT SERVICES 7,018.66 335 SUPPORT SERVICES REPLACEMENT FUND 59,453.62 340 FACILITIES 17,094.89 472 CFD 01-2 HARVESTONA&B DEBT SERVICE 1,771.46 473 CFD 03-1 CROWNE HILL DEBT SERVICE FUND 1,771.45 474 AD03-4 JOHN WARNER ROAD DEBT SERVICE 126.15 475 CFD03-3 WOLF CREEK DEBT SERVICE FUND 1,802.19 476 CFD 03-6 HARVESTON 2 DEBT SERVICE FUND 1,771.45 477 CFD 03-02 RORIPAUGH DEBT SERVICE FUND 1,832.90 478 CFD 16-01 RORIPAUGH PHASE II 1,771.40 501 SERVICE LEVEL"C"ZONE 1 SADDLEWOOD 2,877.14 502 SERVICE LEVEL"C"ZONE 2 WINCHESTER CREEK 2,243.71 503 SERVICE LEVEL"C"ZONE 3 RANCHO HIGHLANDS 1,849.49 504 SERVICE LEVEL"C"ZONE 4 THE VINEYARDS 385.04 505 SERVICE LEVEL"C"ZONE 5 SIGNET SERIES 2,154.47 506 SERVICE LEVEL"C"ZONE 6 WOODCREST COUNTRY 1,270.76 507 SERVICE LEVEL"C"ZONE 7 RIDGEVIEW 929.93 508 SERVICE LEVEL"C"ZONE 8 VILLAGE GROVE 7,805.14 509 SERVICE LEVEL"C"ZONE 9 RANCHO SOLANA 185.31 510 SERVICE LEVEL"C"ZONE 10 MARTINIQUE 559.29 511 SERVICE LEVEL"C"ZONE 11 MEADOWVIEW 113.90 512 SERVICE LEVEL"C"ZONE 12 VINTAGE HILLS 5,116.44 513 SERVICE LEVEL"C"ZONE 13 PRESLEY DEVELOP. 1,294.97 514 SERVICE LEVEL"C"ZONE 14 MORRISON HOMES 841.00 515 SERVICE LEVEL"C"ZONE 15 BARCLAY ESTATES 584.65 516 SERVICE LEVEL"C"ZONE 16 TRADEWINDS 1,239.97 517 SERVICE LEVEL"C"ZONE 17 MONTE VISTA 112.30 518 SERVICE LEVEL"C"ZONE 18 TEMEKU HILLS 5,230.03 519 SERVICE LEVEL"C"ZONE 19 CHANTEMAR 2,801.87 520 SERVICE LEVEL"C"ZONE 20 CROWNE HILL 8,554.14 521 SERVICE LEVEL"C"ZONE 21 VAIL RANCH 11,632.57 522 SERVICE LEVEL"C"ZONE 22 SUTTON PLACE 216.59 523 SERVICE LEVEL"C"ZONE 23 PHEASENT RUN 861.34 524 SERVICE LEVEL"C"ZONE 24 HARVESTON 6,726.78 525 SERVICE LEVEL"C"ZONE 25 SERENA HILLS 2,916.02 526 SERVICE LEVEL"C"ZONE 26 GALLERYTRADITION 113.62 527 SERVICE LEVEL"C"ZONE 27 AVONDALE 521.87 528 SERVICE LEVEL"C"ZONE 28 WOLF CREEK 9,634.74 529 SERVICE LEVEL"C"ZONE 29 GALLERY PORTRAIT 155.28 700 CERBT CALIFORNIA EE RETIREE-GASB45 11,440.00 6,363,570.94 CITY OF TEMECULA LIST OF DEMANDS 001 GENERAL FUND $ 296,371.18 140 COMMUNITY DEV BLOCK GRANT 475.34 165 AFFORDABLE HOUSING 3,326.12 190 TEMECULA COMMUNITY SERVICES DISTRICT 121,614.32 194 TCSD SERVICE LEVEL D REFUSE RECYCLING 1,313.98 196 TCSD SERVICE LEVEL "L" LAKE PARK MAINT. 524.20 197 TEMECULA LIBRARY FUND 2,553.28 300 INSURANCE FUND 1,739.18 305 WORKERS' COMPENSATION 1,455.97 320 INFORMATION TECHNOLOGY 36,177.70 330 SUPPORT SERVICES 3,250.08 340 FACILITIES 6,519.18 472 CFD 01-2 HARVESTONA&B DEBT SERVICE 104.85 473 CFD 03-1 CROWNE HILL DEBT SERVICE FUND 104.79 474 AD03-4 JOHN WARNER ROAD DEBT SERVICE 104.79 475 CFD03-3 WOLF CREEK DEBT SERVICE FUND 131.57 476 CFD 03-6 HARVESTON 2 DEBT SERVICE FUND 104.79 477 CFD 03-02 RORIPAUGH DEBT SERVICE FUND 158.34 478 CFD 16-01 RORIPAUGH PHASE II 104.78 501 SERVICE LEVEL"C"ZONE 1 SADDLEWOOD 0.05 502 SERVICE LEVEL"C"ZONE 2 WINCHESTER CREEK 0.57 503 SERVICE LEVEL"C"ZONE 3 RANCHO HIGHLANDS 0.57 504 SERVICE LEVEL"C"ZONE 4 THE VINEYARDS 0.57 505 SERVICE LEVEL"C"ZONE 5 SIGNET SERIES 0.57 506 SERVICE LEVEL"C"ZONE 6 WOODCREST COUNTRY 0.57 507 SERVICE LEVEL"C"ZONE 7 RIDGEVIEW 0.05 508 SERVICE LEVEL"C"ZONE 8 VILLAGE GROVE 258.64 509 SERVICE LEVEL"C"ZONE 9 RANCHO SOLANA 0.05 510 SERVICE LEVEL"C"ZONE 10 MARTINIQUE 0.57 511 SERVICE LEVEL"C"ZONE 11 MEADOWVIEW 0.05 512 SERVICE LEVEL"C"ZONE 12 VINTAGE HILLS 129.29 513 SERVICE LEVEL"C"ZONE 13 PRESLEY DEVELOP. 12.96 514 SERVICE LEVEL"C"ZONE 14 MORRISON HOMES 0.05 515 SERVICE LEVEL"C"ZONE 15 BARCLAY ESTATES 0.05 516 SERVICE LEVEL"C"ZONE 16 TRADEWINDS 12.96 517 SERVICE LEVEL"C"ZONE 17 MONTE VISTA 0.05 518 SERVICE LEVEL"C"ZONE 18 TEMEKU HILLS 77.56 519 SERVICE LEVEL"C"ZONE 19 CHANTEMAR 108.61 520 SERVICE LEVEL"C"ZONE 20 CROWNE HILL 258.64 521 SERVICE LEVEL"C"ZONE 21 VAIL RANCH 491.45 522 SERVICE LEVEL"C"ZONE 22 SUTTON PLACE 0.05 523 SERVICE LEVEL"C"ZONE 23 PHEASENT RUN 0.77 524 SERVICE LEVEL"C"ZONE 24 HARVESTON 206.93 525 SERVICE LEVEL"C"ZONE 25 SERENA HILLS 25.85 526 SERVICE LEVEL"C"ZONE 26 GALLERYTRADITION 0.05 527 SERVICE LEVEL"C"ZONE 27 AVONDALE 0.57 528 SERVICE LEVEL"C"ZONE 28 WOLF CREEK 517.21 529 SERVICE LEVEL"C"ZONE 29 GALLERY PORTRAIT 0.05 700 CERBT CALIFORNIA EE RETIREE-GASB45 64,048.09 542,287.89 TOTAL BY FUND: $ 6,905,858.83 apChkLst Final Check List Page: 1 01/26/2021 11:19:06AM CITY OF TEMECULA Bank: eunion EFT UNION BANK Check # Date Vendor 500146 1/28/2021 013950 AQUA CHILL OF SAN DIEGO 500147 1/28/2021 021376 BORUNDA, BRIANNA 500148 1/28/2021 004192 DOWNS ENERGY FUEL 500149 1/28/2021 018098 ELITE CLAIMS MANAGEMENT INC 500150 1/28/2021 002577 ENGINEERING RESOURCES 500151 1/28/2021 001056 EXCEL LANDSCAPE INC 500152 1/28/2021 006914 INNOVATIVE DOCUMENT SOLUTIONS 500153 1/28/2021 000944 MCCAIN TRAFFIC SUPPLY INC 500154 1/28/2021 004043 MISSION ELECTRIC SUPPLY INC Description Amount Paid Check Total JAN DRINKING WTR SYS MAINT: CIVIC 183.71 CTR JAN DRINKING WTR SYS MAINT: MPSC 34.75 JAN DRINKING WTR SYS MAINT: JRC 28.28 JAN DRINKING WTR SYS MAINT: FOC 28.28 JAN DRINKING WTR SYS MAINT: THEATE 28.28 JAN DRINKING WTR SYS MAINT: PW 28.28 JAN DRINKING WTR SYS MAINT: TPL 28.28 JAN DRINKING WTR SYS MAINT: INFO TE 28.28 JAN DRINKING WTR SYS MAINT: TCC 28.28 416.42 REIMB: CAPIO 2021 WEBINAR 35.00 35.00 FUEL FOR CITY VEHICLES: PARK 976.39 MAINT: PW FUEL FOR CITY VEHICLES: TRAFFIC 796.73 FUEL FOR CITY VEHICLES: TCSD 339.62 FUEL FOR CITY VEHICLES: CIP PW 254.57 FUEL FOR CITY VEHICLES: TRAFFIC 232.06 FUEL FOR CITY VEHICLES: BLDG INSPE 95.00 FUEL FOR CITY VEHICLES: LAND DEV: F 86.16 2,780.53 DEC'20 3RD PARTY CLAIM ADMIN: 1,250.00 1,250.00 WRKRS COM ENG CONSULT SVCS: OVERLAND: 17,727.50 PW20-11 DEC ENG SVCS: SIDEWALK: 5TH ST: PW 3,423.35 ENG CONSULT SVCS: OVERLAND: PW2C 1,274.40 22,425.25 JAN LDSCP MAINT: 115/79S INTRCHG 8,550.00 MAINT JAN OVERLAND EXTENSION PROJ LDS( 300.00 JAN LDSCP MAINT SLOPES: PW 58,560.46 JAN LDSCP MAINT: PARKS/MEDIANS PW 56,831.22 JAN LDSCP MAINT SLOPES: PW 40,678.18 JAN LDSCP MAINT SLOPES: PW 24,702.75 JAN LDSCP MAINT: PARKS/MEDIANS: PV 21,133.27 JAN LDSCP MAINT: CITY FACS 12,631.84 223,387.72 REPLACEMENT COPIERS:VARIOUS 59,453.62 59,453.62 DEPTS REPLACEMENT TRAFFIC POLE: DE 495.71 495.71 PORTOLA ELECTRICAL SUPPLIES: PARKING 681.42 GARAGE ELECTRICAL SUPPLIES: CIVIC CTR 60.94 ELECTRICAL SUPPLIES: MPSC 6.55 748.91 Page:1 apChkLst Final Check List Page: 2 01/26/2021 11:19:06AM CITY OF TEMECULA Bank: eunion EFT UNION BANK Check # Date Vendor 500155 1/28/2021 004040 MORAMARCO ANTHONY J DBA BIGFOOT GRAPHICS (Continued) Description Amount Paid Check Total GRAPHIC DSGN - WEB COMICS: TCSD 900.00 Grand total for EFT UNION BANK: 900.00 311,893.16 Paget apChkLst Final Check List Page: 3 01/26/2021 11:19:06AM CITY OF TEMECULA 10 checks in this report. Grand Total All Checks: 311,893.16 Page:3 apChkLst Final Check List Page: 1 01/28/2021 1:24:40PM CITY OF TEMECULA Bank: union UNION BANK Check # Date Vendor Description 10334 1/11/2021 006887 UNION BANK OF CALIFORNIA 020792 CANVA.COM AA MEMBERSHIP FEE FOR WEBSITE 10336 1/11/2021 006887 UNION BANK OF CALIFORNIA 000152 CALIF PARKS AND PT PLAYGROUND SAFE COURSE: RECREATION SOC, C P R S FOX/LUDWIG 10341 1/6/2021 006887 UNION BANK OF CALIFORNIA 004822 RIVERSIDE TRANSIT AGENCY MW BUS PASSES: HOMELESS OUTREACH 10363 1/19/2021 000537 SO CALIF EDISON DEC 2-30-066-2889 30051 RANCHO VISTA RD 10364 1/19/2021 000537 SO CALIF EDISON DEC 2-36-122-7820 31777 DE PORTOLA RD 10365 1/19/2021 000537 SO CALIF EDISON DEC 2-25-350-5119 45602 REDHAWK PKWY 10366 1/19/2021 000537 SO CALIF EDISON DEC 2-40-765-3021 28916 PUJOL ST 10367 1/19/2021 000537 SO CALIF EDISON DEC 2-40-765-3179 28922 PUJOL ST 10368 1/19/2021 000537 SO CALIF EDISON DEC 2-41-394-3267 46899 REDHAWK PKWY 10369 1/19/2021 000537 SO CALIF EDISON DEC 2-29-479-2981 31454 TEMECULA PKWY 10370 1/19/2021 000537 SO CALIF EDISON DEC 2-41-578-1897 32005 MURRIETA HOT 10371 1/19/2021 000537 SO CALIF EDISON DEC 2-29-974-7899 26953 YNEZ RD 10372 1/19/2021 010276 TIME WARNER CABLE JAN INTERNET SVCS- 32131 STA 95 S LOOP 10373 1/19/2021 000537 SO CALIF EDISON DEC 2-30-608-9384 28582 HARVESTON DR 10374 1/19/2021 010276 TIME WARNER CABLE JAN INTERNET SVCS- 28816 PUJOL ST Amount Paid Check Total 119.40 119.40 1.120.00 1.120.00 250.00 250.00 13.03 13.03 13.68 13.68 17.39 17.39 42.02 42.02 89.05 89.05 122.17 122.17 135.09 135.09 161.55 161.55 204.95 204.95 239.66 239.66 431.21 431.21 598.64 598.64 Page-1 apChkLst Final Check List Page: 2 01/28/2021 1:24:40PM CITY OF TEMECULA Bank: union UNION BANK (Continued) Check # Date Vendor Description 10375 1/19/2021 010276 TIME WARNER CABLE JAN INTERNET SVCS- 41000 MAIN ST 10376 1/19/2021 000537 SO CALIF EDISON DEC 2-02-351-5281 30875 RANCHO VISTA 10377 1/19/2021 000537 SO CALIF EDISON DEC 2-05-791-8807 31587 TEMECULA PKWY 10378 1/20/2021 018858 FRONTIER CALIFORNIA INC JAN INTERNET SVCS- LIBRARY 10379 1/20/2021 018858 FRONTIER CALIFORNIA INC JAN INTERNET SVCS- LIBRARY 10380 1/20/2021 010276 TIME WARNER CABLE JAN INTERNET SVCS- 41000 MAIN ST 10381 1/21/2021 002390 EASTERN MUNICIPAL WATER DEC WATER SVCS STA95 32131 S DIST LOOP RD 10382 1/21/2021 002390 EASTERN MUNICIPAL WATER DEC WATER SVCS STA95 32131 S DIST LOOP RD 10383 1/21/2021 002390 EASTERN MUNICIPAL WATER DEC WATER SVCS- 31991 RORIPAUGH DIST VALLEY 10384 1/21/2021 018858 FRONTIER CALIFORNIA INC JAN INTERNET SVCS- CHILDREN'S MUSEUM 10385 1/21/2021 002390 EASTERN MUNICIPAL WATER DEC WATER SVCS- 39656 DIEGO DR DIST 10386 1/21/2021 002390 EASTERN MUNICIPAL WATER DEC WATER SVCS STA 95 32131 S DIST LOOP RD 10387 1/21/2021 002390 EASTERN MUNICIPAL WATER DEC WATERS SVCS- 31991 DIST RORIPAUGH VALLEY 10388 1/22/2021 000262 RANCHO CALIF WATER VARI DEC WATER 3026656 31367 LA DISTRICT SERENA 10389 1/22/2021 000537 SO CALIF EDISON DEC 2-29-223-9571 30395 MURRIETA HOT SPR 10390 1/22/2021 018858 FRONTIER CALIFORNIA INC JAN INTERNET SVCS- EXTERNAL DMV LINE 10391 1/22/2021 000537 SO CALIF EDISON DEC 2-31-419-2659 26706 YNEZ RD Amount Paid Check Total 1,137.60 1,137.60 3,842.83 3,842.83 10,427.95 10,427.95 5.31 5.31 5.31 5.31 264.40 264.40 55.76 55.76 76.89 76.89 106.56 106.56 130.98 130.98 145.39 145.39 221.12 221.12 394.21 394.21 11,281.15 11,281.15 25.92 25.92 111.84 111.84 142.56 142.56 Paget apChkLst Final Check List Page: 3 01/28/2021 1:24:40PM CITY OF TEMECULA Bank: union UNION BANK (Continued) Check # Date Vendor Description 10392 1/22/2021 000537 SO CALIF EDISON DEC 2-28-171-2620 40820 WINCHESTER RD 10393 1/25/2021 000537 SO CALIF EDISON DEC 2-30-099-3847 29721 RYECREST 10394 1/25/2021 000537 SO CALIF EDISON DEC 2-29-974-7568 26953 YNEZ RD 10395 1/25/2021 000537 SO CALIF EDISON DEC 2-33-237-4818 30499 RANCHO CAL RD 10396 1/25/2021 000537 SO CALIF EDISON DEC 2-31-693-9784 26036 YNEZ RD 10397 1/25/2021 010276 TIME WARNER CABLE JAN INTERNET SVCS- 42569 MARGARITA RD 10398 1/25/2021 010276 TIME WARNER CABLE JAN INTERNET SVCS- 30875 RANCHO VISTA RD 10399 1/25/2021 010276 TIME WARNER CABLE JAN INTERNET SVCS 30600 PAUBA RD 10400 1/25/2021 000537 SO CALIF EDISON DEC 2-26-887-0789 40233 VILLAGE RD 10401 1/25/2021 000537 SO CALIF EDISON DEC 2-00-397-5059 33340 CAMINO PIEDRA 10403 1/26/2021 000537 SO CALIF EDISON DEC 2-39-043-8521 29028 OLD TOWN FRONT 10404 1/26/2021 002390 EASTERN MUNICIPAL WATER DEC WATER SVCS- MURRIETA HOT DIST SPRINGS 10405 1/26/2021 001212 SO CALIF GAS COMPANY DEC 055-475-6169-5 32380 DEER HOLLOW WAY 10406 1/26/2021 002390 EASTERN MUNICIPAL WATER DEC WATER SVCS- MURRIETA HOT DIST SPRINGS 10407 1/26/2021 002390 EASTERN MUNICIPAL WATER DEC WATER SVCS 39569 SERAPHINA DIST RD 10408 1/26/2021 001212 SO CALIF GAS COMPANY DEC 015-575-0195-2 STA 92 32211 WOLF 10409 1/26/2021 001212 SO CALIF GAS COMPANY DEC 091-085-1632-0 41951 MORAGA RD Amount Paid Check Total 410.81 410.81 12.62 12.62 117.26 117.26 125.86 125.86 398.15 398.15 598.64 598.64 598.64 598.64 609.14 609.14 1,937.05 1,937.05 6,760.57 6,760.57 12.99 12.99 27.88 27.88 48.88 48.88 99.51 99.51 202.76 202.76 599.39 599.39 1,966.52 1,966.52 Page:3 apChkLst 01/28/2021 1:24:40PM Final Check List CITY OF TEMECULA Page: 4 Bank: union UNION BANK (Continued) Check # Date Vendor Description Amount Paid Check Total 10411 1/28/2021 001035 C RAND R INC JUL- DEC'20 TRASH HAULING SVCS 4,269,691.44 4,269,691.44 204243 1/28/2021 003951 ALL AMERICAN ASPHALT ASPHALT SUPPLIES: PW STREET 457.50 457.50 MAINT 204244 1/28/2021 007282 AMAZON CAPITAL SERVICES BOOKS RHRTPL: LIBRARY -13.00 INC BOOKS RHRTPL: LIBRARY 160.36 BOOKS RHRTPL: LIBRARY 14.13 BOOKS RHRTPL: LIBRARY 14.13 175.62 204245 1/28/2021 000936 AMERICAN RED CROSS, STAFF/LIFEGUARDS CERTS: 864.00 HEALTH AND SAFETY SVCS AQUATICS STAFF/LIFEGUARDS CERTS: AQUATICS 416.00 1,280.00 204246 1/28/2021 021670 ANLIND OF TEMECULA INC, VEHICLE MAINT & REPAIR: POLICE 732.61 TEMECULA HARLEY-DAVIDSON VEHICLE MAINT & REPAIR: POLICE 252.14 VEHICLE MAINT & REPAIR: POLICE 758.87 VEHICLE MAINT & REPAIR: POLICE 269.16 VEHICLE MAINT & REPAIR: POLICE 237.24 VEHICLE MAINT & REPAIR: POLICE 229.01 VEHICLE MAINT & REPAIR: POLICE 270.91 VEHICLE MAINT & REPAIR: POLICE 144.90 VEHICLE MAINT & REPAIR: POLICE 237.24 VEHICLE MAINT & REPAIR: POLICE 1,042.81 VEHICLE MAINT & REPAIR: POLICE 970.90 VEHICLE MAINT & REPAIR: POLICE 377.43 VEHICLE MAINT & REPAIR: POLICE 513.80 VEHICLE MAINT & REPAIR: POLICE 270.91 6,307.93 204247 1/28/2021 000101 APPLE ONE INC DEC TEMP HELP: COVID 8,311.30 8,311.30 SCREENINGS/FIN 204248 1/28/2021 013332 ARMSTRONG GARDEN MISC PLANT/GARDEN SUPPLIES TVM 119.41 119.41 CENTERS INC 204249 1/28/2021 022025 ARTHER J GALLAGHER, RISK INSURANCE CERT VERIFICATION:RISK 13,875.00 MANAGMENT SRVCS INC MGMT INSURANCE CERT VERIFICATION: RISK P 13,875.00 INSURANCE CERT VERIFICATION: RISK IN 13,875.00 41,625.00 204250 1/28/2021 018569 ARTINA GROUP INC THE, DBA TAX FORMS: FINANCE DEPT. 211.30 211.30 TYLER BUSINESS FORMS 204251 1/28/2021 000475 B N I PUBLICATIONS INC PUBLICATIONS: CIP, LAND DEV, 1,780.16 1,780.16 TRAFFIC Page:4 apChkLst 01/28/2021 1:24:40PM Final Check List CITY OF TEMECULA Page: 5 Bank: union UNION BANK (Continued) Check # Date Vendor Description Amount Paid Check Total 204252 1/28/2021 011954 BAKER AND TAYLOR INC BOOK COLLECTIONS: LIBRARY 258.79 BOOK COLLECTIONS: LIBRARY 20.11 BOOK COLLECTIONS: LIBRARY 18.97 BOOK COLLECTIONS: LIBRARY 48.22 BOOK COLLECTIONS: LIBRARY 759.61 BOOK COLLECTIONS: LIBRARY 58.51 BOOK COLLECTIONS: LIBRARY 82.90 BOOK COLLECTIONS: LIBRARY 254.72 BOOK COLLECTIONS: LIBRARY 131.16 BOOK COLLECTIONS: LIBRARY 87.90 BOOK COLLECTIONS: LIBRARY 92.00 BOOK COLLECTIONS: LIBRARY 269.33 BOOK COLLECTIONS: LIBRARY 20.04 BOOK COLLECTIONS: LIBRARY 112.73 2,214.99 204253 1/28/2021 004262 BIO TOX LABORATORIES phlebotomy services: police— 2,203.00 PHLEBOTOMY SVCS: POLICE 92.00 PHLEBOTOMY SVCS: POLICE 1,498.00 3,793.00 204254 1/28/2021 020754 CALIFORNIA LAND MEMBERSHIP RENEWAL: MORENO, R. 260.00 260.00 SURVEYORS, ASSOCIATION 204255 1/28/2021 021461 CAMPBELL, BRITTANY INSTRUCTOR: STUDENT -LED THTR 4,850.00 4,850.00 PROD 20/21 204256 1/28/2021 021349 CASA CENTER AGAINST SART EXAMS: POLICE 1,200.00 SEXUAL, ASSAULT OF SW RIV CO SART EXAMS: POLICE 800.00 SART EXAMS: POLICE 300.00 2,300.00 204257 1/28/2021 018828 CASC ENGINEERING AND, ADD'L ENG SVCS: SOMMER'S BEND 854.00 854.00 CONSULTING INC 204258 1/28/2021 004462 CDW LLC, DBACDW WI-FI EQUIPMENT:WI-FI GARDENS 5,407.53 GOVERNMENT LLC Computer Iifecycle replacement: info tech 4,052.59 Computer Iifecycle replacement: info tech 26,341.84 COMPUTER LOAN PRGM: RIVERA, TINA 673.18 36,475.14 204259 1/28/2021 000442 COMPUTER ALERT SYSTEMS ALARM SYS UPGRADES: VAR 2,502.00 2,502.00 LOCATIONS 204260 1/28/2021 014521 COSTAR REALTY JAN WEB SUBSCRIPTION: ECO DEV 720.00 720.00 INFORMATION INC 204261 1/28/2021 017038 CPS HR CONSULTING RECLASSIFICATION STUDY: HR 1,132.50 RECLASSIFICATION STUDY: HR 1,281.25 2,413.75 Page:5 apChkLst 01/28/2021 1:24:40PM Final Check List CITY OF TEMECULA Page: 6 Bank: union UNION BANK (Continued) Check # Date Vendor Description Amount Paid Check Total 204262 1/28/2021 012600 DAVID EVANS AND DSGN SVCS: SAM HICKS PARK: PW 2,761.80 2,761.80 ASSOCIATES INC 204263 1/28/2021 002990 DAVID TURCH AND NOV FEDERAL LOBBYING SVCS: CITY 5,500.00 ASSOCIATES MGR DEC FEDERAL LOBBYING SVCS: CITY M 5,500.00 OCT FEDERAL LOBBYING SVCS: CITY M 5,500.00 16,500.00 204264 1/28/2021 012614 DBX INC TRAFFIC SIGNAL EQUIP:TEM PKWY/LA 5,950.00 5,950.00 PAZ 204265 1/28/2021 021859 EXP US SERVICES INC CONSULT SVCS: SANTA GERTRUDIS 1,797.86 1,797.86 CRK TRAIL 204266 1/28/2021 000165 FEDERAL EXPRESS INC WEEKLY SVC CHARGE: SUPPORT 16.50 SVCS WEEKLY SVC CHARGE: SUPPORT SVCS 16.50 33.00 204267 1/28/2021 002982 FRANCHISE TAX BOARD KRACH, BREE - CASE# 603016103 5.44 KRACH, BREE - CASE# 603016103 76.13 KRACH, BREE - CASE# 603016103 23.40 KRACH, BREE - CASE# 603016103 29.09 KRACH, BREE - CASE# 603016103 21.75 KRACH, BREE - CASE# 603016103 28.77 KRACH, BREE - CASE# 603016103 10.60 KRACH, BREE - CASE# 603016103 11.69 KRACH, BREE - CASE# 603016103 25.28 KRACH, BREE - CASE# 603016103 29.77 261.92 204268 1/28/2021 002982 FRANCHISE TAX BOARD CUMBERBATCH, JAMAL- CASE# 29.40 29.40 1863175 204269 1/28/2021 019710 FU, JIMMY PHOTOGRAPHY SVCS: ECON DEV 300.00 300.00 204270 1/28/2021 021365 GEORGE HILLS COMPANY INC DEC CLAIM ADJUSTER SVCS: 1,317.00 1,317.00 EOC/RISK MGMT 204271 1/28/2021 022038 GERMKILL365 INC REISSUE COVID SUPPLIES: WIPES: 391.50 391.50 PW 204272 1/28/2021 000177 GLENNIES OFFICE PRODUCTS MISC OFC SUPPLIES: FINANCE 26.09 INC MISC OFC SUPPLIES: FINANCE 9.24 35.33 204273 1/28/2021 022055 GREAT WESTERN MISC PARK BENCH PARTS 593.63 593.63 RECREATION LLC, DBA GREAT WESTERN RECREAT 204274 1/28/2021 000186 HANKS HARDWARE INC MISC MAINT SUPPLIES: PW PARKS 346.49 346.49 Pagefi apChkLst Final Check List Page: 7 01/28/2021 1:24:40PM CITY OF TEMECULA Bank: union UNION BANK (Continued) Check # Date Vendor Description 204275 1/28/2021 020698 HICKS AND HARTWICK INC ENG PLAN CK SVCS: LAND DEV: PW ENG PLAN CK SVCS: LAND DEV: PW 204276 1/28/2021 020673 INTEGRITY SUPPORT Pre -Employment Screenings - HR SERVICES INC, EMPLOYMENT SCREENING RESO 204277 1/28/2021 000501 INTL INSTITUTE OF MUNICIPAL, MEMBERSHIP RENEWAL: RAMIREZ, E. CLERKS 204278 1/28/2021 013286 INTRADO LIFE & SAFETY INC JAN ENTERPRISE 911 SVC: IT 204279 1/28/2021 017118 KRACH BREE B, DBA ENGRAVING SVCS: CITY CLERK TEMECULA TROPHY& DES CREDIT 204280 1/28/2021 000210 LEAGUE OF CALIF CITIES 2021 MEMBERSHIP DUES: CITY OF TEMECULA 204281 1/28/2021 000482 LEIGHTON CONSULTING INC OCT-DEC GEOTECH SVC:BTRFLD STG,PW15-11 204282 1/28/2021 022058 LOIZU, ROBIN, DBA 19TH HOLE HPDP: CDBG/GOMEZ GOLF CARTS 204283 1/28/2021 013982 M C I COMM SERVICE JAN XXX-0346 GEN USAGE JAN XXX-0714 GEN USAGE PD MALL ALARM 204284 1/28/2021 013650 MAMCO INC DBAALABBASI DEC PRGS 9:BTRFLD STG RD,PW15-11 PH III 204285 1/28/2021 018675 MDG ASSOCIATES INC DEC LABOR COMPLIANCE MONITOR SVC: ADA 2020-21 CDBG Admin Srvcs DEC CDBG PRGM ADMIN: COM DEV 204286 1/28/2021 018314 MICHAEL BAKER DSGN SVCS: 1-15 / SR 79S: PW04-08 INTERNATIONAL 204287 1/28/2021 013443 MIDWEST TAPE LLC BOOKS ON TAPE: LIBRARY 204288 1/28/2021 019252 NATIONAL CHARITY LEAGUE COMM SVC FUNDING: CITY CNCL 204289 1/28/2021 000209 NUTRIEN AG SOLUTIONS INC, EQPMNT REPAIR & MAIN - STATION 12 DBA CROP PRODUCTION SRVCS Amount Paid Check Total 1,485.00 705.00 2,190.00 30.00 30.00 140.00 140.00 300.00 300.00 119.08 -29.77 89.31 28,332.00 28,332.00 3,084.60 3,084.60 1,969.00 1,969.00 37.17 31.34 68.51 478,158.97 478,158.97 456.75 585.01 10,485.13 11,526.89 1,100.00 1,100.00 88.29 88.29 4,800.00 4,800.00 129.85 129.85 Page:? apChkLst Final Check List Page: 8 01/28/2021 1:24:40PM CITY OF TEMECULA Bank: union UNION BANK (Continued) Check # Date Vendor Description 204290 1/28/2021 021121 OCCUPATIONAL HEALTH CTR MEDICAL SCREENINGS: COVID-19 OF CA, DBA CONCENTRA MEDICAL CTR 204291 1/28/2021 021998 OLD TOWN TIRE AND SERVICE CITY VEHICLE MAINT SVCS: PW INC STREETS 204292 1/28/2021 021735 ORANGE COUNTY YOUTH REFUND: SOCCER FIELD RENTAL SPORTS, FRIDAY NIGHT CANCELLED LIGHTS FLAG 204293 1/28/2021 002734 P V P COMMUNICATIONS INC MOTOR HELMETS: PD TRAFFIC 204294 1/28/2021 020544 PARKHOUSE TIRE SERVICE TIRE SERVICE: PW STREET MAINT INC TIRE SERVICE: PW STREET MAINT 204295 1/28/2021 014379 PROFESSIONAL IMAGE BANNERS: ECON DEV ADVERTISING, DBA EXTREME SIGNSGRAPHICS 204296 1/28/2021 020127 QUINN COMPANY GENERATOR MAINT SRVCS: STN 92 204297 1/28/2021 001364 R C P BLOCK & BRICK INC MASONRY SUPPLIES: VARIOUS PARKS 204298 1/28/2021 010777 RIVERSIDE CO EXECUTIVE FY20/21 2Q SHELTER OPS: TEMECULA OFFICE FY20/21 3Q SHELTER OPS: TEMECULA 204299 1/28/2021 000411 RIVERSIDE CO FLOOD NOV ENCROACHMENT PERMIT: MURR CONTROLAND, WATER CRK CONSERVATION DIST ADD'L DEPOSIT:MURR CRK ENCROACH 204300 1/28/2021 000278 SAN DIEGO UNION -TRIBUNE DEC BID AD: PAVEMENT REHAB, PW18-01 204301 1/28/2021 021309 SB&O INC 11/16-12/15 ENG, SURVEY:SIDEWLKS,19-20 204302 1/28/2021 013695 SHRED -IT US JV LLC, DBA: 11/23, 12/7 DOC SHRED SRVCS: SHRED -IT USA LLC POLICE 12/28, 1/4 DOC SHRED SRVCS: CITY FAC 12/18, 1/5 DOC SHRED SRVCS: PD SBST 204303 1/28/2021 000519 SOUTH COUNTY PEST JAN PEST CONTROL SRVCS: STA 73 CONTROL INC JAN PEST CONTROL SRVCS: WOLF CRK JAN PEST CONTROL SRVCS: DUCK PON 204304 1/28/2021 008337 STAPLES BUSINESS CREDIT MISC SUPPLIES: TCSD Amount Paid Check Total 52.00 52.00 1,931.27 1,931.27 2,146.00 2,146.00 794.52 794.52 229.60 365.60 595.20 960.00 960.00 780.00 780.00 41.05 41.05 55,914.00 56,181.00 112,095.00 184.18 1,000.00 1,184.18 319.28 319.28 97.50 97.50 42.24 194.92 42.24 279.40 68.00 49.00 49.00 166.00 43.50 43.50 Page:8 apChkLst 01/28/2021 1:24:40PM Final Check List CITY OF TEMECULA Page: 9 Bank: union UNION BANK (Continued) Check # Date Vendor Description Amount Paid Check Total 204305 1/28/2021 010169 UNITED TOWING SERVICE INC TOWING SERVICES: TEM SHERIFF 200.00 200.00 204306 1/28/2021 007987 WALMART MISC SUPPLIES: CRC 53.72 MISC SUPPLIES: CRC 132.18 185.90 204307 1/28/2021 001342 WAXIE SANITARY SUPPLY INC CLEANING SUPPLIES: HARVESTON LK 1,266.67 1,266.67 PRK 204308 1/28/2021 020670 WEBB MUNICIPAL FINANCE NOV SRVCS: MEASURE C ANALYSIS 1,700.00 LLC 2Q TCSD ADMIN-SERVICE LEVELS 9,691.84 2Q SPECIAL TAX ADMIN: CFDS 9,871.80 21,263.64 204309 1/28/2021 008668 WES FLOWERS SUNSHINE FUND 99.49 SUNSHINE FUND 99.49 198.98 204310 1/28/2021 003730 WEST COAST ARBORISTS INC 12/1-15 TREE MAINT: PHEASANT RUN 547.00 12/16-31 TREE MAINT: HARVESTON LK P 2,531.10 3,078.10 Grand total for UNION BANK: 5,142,806.37 Page9 apChkLst Final Check List Page: 10 01/28/2021 1:24:40PM CITY OF TEMECULA 118 checks in this report. Grand Total All Checks: 5,142,806.37 Page:10 apChkLst Final Check List Page: 1 02/02/2021 11:51:17AM CITY OF TEMECULA Bank: eunion EFT UNION BANK Check # Date Vendor Description 500156 2/4/2021 009374 ALLEGRO MUSICAL VENTURES PIANO TUNING/MAINT: THEATER DBA, ALLEGRO PIANO SERVICE 500157 2/4/2021 013950 AQUA CHILL OF SAN DIEGO JAN DRINKING WTR SYS MAINT: AQUATICS JAN DRINKING WTR SYS MAINT: AULD R DEC DRINKING WTR SYS MAINT: TPL JAN DRINKING WTR SYS MAINT: TVM 500158 2/4/2021 010650 CRAFTSMEN PLUMBING & PLUMBING SVCS: HARVESTON LAKE HVAC INC PARK 500159 2/4/2021 003945 DIAMOND ENVIRONMENTAL TEMP FENCING: RR SPORTS PARK SRVCS PORTABLE RESTROOM: RED HAWK PKV portable restroom & sink rental: police 500160 2/4/2021 004192 DOWNS ENERGY FUEL FUEL FOR CITY VEHICLES: BLDG INSPECTORS FUEL FOR CITY VEHICLES: CODE ENFOI FUEL FOR CITY VEHICLES: FIRE DEPT 500161 2/4/2021 002577 ENGINEERING RESOURCES LAND ACQUISITION SVCS, PW-CIP 500162 2/4/2021 006914 INNOVATIVE DOCUMENT DEC COPIER MAINT/USAGE/REPAIR: SOLUTIONS CITYWIDE 500163 2/4/2021 012285 JOHNSTONE SUPPLY MISC SUPPLIES: CIVIC CTR MISC SUPPLIES: CIVIC CTR 500164 2/4/2021 000944 MCCAIN TRAFFIC SUPPLY INC TRAFFIC CABINET: MARGARITA/LA SERENA 500165 2/4/2021 004043 MISSION ELECTRIC SUPPLY LED LIGHTING FIXTURES: INC HARVESTON COMM ELECTRICAL SUPPLIES: CIVIC CTR ELECTRICAL SUPPLIES: CIVIC CTR ELECTRICAL SUPPLIES: CIVIC CTR ELECTRICAL SUPPLIES: OLD TOWN MAI ELECTRICAL SUPPLIES: CIVIC CTR 500166 2/4/2021 003591 RENES COMMERCIAL PRE -EMERGENT: CITY OPEN ROW'S MANAGEMENT DEC MISC TRASH CLEANUP: CITY ROW! Amount Paid Check Total 255.00 255.00 67.34 56.57 28.28 28.28 180.47 460.00 460.00 282.60 165.88 109.95 558.43 167.74 91.22 14.89 273.85 1,882.50 1,882.50 3,161.06 3,161.06 63.13 54.84 117.97 13,714.04 13,714.04 1,433.03 328.81 266.68 134.05 39.69 22.84 2,225.10 18,252.00 1,774.00 20,026.00 Page:1 apChkLst Final Check List Page: 2 02/02/2021 11:51:17AM CITY OF TEMECULA Bank: eunion EFT UNION BANK Check # Date Vendor 500167 2/4/2021 002412 RICHARDS WATSON AND GERSHON 500168 2/4/2021 009452 STRAWN, WILLIAM (Continued) Description Amount Paid Check Total DEC 2020 LEGAL SERVICES 21,932.96 DEC 2020 LEGAL SERVICES 9,035.00 DEC 2020 LEGAL SERVICES 2,223.00 DEC 2020 LEGAL SERVICES 2,166.00 DEC 2020 LEGAL SERVICES 1,694.00 DEC 2020 LEGAL SERVICES 1,568.00 DEC 2020 LEGAL SERVICES 1,428.00 DEC 2020 LEGAL SERVICES 708.00 DEC 2020 LEGAL SERVICES 513.00 DEC 2020 LEGAL SERVICES 396.00 DEC 2020 LEGAL SERVICES 264.00 41,927.96 REIMB:EQUIPMENT FOR THEATER 65.24 65.24 Grand total for EFT UNION BANK: 84,847.62 Paget apChkLst Final Check List Page: 3 02/02/2021 11:51:17AM CITY OF TEMECULA 13 checks in this report. Grand Total All Checks: 84,847.62 Page:3 apChkLst Final Check List Page: 1 02/04/2021 2:25:27PM CITY OF TEMECULA Bank: union UNION BANK Check # Date Vendor Description 10337 1/11/2021 006887 UNION BANK OF CALIFORNIA 012915 LUCILLE'S BBC RO RFRSHMNTS: CITY CNCL MTG 12/08 000210 LEAGUE OF CALIF CITIES RO SEMINAR: NEW LAWS/ELECTIONS: CLERK 006692 SAM'S CLUB RO RFRSHMNTS: CITY COUNCIL MTGS 010514 CAMPINI'S ITALIAN DELI RO RFRSHMNTS: CITY COUNCIL MTG: 11/19 008956 PANERA BREAD RO RFRSHMNTS: CITY COUNCIL MTG 003964 OFFICE DEPOT BUSINESS SVS RO MISC OFC SUPPLIES: CITY CLERK DIV 021177 NOTHING BUNDT CAKES RO RFRSHMNTS: SWEARING IN NEW CNCL 021453 SACRAMENTO BEE RO SUBSCRIPTION: ONLINE DIGITAL SUBSCRIP 10402 1/29/2021 000262 RANCHO CALIF WATER VARI DEC WATER 3001042 30600 DISTRICT PAUBA RD 10410 1/27/2021 010276 TIME WARNER CABLE JAN INTERNET SVCS- 41000 MAIN ST 10412 1/28/2021 018858 FRONTIER CALIFORNIA INC JAN INTERNET SVCS MPSC SKATE PARK 10413 1/28/2021 018858 FRONTIER CALIFORNIA INC JAN INTERNET SVCS- CITY HALL 10414 1/28/2021 010276 TIME WARNER CABLE JAN INTERNET SVCS- 32380 DEER HOLLOW WAY 10415 1/29/2021 010276 TIME WARNER CABLE JAN INTERNET SVCS- 28922 PUJOL ST 10416 1/29/2021 010276 TIME WARNER CABLE JAN INTERNET SVCS- 41845 6TH ST 10417 2/1/2021 000537 SO CALIF EDISON JAN 2-40-576-0232 44173 BUTTERFIELD STG 10418 2/1/2021 000537 SO CALIF EDISON JAN 2-33-357-5785 44747 REDHAWK PKWY 10419 2/1/2021 000537 SO CALIF EDISON JAN 2-28-331-4847 32805 PAUBA RD 10420 2/1/2021 000537 SO CALIF EDISON JAN 2-41-072-5394 29429 TEMECULA PKWY Amount Paid Check Total 326.88 300.00 65.24 105.95 296.03 20.65 220.00 12.99 1,347.74 11,486.87 11,486.87 49.77 49.77 197.35 197.35 295.98 295.98 598.64 598.64 598.64 598.64 598.64 598.64 18.72 18.72 29.95 29.95 86.70 86.70 90.45 90.45 Page:1 apChkLst Final Check List Page: 2 02/04/2021 2:25:27PM CITY OF TEMECULA Bank: union UNION BANK (Continued) Check # Date Vendor Description 10421 2/1/2021 018858 FRONTIER CALIFORNIA INC JAN INTERNET SVCS- TCC 10422 2/1/2021 018858 FRONTIER CALIFORNIA INC JAN INTERNET SVCS- MPSC 10423 2/1/2021 000537 SO CALIF EDISON JAN 2-30-296-9522 46679 PRIMROSE AVE 10424 2/1/2021 000537 SO CALIF EDISON JAN 2-34-624-4452 STA 95 32131 S LOOP 10425 2/1/2021 018858 FRONTIER CALIFORNIA INC JAN INTERNET SVCS- CITY HALL 10426 2/1/2021 018858 FRONTIER CALIFORNIA INC JAN INTERNET SVCS- CITY HALL 10427 2/4/2021 010349 CALIF DEPT OF CHILD SUPPORT PAYMENT SUPPORT 10428 2/4/2021 017429 COBRAADVANTAGE INC, DBA FSA REIMBURSEMENT PAYMENT THE ADVANTAGE GROUP 10429 2/4/2021 021301 I C M A RETIREMENT -PLAN ICMA- 401(A) RETIREMENT PLAN 106474 PAYMENT 10430 2/4/2021 000194 I C M A RETIREMENT -PLAN ICMA-RC RETIREMENT TRUST 457 303355 PAYMENT 10431 2/4/2021 000444 INSTATAX (EDD) STATE TAXES PAYMENT 10432 2/4/2021 000283 INSTATAX (IRS) FEDERAL TAXES PAYMENT 10433 2/4/2021 001065 NATIONWIDE RETIREMENT NATIONWIDE RETIREMENT PAYMENT SOLUTION 10434 2/4/2021 019088 NATIONWIDE RETIREMENT NATIONWIDE LOAN REPAYMENT SOLUTION PAYMENT 10435 2/4/2021 000389 NATIONWIDE RETIREMENT OBRA- PROJECT RETIREMENT SOLUTION PAYMENT 10436 2/4/2021 000245 PERS - HEALTH INSUR PERS HEALTH PAYMENT PREMIUM PERS HEALTH PAYMENT 10437 2/4/2021 000246 PERS (EMPLOYEES' PERS RETIREMENT PAYMENT RETIREMENT) Amount Paid Check Total 120.98 120.98 150.98 150.98 521.34 521.34 1,354.92 1,354.92 2,820.18 2,820.18 5,494.09 5,494.09 899.07 899.07 19,689.61 19,689.61 1,134.62 1,134.62 15,810.98 15,810.98 26,107.20 26,107.20 86,647.55 86,647.55 12,765.57 12,765.57 305.68 305.68 1,919.68 1,919.68 0.00 141,157.49 141,157.49 111,498.82 111,498.82 Paget apChkLst Final Check List Page: 3 02/04/2021 2:25:27PM CITY OF TEMECULA Bank: union UNION BANK (Continued) Check # Date Vendor Description 10438 2/4/2021 000246 PERS (EMPLOYEES' PIERS - REPLACEMENT BENEFIT RETIREMENT) CONTRIBUTION 10439 2/2/2021 000537 SO CALIF EDISON JAN 2-35-164-3242 44270 MEADOWS PKWY 10440 2/2/2021 000537 SO CALIF EDISON JAN 2-35-164-3663 42335 MEADOWS PKWY 10441 2/2/2021 000537 SO CALIF EDISON JAN 2-35-164-3515 32932 LEENA WAY 10442 2/2/2021 000537 SO CALIF EDISON JAN 2-35-164-3770 43487 BUTTERFIELD STG 10443 2/2/2021 001986 MUZAK LLC FEB DISH NETWORK 41952 6TH ST 10444 2/2/2021 001986 MUZAK LLC FEB DISH NETWORK STA 95 32131 10445 2/2/2021 001986 MUZAK LLC FEB DISH NETWORK 43230 BUS PARK DR 10446 2/2/2021 010276 TIME WARNER CABLE JAN INTERNET SVCS 29119 MARGARITA RD 204311 2/4/2021 013387 ADAME LANDSCAPE INC, DBA JAN CLEANING SRVCS: PRKG SWEEPING UNLIMITED STRUCTURE 204312 2/4/2021 019307 ADVANCED AUTOMOTIVE ANNUAL SMOG CHECK: STREET SMOG MAINT: PW ANNUAL SMOG CHECK: STREET MAINT: ANNUAL SMOG CHECK: FIRE VEHICLES ANNUAL SMOG CHECK: FIRE VEHICLES ANNUAL SMOG CHECK: PARKS & FAC ANNUAL SMOG CHECK: STREETS MAIN" ANNUAL SMOG CHECK: POLICE ANNUAL SMOG CHECK: PARKS: PW ANNUAL SMOG CHECK: STREET MAINT: ANNUAL SMOG CHECK: PARKS: PW ANNUAL SMOG CHECK: POLICE ANNUAL SMOG CHECK: PARKS: PW ANNUAL SMOG CHECK: PARKS: PW ANNUAL SMOG CHECK: STREET MAINT: ANNUAL SMOG CHECK: FIRE VEHICLES ANNUAL SMOG CHECK: PARKS & FACILI Amount Paid Check Total 1,061.07 1,061.07 13.68 13.68 13.82 13.82 14.02 14.02 15.53 15.53 56.10 56.10 155.08 155.08 166.27 166.27 1,655.67 1,655.67 540.00 540.00 45.00 45.00 45.00 45.00 45.00 45.00 45.00 45.00 45.00 45.00 45.00 45.00 45.00 45.00 45.00 45.00 720.00 Page:3 apChkLst Final Check List Page: 4 02/04/2021 2:25:27PM CITY OF TEMECULA Bank: union UNION BANK Check # Date Vendor (Continued) Description 204313 2/4/2021 003951 ALL AMERICAN ASPHALT ASPHALT SUPPLIES: PW STREET MAINT ASPHALT SUPPLIES: PW STREET MAINT 204314 2/4/2021 010983 ALL AMERICAN SERVICE, AND ASPHALT SUPPLIES: PW STREET SUPPLIES MAINT 204315 2/4/2021 007282 AMAZON CAPITAL SERVICES SUPPLIES - CHIEF/BC INC MISC. SUPPLIES: CRC MISC. SUPPLIES: HUMAN SVCS 204316 2/4/2021 004240 AMERICAN FORENSIC NURSES DRUG/ALCOHOL ANALYSIS: POLICE AFN DRUG/ALCOHOL ANALYSIS: POLICE FEB STAND BY FEE: POLICE 204317 2/4/2021 000101 APPLE ONE INC JAN TEMP HELP: FINANCE DEPT 204318 2/4/2021 001445 ASSISTANCE LEAGUE OF COMM SVC FUNDING: CITY CNCL TEMECULA, VALLEY 204319 2/4/2021 011954 BAKER AND TAYLOR INC 204320 2/4/2021 015592 BAMM PROMOTIONAL PRODUCTS INC 204321 2/4/2021 014284 BLAKELYS TRUCK SERVICE, AKA DONALD W BLAKELY 204322 2/4/2021 011348 BONCOR WATER SYSTEMS LLC, DBA SUNSHINE WATER SOFT 204323 2/4/2021 021588 BRAUN PETER, DBA TEMECULA PLANTSCAPE 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 EMBROIDERY SVCS:BLDG & SAFETY UNIFORMS VEHICLE/EQUIP REPAIRS: PW STREET MAINT VEHICLE/EQUIP REPAIRS: PW STREET � VEHICLE/EQUIP REPAIRS: PW STREET � VEHICLE/EQUIP REPAIRS: PW STREET � VEHICLE/EQUIP REPAIRS: PW STREET � VEHICLE/EQUIP REPAIRS: PW STREET � FEB WTR TANK FILTER REPL: STA 73 FEB PLANTSCAPE SVCS: CIVIC CTR FEB PLANTSCAPE SVCS: TPL Amount Paid 507.52 562.46 105.06 105.48 167.49 149.73 175.35 116.90 1,339.00 4,627.35 5,000.00 40.22 82.73 922.14 -21.10 33.92 41.37 483.96 60.79 -9.54 43.50 90.00 165.32 171.00 162.00 90.00 127.03 279.96 500.00 200.00 Check Total 1,069.98 105.06 422.70 1,631.25 4,627.35 5,000.00 1,634.49 43.50 805.35 279.96 700.00 Page:4 apChkLst Final Check List Page: 5 02/04/2021 2:25:27PM CITY OF TEMECULA Bank: union UNION BANK (Continued) Check # Date Vendor Description 204324 2/4/2021 021502 BUCHER, BRET PHILLIP TCSD INSTRUCTOR EARNINGS TCSD INSTRUCTOR EARNINGS 204325 2/4/2021 001035 C RAND R INC TRASH HAULING SVCS: FIRE STA73 204326 2/4/2021 003138 CAL MAT, DBA VULCAN ASPHALT SUPPLIES: PW STREET MATERIALS CO MAINT ASPHALT SUPPLIES: PW STREET MAINT 204327 2/4/2021 020995 CALAHAN, RICHARD REIMB: UNIFORMS: BLDG & SAFETY 204328 2/4/2021 001054 CALIF BUILDING OFFICIALS, REGIST. WEBINAR: LA RUE, JESSE (CALBO) 204329 2/4/2021 004248 CALIF DEPT OF DEC BLOOD & ALCOHOL ANALYSIS: JUSTICE-ACCTING PD 204330 2/4/2021 004971 CANON FINANCIAL SERVICES JAN 14 COPIER LEASE - CIVIC CTR INC 204331 2/4/2021 004931 CHICAGO TITLE COMPANY TITLE REPORT SVCS: PW04-08 204332 2/4/2021 005417 CINTAS PROTECTION NO 2, First Aid Kit Maintenance— CINTAS FIRE 636525 204333 2/4/2021 000442 COMPUTER ALERT SYSTEMS MISC ALARM SVC: IWTCM MISC ALARM SVC: CIVIC CTR 204334 2/4/2021 017038 CPS HR CONSULTING RECLASSIFICATION STUDY: HR 204335 2/4/2021 020105 CUMBERBATCH, JAMAL TCSD INSTRUCTOR EARNINGS CREDIT 204336 2/4/2021 004194 D L T SOLUTIONS, LLC ENG & CONS COLLECTION SW RENEWAL: PW 204337 2/4/2021 001233 DANS FEED AND SEED INC MISC SUPPLIES: STREET MAINT: PW 204338 2/4/2021 012600 DAVID EVANS AND DEC DSGN SVCS: RRSP EXPANSION ASSOCIATES INC 18-03 DEC CONST BID SUPPOT: SANTA GERTF DEC DSGN SVCS: DIAZ RD PROJ PW17-: DEC DSGN SVCS: PW17-29 WTR CONVE AUG DSGN SVCS: TPL PARKING PH II PV 204339 2/4/2021 020360 DE NOVO PLANNING GROUP CEQAANALYSIS: SERAPHINA Amount Paid Check Total 455.00 434.00 889.00 1,092.37 1,092.37 345.77 199.00 544.77 97.88 97.88 70.00 70.00 1.155.00 1.155.00 671.56 671.56 2,400.00 2,400.00 62.80 62.80 75.00 508.95 583.95 1,531.25 1,531.25 235.20 -58.80 176.40 8,195.48 8,195.48 37.31 37.31 2,765.00 10, 591.00 10, 664.69 4,994.52 1,700.00 30,715.21 1.125.21 1.125.21 Page:5 apChkLst 02/04/2021 2:25:27PM Final Check List CITY OF TEMECULA Bank: union UNION BANK (Continued) Check # Date Vendor Description 204340 2/4/2021 019720 DIVERSIFIED WATERSCAPES FEB WTR QUALITY MAINT:DUCK INC PN D/HARV. 204341 2/4/2021 020904 ECONOMIC ALTERNATIVES INC FEB CONDENSER WTR SYS PM: CIVIC CTR 204342 2/4/2021 009618 ENNIS FLINT INC MISC SUPPLIES: PW STREET MAINT 204343 2/4/2021 017432 EYEMED VISION CARE VISION PLAN PAYMENT 204344 2/4/2021 009953 FEDERAL CLEANING FEB JANITORIAL SRVCS: POLICE MALL CONTRACTORS, DBA FEDERAL OFC BLDG SERVICES 204345 2/4/2021 003747 FINE ARTS NETWORK AKA COMM SVC FUNDING: CITY CNCL THEATRE, CO AND BALLET THEATER 204346 2/4/2021 002982 FRANCHISE TAX BOARD SUPPORT PAYMENT 204347 2/4/2021 002982 FRANCHISE TAX BOARD CUMBERBATCH, JAMAL - CASE# 1863175 204348 2/4/2021 000177 GLENNIES OFFICE PRODUCTS MISC OFC SUPPLIES: FINANCE INC EMERGENCY SUPPLIES: COVID-19: TCS MISC OFC SUPPLIES: PW STREET MAIN' MISC OFC SUPPLIES: PW STREET MAIN' MISC OFC SUPPLIES: CRC MISC OFC SUPPLIES: MPSC: TCSD 204349 2/4/2021 000175 GOVERNMENT FINANCE 3/1/21-2/28/22 MBRSHP: JH/RG/PH OFFICERS, ASSOCIATION, GFOA 204350 2/4/2021 000186 HANKS HARDWARE INC MISC MAINT SUPPLIES: STREET MAINT: PW MISC MAINT SUPPLIES: AQUATICS MISC MAINT SUPPLIES: THEATER FIRE EXTINGUISHERS: VARI DEPTS MISC MAINT SUPPLIES: MPSC MISC MAINT SUPPLIES: TVM MISC MAINT SUPPLIES: CRC MISC HDWR SUPPLIES: FIRE DEPT 204351 2/4/2021 020193 HD SUPPLY CONSTR SUPPLY MISC SUPPLIES: STREET MAINT: PW LTD, DBA HDS WHITE CAP CONSTR MISC SUPPLIES: STREET MAINT: PW Amount Paid 6,969.00 525.00 3,295.45 1,725.78 1,167.06 2,500.00 100.00 58.80 66.96 439.95 67.82 87.41 146.65 299.32 840.00 115.83 33.22 149.72 496.75 14.11 12.21 314.65 456.91 356.65 978.73 Page: 6 Check Total 6,969.00 525.00 3,295.45 1,725.78 1,167.06 2,500.00 100.00 58.80 1,108.11 840.00 1,593.40 1,335.38 Page6 apChkLst 02/04/2021 2:25:27PM Final Check List CITY OF TEMECULA Page: 7 Bank: union UNION BANK (Continued) Check # Date Vendor Description Amount Paid Check Total 204352 2/4/2021 013749 HELIXSTORM INC FIREWALLANNUAL SUB 28,780.00 28,780.00 RENEWAL:INFO TECH 204353 2/4/2021 003198 HOME DEPOT MISC SUPPLIES: FOC 27.77 MISC STAGE SUPPLIES: THEATER 60.16 Misc tools: pw facilities civic center 117.34 205.27 204354 2/4/2021 022056 IDETAIL SUPPLY CO ENGINE MAINT SUPPLIES - BC 36.89 36.89 204355 2/4/2021 020673 INTEGRITY SUPPORT Pre -Employment Screenings - HR 177.41 177.41 SERVICES INC, EMPLOYMENT SCREENING RESO 204356 2/4/2021 012883 JACOB'S HOUSE INC EMPLOYEE CHARITY DONATIONS 40.00 40.00 PAYMENT 204357 2/4/2021 012285 JOHNSTONE SUPPLY MISC SUPPLIES: CIVIC CTR 1,518.36 MISC SUPPLIES: CIVIC CTR 81.46 1,599.82 204358 2/4/2021 021896 JP HANDMADE CORP, DBA BUSINESS CARD PRINTING - BATT 15 81.56 MINUTEMAN PRESS Business Cards - Planning 145.62 COUNCIL MEMBER BUS CARDS: CIT CNI 435.54 662.72 204359 2/4/2021 001091 KEYSER MARSTON DEC ON CALL CONSULTANT SVCS: 2,190.00 2,190.00 ASSOCIATES INC PLANNING 204360 2/4/2021 019691 L C PAVING AND SEALING INC REL STP NTC: PECHANGA PKWY: 66,568.46 66,568.46 PW15-14 204361 2/4/2021 020222 LANDSCAPE STRUCTURES PLAYGROUND EQUIP: SAM HICKS 4,993.00 4,993.00 INC. PARK 20-03 204362 2/4/2021 000482 LEIGHTON CONSULTING INC Geotech services PA19-0940 Solana 2,200.00 MATLS TESTING SVCS, RRSP PUMP THE 3,865.10 GEOTEC REVIEW: TEMECULA VILLAGE: 3,500.00 9,565.10 204363 2/4/2021 002634 LITELINES INC LED REPLACEMENT LAMPS: PW 29,606.10 29,606.10 204364 2/4/2021 003782 MAIN STREET SIGNS, DBA CITY STREET SIGNAGE: PW STREET 837.22 ATHACO INC MAINT CITY STREET SIGNAGE: STREET MAINT: 641.11 SIGNS & SUPPLIES: PARKS: PW 549.20 CITY STREET SIGNAGE: PW STREET MP 67.82 MISC SIGN POSTS & SUPPLIES: PARKS 645.85 2,741.20 204365 2/4/2021 020302 MARIS IMAGING SOLUTIONS DOCUMENT IMAGING SVCS: CITY 15,623.67 15,623.67 LLC CLERK Page:? apChkLst 02/04/2021 2:25:27PM Final Check List CITY OF TEMECULA Page: 8 Bank: union UNION BANK (Continued) Check # Date Vendor Description Amount Paid Check Total 204366 2/4/2021 018675 MDG ASSOCIATES INC DEC LABOR COMPLIANCE SVCS: 71.25 71.25 PW18-16 204368 2/4/2021 003076 MET LIFE INSURANCE DENTAL PAYMENT 12,309.33 12,309.33 COMPANY 204369 2/4/2021 022061 MEZA, REYNA REFUND: COMMUNITY CENTER 1,450.00 1,450.00 RENTAL 204370 2/4/2021 018314 MICHAEL BAKER DEC ENG & SURVEY SVCS - PW17-28 15,215.00 15,215.00 INTERNATIONAL 204371 2/4/2021 013443 MIDWEST TAPE LLC BOOKS ON TAPE: LIBRARY 139.49 139.49 204372 2/4/2021 002925 NAPAAUTO PARTS AUTO PARTS & SUPPLIES: STA 95 24.99 24.99 204373 2/4/2021 018099 NATIONAL SAFETY DOT TESTING: HR 204.95 204.95 COMPLIANCE INC 204374 2/4/2021 001323 NESTLE WATERS NORTH DEC WTR DLVRY SVCS: FOC 117.99 AMERICA, DBA READYREFRESH JAN WATER DELIVERY SVCS: MRC 8.69 JAN WATER DELIVERY SVCS: PBSP 17.22 JAN WATER DELIVERY SVCS: SKATE PAI 9.15 JAN WATER DELIVERY SVCS: TESC POC 16.30 JAN WATER DELIVERY SVCS: HELP CTR 33.08 JAN WATER DELIVERY SVCS: HELP CTR 28.99 231.42 204375 2/4/2021 000209 NUTRIEN AG SOLUTIONS INC, EQUIPMENT REPAIR & MAINT: STA 73 170.59 170.59 DBA CROP PRODUCTION SRVCS 204376 2/4/2021 009337 NV5 INC DEC PROJ MGT SVCS:MRC, PW17-21 2,722.50 2,722.50 204377 2/4/2021 021121 OCCUPATIONAL HEALTH CTR MEDICAL SCREENINGS: HR 208.00 OF CA, DBA CONCENTRA MEDICAL CTR MEDICAL SCREENINGS: HR 156.00 364.00 204378 2/4/2021 021998 OLD TOWN TIRE AND SERVICE CITY VEHICLE MAINT SVCS: PW 79.81 INC PARKS CITY VEHICLE MAINT SVCS: PW STREEI 111.05 CITY VEHICLE MAINT SVCS: PW STREEI 1,931.27 2,122.13 204379 2/4/2021 021998 OLD TOWN TIRE AND SERVICE CITY VEHICLE MAINT SVCS: FIRE 38.45 38.45 INC PREV 204380 2/4/2021 019474 OUR NICHOLAS FOUNDATION FY20/21 COMMUNITY SRVC FUNDING 5,000.00 5,000.00 Page:8 apChkLst Final Check List Page: 9 02/04/2021 2:25:27PM CITY OF TEMECULA Bank: union UNION BANK (Continued) Check # Date Vendor Description 204381 2/4/2021 016585 PACIFIC PLAY SYSTEMS INC MISC PLAYGROUND PARTS: PW PARKS 204382 2/4/2021 020544 PARKHOUSE TIRE SERVICE VEHICLE REPAIR & MAINT: STA 95 INC 204383 2/4/2021 005820 PRE -PAID LEGAL SERVICES PREPAID LEGAL SERVICES PAYMENT INC, DBA LEGALSHIELD 204384 2/4/2021 012904 PROACTIVE FIRE DESIGN JAN PLAN REVIEW SRVCS: FIRE PREV AND, CONSULTING 204385 2/4/2021 005075 PRUDENTIAL OVERALL JAN UNIFORM SRVCS: PW STREET SUPPLY MAINT 204386 2/4/2021 021026 QUESTICA LTD QTRLY REPORTS/ANALYSIS: FINANCE BUDGET SOLFTWARE & REPORTS: FIND 204387 2/4/2021 020127 QUINN COMPANY GENERATOR PREV MAINT: CRC 204388 2/4/2021 000262 RANCHO CALIF WATER DEC WATER SVCS 3094865 TEE DR DISTRICT 204389 2/4/2021 000418 RIVERSIDE CO CLERK AND, SCH2O20059004:TRFF RECORDER SGNL/PRK&RIDE, 18-11 204390 2/4/2021 001592 RIVERSIDE CO INFO DEC EMERG RADIO RENTAL: POLICE TECHNOLOGY 204391 2/4/2021 001365 RIVERSIDE, COUNTY OF, RENEW PERMIT: FOC ENVIRONMENTAL HEALTH DEPT RENEW PERMIT: MARG PARK SPLASH P 204392 2/4/2021 016439 ROTARY CLUB OF TEMECULA, FY20/21 COMMUNITY SRVC FUNDING FOUNDATION ACCOUNT 204393 2/4/2021 021964 RUSSELL SIGLER INC, DBA MISC PARTS FOR HVAC UNITS: CIVIC SIGLER WHOLESALE DIST CTR MISC PARTS FOR HVAC UNITS: CIVIC Cl MISC PARTS FOR HVAC UNITS: CIVIC Cl MISC PARTS FOR HVAC UNITS: CIVIC Cl 204394 2/4/2021 004274 SAFE AND SECURE LOCKSMITH SERVICES: PARKS LOCKSMITH SRVC 204395 2/4/2021 013911 SANTA ROSA PLATEAU FY20/21 COMMUNITY SRVC FUNDING NATURE, EDUCATION FOUNDATION Amount Paid Check Total 4,435.00 4,435.00 295.30 295.30 191.35 191.35 10,004.50 10,004.50 204.08 204.08 4,600.00 850.00 5,450.00 368.50 368.50 283.86 283.86 73.50 73.50 2,159.91 2,159.91 1,747.00 406.00 2,153.00 5,000.00 5,000.00 104.18 235.13 100.23 110.57 550.11 54.38 54.38 2,500.00 2,500.00 Page9 apChkLst Final Check List Page: 10 02/04/2021 2:25:27PM CITY OF TEMECULA Bank: union UNION BANK (Continued) Check # Date Vendor Description 204396 2/4/2021 017699 SARNOWSKI SHAWNA M COUNCIL/CMO PHOTOGRAPHY SRVCS PRESTON 204397 2/4/2021 013482 SILVERMAN ENTERPRISES JAN AFTER HRS SECURITY: PUMP INC, DBA BAS SECURITY TRACK 204398 2/4/2021 000645 SMARTAND FINAL INC SUPPLIES: HUMAN SERVICES 204399 2/4/2021 000537 SO CALIF EDISON JAN 2-01-202-7330 VARIOUS LOCATIONS 204400 2/4/2021 002503 SOUTH COAST AIR QUALITY, FY20/21 FLAT FEE -LAST F-YR MANAGEMENT DISTRICT EMISSIONS:TVE 204401 2/4/2021 000519 SOUTH COUNTY PEST EMERG PEST CONTROL SRVCS: CONTROL INC SKATE PARK 204402 2/4/2021 012652 SOUTHERN CALIFORNIA, FEB GEN USAGE: 0141,0839,2593,9306 TELEPHONE COMPANY 204405 2/4/2021 007762 STANDARD INSURANCE BASIC LIFE INSURANCE PAYMENT COMPANY 204406 2/4/2021 012723 STANDARD INSURANCE VOLUNTARY SUPP LIFE INSURANCE COMPANY PAYMENT 204407 2/4/2021 017814 STC TRAFFIC INC DEC TRAFF SGNL SYS UPGRADE:HSIP CYCLE 9 OCT PLN REVIEW & INSPECTION: PW Cl 204408 2/4/2021 001547 TEAMSTERS LOCAL 911 UNION MEMBERSHIP DUES PAYMENT 204409 2/4/2021 015412 TEMECULA MOUNTAIN LIONS, REFUND: SOCCER FIELD RENTAL RUGBY CLUB CANCELLED 204410 2/4/2021 003941 TEMECULA WINNELSON PLUMBING SUPPLIES: VARIOUS COMPANY PARKS PLUMBING SUPPLIES: VARIOUS PARKS PLUMBING SUPPLIES: VARIOUS PARKS AUTOMATIC FAUCETS: CRC 204411 2/4/2021 003849 TERRYBERRY COMPANY SERVICE AWARDS: HR 204412 2/4/2021 007824 THESSALONIKA FAMILY FY20/21 COMMUNITY SRVC FUNDING SERVICES 204413 2/4/2021 021580 TOWNSEND PUBLIC AFFAIRS FEB CONSULTING SRVCS: CITY INC CLERK Amount Paid Check Total 600.00 600.00 4,424.00 4,424.00 91.71 91.71 687.40 687.40 136.40 136.40 94.00 94.00 613.49 613.49 8,689.71 8,689.71 1,473.37 1,473.37 160.00 4,250.00 4,410.00 4,942.22 4,942.22 96.00 96.00 457.78 351.28 24.93 14.66 848.65 126.82 126.82 5,000.00 5,000.00 6,000.00 6,000.00 Page:10 apChkLst 02/04/2021 2:25:27PM Final Check List CITY OF TEMECULA Page: 11 Bank: union UNION BANK (Continued) Check # Date Vendor Description Amount Paid Check Total 204414 2/4/2021 020963 UPTOWN TEMECULAAUTO OCT-NOV VEH DETAILING SRVCS: PW 24.00 SPA LLC FACS OCT-NOV VEH DETAILING SRVCS: B&S 16.00 OCT-NOV VEH DETAILING SRVCS: CODE 8.00 OCT-NOV VEH DETAILING SRVCS: FIRE 112.00 OCT VEH DETAILING SRVCS: PW CIP 4.00 OCT-NOV VEH DETAILING SRVCS: PW R 20.00 OCT VEH DETAILING SRVCS: PW STREE 12.00 OCT-NOV VEH DETAILING SRVCS: TCSD 8.00 204.00 204415 2/4/2021 021957 US AIR CONDITIONING, HVAC REPAIR PARTS: STA 73 24.75 24.75 DISTRIBUTORS LLC 204416 2/4/2021 001890 VORTEX INDUSTRIES INC DOOR REPAIR: STA 12 673.00 AUTOMATIC GATE REPAIR: STA92 1,670.43 DOOR PREV MAINT: TVE2 496.40 2,839.83 204417 2/4/2021 016676 WAVES PROJECT INC FY20/21 COMMUNITY SRVC FUNDING 5,000.00 5,000.00 204418 2/4/2021 001342 WAXIE SANITARY SUPPLY INC EMERGENCY SUPPLIES: COVID-19 2,854.69 2,854.69 204419 2/4/2021 021024 YANES BLANCAA, DBA DE AUG LDSCP PLN CK & INSPECTION: 3,065.00 3,065.00 GANGE CONSULTING PLNG 204420 2/4/2021 016305 YONKER, JOHN REIMB: UNIFORM SHIRTS 78.26 78.26 1002069 2/3/2021 022062 MOHNS, JOHN REFUND: PAID INCORRECT BUSINESS 36.00 36.00 LICENSE 1002070 2/3/2021 022063 VASQUEZ, MARIA SHARMINE REFUND: BUSINESS LICENSE 15.00 15.00 PENALTY FEE Grand total for UNION BANK: 824,023.79 Page:11 apChkLst Final Check List Page: 12 02/04/2021 2:25:27PM CITY OF TEMECULA 147 checks in this report. Grand Total All Checks: 824,023.79 Page:12 Item No. 4 CITY OF TEMECULA AGENDA REPORT TO: City Manager/City Council FROM: Jennifer Hennessy, Director of Finance DATE: February 23, 2021 SUBJECT: Approve the City Treasurer's Report as of December 31, 2020 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, 2020. 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, 2020. FISCAL IMPACT: None ATTACHMENTS: City Treasurer's Report as of December 31, 2020 Portfolio Managment Treasury Report Portfolio Management Portfolio Summary December 31, 2020 City of Temecula 41000 Main Street Temecula, CA 92590 (951)694-6430 Par Market Book % of Days to YTM YTM Investments Value Value Value Portfolio Term Maturity 360 Equiv. 365 Equiv. Managed Pool Accounts 36,823,123.67 36,823,123.67 36,823,123.67 25.29 1 1 0.186 0.189 Retention Escrow Account 736,666.53 736,666.53 736,666.53 0.51 1 1 0.062 0.063 Letter of Credit 2.00 2.00 2.00 0.00 1 1 0.000 0.000 Trust Accounts 16,021,003.31 16,021,003.31 16,021,003.31 11.00 1 1 6.372 6.460 Local Agency Investment Funds 79,019,611.96 79,199,090.63 79,019,611.96 54.27 1 1 0.533 0.540 Federal Agency Callable Securities 6,000,000.00 6,035,590.00 6,000,000.00 4.12 1,567 872 1.733 1.757 Federal Agency Bullet Securities 7,000,000.00 7,120,270.00 7,000,000.00 4.81 1,122 455 2.001 2.029 145,600,407.47 145,935,746.14 145,600,407.47 100.00% 119 59 1.205 1.222 Investments Cash Passbook/Checking 3,984,577.69 3,984,577.69 3,984,577.69 1 1 0.000 0.000 (not included in yield calculations) Total Cash and Investments 149,584,985.16 149,920,323.83 149,584,985.16 119 59 1.205 1.222 Total Earnings December 31 Month Ending Fiscal Year To Date Current Year 141,047.72 1,928,774.28 Average Daily Balance 149,755,606.19 149,145,693.73 Effective Rate of Return 1.11% 2.57% Reporting period 12/01/2020-12/31/2020 Portfolio TEME Data Updated: SET_MTH: 02/09/2021 12:16 NL! CP Run Date: 02/09/2021 - 12:16 PM (PRF_PM1) 7.3.0 Report Ver. 7.3.6.1 Portfolio Managment Treasury Report Portfolio Management Page 1 Portfolio Details - Investments December 31, 2020 Average Purchas Stated YTM YTM Days to Maturity CUSIP Investment # Issuer Balance a 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 Cl 5,511.01 5,511.01 5,511.01 0.030 0.030 0.030 1 233358006-6 01-2 REF RES First Amer Govt Oblig Fund Cl 503,224.54 503,224.54 503,224.54 0.030 0.030 0.030 1 233358000-6 01-2 REF ST First Amer Govt Oblig Fund Cl 115,828.38 115,828.38 115,828.38 0.030 0.030 0.030 1 276213009-6 03-02 COI First Amer Govt Oblig Fund Cl 07/01/2020 0.00 0.00 0.00 0.000 0.000 1 276213008-6 03-02 IMPR First Amer Govt Oblig Fund Cl 978.88 978.88 978.88 0.030 0.030 0.030 1 276213006-6 03-02 RES First Amer Govt Oblig Fund Cl 741,057.06 741,057.06 741,057.06 0.030 0.030 0.030 1 164741002-6 03-03 BOND F First Amer Govt Oblig Fund Cl 07/01/2020 0.00 0.00 0.00 0.000 0.000 1 164741008-6 03-03IMP First Amer Govt Oblig Fund Cl 194,080.71 194,080.71 194,080.71 0.030 0.030 0.030 1 164741006-6 03-03RES First Amer Govt Oblig Fund Cl 409.13 409.13 409.13 0.030 0.030 0.030 1 164741000-6 03-03SPEC First Amer Govt Oblig Fund Cl 217,397.73 217,397.73 217,397.73 0.030 0.030 0.030 1 164742002-6 03-06 BOND F First Amer Govt Oblig Fund Cl 0.00 0.00 0.00 1.630 1.608 1.630 1 164742000-6 03-06SPEC First Amer Govt Oblig Fund Cl 19,222.46 19,222.46 19,222.46 0.030 0.030 0.030 1 229462007-6 03-1 2012 RF First Amer Govt Oblig Fund Cl 3.80 3.80 3.80 0.000 0.000 1 229462002--6 03-1 BOND FD First Amer Govt Oblig Fund Cl 2,193.53 2,193.53 2,193.53 0.030 0.030 0.030 1 229462009-6 03-1 COI First Amer Govt Oblig Fund Cl 0.00 0.00 0.00 0.000 0.000 1 229462006-6 03-1 RESERV First Amer Govt Oblig Fund Cl 17,604.13 17,604.13 17,604.13 0.030 0.030 0.030 1 229462000-6 03-1 SPECF First Amer Govt Oblig Fund Cl 125,985.92 125,985.92 125,985.92 0.030 0.030 0.030 1 94669921-6 03-1ACQ11 First Amer Govt Oblig Fund Cl 0.00 0.00 0.00 0.870 0.858 0.870 1 94669911-6 03-1ACQA11 First Amer Govt Oblig Fund Cl 07/01/2020 0.00 0.00 0.00 0.000 0.000 1 94669917-6 03-1 RES First Amer Govt Oblig Fund Cl 07/01/2020 0.00 0.00 0.00 0.000 0.000 1 94669916-6 03-1 RESB11 First Amer Govt Oblig Fund Cl 0.00 0.00 0.00 0.000 0.000 1 94669000-6 03-1 SPTAX11 First Amer Govt Oblig Fund Cl 0.00 0.00 0.00 0.000 0.000 1 276213002-6 03-2 REFU First Amer Govt Oblig Fund Cl 0.80 0.80 0.80 0.000 0.000 1 276213000-6 03-2 SPEC First Amer Govt Oblig Fund Cl 99,326.53 99,326.53 99,326.53 0.030 0.030 0.030 1 94686001-6 03-4ADMIN11 First Amer Govt Oblig Fund Cl 0.00 0.00 0.00 0.060 0.059 0.060 1 94686005-6 03-4PREP11 First Amer Govt Oblig Fund Cl 0.00 0.00 0.00 0.070 0.069 0.070 1 94686000-6 03-4RED11 First Amer Govt Oblig Fund Cl 0.00 0.00 0.00 0.050 0.049 0.050 1 94686006-6 03-4RES11 First Amer Govt Oblig Fund Cl 0.00 0.00 0.00 0.060 0.059 0.060 1 276213022-6 16-01 BOND F First Amer Govt Oblig Fund Cl 3.23 3.23 3.23 0.000 0.000 1 276213023-6 16-01 CAPINT First Amer Govt Oblig Fund Cl 0.00 0.00 0.00 0.870 0.858 0.870 1 276213029-6 16-01 COI First Amer Govt Oblig Fund Cl 07/01/2020 0.00 0.00 0.00 0.000 0.000 1 276213028-6 16-01 IMP First Amer Govt Oblig Fund Cl 6,722,410.19 6,722,410.19 6,722,410.19 0.030 0.030 0.030 1 276213026-6 16-01 RESERV First Amer Govt Oblig Fund Cl 3,153,472.58 3,153,472.58 3,153,472.58 0.030 0.030 0.030 1 276213020-6 16-01 SPECF First Amer Govt Oblig Fund Cl 309,261.10 309,261.10 309,261.10 0.030 0.030 0.030 1 218848001-6 2017A&B INT First Amer Govt Oblig Fund Cl 0.25 0.25 0.25 0.000 0.000 1 218848008-6 2017ABPRIORP First Amer Govt Oblig Fund Cl 17,954.93 17,954.93 17,954.93 0.030 0.030 0.030 1 218848013-2 2017B COI First Amer Govt Oblig Fund Cl 0.00 0.00 0.00 0.000 0.000 1 218848000-6 2017B IDS First Amer Govt Oblig Fund Cl 1.20 1.20 1.20 0.000 0.000 1 Portfolio TEME Data Updated: SET _MTH: 02/09/2021 12:33 NL! CP Run Date: 02/09/2021 - 12:33 PM (PRF_PM2) 7.3.0 Report Ver. 7.3.6.1 Portfolio Managment Treasury Report Portfolio Management Page 2 Portfolio Details - Investments December 31, 2020 Average Purchas Stated YTM YTM Days to Maturity CUSIP Investment # Issuer Balance a Par Value Market Value Book Value Rate 360 365 Maturity Date Managed Pool Accounts 218848002-6 2017B PRIN First Amer Govt Oblig Fund Cl 982.21 982.21 982.21 0.030 0.030 0.030 1 218848009-6 2017B_PROJ First Amer Govt Oblig Fund Cl 13,120,150.84 13,120,150.84 13,120,150.84 0.030 0.030 0.030 1 233358009-6 233358009-6 First Amer Govt Oblig Fund Cl 07/01/2020 0.00 0.00 0.00 0.000 0.000 1 94434160-6 RDA-02INT 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 07/01/2020 0.00 0.00 0.00 0.000 0.000 1 136343006-6 RDA10RSRV First Amer Govt Oblig Fund Cl 07/01/2020 0.00 0.00 0.00 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 07/01/2020 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 07/01/2020 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 07/01/2020 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 03-01 SPTAXI1 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 07/01/2020 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 94669902-5 03-1bond fd Federated Tax Free Obligations 07/01/2020 0.00 0.00 0.00 0.000 0.000 1 94686001-5 03-4 ADMINI1 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 07/01/2020 0.00 0.00 0.00 0.000 0.000 1 Portfolio TEME Data Updated: SET _MTH: 02/09/2021 12:33 NL! CP Run Date: 02/09/2021 - 12:33 PM (PRF_PM2) 7.3.0 CUSIP Investment # Issuer Managed Pool Accounts 94686006-5 03-4 RES11 Federated Tax Free Obligations 94669917-1 03-01-1 RES CA Local Agency Investment Fu 276213008-1 03-02 IMP CA Local Agency Investment Fu 164742006-1 03-06 RES-1 CA Local Agency Investment Fu 229462007-1 03-1 2012 RE CA Local Agency Investment Fu 94669911-1 03-1 ACQ A2 CA Local Agency Investment Fu 94669921-1 03-1 ACQ B2 CA Local Agency Investment Fu 744727011-1 03-3 ACQ 2 CA Local Agency Investment Fu 164741006-1 0303-1 RES CA Local Agency Investment Fu 107886028-1 RDA 07 PRO-1 CA Local Agency Investment Fu 107886026-1 RDA 07 RES-1 CA Local Agency Investment Fu 136343018-1 RDA 10B CIP1 CA Local Agency Investment Fu 229462020-0 03-01 CASH USBANK 233358050-1 01-2 SPECESC U.S. Treasury Subtotal and Average Portfolio Managment Treasury Report Portfolio Management Portfolio Details - Investments December 31, 2020 Average Purchas Balance a Par Value Market Value 0.00 0.00 n 0.00 0.00 n 8,776,612.65 8,776,612.65 n 331,277.56 331,277.56 n 812,685.42 812,685.42 n 0.00 0.00 n 0.00 0.00 n 0.00 0.00 n 1,535,135.97 1,535,135.97 n 0.00 0.00 n 0.00 0.00 n 0.00 0.00 350.93 350.93 0.00 0.00 37,031,512.50 36,823,123.67 36,823,123.67 Page 3 Stated YTM YTM Days to Maturity Book Value Rate 360 365 Maturity Date 0.00 0.250 0.247 0.250 1 0.00 0.540 0.533 0.540 1 8,776,612.65 0.540 0.533 0.540 1 331,277.56 0.540 0.533 0.540 1 812,685.42 0.540 0.533 0.540 1 0.00 0.540 0.533 0.540 1 0.00 0.540 0.533 0.540 1 0.00 0.540 0.533 0.540 1 1,535,135.97 0.540 0.533 0.540 1 0.00 0.540 0.533 0.540 1 0.00 0.540 0.533 0.540 1 0.00 0.540 0.533 0.540 1 350.93 0.000 0.000 1 0.00 0.360 0.355 0.360 1 36,823,123.67 0.186 0.189 1 Retention Escrow Account PACIFIC PREMIER 20190607-882 PACIFIC PREMIER 0.00 0.00 0.00 0.000 0.000 1 218848050-0 2002 ESCROW USBANK 07/01/2020 0.00 0.00 0.00 0.000 0.000 1 218848060-0 2006AESCRO USBANK 07/01/2020 0.00 0.00 0.00 0.000 0.000 1 218848070-0 2006BESCRO USBANK 07/01/2020 0.00 0.00 0.00 0.000 0.000 1 218848080-0 2007ESCROW USBANK 07/01/2020 0.00 0.00 0.00 0.000 0.000 1 229462020-2 03-01 ESCROW U.S. Treasury 736,666.53 736,666.53 736,666.53 0.063 0.062 0.063 1 Subtotal and Average 736,403.97 736,666.53 736,666.53 736,666.53 0.062 0.063 1 Letter of Credit 218848006-1 2017B RESER ASSURED GUARANTY MUNICIPAL COR 07/01/2020 1.00 1.00 1.00 0.000 0.000 1 233358006-1 01-2 REFRESI ASSURANCE CO BOND INSURANCE 07/01/2020 1.00 1.00 1.00 0.000 0.000 1 Subtotal and Average 2.00 2.00 2.00 2.00 0.000 0.000 1 Trust Accounts 6746058700 PARS Pension US Bank Trust 16,021,003.31 16,021,003.31 16,021,003.31 6.460 6.372 6.460 1 Subtotal and Average 13,689,219.00 16,021,003.31 16,021,003.31 16,021,003.31 6.372 6.460 1 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 Data Updated: SET _MTH: 02/09/2021 12:33 Run Date: 02/09/2021 - 12:33 39,990,406.31 40,081,237.24 39,990,406.31 0.540 0.533 0.540 1,884.44 1,888.72 1,884.44 0.540 0.533 0.540 39,027,321.21 39,115,964.67 39,027,321.21 0.540 0.533 0.540 1 1 1 Portfolio TEME NL! CP PM (PRF_PM2) 7.3.0 CUSIP Investment # Issuer Subtotal and Average Federal Agency Callable Securities Portfolio Managment Treasury Report Portfolio Management Portfolio Details - Investments December 31, 2020 Average Purchas Balance a Par Value Market Value 78,051,870.02 79,019,611.96 79,199,090.63 3133ELFX7 01252 Federal Farm Credit Bank 12/30/2019 0.00 0.00 3130ABYY6 01235 Federal Home Loan Bank 08/24/2017 1,000,000.00 1,002,330.00 3134GBGZ9 01232 Federal Home Loan Mtg Corp 04/27/2017 1,000,000.00 1,019,890.00 3134GSMF9 01246 Federal Home Loan Mtg Corp 05/30/2018 1,000,000.00 1,011,180.00 3134GU6D7 01253 Federal Home Loan Mtg Corp 01/28/2020 1,000,000.00 1,000,720.00 3134GXJL9 01257 Federal Home Loan Mtg Corp 12/30/2020 1,000,000.00 1,000,020.00 3136G4UL5 01255 Federal National Mtg Assn 02/26/2020 1,000,000.00 1,001,450.00 Subtotal and Average 6,000,000.00 Federal Agency Bullet Securities 3133EJT74 01249 Federal Farm Credit Bank 3133ELMA9 01254 Federal Farm Credit Bank 3133ELTU8 01256 Federal Farm Credit Bank 3130ADEB4 01240 Federal Home Loan Bank 3130ADSJ2 01244 Federal Home Loan Bank 3130AHF81 01251 Federal Home Loan Bank 3135GOU92 01250 Federal National Mtg Assn Subtotal and Average 7,000,000.00 Total and Average 149,755,606.19 11/15/2018 02/07/2020 03/18/2020 01 /12/2018 03/08/2018 10/25/2019 01 /11 /2019 6,000,000.00 1,000,000.00 1, 000, 000.00 1, 000, 000.00 1, 000, 000.00 1, 000, 000.00 1,000,000.00 1, 000, 000.00 7,000,000.00 6,035,590.00 Page 4 Stated YTM YTM Days to Maturity Book Value Rate 360 365 Maturity Date 79,019,611.96 0.533 0.540 1 0.00 1.650 1.627 1.650 363 12/30/2021 1,000,000.00 1.750 1.726 1.750 54 02/24/2021 1,000,000.00 2.000 1.964 1.991 391 01/27/2022 1,000,000.00 3.000 2.959 3.000 875 05/26/2023 1,000,000.00 1.650 1.627 1.650 938 07/28/2023 1,000,000.00 0.500 0.493 0.500 1,824 12/30/2025 1,000,000.00 1.650 1.627 1.650 1,151 02/26/2024 6,000,000.00 1.733 1.757 872 1,025,570.00 1,000,000.00 3.050 3.008 3.050 318 11/15/2021 1,030,880.00 1,000,000.00 1.420 1.401 1.420 948 08/07/2023 1,021,370.00 1,000,000.00 0.920 0.907 0.920 1,172 03/18/2024 1,000,450.00 1,000,000.00 2.125 2.096 2.125 11 01/12/2021 1,004,240.00 1,000,000.00 2.460 2.426 2.460 66 03/08/2021 1,012,140.00 1,000,000.00 1.600 1.578 1.600 297 10/25/2021 1,025,620.00 1,000,000.00 2.625 2.589 2.625 375 01/11/2022 7,120,270.00 7,000,000.00 2.001 2.029 455 145,600,407.47 145,935,746.14 145,600,407.47 1.205 1.222 59 Portfolio TEME Data Updated: SET _MTH: 02/09/2021 12:33 NL! CP Run Date: 02/09/2021 - 12:33 PM (PRF_PM2) 7.3.0 Portfolio Managment Treasury Report Portfolio Management Page 5 Portfolio Details - Cash December 31, 2020 Average Purchas Stated YTM YTM Days to CUSIP Investment # Issuer Balance a Par Value Market Value Book Value Rate 360 365 Maturity Passbook/Checking Accounts 1453718479 WORKERS BANK OF AMERICA MERRILL LYNC 07/01/2020 9,888.37 9,888.37 9,888.37 0.000 0.000 1 SYSPetty Cash Petty Cash City of Temecula 07/01/2020 3,911.00 3,911.00 3,911.00 0.000 0.000 1 SYSGen Ck Acct Gen Ck Acct Union Bank of California 3,963,926.82 3,963,926.82 3,963,926.82 0.000 0.000 1 SYSParking Ck PARKING CITA Union Bank of California 07/01/2020 6,851.50 6,851.50 6,851.50 0.000 0.000 1 Average Balance 0.00 1 Total Cash and Investments 149,755,606.19 Data Updated: SET _MTH: 02/09/2021 12:33 Run Date: 02/09/2021 - 12:33 149,584,985.16 149,920,323.83 149,584,985.16 1.205 1.222 59 Portfolio TEME NL! CP PM (PRF_PM2) 7.3.0 Cash and Investments Report CITY OF TEMECULA Through December 2020 Fund # Fund Name Beginning Balance Receipts Disbursements Fund Total 001 GENERAL FUND $ 31,357,351.70 $ 11,188,986.59 $ 10,506,636.70 $ 32,039,701.59 002 MEASURE S FUND 17,403,608.38 2,544,981.25 4,346,907.71 15,601,681.92 100 STATE GAS TAX FUND 231,373.08 448,524.36 679,897.44 102 RMRA-ROAD MAINTENANCE REHABILITATION ACT 2,022,815.69 156,430.07 3,196.27 2,176,049.49 103 STREETS MAINTENANCE FUND 1,459,178.35 - 2,140.15 1,457,038.20 106 JEFFERSON STREET IN LIEU FEES 893,675.72 1,310.74 892,364.98 107 CARES ACT 1,382,508.00 - - 1,382,508.00 120 DEVELOPMENT IMPACT FUND 3,222,118.75 75,154.04 799,136.06 2,498,136.73 125 PEG PUBLIC EDUCATION & GOVERNMENT 463,257.15 - 679.45 462,577.70 145 TEMECULA ENERGY EFFICIENCY ASSET TEAM 198,581.56 - 291.26 198,290.30 150 AB 2766 FUND 36,487.40 37,416.83 108.39 73,795.84 160 SUPPLEMENTAL LAW ENFORCEMENT SERVICES 114,603.43 8,333.33 122,936.76 - 161 TEMECULA MAJOR CRIMES REWARD FUND 27,147.68 - 39.82 27,107.86 165 AFFORDABLE HOUSING 1,877,623.65 61,066.00 31,515.91 1,907,173.74 170 MEASURE A FUND 7,884,863.13 281,223.73 905,889.38 7,260,197.48 190 TEMECULA COMMUNITY SERVICES DISTRICT 992,861.05 68,797.80 1,061,658.85 - 192 TCSD SERVICE LEVEL "B" STREET LIGHTS 180,804.84 - 2,425.19 178,379.65 194 TCSD SERVICE LEVEL "D" REFUSE/RECYCLING 208,827.13 9,312.77 199,514.36 195 TCSD SERVICE LEVEL "R" STREET/ROAD MAINT 28,300.02 - 41.51 28,258.51 196 TCSD SERVICE LEVEL "L" LAKE PARK MAINT. 350,929.69 120.00 14,212.21 336,837.48 197 TEMECULA LIBRARY FUND 398,166.87 223.10 114,567.96 283,822.01 198 PUBLIC ART 68,846.14 2,581.80 104.76 71,323.18 210 CAPITAL IMPROVEMENT PROJECT FUND 16,884,738.40 6,131,426.21 1,514,231.24 21,501,933.37 275 CFD 03-3 WOLF CREEK IMPROVEMENT FUND 194,076.34 4.37 - 194,080.71 277 CFD-RORIPAUGH 8,921,447.22 6.62 211.00 8,921,242.84 278 CFD-RORIPAUGH II 6,722,258.73 151.46 - 6,722,410.19 300 INSURANCE FUND 1,179,977.94 52,210.00 33,621.60 1,198,566.34 305 WORKER'S COMPENSATION 2,247,254.21 20,000.00 53,104.54 2,214,149.67 310 VEHICLES AND EQUIPMENT FUND 1,636,902.74 51,919.00 12,818.33 1,676,003.41 320 INFORMATION TECHNOLOGY 882,575.28 1,161,554.36 483,713.40 1,560,416.24 325 TECHNOLOGY REPLACEMENT FUND 1,121,533.50 39,345.00 2,543.62 1,158,334.88 330 CENTRAL SERVICES 3,106.56 55,388.35 22,987.58 35,507.33 335 CENTRAL SERVICES 353,283.42 6,606.00 5,839.39 354,050.03 340 FACILITIES 79,541.56 265,417.01 87,019.25 257,939.32 350 FACILITY REPLACEMENT FUND 520,557.01 8,605.00 300,763.49 228,398.52 380 SARDA DEBT SERVICE FUND 12,851,629.41 8,360,907.11 11,001,743.48 10,210,793.04 381 REDEVELOPMEN PROPERTY TAX TRUST 1,399,508.07 1,399,507.07 1.00 460 CFD 88-12 DEBT SERVICE FUND 95,210.28 - 139.64 95,070.64 472 CFD 01-2 HARVESTON A&B DEBT SERVICE 656,839.56 14.07 651.13 656,202.50 473 CFD 03-1 CROWNE HILL DEBT SERVICE FUND 1,716,510.18 274.60 634.98 1,716,149.80 474 AD 03-4 JOHN WARNER ROAD DEBT SERVICE 7,232.72 - 614.36 6,618.36 475 CFD 03-3 WOLF CREEK DEBT SERVICE FUND 1,796,314.19 302.24 809.94 1,795,806.49 476 CFD 03-6 HARVESTON 2 DEBT SERVICE FUND 381,993.92 0.44 649.94 381,344.42 477 CFD 03-02 RORIPAUGH DEBT SERVICE FUND 859,747.81 18.92 917.35 858,849.38 478 CFD-RORIPAUGH II 3,484,722.49 78.02 635.83 3,484,164.68 502 SERVICE LEVEL"C"ZONE 2 WINCHESTER CREEK 94,925.44 - 620.30 94,305.14 503 SERVICE LEVEL"C"ZONE 3 RANCHO HIGHLANDS 27,850.97 579.17 27,271.80 504 SERVICE LEVEL"C"ZONE 4 THE VINEYARDS 2,063.64 97.16 1,966.48 505 SERVICE LEVEL"C"ZONE 5 SIGNET SERIES 15,801.17 555.89 15,245.28 506 SERVICE LEVEL"C"ZONE 6 WOODCREST COUNTRY 31,752.98 461.60 31,291.38 507 SERVICE LEVEL"C"ZONE 7 RIDGEVIEW 2,867.82 522.05 2,345.77 508 SERVICE LEVEL"C"ZONE 8 VILLAGE GROVE 64,533.47 3,411.98 61,121.49 509 SERVICE LEVEL"C"ZONE 9 RANCHO SOLANA 28,206.17 239.93 27,966.24 510 SERVICE LEVEL"C"ZONE 10 MARTINIQUE 10,559.80 1,259.30 9,300.50 511 SERVICE LEVEL"C"ZONE 11 MEADOWVIEW 2,557.20 67.89 2,489.31 512 SERVICE LEVEL"C"ZONE 12 VINTAGE HILLS 85,205.62 3,281.73 81,923.89 513 SERVICE LEVEL"C"ZONE 13 PRESLEY DEVELOP 17,174.47 817.32 16,357.15 514 SERVICE LEVEL"C"ZONE 14 MORRISON HOMES 6,097.07 646.38 5,450.69 515 SERVICE LEVEL"C"ZONE 15 BARCLAY ESTATES 7,605.25 142.06 7,463.19 516 SERVICE LEVEL"C"ZONE 16 TRADEWINDS 48,729.81 1,349.54 47,380.27 517 SERVICE LEVEL"C"ZONE 17 MONTE VISTA 1,281.67 54.86 1,226.81 518 SERVICE LEVEL"C"ZONE 18 TEMEKU HILLS 25,375.03 1,629.95 23,745.08 519 SERVICE LEVEL"C"ZONE 19 CHANTEMAR 77,837.46 1,151.44 76,686.02 520 SERVICE LEVEL"C"ZONE 20 CROWNE HILL 175,808.54 4,238.84 171,569.70 521 SERVICE LEVEL"C"ZONE 21 VAIL RANCH 158,187.05 7,604.66 150,582.39 522 SERVICE LEVEL"C"ZONE 22 SUTTON PLACE 8,523.58 84.10 8,439.48 523 SERVICE LEVEL"C"ZONE 23 PHEASENT RUN 19,302.35 - 135.17 19,167.18 524 SERVICE LEVEL"C"ZONE 24 HARVESTON 1,714.84 19,468.61 21,183.45 - 525 SERVICE LEVEL"C"ZONE 25 SERENA HILLS 53,983.43 - 874.85 53,108.58 526 SERVICE LEVEL"C"ZONE 26 GALLERYTRADITION 872.39 59.01 813.38 527 SERVICE LEVEL"C"ZONE 27 AVONDALE 5,276.48 254.89 5,021.59 528 SERVICE LEVEL"C"ZONE 28 WOLF CREEK 624,478.73 9,063.43 615,415.30 529 SERVICE LEVEL"C"ZONE 29 GALLERY PORTRAIT 2,767.89 66.05 2,701.84 530 SERVICE LEVEL"C"ZONE 30 FUTURE ZONES 36,225.54 53.13 36,172.41 701 PENSION RATE STABILIZATION FUND $ 13,611,492.86 4,409,510.45 2,000,000.00 $ 16,021,003.31 Grand Total: $ 150,049,949.67 $ 35,457,046.74 $ 35,586,672.58 $ 149,920,323.83 Journal Entries completed after November's Treasurer's Report was issued are reflected in the Receipts I Disbursements columns. Item No. 5 CITY OF TEMECULA AGENDA REPORT TO: City Manager/City Council FROM: Greg Butler, Assistant City Manager DATE: February 23, 2021 SUBJECT: Receive and File the Police Services Joint Powers Authority Feasibility Assessment Prepared by Citygate Associates (At the Request of the Public Safety Ad -Hoc Subcommittee Mayor Edwards and Mayor Pro Tempore Rahn) RECOMMENDATION: That the City Council receive and file the Police Services Joint Powers Authority (JPA) Feasibility Assessment prepared by Citygate Associates dated February 2, 2021. BACKGROUND: The City of Temecula along with the cities of Canyon Lake, Jurupa Valley, Lake Elsinore, Moreno Valley, San Jacinto, and Wildomar (Cities) retained Citygate Associates, LLC (Citygate) to study the feasibility of separating the Cities' police services from the Riverside County (County) Sheriff's Department into a city -centric Joint Powers Authority (JPA), with the intent to increase cost-effectiveness while retaining current service levels. This assessment was prompted by several years of rising costs for the Sheriff's Department's contracts to the Cities for local law enforcement services. It must be stressed that none of the Cities had problems with services or law enforcement leadership in their respective Cities. However, the large agency legacy costs and complicated formulas by which the Cities are charged for direct services, headquarters services, and overhead had risen to the point the Cities felt it necessary to study a fiscally responsible alternative without lowering services. City general taxes and revenues pay for the law enforcement contracts, and in most cities this expense is their largest, with no local control over annual cost increases, which strains the ability to provide other city services. In lieu of each city establishing its own police department with resultant duplicated headquarters and support costs, the Cities wanted to study establishing one new police agency under California law, which permits local governments of all types to use a JPA structure. JPAs can have governing boards comprised of members from the partner agencies and directly employ personnel and own and operate physical assets. In summary, this study finds and recommends the partners do not establish a police agency JPA but rather continue to work within the Sheriff's Department's recent efforts to more directly tailor city costs versus unincorporated area services and general County overhead. The City of Temecula has participated with Sheriff Bianco's "Research and Development" (R&D) team to further study alternate deployment and staffing models to further provide for costs savings while not sacrificing service delivery. Unfortunately, these efforts were curtailed last year when the global Coronavirus pandemic required local governments, including policing agencies to redirect their attention to COVID-19 response. We are hopeful these efforts and discussion can resume soon as the public health crisis eases, and we are able to return to normal operations. FISCAL IMPACT: None ATTACHMENTS: Police Services JPA Feasibility Assessment, February 2, 2021 POLICE SERVICES IPA FEASIBILITY ASSESSMENT FEBRUARY 2, 2021 'n"OTTOfft flN&TfS, LK 600 COOLIDGE DR., STE.150 PHONE: (916) 458-5100 FOLSOM, CA 95630 FAX: (916) 983-2090 Cities of Canyon Lake, Jurupa Valley, Lake Elsinore, Moreno Valley, San Jacinto, Temecula, and Wildomar Police Services JPA Feasibility Assessment TABLE OF CONTENTS CPrfian Page ExecutiveSummary.....................................................................................................................................................1 Recommendation........................................................................................................................................ 3 Section1—Study and Agency Background...............................................................................................................4 1.1 How This Analysis Was Performed...............................................................................................4 1.2 Key Contract Measures per City....................................................................................................4 Section 2—Existing Contract Fiscal Analysis...........................................................................................................8 2.1 Existing Contract Fiscal Analysis and Costing Model..................................................................8 2.2 Existing Contract Operational Analysis........................................................................................9 Section3—Police JPA Fiscal Analysis.....................................................................................................................15 3.1 Macro Cost Comparison of Personnel Costs for Current Sheriff's Department Contract Costing toPolice JPA...............................................................................................................................15 3.2 JPA Start-up Cost Estimate.........................................................................................................18 3.3 JPA Cost Allocation Methodology Options................................................................................19 3.4 New Sheriff's Department Cost Control Measures.....................................................................20 Section4—Recommendation....................................................................................................................................22 Tahln of TahlPc Table 1-Summary Personnel Cost and FTE Comparison...........................................................................................2 Table 2-Estimated JPA Start-up Costs........................................................................................................................2 Table 3—Patrol Personnel Costs — FY 19/20................................................................................................................9 Table 4—Patrol Rate Components — FY 19/20.............................................................................................................9 Table 5—Patrol Plus Dedicated Positions per City per Day — FY 19/20....................................................................10 Table 6—Rate-Supported Positions — FY 19/20.........................................................................................................11 Table 7—Dedicated and Rate Supported Positions — FY 19/20..................................................................................13 Table 8—Sheriff s Department Costs — FY 19/20 Adopted Budgets..........................................................................16 Table 9-JPA Cost Model with Current Service Levels 80 Percent Classic / 20 Percent PEPRA ...........................17 Table 10 Summary Personnel Cost and FTE Comparison.......................................................................................17 Table 11 Estimated JPA Start-up Costs....................................................................................................................18 Table 12 JPA Cost Allocation Formula Options — Using Sheriff's Personnel Costs................................................19 Table of Contents page i Cities of Canyon Lake, Jurupa Valley, Lake Elsinore, Moreno Valley, San Jacinto, Temecula, and Wildomar Police Services JPA Feasibility Assessment EXECUTIVE SUMMARY The Cities of Canyon Lake, Jurupa Valley, Lake Elsinore, Moreno Valley, San Jacinto, Temecula, and Wildomar (Cities) retained Citygate Associates, LLC (Citygate) to study the feasibility of separating the Cities' police services from the Riverside County (County) Sheriff's Department into a city -centric Joint Powers Authority (JPA), with the intent to increase cost-effectiveness while retaining current service levels. This assessment was prompted by several years of rising costs for the Sheriff's Department's contracts to the Cities for local law enforcement services. It must be stressed that none of the Cities had problems with services or law enforcement leadership in their respective Cities. However, the large agency legacy costs and complicated formulas by which the Cities are charged for direct services, headquarters services, and overhead had risen to the point the Cities felt it necessary to study a fiscally responsible alternative without lowering services. City general taxes and revenues pay for the law enforcement contracts, and in most cities this expense is their largest, with no local control over annual cost increases, which strains the ability to provide other city services. In lieu of each city establishing its own police department with resultant duplicated headquarters and support costs, the Cities wanted to study establishing one new police agency under California law, which permits local governments of all types to use a JPA structure. JPAs can have governing boards comprised of members from the partner agencies and directly employ personnel and own and operate physical assets. In summary, this study finds and recommends the partners do not establish a police agency JPA but rather continue to work within the Sheriff's Department's recent efforts to more directly tailor city costs versus unincorporated area services and general County overhead. Citygate's key findings are: ♦ The Cities have been satisfied with police services provided by the Sheriff's Department. ♦ The Sheriff's Department's revised contract formulas are highly sophisticated. ♦ The current city Sheriff's Department's staffing is not based on detailed workload analysis. ♦ A macro analysis of JPA operational costs shows no savings. ♦ The fiscal situation post-COVID-19 has worsened, likely curtailing the ability to fund a large new agency's start-up costs. " W% " Executive Summary page 1 a 1111If flSSSCIfl1fS. fK Cities of Canyon Lake, Jurupa Valley, Lake Elsinore, Moreno Valley, San Jacinto, Temecula, and Wildomar Police Services JPA Feasibility Assessment The summary personnel cost comparison model of the current costs and full-time equivalents (FTEs) versus a JPA revealed the following: Table 1—Summary Personnel Cost and FTE Comparison This cost estimate model is based on the current as -is number of Sheriff's Department personnel supporting the Cities' contracts plus Citygate's estimate of headquarters services positions. The JPA personnel costs were calculated using an 80/20 split between classic Ca1PERS retirement formulas and Public Employees' Pension Reform Act (PEPRA) based on the need to hire middle and upper rank employees, as well as the multitude of Ca1PERS employer regulations. The total annual Sheriff's Department's costs in Table 1 are based on Fiscal Year (FY) 19/20 adopted budgets as published on each city's website; actual year-end closing costs were lower at $125,416,738, per Sheriff's Department Administration. The adopted budgets are forecasted prior to each fiscal year and are impacted by staffing changes throughout the year, leading to the actual costs incurred. Given that these staffing changes are fluid year over year, Citygate used the more stable cost comparison of the adopted budget to compare with the estimated JPA model. Estimated start-up costs are as follows: Table 2—Estimated JPA Start-up Costs Category Real Estate — Facilities ($900 x 43,000 sq. ft.) $38,700,000 Fleet — Vehicles ($45,000 x 325) $14,625,000 Police Safety Equipment ($9,000 x 445) $5,000,000 Information Technology $2,500,000 Communications (Dispatch) Infrastructure $15,000,000 Miscellaneous $4,500,000 Total $80,325,000 According to a Citygate partner firm, JKA Architecture, new public safety building construction costs are estimated between $800 to $1,000 per square foot and $550 to $600 for remodeling an Executive Summary �.. page 2 Cities of Canyon Lake, Jurupa Valley, Lake Elsinore, Moreno Valley, San Jacinto, Temecula, and Wildomar Police Services JPA Feasibility Assessment existing building. Those are hard costs. Soft costs (design fees, permits, project management or construction management fees, etc.) can add an additional 30 percent to the overall costs. Construction costs may be offset by utilizing city -owned building spaces. Without start-up costs, a fully functional year -one JPA is more expensive. When start-up costs are added, the expense only increases with the amount of needed building work and equipment costs paid for using debt financing. The debt service payment annually adds more to the cost gap. The previous model also assumes the County will provide dispatching and radio system access at a reasonable cost. If the Cities' police JPA needs to construct and operate dispatching and radio/data services over a large geography, then the annual JPA cost estimate will be substantially higher. In addition to the start-up costs, there is also the practical difficulty in recruiting, hiring, on - boarding, and training a 669-person workforce to new agency standards. This would require the legal establishment of the JPA as an employer, along with enough of a command and human resources staff to set up the agency and hire the employees. In the first two years, no services would likely be provided at all to the Cities, so all these costs are in addition to the current contract amounts. It is only by year three that phased -in conversion of services city by city could commence, and this will likely take two to three years depending on the rate of hiring. Citygate observes that all of the Sheriff's Department's proposed and currently implemented staffing cost efficiencies are best practices and that appropriately using parts or all of them is the best way to avoid unnecessary over deployment (cost) for the field patrol units. RECOMMENDATION Based on the current Sheriff's Department Administration's willingness to research and develop cost -control initiatives, and given this preliminary JPA cost estimation is substantially higher than the current contract amounts, Citygate recommends the Cities pursue the Sheriff's Department's cost -controlling initiatives in -lieu of a JPA. Additionally, over the next year, the Cities should request the Sheriff's Department conduct an incident and community policing workload demand -based staffing study to further tailor their costs to the needs of each city. This study would effectively be a Policing Master Plan per city to include staffing levels, innovation, community engagement, oversight, and social justice/equity structures. Executive Summary .. page 3 11111111111KI11111,11 K Cities of Canyon Lake, Jurupa Valley, Lake Elsinore, Moreno Valley, San Jacinto, Temecula, and Wildomar Police Services JPA Feasibility Assessment SECTION 1-STUDY AND AGENCY BACKGROUND 1.1 HOW THIS ANALYSIS WAS PERFORMED Citygate reviewed prior studies on JPA feasibility issues and provided a large background document and electronic incident data request to the Sheriff's Department. Citygate then met multiple times with the Cities and regional Sheriff's Department leadership, as needed, to: ♦ Obtain follow-up information to understand current deployment and special services. ♦ Interview the Sheriff's Department's Command Staff for each city and the Sheriff's Department's Administrative Supervisor in charge of administering the police services contracts on contract pricing for each city. ♦ Discuss the risks to be protected in each city and any necessary near -term changes to policing to accommodate changes envisioned in each city. ♦ Obtain the current Sheriff's Department's contracts by city, with costing itemizations, to include direct and indirect charges for all types of services, along with the regional cost sharing of services such as dispatch and specialty teams. These issues were all tracked through the cost -allocation methodology and compared to the different sized Cities in this study. ♦ Discuss the possibility of city cost -control better alignment of city versus County costs with a newly established Sheriff's Department Research and Development Unit. ♦ Conduct a high-level workload analysis based on the data received to determine the need for each city's staffing and test the costs of several scenarios for a new employer JPA based on the study's staffing model and the necessary headquarters bureaus. ♦ Compare the JPA operating and start-up costs to the Sheriff's Department's envisioned improvements to the contract cost model. 1.2 KEY CONTRACT MEASURES PER CITY The following measures allow an understanding of the different scale and complexity in policing the different Cities: Canyon Lake ♦ Overall budget: $1,778,934 (FY 19/20 adopted budget) �.. Section 1—Study and Agency Background page 4 a 1111If flSSSCIfl1fS. fK Cities of Canyon Lake, Jurupa Valley, Lake Elsinore, Moreno Valley, San Jacinto, Temecula, and Wildomar Police Services JPA Feasibility Assessment ➢ Patrol operations: 24 hours per day (5 Deputies) ♦ Special services ➢ None ♦ Operated from the Sheriff's Department's Lake Elsinore Station Jurupa Valley ♦ Overall budget: $20,460,073 (FY 19/20 adopted budget) Patrol operations: 180 hours per day (37 Deputies) ♦ Special services ➢ Traffic team (6 Deputies) ➢ Community policing (2 Deputies) ➢ Special Enforcement Team (SET) (6 Deputies) ➢ 5 dedicated Community Service Officers ♦ Operated from the Sheriff's Department's Jurupa Valley Station Lake Elsinore ♦ Overall budget: $14,369,910 (FY 19/20 adopted budget) ➢ Patrol operations: 130.8 hours per day (27 Deputies) ♦ Special services ➢ Traffic team (4 Deputies) ➢ SET / community patrol / lake patrol (5 Deputies, 1 Sergeant) ➢ 5 dedicated Community Service Officers ♦ Operated from the Sheriff's Department's Lake Elsinore Station Moreno Valley ♦ Overall budget: $45,267,540 (FY 19/20 adopted budget) ➢ Patrol operations: 458.5 hours per day (94 Deputies) ♦ Special services ➢ 1 Captain (90 percent) Section 1—Study and Agency Background page 5 = ? CTgV, sxifla, ac Cities of Canyon Lake, Jurupa Valley, Lake Elsinore, Moreno Valley, San Jacinto, Temecula, and Wildomar Police Services JPA Feasibility Assessment ➢ Traffic team (9 Deputies, 1 Sergeant) ➢ K9 teams (3 Deputies) ➢ Crime prevention / graffiti prevention (4 Deputies) ➢ 17 dedicated Community Service Officers ➢ 1 Supervising Office Assistant ➢ 1 Office Assistant ♦ Operated from the Sheriff's Department's Moreno Valley Station San Jacinto ♦ Overall budget: $13,254,533 (FY 19/20 adopted budget) ➢ Patrol operations: 97 hours per day (20 Deputies) ♦ Special services ➢ K9 team (1 Deputy) ➢ Traffic team (4 Deputies, 1 Sergeant) ➢ Problem -Oriented Policing (POP) (4 Deputies) ➢ Crime Analyst (0.5) ➢ 4 dedicated Community Service Officers ➢ 2 Office Assistants ♦ Operated from the Sheriff's Department's Hemet Station Temecula ♦ Overall budget: $34,860,436 (FY 19/20 adopted budget) ➢ Patrol operations: 205 hours per day (42 Deputies) ♦ Special services ➢ 2 Sheriff's Department Lieutenants ➢ Traffic team (17 Deputies, 1 Sergeant) ➢ SET (5 Deputies, 1 Sergeant) ➢ Mall Officers (4 Deputies) Section 1—Study and Agency Background page 6 = ? Tj U1111salfl,g K Cities of Canyon Lake, Jurupa Valley, Lake Elsinore, Moreno Valley, San Jacinto, Temecula, and Wildomar Police Services JPA Feasibility Assessment ➢ K9 teams (2 Deputies) ➢ POP team (8 Deputies, 1 Sergeant) ➢ Gang / Pechanga / School Resource Officers (4.5 Deputies) ➢ 17 dedicated Community Service Officers ♦ Operated from the Sheriffs Department's Southwest Station ♦ Overall budget: $5,303,100 (FY 19/20 adopted budget) ➢ Patrol operations: 70 hours per day (14 Deputies) ♦ Special services ➢ Traffic team (1 Deputy) ➢ Community patrol (1 Deputy) ➢ 1 dedicated Community Service Officer ♦ Operated from the Sheriff s Department's Lake Elsinore Station Section 1—Study and Agency Background page 7 Cities of Canyon Lake, Jurupa Valley, Lake Elsinore, Moreno Valley, San Jacinto, Temecula, and Wildomar Police Services JPA Feasibility Assessment SECTION 2-EXISTING CONTRACT FISCAL ANALYSIS 2.1 EXISTING CONTRACT FISCAL ANALYSIS AND COSTING MODEL The current Sheriff's Department contract model identifies fully burdened (pay plus benefits) hourly rates to be charged to applicable contract Cities for Sheriff's Department services at the beginning of a fiscal year. The model is updated annually based on the prior fiscal year actuals, and components in the rate structure are updated as needed. The Cities receive a bill for costs that should have been charged, due by the end of July each year. In the spring of each fiscal year, an annual presentation is made to the Cities explaining the revised rates and presenting the estimated costs for the upcoming year. The cost categories are: ♦ Class 1 — wages, special pays, and benefits (e.g., pension, health, workers' compensation, etc.) ♦ Class 2 — materials, services, and supplies ♦ Internal service fund costs — motor pool, radio shop, etc. ♦ Countywide cost allocation plan (COWCAP) — equipment use allowance and administrative costs (e.g., human resources, county counsel, purchasing) ♦ Hourly rates for positions vary depending on dedication levels and support levels. The rate components are: ♦ Patrol Officers — Deputy Sheriffs and Corporals ♦ Sworn support — Lieutenants, Sergeants, and Investigators ♦ Central dispatch — various communications -related positions ♦ Classified support — classified Analysts, Community Services Officers, Accounting Technicians, etc. ♦ Other support services — other supportive personnel (e.g., records, information technology, training, human resources, and accounting). The fully burdened hourly rate uses an estimate of total annual productive hours (annual minus earned leave and training hours) for all applicable patrol personnel. In FY 19/20, the total productive hours used were 1,338,306. Overtime and mileage costs are billed separately and not included in the personnel base rates. Section 2—Existing Contract Fiscal Analysis page 8 Z 1111If flSSKIfl1fS. K Cities of Canyon Lake, Jurupa Valley, Lake Elsinore, Moreno Valley, San Jacinto, Temecula, and Wildomar Police Services JPA Feasibility Assessment This study used the Sheriff's Department's personnel cost model as depicted in the following table: Table 3—Patrol Personnel Costs — FY 19/20 Average Annual Average Average Salary and Average Other Salary/Benefit/ Other Annual .. ComponentFY 2019-20 Rate Benefits per Compensation Compensation Services Cost Annual Cost Patrol Officers $151,712 $4,522 $156,235 $28,099 $184,334 Sworn Support $213,075 $16,828 $229,903 $26,089 $255,993 Central Dispatch $65,827 $9,927 $229,903 $8,273 $238,176 Classified Support $89,461 $2,207 $125,665 $25,784 $151,449 Other Support Services $102,126 $4,146 $106,272 $23,405 $129,677 Total $153,789 $7,638 $161,427 $25,047 $180,138 When summarized in the following table, the field patrol personnel dollars calculation yielded the hourly rates for the personnel costs per city: Table 4—Patrol Rate Components — FY 19/20 2.2 EXISTING CONTRACT OPERATIONAL ANALYSIS The following series of tables explains the total number of FTE employee positions currently supported directly and indirectly by the city contracts based on the aforementioned Sheriff's Department's cost model. Section 2—Existing Contract Fiscal Analysis page 9 1 Cities of Canyon Lake, Jurupa Valley, Lake Elsinore, Moreno Valley, San Jacinto, Temecula, and Wildomar Police Services JPA Feasibility Assessment Table 5-Patrol Plus Dedicated Positions per City per Day - FY 19/20 S an L San Patrol Hours Contracted 24.00 180.00 130.80 458.50 97.00 205.00 70.00 1,165.30 Police Officers - Patrol' $188.95 4.92 36.91 26.82 94.02 19.89 42.04 14.35 238.95 Police Officers - Dedicated Supported $161.73 0.00 14.00 6.00 12.00 9.00 37.00 1.00 79.00 Police Officer - Dedicated Unsupported $88.14 0.00 0.00 3.00 4.00 0.00 3.50 1.00 11.50 Sergeants - Dedicated $124.28 0.00 0.00 1.00 1.00 1.00 3.00 0.00 6.00 Lieutenants - Dedicated $138.67 0.00 0.00 0.00 0.00 0.00 2.00 0.00 2.00 Captains - Dedicated $157.08 0.00 0.00 0.00 0.90 0.00 0.00 0.00 0.90 CSOs - Dedicated $61.65 0.00 5.00 5.00 21.00 4.00 17.00 1.00 53.00 Office Assistants - Dedicated $39.30 0.00 0.00 0.00 2.00 3.00 0.00 0.00 5.00 Crime Analyst - Dedicated $60.04 0.00 0.00 0.00 0.00 0.50 0.00 0.00 0.50 Total FTEs 4.92 55.91 41.82 134.92 37.39 104.54 17.35 396.85 ' Calculated based on 1,780 productive annual hours 2 Calculated based on 2,080 annual hours Service levels in each city vary based on their individual size and needs and are specifically enumerated in the scope of service section of the city's contract. The basic service provided is patrol and is quantified by the hour. Each city contracts for a specific number of patrol hours each day to handle public -generated calls for service (i.e., 9-1-1 calls). In Table 5, these patrol hours are listed for each city in the first row, which is highlighted in yellow. The number of FTE positions needed to meet the daily patrol hour obligation is calculated on an annual basis and charged at the fully burdened hourly contract rate, as depicted in Table 4 ($188.95). The second row of Table 5, highlighted blue and labeled "Police Officers - Patrol," identifies this FTE position number for each city. For the purposes of this study, the titles of Police Officer and Deputy Sheriff are synonymous; the latter title is used for specific employees of the Sheriff's Department and the former for specific employees of a potential JPA. If a city desires additional sworn officer positions for services other than patrol, such as traffic enforcement, community policing, police dogs (K9), etc., these are considered special services and those positions that are also enumerated in a city's contract are called "dedicated" positions. In Table 5, these positions are captured in the third row titled "Police Officers - Dedicated Supported" and are also highlighted blue. The two aforementioned FTE types that are highlighted in blue in the table form the basis for all of the "rate -supported" positions to be discussed later. There is a third classification of sworn officer positions listed in Table 5 titled "Police Officer - Dedicated Unsupported" and highlighted peach. These positions are assigned to a city and do not require additional support (i.e., dispatch Section 2-Existing Contract Fiscal Analysis page 10 Z �Uff E .Cifl f; Cities of Canyon Lake, Jurupa Valley, Lake Elsinore, Moreno Valley, San Jacinto, Temecula, and Wildomar Police Services JPA Feasibility Assessment services, crime scene support, etc.); they are not factored into the rate -supported positions calculation. In addition to the patrol officer positions and the dedicated police officer (Deputy Sheriff) positions listed, a city can contract for other dedicated positions, such as Sergeants, Lieutenants, Community Service Officers (CSOs), etc. These positions are calculated at their weighted salary rate and are listed in Table 5 as dedicated positions. Included in the contracted rate for the positions highlighted in blue are all of the rate -supported functions including sworn patrol, sworn support, central dispatch, classified support, and other support services shown in Table 4, which includes the positions described in Table 6. All of the aforementioned FTE positions are enumerated in the city contracts and are assigned to the various Sheriff's Department stations associated with the city contract. The following table reflects the rate -supported positions as previously mentioned. Table 6-Rate-Supported Positions - FY 19/20 Investigators - Rate Supported Ratio 9.80 Canyon Lake 0.50 .. Valley 5.20 Lake Elsinore 3.30 Moreno Valley 10.80 San Jacinto 2.90 Temecula 8.10 Wildomar 1.60 Total 32.40 Sergeants - Rate Supported 7.00 0.70 7.30 4.70 15.10 4.10 11.30 2.20 45.40 Lieutenant - Rate Supported 27.00 0.20 1.90 1.20 3.90 1.10 2.90 0.60 11.80 CSOs - Rate Supported 17.50 0.30 2.90 1.90 6.10 1.70 4.50 0.90 18.30 SSOs - Rate Supported 41.77 0.10 1.20 0.80 2.50 0.70 1.90 0.40 7.60 Accounting Technicians - Rate Supported 19.59 0.30 2.60 1.70 5.40 1.50 4.00 0.80 16.30 Office Assistants - Rate Supported 11.13 0.40 4.60 2.90 9.50 2.60 7.10 1.40 28.50 Central Homicide - Rate Supported 39.50 0.10 1.30 0.80 2.70 0.70 2.00 0.40 8.00 Administration (Internal Affairs) - Rate Supported 86.80 0.10 0.60 0.40 1.20 0.30 0.90 0.20 3.70 Personnel (Recruiting) - Rate Supported 89.80 0.10 0.60 0.40 1.20 0.30 0.90 0.20 3.70 Information Services (IT) - Rate Supported 28.30 0.20 1.80 1.20 3.70 1.00 2.80 0.50 11.20 Dispatch - Rate Supported 5.00 1.00 10.20 6.60 21.20 5.80 15.80 3.10 63.70 Accounting (Finance) - Rate Supported 52.00 0.10 1.00 0.60 2.00 0.60 1.50 0.30 6.10 Technical Services Bureau - Rate Supported 81.00 0.10 0.60 0.40 1.30 0.40 1.00 0.20 4.00 Grant Writing - Rate Supported 399.90 0.00 0.10 0.10 0.30 0.10 0.20 0.00 0.80 Training Center (Range) - Rate Supported 182.00 0.00 0.30 0.20 0.60 0.20 0.40 0.10 1.80 Total FTEs 4.20 42.20 27.20 87.50 24.00 65.30 12.90 263.30 Rate -supported positions are calculated by adding the total number of Police Officers - Patrol (Table 5, second row) and the total number of Police Officers - Dedicated Supported (Table 5, third row) assigned to a city. Those two combined numbers are then multiplied against a ratio .. Section 2-Existing Contract Fiscal Analysis page 11 a ,r.frf �safl � �� Cities of Canyon Lake, Jurupa Valley, Lake Elsinore, Moreno Valley, San Jacinto, Temecula, and Wildomar Police Services JPA Feasibility Assessment determined by the Sheriff's Department to come up with a rate -supported position. For example, Investigators are included in the rate -supported ratio of 9.80; meaning that for every 9.80 Police Officer — Patrol and Police Officer — Dedicated Supported positions a city pays for, one FTE Investigator is included. Using San Jacinto for illustration purposes, the calculation is as follows: (19.89 + 9) / 9.80 = 2.9 Investigators (rate -supported by San Jacinto contract) These positions are reflected in Table 6. The non -highlighted positions are those FTEs that directly support the patrol and dedicated positions and work out of each city's respective Sheriff's Department station. The light -yellow positions are those FTEs that are included in the rate but are centrally located and operate on a regional basis, most often from the Sheriff's Department's Headquarters. The costing structure of dedicated or rate -supported personnel is necessary and common in local government costing contracts. There needs to be a method to fractionally expense central administration services at different usage rates to each position dedicated to a city's contract. The cost model to derive personnel costs to each city then adds the patrol, dedicated, and rate - supported positions together. For the purpose of Citygate expensing a separated police JPA, the following table shows the total contracted for positions if all the Cities formed one police JPA. Section 2—Existing Contract Fiscal Analysis page 12 a ongmIft ,Ifl Cities of Canyon Lake, Jurupa Valley, Lake Elsinore, Moreno Valley, San Jacinto, Temecula, and Wildomar Police Services JPA Feasibility Assessment Table 7-Dedicated and Rate Supported Positions - FY 19/20 IL Position Patrol Hours Contracted Rate Ratio Canyon Lake 24.00 Jurupa Valley 180.00 Lake Elsinore, 130.80 Moreno Valley 458.50 Sa. Jac, nj 97.00 _94 205.00 70.00 1,165.30 Police Officers - Patrol $188.95 4.92 36.91 26.82 94.02 19.89 42.04 14.35 238.95 Police Officers - Dedicated Supported $161.73 0.00 14.00 6.00 12.00 9.00 37.00 1.00 79.00 Police Officer - Dedicated Unsupported $88.14 0.00 0.00 3.00 4.00 0.00 3.50 1.00 11.50 Investigators - Rate Supported 9.80 0.50 5.20 3.30 10.80 2.90 8.10 1.60 32.40 Sergeants - Rate Supported 7.00 0.70 7.30 4.70 15.10 4.10 11.30 2.20 45.40 Sergeants - Dedicated $124.28 0.00 0.00 1.00 1.00 1.00 3.00 0.00 6.00 Lieutenant - Rate Supported 27.00 0.20 1.90 1.20 3.90 1.10 2.90 0.60 11.80 Lieutenants - Dedicated $138.67 0.00 0.00 0.00 0.00 0.00 2.00 0.00 2.00 Captains - Dedicated $157.08 0.00 0.00 0.00 0.90 0.00 0.00 0.00 0.90 CSOs - Rate Supported 17.50 0.30 2.90 1.90 6.10 1.70 4.50 0.90 18.30 CSOs - Dedicated $61.65 0.00 5.00 5.00 21.00 4.00 17.00 1.00 53.00 SSOs - Rate Supported 41.77 0.10 1.20 0.80 2.50 0.70 1.90 0.40 7.60 Accounting Technicians - Rate Supported 19.59 0.30 2.60 1.70 5.40 1.50 4.00 0.80 16.30 Office Assistants - Rate Supported 11.13 0.40 4.60 2.90 9.50 2.60 7.10 1.40 28.50 Office Assistants - Dedicated $39.30 0.00 0.00 0.00 2.00 3.00 0.00 0.00 5.00 Crime Analyst - Dedicated $60.04 0.00 0.00 0.00 0.00 0.50 0.00 0.00 0.50 Central Homicide - Rate Supported 39.50 0.10 1.30 0.80 2.70 0.70 2.00 0.40 8.00 Administration (Internal Affairs) - Rate Supported 86.80 0.10 0.60 0.40 1.20 0.30 0.90 0.20 3.70 Personnel (Recruiting) - Rate Supported 89.80 0.10 0.60 0.40 1.20 0.30 0.90 0.20 3.70 Information Services (IT) - Rate Supported 28.30 0.20 1.80 1.20 3.70 1.00 2.80 0.50 11.20 Dispatch - Rate Supported 5.00 1.00 10.20 6.60 21.20 5.80 15.80 3.10 63.70 Accounting (Finance) - Rate Supported 52.00 0.10 1.00 0.60 2.00 0.60 1.50 0.30 6.10 Technical Services Bureau - Rate Supported 81.00 0.10 0.60 0.40 1.30 0.40 1.00 0.20 4.00 Grant Writing - Rate Supported 399.90 0.00 0.10 0.10 0.30 0.10 0.20 0.00 0.80 Training Center (Range) - Rate Supported 182.00 0.00 0.30 0.20 0.60 0.20 0.40 0.10 1.80 Total Sworn FTEs 6.62 68.11 47.82 147.42 39.49 114.04 21.65 445.15 Total Non -Sworn FTEs 2.50 30.00 21.20 75.00 21.90 55.80 8.60 215.00 Total FTEs 9.12 98.11 69.02 222.42 61.39 169.84 30.25 660.2 However, the 660 positions that would yield a singular city -centric police department do not include Sheriff's Department central administration positions that, by policy, were never expensed to the Cities' contracts, including: ♦ Sheriff's Department Executive Management Team ♦ Station Captains ♦ Station crime analysis capability / unit Section 2-Existing Contract Fiscal Analysis page 13 ? Cities of Canyon Lake, Jurupa Valley, Lake Elsinore, Moreno Valley, San Jacinto, Temecula, and Wildomar Police Services JPA Feasibility Assessment Station forensic units ♦ Social media Later in this JPA analysis, some of these positions will be added to the separated police JPA, which further increases the costs for the JPA. Section 2—Existing Contract Fiscal Analysis page 14 Cities of Canyon Lake, Jurupa Valley, Lake Elsinore, Moreno Valley, San Jacinto, Temecula, and Wildomar Police Services JPA Feasibility Assessment SECTION 3-POLICE JPA FISCAL ANALYSIS 3.1 MACRO COST COMPARISON OF PERSONNEL COSTS FOR CURRENT SHERIFF'S DEPARTMENT CONTRACT COSTING TO POLICE .IPA The final Citygate research step was to create a staffing and cost plan for a multiple -city police JPA. In 2020, the Sheriff's Department was still working on testing cost control measures to the differing contract Cities, so Citygate chose to build a cost estimation model for the JPA using personnel and contract costs from FY 19/20. It was assumed that if the JPA was more expensive in this comparison, any cost savings the Sheriff's Department adopted into future contracts would only widen the cost differences between contracting and a multiple -city police JPA operation. The following set of JPA cost model tables assumes the following: ♦ FY 19/20 Sheriff's Department personnel costs. ♦ FY 19/20 patrol and headquarters positions. Citygate reviewed field deployment plans, which, along with Citygate's interviews, determined that patrol staffing levels are not currently based on any evidence -based workload analysis. For JPA cost comparison purposes, Citygate used the current staffing levels for FY 19/20. ♦ Given the Sheriff's Department contracts do not expense executive management positions, these had to be estimated and added to the personnel costs. Based on this cost model framework, the following table shows the combined cost for all personnel, by city, in the city contracts: Section 3—Police JPA Fiscal Analysis page 15 a - T Pt XIfl Cities of Canyon Lake, Jurupa Valley, Lake Elsinore, Moreno Valley, San Jacinto, Temecula, and Wildomar Police Services JPA Feasibility Assessment Table 8-Sheriffs Department Costs - FY 19/20 Adopted Budgets Patrol Hours Contracted Rate Ratio LakMiLValley 24.00 180.00 Elsinore 130.80 Valleyo 458.50 Jacinto 97.00 Temecula 205.00 Wildomar 70.00 1,165.30 Police Officers - Patrol $188.95 4.92 36.91 26.82 94.02 19.89 42.04 14.35 238.95 Police Officers - Dedicated Supported $161.73 0.00 14.00 6.00 12.00 9.00 37.00 1.00 79.00 Police Officer- Dedicated Unsupported $88.14 0.00 0.00 3.00 4.00 0.00 3.50 1.00 11.50 Investigators - Rate Supported 9.801 0.50 5.20 3.30 10.80 2.90 8.10 1.601 32.40 Sergeants - Rate Supported 7.00 0.70 7.30 4.70 15.10 4.10 11.30 2.20 45.40 Sergeants - Dedicated $124.28 0.00 0.00 1.00 1.00 1.00 3.00 0.00 6.00 Lieutenant - Rate Supported 27.00 0.20 1.90 1.20 3.90 1.10 2.90 0.60 11.80 Lieutenants - Dedicated $138.67 0.00 0.00 0.00 0.00 0.00 2.00 0.00 2.00 Captains - Dedicated $157.08 0.00 0.00 0.00 0.90 0.00 0.00 0.00 0.90 CSOs - Rate Supported 17.501 0.30 2.90 1.90 6.10 1.70 4.50 0.90 18.30 CSOs - Dedicated $61.65 0.00 5.00 5.00 21.00 4.00 17.00 1.00 53.00 SSOs - Rate Supported 41.77 0.10 1.20 0.80 2.50 0.70 1.90 0.40 7.60 Accounting Technicians - Rate Supported 19.59 0.30 2.60 1.70 5.40 1.50 4.00 0.80 16.30 Office Assistants - Rate Supported 11.13 0.40 4.60 2.90 9.50 2.60 7.10 1.40 28.50 Office Assistants - Dedicated $39.30 0.00 0.00 0.00 2.00 3.00 0.00 0.00 5.00 Crime Analyst - Dedicated $60.04 1 0.00 0.00 0.00 0.00 0.50 0.00 0.00 0.50 Central Homicide - Rate Supported 39.50 0.10 1.30 0.80 2.70 0.70 2.00 0.40 8.00 Administration (Internal Affairs) - Rate Supported 86.80 0.10 0.60 0.40 1.20 0.30 0.90 0.20 3.70 Personnel (Recruiting) - Rate Supported 89.80 0.10 0.60 0.40 1.20 0.30 0.90 0.20 3.70 Information Services (IT) - Rate Supported 28.30 0.20 1.80 1.20 3.70 1.00 2.80 0.50 11.20 Dispatch - Rate Supported 5.00 1.00 10.20 6.60 21.20 5.80 15.80 3.10 63.70 Accounting (Finance) - Rate Supported 52.00 0.10 1.00 0.60 2.00 0.60 1.50 0.30 6.10 Technical Services Bureau - Rate Supported 81.00 0.10 0.60 0.40 1.30 0.40 1.00 0.20 4.00 Grant Writing - Rate Supported 399.90 0.00 0.10 0.10 0.30 0.10 0.20 0.00 0.80 Training Center (Range) - Rate Supported 182.00 0.00 0.30 0.20 0.60 0.20 0.40 0.10 1.80 Total Sworn FTEs 6.62 68.11 47.82 147.42 39.49 114.04 21.65 445.15 Total Non -Sworn FTEs 2.50 30.00 21.20 75.00 21.90 55.80 8.60 215.00 Total FTEs 9.12 98.11 69.02 222.42 61.39 169.84 30.25 660.2 FY 2019-20 Adopted Budgets $1,778,934 $20,460,073 $14,369,910 $45,267,540 $13,254,533 $34,860,436 $5,303,100 $135,294,526 Based on Citygate's review of each city contract and interviews with Sheriff's Department command staff personnel assigned to the supporting Sheriff's Department stations, the FTE calculations and rate formulas used in the preceding tables are appropriate. The following table adds JPA executive management positions for Police Chief, a Deputy Chief, and Bureau Captains to the positions in Table 7 and Table 8. Also added is an estimate for services, supplies, differential pay, overtime, etc. For pension expense, given likely Ca1PERS regulations with the JPA's need to employ lateral hire mid- and upper management personnel plus .. Section 3-Police JPA Fiscal Analysis page 16 a zfff �a1� K Cities of Canyon Lake, Jurupa Valley, Lake Elsinore, Moreno Valley, San Jacinto, Temecula, and Wildomar Police Services JPA Feasibility Assessment investigators, the pension costs are estimated at CaIPERS legacy classic employee pension costs for 80 percent of the workforce, with the remaining 20 percent of the workforce at entry-level positions or employees new to CaIPERS under the pension reform PEPRA rates. The net result of this table and the JPA cost model is a total of 669 full-time personnel at an estimated annual cost of $139,056,052: Table 9—JPA Cost Model with Current Service Levels — 80 Percent Classic / 20 Percent PEPRA Total Salary and Benefits Total Salary and Benefits of the Position of the Position Proposed Blended Position Classification (Classic) (PEPRA) FTEs (80-20 Split) Police Chief $446,557 $423,039 1.0 $441,853 Deputy Police Chief $341,843 $324,153 2.0 $676,611 Captain $301,359 $286,062 7.0 $2,088,096 Lieutenant $261,182 $248,121 14.8 $3,826,829 Sergeant $231,995 $221,040 54.3 $12,478,352 Investigator $212,868 $202,978 40.2 $8,477,764 Corporal $192,943 $184,162 0.0 Patrol Officer $192,943 $184,162 334.5 $63,951,908 All non -sworn positions averaged $106,792 $106,792 215.0 $22,960,362 Service/supplies costs per sworn $45,038 $45,038 453.8 $20,438,277 position Differential pay/mileage/overtime/ $3,716,000 other outside of above Total 668.8 $139,056,052 The following table summarizes the total position quantities and costs between the FY 19/20 Sheriff personnel contract costs and the JPA model personnel cost estimate: Table 10—Summary Personnel Cost and FTE Comparison Section 3—Police JPA Fiscal Analysis page 17 Cities of Canyon Lake, Jurupa Valley, Lake Elsinore, Moreno Valley, San Jacinto, Temecula, and Wildomar Police Services JPA Feasibility Assessment The city contracts each year provide for an estimated budget. At the end of a fiscal year there is a true up where the Cities are charged only the actual costs. At the close of FY 19/20, the Sheriff's Department's fiscal team reported the final contract city charge to be $125,416,738, or approximately $10 million less due to some efficiencies being implemented, a lower -than - estimated need for overtime, and unfilled positions (normal in any large organization due to retirements and academy dates). The same will be true for a JPA; costs can shift slightly year over year, even if salary, pension, and health costs stay the same. However, it should be noted that FY 19/20 was extraordinary due to widespread economic disruptions caused by COVID-19 stay-at- home orders and business closures. The staffing flexibility in a crisis the Cities enjoyed through direct dialogue with Sheriff's Department Administration would be difficult for a JPA to replicate. 3.2 .IPA START-UP COST ESTIMATE Even if the personnel costs for the JPA were the same or less than the Sheriff's Department's, starting a new agency of 669 personnel is a large, expensive effort. Even if some services can continue to be contracted, start-up and service contracts need to be understood and added to the previously listed personnel costs. The following table shows the estimated start-up and contract service costs for a police JPA. While 9-1-1 dispatch center and technology services might possibly be contracted through the Sheriff's Department, that feasibility is unknown at this point. Therefore, the following table includes dispatch center spaces and all needed technology services provided by the JPA. Table 11—Estimated JPA Start-up Costs Category Real Estate — Facilities ($900 x 43,000 sq. ft.) $38,700,000 Fleet — Vehicles ($45,000 x 325) $14,625,000 Police Safety Equipment ($9,000 x 445) $5,000,000 Information Technology $2,500,000 Communications (Dispatch) Infrastructure $15,000,000 Miscellaneous $4,500,000 Total $80,325,000 The Sheriff's Department owns some of the facilities. Some police station spaces in some of the Cities might be able to utilize city -owned building space. If not, according to a Citygate partner firm, JKA Architecture, new building construction costs for public safety "essential buildings" under the California State building codes are estimated between $800 and $1,000 per square foot and $550 to $600 for remodeling an existing building. Those are hard costs. Soft costs (design fees, permits, furnishings, fixtures, equipment, and project management or construction .. Section 3—Police JPA Fiscal Analysis page 18 a zFrf 1111� K Cities of Canyon Lake, Jurupa Valley, Lake Elsinore, Moreno Valley, San Jacinto, Temecula, and Wildomar Police Services JPA Feasibility Assessment management fees, etc.) can add an additional 30 percent to the overall costs. If even five new police buildings were built with bonds, there is still an added cost for debt service, which further increases the cost difference with contracting and operating a JPA police department. 3.3 .IPA COST ALLOCATION METHODOLOGY OPTIONS In a shared sub -regional police department, there must be mechanisms for local control via elected officials, along with the ability to share costs equitably between cities of very different sizes with different policing needs. California's JPA law allows for this. In a JPA of this size, the Board of Directors would typically be elected officials from the member cities. The Board would hire and manage the Police Chief as the JPA's administrative leader, accountable to the Board. When the JPA is set up, the founding agencies would choose the voting rules -either simple majority or weighted by agency size. There are multiple cost allocation strategies possible within the structure of a JPA: per capita, 9-1-1 incident workload (calls for service), quantity of dedicated staffing, use of special teams, blended multiple -part formulas, etc. As an illustration, the following table compares the Sheriff's personnel -only costs shared across common formulas, including resident population, budget ratio, number of sworn police officers, the number of all police department personnel as FTE, and percentage of 9-1-1 incidents. Table 12-JPA Cost Allocation Formula Options - Using Sheriff's Personnel Costs IN. Population Canyon IF Lake 11,106 Juru.. Valley 1031784 Lake -ElsinoreA, 64,037 Moreno Valley 205,034 San &Li�nlo _ 47,474 Temecula - 112,230 ..Total 36,162 579,827 Percentage 1.92% 17.90% 11.04% 35.36% 8.19% 19.36% 6.24% 100.00% Budget $1,778,934 $20,460,073 $14,369,910 $45,267,540 $13,254,533 $34,860,436 $5,303,100 $135,294,526 Percentage 1.31 % 15.12% 10.60% 33.40% 9.78% 25.72% 3.91 % 100.00% Sworn 6.62 68.11 47.82 147.42 39.49 114.04 21.65 445.15 Percentage 1.49% 15.30% 10.74% 33.12% 8.87% 25.62% 4.86% 100.00% Total FTE 9.12 98.11 69.02 222.42 61.39 169.84 30.25 660.15 Percentage 1.38% 14.86% 10.46% 33.69% 9.30% 25.73% 4.58% 100.00% 2018 Calls 3,101 54,363 37,769 116,819 33,252 54,661 14,387 314,352 Percentage 0.99% 17.29% 12.01% 37.16% 10.58% 17.39% 4.58% 100.00% As can be seen, given the diversity of size between the seven Cities, all of the formula tests come out close to each other. If a JPA were to be feasible, the Cities could likely agree on one formula or a blend of two formulas to use for cost sharing. Section 3-Police JPA Fiscal Analysis page 19 9 Cities of Canyon Lake, Jurupa Valley, Lake Elsinore, Moreno Valley, San Jacinto, Temecula, and Wildomar Police Services JPA Feasibility Assessment Other than office space, start-up costs could be shared using the same formula as annual operations. Capital building construction costs would be the responsibility of each different city based on their local options. Another, harder -to -estimate cost at this feasibility point is 9-1-1 dispatch, radio, and mobile data systems. The Cities' police JPA needs to have dispatching and radio/data services over a large geography. The previous cost estimate includes the needed personnel, operating expense, and capital expense for dispatch and technical services. The Sheriff's Department might consider a contract with the JPA for these services, offering the best regional cost efficiencies. Not yet fully calculated in the start-up costs is the practical difficulty in recruiting, hiring, on - boarding, and training a 669-person workforce to new agency standards. This would require the legal establishment of the JPA as an employer, along with enough of a command and human resources staff to set up the agency and hire the employees. In the first two years, no services would likely be provided at all to the Cities, so all these costs are in addition to the current County Sheriff's Department contract amounts. It is only by year three that phased -in conversion of services city by city could commence, and this will likely take two to three years depending on the rate of hiring. 3.4 NEW SHERIFF'S DEPARTMENT COST CONTROL MEASURES After the change of Sheriffs in early 2019, Sheriff Chad Bianco formed a Research and Development Unit and tasked them to, among other priorities, find cost efficiencies and deeply review the contract Cities' cost model. The Unit's early efforts focused on patrol operations as that is the Department's largest personnel expense and customer area. The Unit began developing staffing plans based on workload measures. As the Unit looked at staffing for cost efficiencies, it identified three variables: ♦ Reduce or redistribute staffing ♦ Reduce call volume ♦ Reduce time spent on calls. The research of these variables drove several key findings for workload distribution: ♦ CSOs are currently being underutilized on patrol ➢ CSOs handle only 4 to 10 percent of calls ➢ CSOs are capable of handling an average of 25 percent of calls ♦ The cost difference between Patrol Deputies and CSOs is significant: ➢ The Patrol Deputy cost per hour rate is $188.95 Section 3—Police JPA Fiscal Analysis page 20 a - T Pt XIfl Cities of Canyon Lake, Jurupa Valley, Lake Elsinore, Moreno Valley, San Jacinto, Temecula, and Wildomar Police Services JPA Feasibility Assessment ➢ The CSO cost per hour rate is $61.64 ➢ The potential Department -wide annual cost savings is $226,612. Regarding time spent by Deputies on calls for service to gain efficiencies (cost per hour deployed), the Unit evaluated the options of: ♦ No response — handling issues with a referral to another better suited type of assistance ♦ Alternate reporting methods — including electronic, phone in, etc. ♦ Hybrid online reporting — incorporating elements of CSO assistance ♦ Online reporting — largely by the affected party ♦ Auto -populating report forms — easing repetitive entry by the Deputies on standard issues and reducing report writing time. Citygate observes that all of these elements to gain efficiencies in per -hour deployment are best practices and that appropriately using parts or all of them is the best way to avoid unnecessary over deployment (cost) for police services. " W% . Section 3—Police JPA Fiscal Analysis page 21 a �Frf �safl� ; Cities of Canyon Lake, Jurupa Valley, Lake Elsinore, Moreno Valley, San Jacinto, Temecula, and Wildomar Police Services JPA Feasibility Assessment SECTION 4-RECOMMENDATION Based on the current Sheriff's Department Administration's willingness to research and develop cost -control initiatives, and given this preliminary JPA cost estimation is substantially higher than the current contract amounts, Citygate recommends the Cities pursue the Sheriff's Department's cost -controlling initiatives in -lieu of a JPA. Additionally, over the next year, the Cities should request that the Sheriff's Department conduct an incident and community policing workload demand -based staffing study to further tailor their costs to the needs of each city. This study would effectively be a Policing Master Plan per city to include staffing levels, innovation, community engagement, oversight, and social justice/equity structures. ..�.. Section 4—Recommendation page 22 a (ITY(II` PS rCfl [, Item No. 6 ACTION MINUTES TEMECULA COMMUNITY SERVICES DISTRICT MEETING COUNCIL CHAMBERS 41000 MAIN STREET TEMECULA, CALIFORNIA FEBRUARY 9, 2021 CALL TO ORDER at 8:20 PM: President Schwank ROLL CALL: Alexander, Edwards, Rahn, Schwank, Stewart CSD PUBLIC COMMENTS - None CSD CONSENT CALENDAR Unless otherwise indicated below, the following pertains to all items on the Consent Calendar. Approved the Staff Recommendation (5-0): Motion by Edwards, Second by Stewart. The vote reflected unanimous approval. 6. Approve Action Minutes of January 26, 2021 Recommendation: That the Board of Directors approve the action minutes of January 26, 2021. CSD DIRECTOR OF COMMUNITY SERVICES REPORT CSD GENERAL MANAGER REPORT CSD BOARD OF DIRECTORS REPORTS CSD ADJOURNMENT At 8:22 PM, the Community Services District meeting was formally adjourned to Tuesday, February 23, 2021 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. Zak Schwank, President ATTEST: Randi Johl, Secretary [SEAL] Item No. 7 ACTION MINUTES JOINT MEETING - SUCCESSOR AGENCY TO THE TEMECULA REDEVELOPMENT AGENCY / CITY COUNCIL COUNCIL CHAMBERS 41000 MAIN STREET TEMECULA, CALIFORNIA FEBRUARY 9, 2021 CALL TO ORDER at 8:22 PM: Chair Maryann Edwards ROLL CALL: Alexander, Edwards, Rahn, Schwank, Stewart SARDA / COUNCIL PUBLIC COMMENTS - None SARDA / COUNCIL CONSENT CALENDAR Unless otherwise indicated below, the following pertains to all items on the Consent Calendar. Approved the Staff Recommendation (5-0): Motion by Alexander, Second by Stewart. The vote reflected unanimous approval. 7. Approve Purchase and Sale Agreement for the Purchase of Two Vacant Parcels - Assessor Parcel Numbers 910-262-009 and 910-262-010 Recommendation: That the City Council and Board of Directors take the following actions: 1. Adopt a resolution entitled: RESOLUTION NO. 2021-07 A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF TEMECULA APPROVING THAT CERTAIN AGREEMENT ENTITLED PURCHASE AND SALE AGREEMENT AND JOINT ESCROW INSTRUCTIONS BETWEEN THE CITY OF TEMECULA, AS BUYER, AND HOFF INVESTMENTS, L.P. AND PMD INVESTMENTS, L.P. AS SELLERS (APNS 910-262-009 AND 910-262-010) 2. Appropriate $1,669,794 from the 2017B Housing Bond proceeds to the French Valley Parkway/I-15, Phase III Capital Project; and 3. Authorize the City Manager to approve and execute all necessary documents, including those in substantially the form attached to the Agenda Report, and take all necessary actions to effectuate the purchase of Assessor's Parcel Numbers 910-262-009 and 910-262-010. SARDA EXECUTIVE DIRECTOR REPORT SARDA BOARD OF DIRECTOR REPORTS SARDA ADJOURNMENT At 8:25 PM, the Successor Agency to the Temecula Redevelopment Agency meeting was formally adjourned to Tuesday, February 23, 2021, 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. Maryann Edwards, Chair ATTEST: Randi Johl, Secretary [SEAL] Item No. 8 CITY OF TEMECULA / TEMECULA PUBLIC FINANCING AUTHORITY AGENDA REPORT TO: City Manager/City Council Executive Director/Board of Directors FROM: Greg Butler, Assistant City Manager DATE: February 23, 2021 SUBJECT: Approve and Adopt Resolutions of Intention to Form CFD 20-01, Authorize the Levy of Special Taxes, Incur Bonded Indebtedness and Approve Related Documents and Agreements RECOMMENDATION: That the City Council/Board of Directors adopt the following resolutions entitled: RESOLUTION NO. TPFA 2021- A RESOLUTION OF THE BOARD OF DIRECTORS OF THE TEMECULA PUBLIC FINANCING AUTHORITY DECLARING ITS INTENTION TO ESTABLISH A COMMUNITY FACILITIES DISTRICT AND TO AUTHORIZE THE LEVY OF SPECIAL TAXES THEREIN — (HEIRLOOM FARMS) RESOLUTION NO. TPFA 2021- A RESOLUTION OF THE BOARD OF DIRECTORS OF THE TEMECULA PUBLIC FINANCING AUTHORITY DECLARING ITS INTENTION TO INCUR BONDED INDEBTEDNESS OF THE PROPOSED TEMECULA PUBLIC FINANCING AUTHORITY COMMUNITY FACILITIES DISTRICT NO.20-01 (HEIRLOOM FARMS) RESOLUTION NO. 2021- A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF TEMECULA APPROVING JOINT COMMUNITY FACILITIES AGREEMENT RELATING TO THE FINANCING OF PUBLIC IMPROVEMENTS AND IMPLEMENTATION OF AN ACQUISITION AGREEMENT DISCUSSION: In March of last year, in response to a request by Meritage Homes of California, Inc. ("Meritage"), the Temecula Public Financing Authority (the "Authority") adopted Resolution No. TPFA2020-01 and the City Council adopted Resolution No. 2020-15, pursuant to which they approved a Deposit/Reimbursement Agreement, subsequently executed by the Authority, the City and Meritage, where by Meritage agreed to pay the costs of the Authority and the City in connection with the formation of a community facilities district. The Resolution of the Authority also designated various consultants to assist with the formation of the community facilities district. The Authority has now received a petition (including waivers) (the "Petition") from Meritage requesting that it move forward with the formation of the community facilities district for the purpose of financing public facilities and to fund the costs of municipal services in connection with the planned Heirloom Farms development project. The community facilities district is designated as the Temecula Public Financing Authority Community Facilities District No. 20-01 (Heirloom Farms) (the "CFD"). The CFD is generally located west of Date Street between Ynez Road and Temecula Center Drive. The territory to be included within the boundaries of the CFD includes several County Assessor's parcels identified in the Petition. Community facilities district financing is a commonly used method of financing infrastructure and services for new development in California. Commonly referred to as "Mello -Roos Financing" this type of land -secured financing permits the local agency to levy special taxes and issue bonds to pay for the public facilities and infrastructure costs and services necessitated by new development. The costs of authorized facilities and services are, and debt service on any bonds issued for the CFD is, paid from special taxes levied on real property within the CFD boundary. The bonds typically are issued on a tax-exempt basis at the federal and state level. The Authority will consider the adoption of two resolutions related to the formation of the proposed CFD. The CFD will only include land owned by Meritage as delineated in the Petition. In the Petition, the Property Owner has requested that the CFD levy special taxes and issue bonds to provide funds to fund various public improvements identified as the "Facilities" on Exhibit A in the Petition and to finance other costs of issuing the special tax bonds and of providing a reserve fund for the bonds. It is also expected that special taxes will be levied to fund the costs of municipal services identified in Exhibit A of the Petition. The Authority proposes to use bond proceeds to finance the design, construction and installation of certain public improvements, including related incidental expenses. These facilities will become the property of and will be maintained by the City, the Eastern Municipal Water District (EMWD) and the Temecula Valley Unified School District (TVUSD), as appropriate. To benefit future residents within the CFD, the Authority expects to enter into a Joint Community Facilities Agreement with each of the City, EMWD and TVUSD. SPECIFIC ACTIONS: In order to initiate the process to form the CFD, the Board of Directors of the Authority will consider adoption of two resolutions of intention relative to the proposed CFD. These resolutions call for a public hearing on April 13, 2021 on the formation of the CFD and the issuance of bonds for the CFD, and otherwise specify the boundaries of the CFD (by reference to a map on file with the City Clerk, as Secretary of the Authority), the rate and method of apportionment of special taxes to be levied solely on land in the CFD to pay for CFD authorized facilities and services and to repay any bonds that may be issued for the CFD, and describe the improvements to be financed and the services to be provided by the new CFD. The resolution of intention to form the CFD also approves an Acquisition Agreement between the Authority and Meritage whereby the Authority agrees to use proceeds of special taxes levied on property in the CFD and proceeds of bonds issued for the CFD to pay costs of certain CFD authorized facilities to be constructed by Meritage. The City Council will consider adoption of a resolution approving a Joint Community Facilities Agreement with the Authority whereby: it agrees to own and operate certain facilities financed by the CFD, it agrees to provide the municipal services to be funded by the CFD and it agrees to assist the Authority in administering the Acquisition Agreement. The Joint Community Facilities Agreement allows for a credit against (or a return of) development impact fees and Quimby Act fees otherwise applicable to the construction of residential units in the Heirloom Development, from the proceeds of bonds issued for the CFD. In addition, the City will be allocated $750,000 of bond proceeds that may be used to finance any capital improvements included in the City's Capital Improvement Program for Fiscal Year 2021-2025. FISCAL IMPACT: Meritage has agreed to pay all expenses incurred relative to the proposed formation of the new CFD and the issuance of bonds for the CFD. Costs of issuance of the proposed bond issue will be paid from the proceeds of the bonds to be issued by the Authority for the CFD. All annual costs of administering the new CFD and the bonds issued for the CFD will be paid from special taxes levied on the properties in the CFD. The bonds, if issued by the Authority for the new CFD, would be payable solely from special taxes levied on land in the new CFD and collected by the Authority. All costs of the City and the Authority to administer the Acquisition Agreement and the Joint Community Facilities Agreement will be paid for with proceeds of special taxes levied on property in the CFD. ATTACHMENTS: 1. Petition 2. TPFA Resolution of Intention to Form CFD 3. TPFA Resolution of Intention to Incur Bonded Indebtedness 4. City Resolution Approving JCFA and Implementation of AA 5. City Joint Community Facilities Agreement (JCFA) 6. Acquisition Agreement (AA) 7. Draft Boundary Map Quint & Thimmig LLP PETITION (Including Waivers) To Create a Community Facilities District and With Respect to Related Matters To the Board of Directors of the Temecula Public Financing Authority 41000 Main Street Temecula, California 92589-9033 Dear Directors: 1/5/2021 2/3/2021 2/9/2021 This is a petition to create a community facilities district, and with respect to related matters, under Sections 53311 and following of the California Government Code (the "Act"), and the undersigned hereby states as follows: 1. Petitioner. This petition is submitted by the entity identified below (the "Petitioner") as the owner of the parcels of land identified below (the "Land"). By submitting this petition, the Petitioner represents to the Temecula Public Financing Authority (the "Authority") that it is the sole owner of the Land, and that the person executing this Petition is authorized to execute it for the Petitioner. 2. Proceedings Requested. The Petitioner hereby asks that the Board of Directors of the Authority undertake proceedings under the Act to create a community facilities district to be designated "Temecula Public Financing Authority Community Facilities District No. 20-01 (Heirloom Farms)" (the "CFD"), to levy special taxes in the CFD and to authorize special tax bonds for the CFD in an amount of not to exceed $17,000,000. 3. Boundaries of CFD. The Petitioner hereby asks that the territory to be included within the boundaries of the CFD include the Land. 4. Purpose of CFD. The Petitioner hereby asks that the CFD be created, the special taxes be levied and the bonds be issued (a) to finance costs of the public improvements identified as the "Facilities" on Exhibit A hereto, and (b) to finance other costs of issuing the special tax bonds and of providing a reserve fund for the bonds. It is also expected that special taxes will be levied to fund costs of the "Municipal Services" identified on Exhibit A. 5. Election. The Petitioner hereby asks that the special election to be held under the Act to authorize the levy of the special taxes and the issuance of the bonds and to establish an appropriations limit for the CFD be consolidated into a single election and that the election be conducted by the Authority and its officials, using mailed or hand -delivered ballots and that such ballots be opened and canvassed and the results certified at the same meeting of the Board of Directors of the Authority as the meeting at which the public hearings on the CFD under the Act are to be held, or as soon thereafter as possible. 20009.18:J17269 6. Waivers. To expedite the completion of the proceedings for the formation of the CFD, the Petitioner hereby waives all notices of hearings and all notices of election, applicable waiting periods under the Act for the election and all ballot analysis and arguments for the election. The Petitioner also waives (a) any requirement as to the specific form of the ballot to be used for the election, whether under the California Elections Code or otherwise, and (b) any notice with respect to the special taxes to be levied on property in the CFD otherwise required by California Government Code Section 54930. This Petition is dated February ___, 2021. The property that is the subject of this Petition is identified as the Riverside County Assessor Parcel Nos.: 916400034, 916400035, 916400036, 916400039 and 916400060 Meritage Homes of California, Inc., a California corporation Nick Emsiek, Division President The address to which a ballot for the CFD election may be sent: MLC Holdings, Inc. 5 Peters Canyon Road, Suite 310 Irvine, CA 92606 Attention: Nick Emsiek, Division President -2- EXHIBIT A DESCRIPTION OF FACILITIES AND MUNICIPAL SERVICES TO BE FUNDED BY THE CFD FACILITIES It is proposed that the CFD be eligible to finance all or a portion of the costs of the following facilities: The acquisition and construction of: streets (including paving, aggregate base, striping and traffic marking, sidewalks, curbs, gutters and driveways), including Temecula Center Drive and Ynez Road within and in the vicinity of the CFD; stormwater drainage systems (including storm drain lines, inlets, outlets, channels, structures, junctions, manholes, catch basins and related dewatering); street light improvements (including light fixtures, substructures, conduits and service points of connection); and street signage (including traffic, stop and street name signs). The foregoing are to include the acquisition of any related right-of-way and other land needed for the installation of any such improvements, demolition of existing structures and site leveling needed for the installation of any such improvements, erosion control, and other appurtenances. • The acquisition and installation of traffic signal improvements, including traffic signal interconnection and video surveillance systems, at the intersection of Ynez Road and Temecula Center Drive. • Landscaping improvements in the public right of way along or in the vicinity of Temecula Center Drive, Date Street and Ynez Road, including related appurtenances. • Capital improvements included in the City of Temecula's adopted Capital Improvement Program for Fiscal Years 2021-2025. • School improvements to be designated by the Temecula Valley Unified School District, which may include construction of buildings, equipping of school facilities, and acquisition of support and other appurtenances with a useful life of five years or more. Sewer system improvements to be designated by the Eastern Municipal Water District. The Facilities include the acquisition of right-of-way, the costs of design, engineering and planning, the costs of any environmental or traffic studies, surveys or other reports, the cost of any required environmental mitigation and any required noise mitigation measures, landscaping and irrigation, soils testing, permits, plan check and inspection fees, insurance, legal and related overhead costs, coordination and supervision and any other costs or appurtenances related to any of the foregoing. MUNICIPAL SERVICES It is proposed that the CFD be eligible to fund all or a portion of the costs of the following municipal services: • Public safety services, including police and fire protection. • Maintenance of parks, and landscaping in public areas, public easements and public right of way in or near the area of the CFD, such maintenance to include but not be limited to maintenance of planting areas, trees, bioretention filters, multipurpose trails, and the furnishing of water for irrigation. A-1 • Maintenance of public signage in or near the CFD. • Maintenance of storm drainage systems within or serving the area of the CFD, and including storm drain pipes, culverts, detention/desilting basins, manholes, catch basins and drop inlets, cleanout of storm drains and catch basin cleaning and inspection. • Maintenance of sidewalks, streets and roadways within or in the vicinity of the area of the CFD, and including slurry, overlay, curbs and gutters, curb ramps, striping and street sweeping. • Maintenance of street lighting located within or in the vicinity of the CFD, and including decorative lighting and pull box assemblies. • Maintenance of traffic signals, and traffic interconnection and video surveillance systems, within and in the vicinity of the CFD, and including electrical, LED replacement, maintenance and replacement. • Graffiti removal from public improvements within and in the area of the CFD. The CFD may fund any of the following related to the services described above: the furnishing of services and materials for the ordinary and usual maintenance, operation and servicing of the improvements, including repair, removal or replacement of all or part of any of the improvements, the furnishing of water for the irrigation and the furnishing of electric current or energy, for any lights or irrigation facilities, obtaining, constructing, furnishing, operating and maintaining equipment, apparatus or facilities related to providing the services and/or equipment, apparatus, facilities or fixtures in areas to be maintained, obtaining supplies or appurtenant facilities necessary for such maintenance, paying the salaries and benefits of personnel necessary or convenient to provide the services, payment of insurance costs and other related expenses. The CFD may also provide for the reimbursement to the City of Temecula to the extent that the City of Temecula advances funds to pay for any of the foregoing services, and may fund reserves for repairs and replacements and for future expected costs of services. It is expected that the services will be provided by the City of Temecula, either with its own employees or by contract with third parties, or any combination thereof. The services to be financed by the CFD shall be in addition to those provided in the territory of the CFD before the date of creation of the CFD, and will not supplant services already available within that territory when the CFD is created. OTHER The CFD may also finance any of the following: 1. Bond related expenses, including underwriters discount, appraisal and price point study costs, reserve fund, capitalized interest, bond and disclosure counsel fees and expenses, landowner counsel fees and expenses, and all other incidental expenses related to any special tax bonds (the 'Bonds') issued for the CFD. 2. Administrative fees of the Authority, the City of Temecula and the Bond trustee or fiscal agent related to the CFD and the Bonds. 3. Reimbursement of costs related to the formation of the CFD advanced by the Authority, the City of Temecula, any landowner in the CFD, or any party related to any of the foregoing, as well as reimbursement of any costs advanced by the Authority, the City of Temecula, any landowner in the CFD or any party related to any of the foregoing, for facilities, fees or other purposes or costs of the CFD. A-2 RESOLUTION NO. TPFA 2021- A RESOLUTION OF THE BOARD OF DIRECTORS OF THE TEMECULA PUBLIC FINANCING AUTHORITY DECLARING ITS INTENTION TO ESTABLISH A COMMUNITY FACILITIES DISTRICT AND TO AUTHORIZE THE LEVY OF SPECIAL TAXES THEREIN — (HEIRLOOM FARMS) THE BOARD OF DIRECTORS OF THE TEMECULA PUBLIC FINANCING AUTHORITY DOES HEREBY RESOLVE AS FOLLOWS: Section 1. Under the Mello -Roos Community Facilities Act of 1982, constituting Section 53311 et seq. of the California Government Code (the "Law"), this Board of Directors may commence proceedings for the establishment of a community facilities district. Section 2. There have been submitted to this Board of Directors a Petition (Including Waivers) of Meritage Homes of California, Inc. (the "Petition"), requesting the formation by this Board of Directors of a community facilities district under the Law to be known as the Temecula Public Financing Authority Community Facilities District No. 20-01 (Heirloom Farms) (the "District"). Section 3. Under the Law, this Board of Directors is the legislative body for the proposed District and is empowered with the authority to establish the District and levy special taxes within the District. Section 4. This Board of Directors proposes to begin the proceedings necessary to establish the District pursuant to the Law. Receipt of the Petition to form the District is hereby acknowledged. In furtherance of the formation of the District, it is also acknowledged that the Authority, the City of Temecula (the "City") and MLC Holdings, Inc., are parties to a Deposit/Reimbursement Agreement, pursuant to which MLC Holdings, Inc. has agreed to deposit funds with City to pay the costs of conducting the proceedings to establish the District and the possible issuance by the Authority of bonds for the District, subject to reimbursement from the proceeds of bonds issued for the District, all as more specifically provided in the Deposit/Reimbursement Agreement. Section 5. The name proposed for the District is Temecula Public Financing Authority Community Facilities District No. 20-01 (Heirloom Farms). Section 6. The proposed boundaries of the District are as shown on the map of the District on file with the Secretary, which boundaries are hereby preliminarily approved. The Secretary is hereby directed to record, or cause to be recorded, the map of the boundaries of the District in the office of the Riverside County Recorder as soon as practicable after the adoption of this Resolution. Section 7. The types of public facilities (the "Facilities") and of municipal services (the "Services") proposed to be eligible for funding by the District, in each case pursuant to the Law, shall consist of those items listed on Exhibit A hereto under the headings "Facilities" and "Services," respectively, which Exhibit is by this reference incorporated herein. This Board of Directors hereby determines that the Facilities and the Services to be financed by the District are necessary to meet increased demands placed upon local agencies as a result of development occurring and expected to occur in the territory included in the District. This Board of Directors hereby expresses its opinion that the public interest will not be served by allowing property owners to enter into contracts as contemplated by Section 53329.5(a) of the Law, and does not intend to let property owners avail themselves of the actions otherwise permitted by said Section 53329.5(a). The Executive Director is hereby authorized and directed to enter into a joint community facilities agreement with the City of Temecula, the Temecula Valley Unified School District, the Eastern Municipal Water District and any other public entity that will own and/or operate any of the Facilities, or that will provide any of the Services, with any such agreements to be in a form provided by Bond Counsel. Section 8. Except to the extent that funds are otherwise available to the District to pay for the Facilities and the Services, and/or pay the principal and interest as it becomes due on bonds of the District issued to finance the Facilities, a special tax sufficient to pay the costs thereof, secured by recordation of a continuing lien against all non-exempt real property in the District, will be levied within the District and collected in the same manner as ordinary ad valorem property taxes or in such other manner as this Board of Directors or its designee shall determine, including direct billing of the affected property owners. The proposed rate and method of apportionment of the special tax among the parcels of real property within the District, in sufficient detail to allow each landowner within the proposed District to estimate the maximum amount such owner will have to pay, and which specifies the tax year after which no further special tax will be levied on land used for private residential purposes and which otherwise complies with applicable provisions of the Act is described in Exhibit B attached hereto which Exhibit is by this reference incorporated herein. This Board of Directors finds that the provisions of Section 53313.6, 53313.7 and 53313.9 of the Law (relating to adjustments to ad valorem property taxes and schools financed by a community facilities district) are inapplicable to the District. Section 9. It is the intention of this Board of Directors, acting as the legislative body for the District, to cause bonds of the Authority to be issued for the District pursuant to the Law to finance the costs of the Facilities. If so issued, the bonds shall be in the aggregate principal amount of not to exceed $17,000,000, shall bear interest payable semi-annually or in such other manner as this Board of Directors shall determine, at a rate not to exceed the maximum rate of interest as may be authorized by applicable law at the time of sale of such bonds, and shall mature not to exceed 40 years from the date of the issuance thereof. N Section 10. This Board of Directors reserves to itself the right and authority to allow any interested owner of property in the District, subject to the provisions of Section 53344.1 of the Law and such requirements as it may otherwise impose, and any applicable prepayment penalties as prescribed in the indenture or fiscal agent agreement for any bonds of the Authority for the District, to tender to the Treasurer of the Authority in full payment or part payment of any installment of special taxes or the interest or penalties thereon which may be due or delinquent, but for which a bill has been received, any bond or other obligation secured thereby, in the manner described in Section 53344.1 of the Law. Section 11. The levy of said proposed special tax shall be subject to the approval of the qualified electors of the District at a special election. The proposed voting procedure shall be by mailed or hand -delivered ballot among the landowners in the proposed District, with each owner having one vote for each acre or portion of an acre of land such owner owns in the District. Section 12. Except as may otherwise be provided by the Law or the rate and method of apportionment of the special tax for the District, all lands owned by any public entity, including the United States, the State of California and/or the City of Temecula, or any departments or political subdivisions of any thereof, shall be omitted from the levy of the special tax to be made to cover the costs and expenses of the Facilities, the issuance of bonds by the Authority for the District and any expenses of the District. Section 13. The Director of Public Works of the City of Temecula is hereby directed to study the Facilities and the Services and to make, or cause to be made, and file with the Secretary a report in writing, presenting the following: (a) A brief description of the special taxes to be prepaid and of the Facilities and the Services. (b) An estimate of the fair and reasonable cost of providing for the Facilities and the Services, including the incidental expenses in connection therewith, including the costs of the proposed bond financing, any Authority or City of Temecula administrative costs and all other related costs. Said report shall be made a part of the record of the public hearing provided for below. Section 14. Tuesday, April 13, 2021, at 7:00 p.m. or as soon thereafter as the matter may be heard, in the regular meeting place of this Board of Directors, City Council Chambers, Temecula City Hall, 41000 Main Street, Temecula, California, be, and the same are hereby appointed and fixed as the time and place when and where this Board of Directors, as legislative body for the District, will conduct a public hearing on the establishment of the District and consider and finally determine whether the public interest, convenience and necessity require the formation of the District and the levy of said special tax. Section 15. The Secretary is hereby directed to cause notice of said public hearing to be given by publication one time in a newspaper published in the area of the District. The 3 publication of said notice shall be completed at least seven days before the date herein set for said hearing. Said notice shall be substantially in the form of Exhibit C hereto. Section 16. The Board of Directors may in the future, by resolution, approve an agreement pursuant to Section 53314.9 of the Law, to accept an advance or advances of funds or work -in -kind from one or more landowners in the District or related entities, which advances may be repaid and work -in -kind may be reimbursed to the person or entity which advanced the funds or work -in -kind subject to compliance with the applicable provisions of Section 53314.9 of the Law. Section 17. The Board of Directors hereby finds and determines that no further environmental review is required for the funding of the Facilities and Services. On December 1, 2020, the City Council adopted Resolution No. 2020-078 certifying a Subsequent Environmental Impact Report ("SEIR") in connection with the Second Amendment to the Harveston Specific Plan that allowed for the creation of the residential overlay zone. On January 6, 2021, the Planning Commission adopted Resolution Nos. 2021-01 and 2021-02 finding that the Site Development Plan and the Tentative Map for the Heirloom Farm's 321-unit residential project, PA 18-0661 and 18-0662 ("Heirloom Farms Project"), to be consistent with the SEIR. All of the Facilities and Services that are proposed to be funded by the proposed Bonds were included as conditions of approval for the Heirloom Farm's Project and were considered and approved as in accordance with the California Environmental Quality Act ("CEQA") as part of the approval of the Heirloom Farms Project. The Board of Directors, therefore, hereby finds and determines that the Facilities and Services are exempt from CEQA pursuant to CEQA Guidelines Section 15182 as the Facilities and Services are in conformity with the Heirloom Farms Project. The Board of Directors further finds and determines that the funding of the Facilities and Services does not require the preparation of a subsequent Environmental Impact Report as none of the conditions described in Section 15162 of the CEQA Guidelines (14 Cal. Code Regs. 15162) exist. Specifically, there are no substantial changes proposed by the funding of the Facilities and Services that will require major revisions of the previous SEIR approved by City Council Resolution No. 2020-078 due to the involvement of new significant environmental effects or a substantial increase in the severity of previously identified significant effects and no substantial changes have occurred with respect to the circumstances under which the proposed project are undertaken that will require major revisions of the previous SEIR due to the involvement of new significant environmental effects or a substantial increase in the severity of previously identified significant effects; and there is no new information of substantial importance, which was not known and could not have been known with the exercise of reasonable diligence at the time the previous SEIR was adopted, showing that: (a) the proposed project will have one or more significant effects not discussed in the SEIR; (b) there are significant effects previously examined that will be substantially more severe than shown in the SEIR; (c) there are mitigation measures or alternatives previously found not to be feasible would in fact be feasible and would substantially reduce one or more significant effects of the proposed project, but the City declines to adopt the mitigation measure or alternative; or (d) mitigation measures or alternatives which are considerably different from those analyzed in the SEIR would substantially reduce one or more significant effects on the environment, but the City declines to adopt the mitigation measure or alternative. The Facilities and Services for the Heirloom Farms Project are consistent 4 with the project that was analyzed by the SEIR. The Facilities and Services are required to meet all requirements and mitigation contained in SEIR. Section 18. The Acquisition Agreement to be entered into by Authority, for and on behalf of the District, and Meritage Homes of California, Inc., in the form on file with the Secretary, is hereby approved. The Executive Director is hereby authorized to execute and deliver the Acquisition Agreement in said form, with such additions thereto or changes therein as are deemed necessary, desirable or appropriate by the Executive Director upon consultation with the Authority's General Counsel and Bond Counsel, the approval of such changes to be conclusively evidenced by the execution and delivery by the Executive Director of the Acquisition Agreement. Section 19. This Resolution shall take effect upon its adoption. PASSED, APPROVED, AND ADOPTED by the Board of Directors of the Temecula Public Financing Authority this 23rd day of February, 2021. Maryann Edwards, Chair ATTEST: Randi Johl, Secretary [SEAL] STATE OF CALIFORNIA ) COUNTY OF RIVERSIDE ) ss CITY OF TEMECULA ) I, Randi Johl, Secretary of the Temecula Public Financing Authority, do hereby certify that the foregoing Resolution No. TPFA 2021- was duly and regularly adopted by the Board of Directors of the Temecula Public Financing Authority at a meeting thereof held on the 23rd day of February, 2021, by the following vote: AYES: BOARD MEMBERS: NOES: BOARD MEMBERS: ABSENT: BOARD MEMBERS: Randi Johl, Secretary EXHIBIT A TEMECULA PUBLIC FINANCING AUTHORITY COMMUNITY FACILITIES DISTRICT NO. 20-01 (HEIRLOOM FARMS) DESCRIPTION OF FACILITIES AND SERVICES TO BE FUNDED BY THE DISTRICT It is proposed that the District be eligible to finance all or a portion of the costs of the following facilities: The acquisition and construction of: streets (including paving, aggregate base, striping and traffic marking, sidewalks, curbs, gutters and driveways), including Temecula Center Drive and Ynez Road within and in the vicinity of the District; stormwater drainage systems (including storm drain lines, inlets, outlets, channels, structures, junctions, manholes, catch basins and related dewatering); street light improvements (including light fixtures, substructures, conduits and service points of connection); and street signage (including traffic, stop and street name signs). The foregoing are to include the acquisition of any related right-of-way and other land needed for the installation of any such improvements, demolition of existing structures and site leveling needed for the installation of any such improvements, erosion control, and other appurtenances. • The acquisition and installation of traffic signal improvements, including traffic signal interconnection and video surveillance systems, at the intersection of Ynez Road and Temecula Center Drive. • Landscaping improvements in the public right of way along or in the vicinity of Temecula Center Drive, Date Street and Ynez Road, including related appurtenances. • Capital improvements included in the City of Temecula's adopted Capital Improvement Program for Fiscal Years 2021-2025. • School improvements to be designated by the Temecula Valley Unified School District, which may include construction of buildings, equipping of school facilities, and acquisition of support and other appurtenances with a useful life of five years or more. Sewer system improvements to be designated by the Eastern Municipal Water District. The Facilities include the acquisition of right-of-way, the costs of design, engineering and planning, the costs of any environmental or traffic studies, surveys or other reports, the cost of any required environmental mitigation and any required noise mitigation measures, landscaping and irrigation, soils testing, permits, plan check and inspection fees, insurance, legal and related overhead costs, coordination and supervision and any other costs or appurtenances related to any of the foregoing. A-1 MUNICIPAL SERVICES It is proposed that the District be eligible to fund all or a portion of the costs of the following municipal services: • Public safety services, including police and fire protection. • Maintenance of parks, and landscaping in public areas, public easements and public right of way in or near the area of the District, such maintenance to include but not be limited to maintenance of planting areas, trees, bioretention filters, multipurpose trails, and the furnishing of water for irrigation. • Maintenance of public signage in or near the District. • Maintenance of storm drainage systems within or serving the area of the District, and including storm drain pipes, culverts, detention/desilting basins, manholes, catch basins and drop inlets, cleanout of storm drains and catch basin cleaning and inspection. • Maintenance of sidewalks, streets and roadways within or in the vicinity of the area of the District, and including slurry, overlay, curbs and gutters, curb ramps, striping and street sweeping. • Maintenance of street lighting located within or in the vicinity of the District, and including decorative lighting and pull box assemblies. • Maintenance of traffic signals, and traffic interconnection and video surveillance systems, within and in the vicinity of the District, and including electrical, LED replacement, maintenance and replacement. Graffiti removal from public improvements within and in the area of the District. The District may fund any of the following related to the services described above: the furnishing of services and materials for the ordinary and usual maintenance, operation and servicing of the improvements, including repair, removal or replacement of all or part of any of the improvements, the furnishing of water for the irrigation and the furnishing of electric current or energy, for any lights or irrigation facilities, obtaining, constructing, furnishing, operating and maintaining equipment, apparatus or facilities related to providing the services and/or equipment, apparatus, facilities or fixtures in areas to be maintained, obtaining supplies or appurtenant facilities necessary for such maintenance, paying the salaries and benefits of personnel necessary or convenient to provide the services, payment of insurance costs and other related expenses. The District may also provide for the reimbursement to the City of Temecula to the extent that the City of Temecula advances funds to pay for any of the foregoing services, and may fund reserves for repairs and replacements and for future expected costs of services. It is expected that the services will be provided by the City of Temecula, either with its own employees or by contract with third parties, or any combination thereof. The services to be financed by the District shall be in addition to those provided in the territory of the District before the date of creation of the District, and will not supplant services already available within that territory when the District is created. A-2 OTHER The District may also finance any of the following: 1. Bond related expenses, including underwriters discount, appraisal and price point study costs, reserve fund, capitalized interest, bond and disclosure counsel fees and expenses, landowner counsel fees and expenses, and all other incidental expenses related to any special tax bonds (the "Bonds") issued for the District. 2. Administrative fees of the Authority, the City of Temecula and the Bond trustee or fiscal agent related to the District and the Bonds. 3. Reimbursement of costs related to the formation of the District advanced by the Authority, the City of Temecula, any landowner in the District, or any party related to any of the foregoing, as well as reimbursement of any costs advanced by the Authority, the City of Temecula, any landowner in the District or any party related to any of the foregoing, for facilities, fees or other purposes or costs of the District. A-3 EXHIBIT B RATE AND METHOD OF APPORTIONMENT OF SPECIAL TAX FOR TEMECULA PUBLIC FINANCING AUTHORITY COMMUNITY FACILITIES DISTRICT NO. 20-01 (HEIRLOOM FARMS) The following sets forth the Rate and Method of Apportionment of Special Tax for the levy and collection of an Annual Special Tax A, an Annual Special Tax B, and an Annual Special Tax C in the Temecula Public Financing Authority ("PFA") Community Facilities District No. 20-01 ("CFD No. 20-01"). An Annual Special Tax A, an Annual Special Tax B, and an Annual Special Tax C shall be levied on and collected in CFD No. 20-01 each Fiscal Year, in an amount determined through the application of the Rate and Method of Apportionment of Special Tax described below. All of the real property within CFD No. 20-01, unless exempted by law or by the provisions hereof, shall be taxed for the purposes, to the extent, and in the manner herein provided. SECTION A DEFINITIONS The terms hereinafter set forth have the following meanings: "Acre" or "Acreage" means the land area of an Assessor's Parcel as shown on an Assessor's Parcel Map, or if the land area is not shown on the Assessor's Parcel Map, the land area as shown on the applicable Final Map, or if the land area is not shown on the applicable Final Map, the land area as calculated by or on behalf of the CFD Administrator. "Act" means the Mello -Roos Community Facilities Act of 1982 as amended, being Chapter 2.5, Division 2 of Title 5 of the Government Code of the State of California. "Administrative Expenses" means the actual or reasonably estimated costs directly related to the administration of CFD No. 20-01, including but not limited to the following: (i) the costs of computing Special Tax A, Special Tax B, and/or Special Tax C (the "Special Taxes") and of preparing the annual Special Tax A, Special Tax B, and Special Tax C collection schedules (whether by the CFD Administrator or designee thereof, or both); (ii) the costs of collecting the Special Taxes (whether by the Authority, County, City, or otherwise); (iii) the costs of remitting the Special Taxes to the fiscal agent or trustee for any Bonds; (iv) the costs of commencing and pursuing to completion any foreclosure action arising from delinquent Special Taxes; (v) the costs of the fiscal agent or trustee (including its legal counsel) in the discharge of the duties required of it under any Indenture; (vi) the costs of the Authority, City, or designee of either in complying with arbitrage rebate, mandated reporting and disclosure requirements of applicable federal and State of California laws, and responding to property owner or Bond owner inquiries regarding the Special Taxes or Bonds; (vii) the costs associated with the release of funds from any escrow account established under an Indenture; (viii) the costs of the Authority, City, or designee of either thereof related to any appeal of a Special Tax; (ix) an allocable share of the salaries of the City staff and City overhead expense directly relating to the foregoing and (x) any other expense eligible under the Act. Administrative Expenses shall also include amounts advanced by the City or the Authority for any administrative purposes of CFD No. 20-01. B-1 "Annual Special Tax A" means for each Assessor's Parcel, the Special Tax A actually levied in a given Fiscal Year on such Assessor's Parcel. "Annual Special Tax B" means for each Assessor's Parcel, the Special Tax B actually levied in a given Fiscal Year on such Assessor's Parcel. "Annual Special Tax C" means for each Assessor's Parcel, the Special Tax C actually levied in a given Fiscal Year on such Assessor's Parcel. "Approved Property" means all Assessor's Parcels of Taxable Property other than Provisional Exempt Property: (i) that are included in a Final Map that was recorded prior to the January 1st immediately preceding the Fiscal Year in which the Special Tax A is being levied, and (ii) that have not been issued a Building Permit on or before the April 1st immediately preceding the Fiscal Year in which the Special Tax A is being levied. "Assessor" means the Assessor of the County. "Assessor's Parcel" or "Parcel" means a lot or parcel of land designated on an Assessor's Parcel Map with an assigned Assessor's Parcel Number within the boundaries of CFD No. 20-01. "Assessor's Parcel Map" means an official map of the Assessor designating parcels by Assessor's Parcel Number. "Assessor's Parcel Number" means that number assigned to a lot or parcel of land by the Assessor for purposes of identification. "Assigned Annual Special Tax A" means the Special Tax A as described in Section D below. "Authorized Facilities" means the public facilities authorized to be financed, in whole or in part, by the CFD, as identified in the list of authorized facilities approved by the Resolution of Formation of the CFD adopted by the Board of Directors when the CFD was formed. "Authorized Services" means the services authorized to be funded, in whole or in part, by the CFD, as identified in the list of authorized services approved by the Resolution of Formation of the CFD adopted by the Board of Directors when the CFD was formed. "Backup Annual Special Tax A" means the Special Tax A as described in Section E below. "Board of Directors" means the Board of Directors of the Temecula Public Financing Authority, acting as the legislative body of CFD No. 20-01, or its designee. "Bonds" means any bonds or other indebtedness (as defined in the Act), whether in one or more series, the repayment of which is secured by proceeds of the levy of Special Tax A on Assessor's Parcels within CFD No. 20-01. "Boundary Map" means a recorded map of the CFD No. 20-01 which indicates the boundaries of CFD No. 20-01. B-2 "Building Permit" means the first legal document issued by the City giving official permission for new construction of improvements on an Assessor's Parcel in CFD No. 20-01. For purposes of this definition, "Building Permit" may or may not include any subsequent building permits issued or changed after the first issuance, as determined by the CFD Administrator. "Building Square Footage" or "BSF" means the square footage of assessable internal living space, exclusive of garages or other structures not used as living space, as determined by the CFD Administrator by reference to the building permit application for such Assessor's Parcel. "Calendar Year" means the period commencing January 1 of any year and ending the following December 31. "CFD No. 20-01" or "CFD" means the Temecula Public Financing Authority Community Facilities District No. 20-01(Heirloom Farms) established by the Authority under the Act. "CFD Administrator" or "Administrator" means the Finance Director of the City, or designee thereof, responsible for, among other things, determining the Special Tax A Requirement for Special Tax A, the Special Tax B Requirement for Special Tax B, and the Special Tax C Requirement for Special Tax C and providing for the levy and collection of said Special Tax A, Special Tax B, and Special Tax C. "City" means the City of Temecula, California. "Consumer Price Index" or "CPI" means, for each Fiscal Year, the Consumer Price Index published by the U.S. Bureau of Labor Statistics for "All Items for All Urban Consumers: in the Riverside - San Bernardino -Ontario area", measured as of the month of December in the calendar year which ends in the previous Fiscal Year. In the event this index ceases to be published, the Consumer Price Index shall be another index as determined by the CFD Administrator that is reasonably comparable to the Consumer Price Index for the Riverside -San Bernardino -Ontario area. "County" means the County of Riverside, California. "Developed Property" means all Assessor's Parcels of Taxable Property: (i) that are included in a Final Map that was recorded prior to January 1st preceding the Fiscal Year in which Special Tax A, Special Tax B or Special Tax C are being levied, and (ii) for which a building permit was issued on or before April 1st preceding the Fiscal Year in which any or all of the Special Taxes are being levied. "Exempt Property" means all Assessor's Parcels designated as being exempt from the Special Taxes as provided for in Section P. "Exempt Welfare Exemption Property" means, for each Fiscal Year, an Assessor's Parcel that is (a) receiving a welfare exemption under subdivision (g) of Section 214 of the California Revenue and Taxation Code (or any successor statute), as indicated in the County's assessor's roll finalized as of January 1 of the previous Fiscal Year, and (b) exempt from the Special Tax pursuant to Section 53340(c) of the Act. Pursuant to Section 53340(c) of the Act, after the issuance of the first series of Bonds, any Assessor's Parcels that receive welfare exemption under subdivision (g) of Section 214 of the California Revenue and Taxation Code (or any successor statute) shall not be classified as Exempt Welfare Exemption Property and will be subject to the Special Tax. B-3 "Final Map" means a subdivision of property by recordation of a final map, parcel map, or lot line adjustment, pursuant to the Subdivision Map Act (California Government Code Section 66410 et seq.) or recordation of a condominium plan pursuant to California Civil Code 4285 that creates individual lots that do not need, and are not expected, to be further subdivided prior to the issuance of a Building Permit. "Fiscal Year" means the period commencing July 1 of any year and ending the following June 30. "Indenture" means the bond indenture, fiscal agent agreement, trust agreement, resolution, or other instrument pursuant to which Bonds are issued, as modified, amended and/or supplemented from time to time, and any instrument replacing or supplementing the same. "Land Use Type" means Residential Property, Multifamily Residential Property, or Non - Residential Property. "Maximum Special Tax A" means for each Assessor's Parcel of Taxable Property, the maximum Special Tax A, determined in accordance with Section C that can be levied on each such Assessor's Parcel. "Maximum Special Tax B" means for each Assessor's Parcel of Taxable Property, the maximum Special Tax B, determined in accordance with Section I that can be levied on each such Assessor's Parcel. "Maximum Special Tax C" means for each Assessor's Parcel of Taxable Property, the maximum Special Tax C, determined in accordance with Section L that can be levied on each such Assessor's Parcel. "Multifamily Residential Property" means all Assessor's Parcels of Developed Property for which a building permit has been issued for the purpose of constructing a building or buildings comprised of attached Units available for rental by the general public, not for sale to an end user, and which attached units are under common ownership, as determined by the CFD Administrator. "Non -Residential Property" means all Assessor's Parcels of Developed Property for which a building permit was issued for any type of use other than Residential Property and Multifamily Residential Property. "Partial Prepayment Amount" means the amount required to prepay a portion of the Special Tax A obligation for an Assessor's Parcel, as described in Section H. "Prepayment Amount" means the amount required to prepay the Special Tax A obligation in full for an Assessor's Parcel, as described in Section G. "Proportionately" means for Special Tax A that the ratio of the Annual Special Tax A to the applicable Assigned Annual Special Tax A is equal for all applicable Assessor's Parcels. In the case of Special Tax B and Special Tax C, "Proportionately" means that the ratio of the Annual Special Tax B to the applicable Maximum Special Tax B and the Annual Special Tax C to the applicable Maximum Special Tax C is equal for all applicable Assessor's Parcels. In the case of Developed Property subject to the apportionment of the Annual Special Tax A under Step Four of Section F, "Proportionately" means that the quotient of (a) Annual Special Tax A less the Assigned Annual Special Tax A divided by (b) the Backup Annual Special Tax A less the Assigned Annual Special Tax A, is equal for all applicable Assessor's Parcels. B-4 "Provisional Exempt Property" means all Assessor's Parcels of Taxable Property subject to Special Tax A that would otherwise be classified as Exempt Property pursuant to the provisions of Section P, but cannot be classified as Exempt Property because to do so would reduce the Acreage of all Taxable Property within the applicable Zone below the required minimum Acreage set forth in Section P. "Residential Property" means all Assessor's Parcels of Developed Property for which a building permit has been issued for purposes of constructing one or more residential dwelling units, and which are not otherwise Multifamily Residential Property. "RMA" means this Rate and Method of Apportionment of Special Tax. "Special Tax(es)" means any of the Special Taxes authorized to be levied on Taxable Property within and for CFD No. 20-01 pursuant to the Act to fund the Special Tax A Requirement, Special Tax B Requirement, and/or the Special Tax C Requirement. "Special Tax A" means any of the Special Taxes authorized to be levied on Taxable Property within and by CFD No. 20-01 pursuant to the Act to fund the Special Tax A Requirement. "Special Tax B" means any of the Special Taxes authorized to be levied on Taxable Property within and by CFD No. 20-01 pursuant to the Act to fund the Special Tax B Requirement. "Special Tax C" means any of the Special Taxes authorized to be levied on Taxable Property within and by CFD No. 20-01 pursuant to the Act to fund the Special Tax C Requirement. "Special Tax A Requirement" means, subject to the Maximum Special Tax A, the amount required in any Fiscal Year to pay: (i) the debt service or the periodic costs on all outstanding Bonds due in the Calendar Year that commences in such Fiscal Year, (ii) Administrative Expenses for such Fiscal Year (apportioned between Special Tax A and Special Tax B), (iii) any amount required to establish or replenish any reserve funds established in association with the Bonds, and (iv) the collection or accumulation of funds for the acquisition or construction of facilities authorized to be funded by CFD No. 20-01, and paid for by the levy on Developed Property of the Assigned Annual Special Tax A provided that the inclusion of such amount does not cause an increase in the levy of Special Tax A on Approved Property or Undeveloped Property as set forth in Step Two and Three of Section F, less (v) any amount available to pay debt service or other periodic costs on the Bonds pursuant to any applicable fiscal agent agreement, or trust agreement. "Special Tax B Requirement" means, subject to the Maximum Special Tax B, that amount to be collected in any Fiscal Year to pay for certain Authorized Services as required to meet the needs of CFD No. 20-01. The costs of services to be covered shall be the direct costs for (i) Authorized Services, and (ii) Administrative Expenses (apportioned between Special tax A and Special Tax B); less (iii) a credit for funds available to reduce the Annual Special Tax B levy, if any, as determined by the CFD Administrator. Under no circumstances shall the Special Tax B Requirement include amounts needed to repay Bonds. "Special Tax C Requirement" means, subject to the Maximum Special Tax C, that amount to be collected in any Fiscal Year to pay for certain Authorized Services as required to meet the needs of CFD No. 20-01. The costs of services to be covered shall be the direct costs for (i) Authorized Services, and (ii) Administrative Expenses; less (iii) a credit for funds available to reduce the Annual Special Tax C levy, if any, as determined by the CFD Administrator. Under no circumstances shall the Special Tax C Requirement include amounts needed to repay Bonds. B-5 "Special Tax Category" means any of the individual categories of BSF set forth in Tables 1 through 3 in Section D below. "Taxable Property" means (i) with respect to Special Tax A, all Assessor's Parcels within CFD No. 20-01, which are not Exempt Property or for which the Special Tax A obligation has not been prepaid in full, and (ii) with respect to Special Tax B and Special Tax C, all Assessor's Parcels within CFD No. 20-01, which are not Exempt Property. "Temecula Public Financing Authority" or "PFA" or "Authority" means the Temecula Public Financing Authority, or its designee. "Transition Event" shall be deemed to have occurred when the Administrator determines that the following events have occurred: (i) all Bonds secured by the levy and collection of Special Tax A in the CFD have been fully repaid, or there are sufficient revenues available to fully repay the Bonds in funds and accounts that, pursuant to the Indenture, will require such revenues to be applied to repay the Bonds; (ii) all Administrative Expenses from prior Fiscal Years have been paid or reimbursed; and (iii) there are no other Authorized Facilities that the Authority or the CFD intends to fund with Bonds and Special Tax A. "Transition Year" means the earlier of: (i) the first Fiscal Year in which the Administrator determines that the Transition Event occurred in the prior Fiscal Year, or (ii) Fiscal Year 2062-63. "Undeveloped Property" means all Assessor's Parcels of Taxable Property which are not Developed Property, Approved Property, or Provisional Exempt Property. "Unit" means any residential dwelling unit excluding dwelling units within Multifamily Residential Property. RMA. "Zone(s)" means Zone 1, Zone 2, or Zone 3 as geographically identified on Attachment A of the "Zone 1" means the specific area identified on Attachment A as Zone 1 of CFD 20-01. "Zone 2" means the specific area identified on Attachment A as Zone 2 of CFD 20-01. "Zone 3" means the specific area identified on Attachment A as Zone 3 of CFD 20-01. SECTION B CLASSIFICATION OF ASSESSOR'S PARCELS Each Fiscal Year, beginning with Fiscal Year 2021-22, each Assessor's Parcel within CFD No. 20- 01 shall be classified as Taxable Property or Exempt Property. In addition, each Assessor's Parcel of Taxable Property shall be further classified as Developed Property, Approved Property, Undeveloped Property, or Provisional Exempt Property. In addition, each Assessor's Parcel of Developed Property, Approved Property, Undeveloped Property and Provisional Exempt Property shall be classified as being within Zone 1, Zone 2, or Zone 3. If an Assessor's Parcel of Developed Property, Approved Property, Undeveloped Property or Provisional Exempt Property is located within more than one Zone, it shall be deemed to be entirely within the Zone in which the largest portion of its Acreage is located. In addition, each Assessor's Parcel of Developed Property shall further be classified as Residential Property, B-6 Multifamily Residential Property or Non -Residential Property. Assessor's Parcels of Residential Property shall be further categorized based on the Building Square Footage of each such Assessor's Parcel. B-7 SECTION C MAXIMUM SPECIAL TAX A 1. Developed Property The Maximum Special Tax A for each Assessor's Parcel of Residential Property, Multifamily Residential Property or Non -Residential Property in any Fiscal Year shall be the greater of (i) the Assigned Annual Special Tax A or (ii) the Backup Annual Special Tax A. 2. Approved Property, Undeveloped Property, and Provisional Exempt Property The Maximum Special Tax A for each Assessor's Parcel classified as Approved Property, Undeveloped Property, or Provisional Exempt Property in any Fiscal Year shall be the Assigned Annual Special Tax A. 3. Increase in the Maximum Special Tax A On each July 1, commencing July 1, 2022, the Maximum Special Tax A shall be increased by an amount equal to one percent (1.0%) of the amount in effect for the previous Fiscal Year. 4. Maximum Special Tax A at Transition Year For the Transition Year and each Fiscal Year thereafter, the Maximum Special Tax A for any Assessor's Parcel of Taxable Property shall be $0.00. SECTION D ASSIGNED ANNUAL SPECIAL TAX A 1. Developed Property Each Fiscal Year prior to the Transition Year, each Assessor's Parcel of Residential Property, Multifamily Residential Property or Non -Residential Property shall be subject to an Assigned Annual Special Tax A. The Assigned Annual Special Tax A applicable to an Assessor's Parcel of Developed Property shall be determined using the tables below. TABLE 1 ASSIGNED ANNUAL SPECIAL TAX A RATES FOR DEVELOPED PROPERTY WITHIN ZONE 1 FISCAL YEAR 2021-22 Building Square Assigned Land Use Type Footage Special Tax A Residential Property Less than 1,801 $2,915 per Unit Residential Property 1,801— 2,000 $3,020 per Unit Residential Property Greater than $3,125 per 2,000 Unit Multifamily Residential N/A $49,422 per Property Acre Non -Residential Property N/A $49,422 per Acre TABLE 2 ASSIGNED ANNUAL SPECIAL TAX A RATES FOR DEVELOPED PROPERTY WITHIN ZONE 2 FISCAL YEAR 2021-22 Building Square Assigned Land Use Type Footage Special Tax A Residential Property Less than 1,551 $2,110 per Unit Residential Property 1,551— 1,750 $2,310 per Unit Residential Property Greater than $2,410 per 1,750 Unit Multifamily Residential N/A $71,940 per Property Acre Non -Residential Property N/A $71,940 per Acre TABLE 3 ASSIGNED ANNUAL SPECIAL TAX A RATES FOR DEVELOPED PROPERTY WITHIN ZONE 3 FISCAL YEAR 2021-22 Building Square Assigned Land Use Type Footage Special Tax A Residential Property Less than 1,601 $2,275 per Unit Residential Property 1,601 or Greater $2,400 per Unit Multifamily Residential N/A $60,689 per Property Acre Non -Residential Property N/A $60,689 per Acre 2. Approved Property, Undeveloped Property and Provisional Exempt Property Each Fiscal Year, prior to the Transition Year, each Assessor's Parcel of Approved Property, Undeveloped Property, and Provisional Exempt Property shall be subject to an Assigned Annual Special Tax A. In the Transition Year and each Fiscal Year thereafter, no Special Tax A shall be levied on Approved Property, Undeveloped Property, or Provisional Exempt Property. Notwithstanding the forgoing, if there are delinquent Special Tax A taxes on a Parcel, such delinquent Special Tax A taxes will continue to constitute a lien against the Parcel until they are collected. The Assigned Annual Special Tax A rate for an Assessor's Parcel classified as Approved Property, Undeveloped Property, or Provisional Exempt Property shall be determined pursuant to Table 4 below: TABLE 4 ASSIGNED ANNUAL SPECIAL TAX RATES FOR APPROVED PROPERTY, UNDEVELOPED PROPERTY, AND PROVISIONAL EXEMPT PROPERTY FISCAL YEAR 2021-22 Zone Assigned Special Tax A Zone 1 $49,422 per Acre Zone 2 $71,940 per Acre Zone 3 $60,689 per Acre B-10 3. Increase in the Assigned Annual Special Tax A On each July 1, commencing July 1, 2022, the Assigned Annual Special Tax A for any Assessor's Parcel of Taxable Property shall be increased by an amount equal to one percent (1.0%) of the amount in effect for the previous Fiscal Year. 4. Assigned Annual Special Tax A at Transition Year For the Transition Year and each Fiscal Year thereafter, the Assigned Annual Special Tax A for all Taxable Property shall be $0.00. SECTION E BACKUP ANNUAL SPECIAL TAX A At the time a Final Map is recorded, the CFD Administrator shall determine the Backup Annual Special Tax A for all Assessor's Parcels with a Zone classified or reasonably expected to be classified as Residential Property within such Final Map by multiplying the Maximum Special Tax A rate for Undeveloped Property for the applicable Zone by the total Acreage of Taxable Property within the applicable Zone, excluding the Provisional Exempt Property Acreage, Non -Residential Property Acreage, Multifamily Residential Property Acreage and any Acreage reasonably expected to be classified as Exempt Property, and dividing such amount by the total number of such Assessor's Parcels within the applicable Zone which are classified or reasonable expected to be classified as Residential Property. The Backup Annual Special Tax A rate for Multifamily Residential Property or Non -Residential Property shall be its Assigned Annual Special Tax A rate. On each July 1, commencing July 1, 2022, the Backup Annual Special Tax A shall be increased by an amount equal to one percent (1.0%) of the amount in effect for the previous Fiscal Year. Notwithstanding the foregoing, if Assessor's Parcels which are classified or to be classified as Residential Property, Non -Residential Property or Multifamily Property are subsequently changed by recordation of a lot line adjustment, Final Map amendment, new Final Map or similar instrument, then the Backup Annual Special Tax A shall be recalculated within the area that has been changed to equal the amount of Backup Annual Special Tax A that would have been generated if such change did not take place. SECTION F METHOD OF APPORTIONMENT OF THE ANNUAL SPECIAL TAX A Commencing Fiscal Year 2021-22 and for each subsequent Fiscal Year, the Board of Directors shall levy the Annual Special Tax A in accordance with the following steps: Step One: The Annual Special Tax A shall be levied Proportionately on each Assessor's Parcel of Developed Property at up to 100% of the applicable Assigned Annual Special Tax A rates in Tables 1, 2, and 3 to satisfy the Special Tax A Requirement. B-11 Step Two: If additional moneys are needed to satisfy the Special Tax A Requirement after the first step has been completed, the Annual Special Tax A shall be levied Proportionately on each Assessor's Parcel of Approved Property at up to 100% of the applicable Maximum Annual Special Tax A to satisfy the Special Tax A Requirement. Step Three: If additional moneys are needed to satisfy the Special Tax A Requirement after the first two steps have been completed, the Annual Special Tax A shall be levied Proportionately on each Assessor's Parcel of Undeveloped Property up to 100% of the Maximum Annual Special Tax A for Undeveloped Property applicable to each such Assessor's Parcel as needed to satisfy the Special Tax A Requirement. Step Four: If additional moneys are needed to satisfy the Special Tax A Requirement after the first three steps have been completed, the Annual Special Tax A on each Assessor's Parcel of Developed Property for which the Maximum Special Tax A is the Backup Annual Special Tax A shall be increased Proportionately from the Assigned Annual Special Tax A up to 100% of the Backup Annual Special Tax A as needed to satisfy the Special Tax A Requirement. Step Five: If additional moneys are needed to satisfy the Special Tax A Requirement after the first four steps have been completed, the Annual Special Tax A shall be levied Proportionately on each Assessor's Parcel of Provisional Exempt Property up to 100% of the Maximum Annual Special Tax A applicable to each such Assessor's Parcel as needed to satisfy the Special Tax A Requirement. Notwithstanding the foregoing, pursuant to Section 53321 (d) of the Act, the Special Tax A levied against an Assessor's Parcel used for private residential purposes shall under no circumstances increase more than ten (10%) as a consequence of delinquency of default by the owner of any other Assessor's Parcel or Assessor's Parcels and shall, in no event, exceed the Maximum Special Tax A in effect for the Fiscal Year in which the Special Tax A is being levied. SECTION G PREPAYMENT OF SPECIAL TAX A The following definitions apply to this Section G: "Business Day" means days Temecula City Hall is open for business. "CFD Public Facilities Amount" means $12,200,000 expressed in 2021 dollars, which shall increase by the Construction Inflation Index on July 1, 2022, and on each July 1 thereafter, or such lower number as (i) shall be determined by the CFD Administrator as sufficient to provide the Authorized Facilities under the authorized bonding program, or (ii) shall be determined by the Board of Directors concurrently with a covenant that the CFD will not issue any more Bonds. "Construction Inflation Index" means the annual percentage change in the Engineering News - Record Building Cost Index for the City of Los Angeles, measured as of the calendar year which ends in the previous Fiscal Year. In the event this index ceases to be published, the Construction Inflation Index shall be another index as determined by the CFD Administrator that is reasonably comparable to the Engineering News -Record Building Cost Index for the City of Los Angeles. B-12 "Future Facilities Costs" means the CFD Public Facilities Amount minus (i) Bond proceeds deposited in an Improvement Fund and (ii) other amounts (proceeds of the levy of Special Tax A, interest earnings, etc.) held in an Improvement Fund that were available to fund such CFD Public Facilities Amount prior to the date of prepayment. "Improvement Fund" means any fund or account established under an Indenture to hold funds which were or continue to be available for expenditure to pay costs of Authorized Facilities and any fund or account established prior to the issuance of Bonds for such purpose. "Outstanding Bonds" means the principal amount of all previously issued Bonds which will remain outstanding after the payment from the amount of any Special Tax A that has therefore been levied, excluding Bonds to be redeemed at a later date with the proceeds of prior prepayments of Special Tax A. Prepayment in Full The Special Tax A obligation may be prepaid and permanently satisfied for (i) Assessor's Parcels of Developed Property, (ii) Assessor's Parcels of Approved Property or Undeveloped Property for which a Building Permit has been issued, (iii) Approved or Undeveloped Property for which a Building Permit has not been issued, and (iv) Assessor's Parcels of Provisional Exempt Property that are not Exempt Property pursuant to Section P. The Special Tax A obligation applicable to an Assessor's Parcel may be fully prepaid and the obligation to pay the Special Tax A for such Assessor's Parcel permanently satisfied as described herein; provided that a prepayment may be made only if there is no delinquent Special Tax A previously levied on the Assessor's Parcel at the time of prepayment. An owner of an Assessor's Parcel intending to prepay the Special Tax A obligation for such Assessor's Parcel shall provide the CFD Administrator with written notice of intent to prepay, and within 5 Business Days of receipt of such notice, the CFD Administrator shall notify such owner of the amount of the non-refundable deposit determined by the CFD Administrator to cover the cost to be incurred for the CFD in calculating the Prepayment Amount (as defined below) for the Assessor's Parcel. Within 15 Business Days of receipt of such non-refundable deposit, the CFD Administrator shall notify such owner of the Prepayment Amount for the Assessor's Parcel. Prepayment must be made not less than 60 days prior to the redemption date for any Outstanding Bonds to be redeemed with the proceeds of such prepaid Special Taxes. The Prepayment Amount (defined below) shall be calculated as follows (capitalized terms are defined below): Bond Redemption Amount plus Redemption Premium plus Future Facilities Amount plus Defeasance Amount plus Administrative Fees and Expenses less Reserve Fund Credit Equals: Prepayment Amount The Prepayment Amount shall be determined as of the proposed prepayment date as follows: 1. Confirm that no Special Tax A delinquencies apply to such Assessor's Parcel. B-13 2. For Developed Property, compute the Maximum Special Tax A for the Assessor's Parcel. For Approved Property or Undeveloped Property for which a Building Permit has been issued, compute the Maximum Special Tax A for the Assessor's Parcel as though it was already designated as Developed Property, based upon the Building Permit which has been issued for the Assessor's Parcel. For Approved Property or Undeveloped Property for which a Building Permit has not been issued or Provisional Exempt Property, compute the Maximum Special Tax A for the Assessor's Parcel. 3. Divide the Maximum Special Tax A derived pursuant to paragraph 2 by the total amount of Special Tax A that could be levied on all Taxable Property based on the applicable Maximum Special Tax A, including for Approved Property or Undeveloped Property for which a Building Permit has been issued, the Maximum Special Tax A for the Assessor's Parcel as though it was already designated as Developed Property. The calculation of the total amount of Special Tax A shall exclude Assessor's Parcels for which the Special Tax A obligation has been previously prepaid in full or the portion thereof that has been previously prepaid in part. 4. Multiply the quotient derived pursuant to paragraph 3 by the principal amount of the Outstanding Bonds to determine the amount of Outstanding Bonds to be redeemed with the Prepayment Amount (the "Bond Redemption Amount"). 5. Multiply the Bond Redemption Amount by the applicable redemption premium, if any, on the Outstanding Bonds to be redeemed (the "Redemption Premium"). 6. Determine the Future Facilities Costs. 7. Multiply the quotient derived pursuant to paragraph 3 by the amount determined pursuant to paragraph 6 to determine the amount of Future Facilities Costs for the Assessor's Parcel (the "Future Facilities Amount"). 8. Determine the amount needed to pay interest on the Bond Redemption Amount from the first bond interest and/or principal payment date following the current Fiscal Year until the earliest redemption date for the Outstanding Bonds on which Bonds can be redeemed from Special Tax prepayments. 9. Determine the Special Tax A levied on the Assessor's Parcel in the current Fiscal Year which have not yet been paid. 10. Determine the amount the CFD Administrator reasonably expects to derive from the investment of the Bond Redemption Amount and the Redemption Premium from the date of prepayment until the redemption date for the Outstanding Bonds to be redeemed with the Prepayment Amount. 11. Add the amounts derived pursuant to paragraphs 8 and 9 and subtract the amount derived pursuant to paragraph 10 (the "Defeasance Amount"). B-14 12. Verify the administrative fees and expenses of the CFD, including the cost of computation of the Prepayment Amount not funded from the deposit, the cost to invest the Prepayment Amount, the cost of redeeming the Outstanding Bonds, and the cost of recording notices to evidence the prepayment of the Special Tax A obligation for the Assessor's Parcel and the redemption of Outstanding Bonds (the "Administrative Fees and Expenses"). 13. The reserve fund credit (the "Reserve Fund Credit") shall equal the lesser of: (a) the expected reduction in the reserve requirement (as defined in the Indenture), if any, associated with the redemption of Outstanding Bonds as a result of the prepayment, or (b) the amount derived by subtracting the new reserve requirement (as defined in the Indenture) in effect after the redemption of Outstanding Bonds as a result of the prepayment from the balance in the reserve fund on the prepayment date, but in no event shall such amount be less than zero. 14. The Prepayment Amount is equal to the sum of the Bond Redemption Amount, the Redemption Premium, the Future Facilities Amount, the Defeasance Amount and the Administrative Fees and Expenses, less the Reserve Fund Credit. 15. From the Prepayment Amount, the Bond Redemption Amount, the Redemption Premium, and Defeasance Amount shall be deposited into the appropriate fund as established under the Indenture and be used to redeem Outstanding Bonds or make debt service payments. The Future Facilities Amount shall be deposited into the Improvement Fund. The Administrative Fees and Expenses shall be retained by the CFD to be used for payment thereof. The Prepayment Amount may be sufficient to redeem other than a $5,000 increment of Bonds. In such event, the increment above $5,000 or an integral multiple thereof will be retained in the appropriate fund established under the Indenture to be used with the next redemption from other Special Tax A prepayments of Outstanding Bonds or to make debt service payments. As a result of the payment of the current Fiscal Year's Special Tax A levy as determined pursuant to paragraph 9 above, if applicable, the CFD Administrator shall remove the current Fiscal Year's Special Tax A levy for the Assessor's Parcel from the County tax roll. With respect to any Assessor's Parcel for which the Special Tax A obligation is prepaid, the Board shall cause a suitable notice to be recorded in compliance with the Act, to indicate the prepayment of Special Tax A obligation and the release of the lien securing the payment of Special Tax A for the Assessor's Parcel, and the obligation to pay the Special Tax A for such Assessor's Parcel shall cease. Notwithstanding the foregoing, no Special Tax A prepayment shall be allowed unless the amount of Maximum Special Tax A that may be levied on all Assessor's Parcels of Taxable Property, excluding all Provisional Exempt Property and all Assessor's Parcels with delinquent Special Taxes, after the proposed prepayment will be at least 1.1 times maximum annual debt service on the Bonds that will remain outstanding after the prepayment plus the estimated annual Administrative Expenses, all as determined by the CFD Administrator. B-15 Tenders of Bonds in prepayment of the Maximum Special Tax A obligation may be accepted upon the terms and conditions established by the Board pursuant to the Act. However, the use of Bond tenders shall only be allowed on a case -by -case basis as specifically approved by the Board. SECTION H PARTIAL PREPAYMENT OF SPECIAL TAX A The Special Tax A obligation for an Assessor's Parcel of Developed Property, Approved Property or Undeveloped Property may be partially prepaid. For purposes of determining the partial prepayment amount, the provisions of Section G shall be modified as provided by the following formula: PP = ((PE —A) x F) +A These terms have the following meaning: PP = Partial Prepayment PE = the Prepayment Amount calculated according to Section G F = the percent by which the owner of the Assessor's Parcel(s) is partially prepaying the Maximum Special Tax A obligation A = the Administrative Fees and Expenses determined pursuant to Section G The owner of an Assessor's Parcel who desires to partially prepay the Special Tax A obligation for the Assessor's Parcel shall notify the CFD Administrator of (i) such owner's intent to partially prepay the Maximum Special Tax A obligation, and (ii) the percentage of the Maximum Special Tax A obligation such owner wishes to prepay. Within 5 Business Days of receipt of such notice, the CFD Administrator shall notify such property owner of the amount of the non-refundable deposit determined to cover the cost to be incurred by the CFD in calculating the amount of a partial prepayment. Within 15 Business Days of receipt of such non-refundable deposit, the CFD Administrator shall notify such owner of the amount of the Partial Prepayment for the Assessor's Parcel. A Partial Prepayment must be made not less than 60 days prior to the redemption date for any Outstanding Bonds to be redeemed with the proceeds of the Partial Prepayment. With respect to any Assessor's Parcel for which the Maximum Special Tax A obligation is partially prepaid, the CFD Administrator shall (i) distribute the Partial Prepayment as provided in Paragraph 15 of Section G and (ii) indicate in the records of the CFD that there has been a Partial Prepayment for the Assessor's Parcel and that a portion of the Special Tax A obligation equal to the remaining percentage (1.00 - F) of Special Tax A obligation will continue to be levied on the Assessor's Parcel pursuant to Section F. SECTION I MAXIMUM SPECIAL TAX B 1. Developed Property Maximum Special Tax B Each Fiscal Year, each Assessor's Parcel of Residential Property, Multifamily Residential Property, or Non -Residential Property shall be subject to a Maximum Annual Special Tax B. B-16 The Maximum Annual Special Tax B applicable to an Assessor's Parcel of Developed Property shall be determined using the Table below. B-17 TABLE 5 MAXIMUM SPECIAL TAX B RATES FOR DEVELOPED PROPERTY FISCAL YEAR 2021-22 Land Use Type Maximum Special Tax B Residential Property $459 per Unit Multifamily Residential Property $10,644 per Acre Non -Residential Property $10,644 per Acre 2. Approved Property, Undeveloped Property and Provisional Exempt Property No Special Tax B shall be levied on Approved Property, Undeveloped Property, and Provisional Exempt Property. 3. Increase in the Maximum Special Tax B On each July 1, commencing July 1, 2022, the Maximum Special Tax B shall be increased by an amount equal to five and six -tenths percent (5.6%) of the amount in effect for the previous Fiscal Year. 4. Maximum Special Tax B at Transition Year For the Transition Year and each Fiscal Year thereafter, the Maximum Special Tax B for any Assessor's Parcel of Developed Property shall be $0.00. SECTION J METHOD OF APPORTIONMENT OF THE SPECIAL TAX B Commencing with Fiscal Year 2021-22 and for each following Fiscal Year, the Authority shall levy the Special Tax B at up to 100% of the applicable Maximum Special Tax B, Proportionately on each Assessor's Parcel of Developed Property until the amount of Special Tax B equals the Special Tax B Requirement. Notwithstanding the foregoing, pursuant to Section 53321 (d) of the Act, the Special Tax B levied against an Assessor's Parcel used for private residential purposes shall under no circumstances increase more than ten (10%) as a consequence of delinquency of default by the owner of any other Assessor's Parcel or Assessor's Parcels and shall, in no event, exceed the Maximum Special Tax B in effect for the Fiscal Year in which the Special Tax B is being levied. SECTION K PREPAYMENT OF SPECIAL TAX B No prepayments of Special Tax B are permitted. B-18 SECTION L MAXIMUM SPECIAL TAX C 1. Developed Property Maximum Special Tax C For the Transition Year and each Fiscal Year thereafter, each Assessor's Parcel of Residential Property, Multifamily Residential Property, or Non -Residential Property shall be subject to a Maximum Special Tax C. The Maximum Special Tax C applicable to an Assessor's Parcel of Developed Property shall be determined using the table below. TABLE 6 MAXIMUM SPECIAL TAX C RATES FOR DEVELOPED PROPERTY FISCAL YEAR 2021-22 Land Use Type Maximum Special Tax C Residential Property $975 per Unit Multifamily Residential Property $22,609 per Acre Non -Residential Property $22,609 per Acre 2. Approved Property, Undeveloped Property and Provisional Exempt Property No Special Tax C shall be levied on Approved Property, Undeveloped Property, and Provisional Exempt Property. 3. Increase in the Maximum Special Tax C On each July 1, commencing July 1, 2022, the Maximum Special Tax C shall be increased by an amount equal to five and six -tenths percent (5.6%) of the amount in effect for the previous Fiscal Year. For each Fiscal Year following the Transition Year, the Maximum Special Tax C shall increase on each subsequent July 1, by an amount equal to the greater of three percent (3.0%) or the positive percentage change in CPI, over the amount in effect for the previous Fiscal Year, all as determined by the CFD Administrator without additional action by the Board of Directors. B-19 SECTION M METHOD OF APPORTIONMENT OF THE SPECIAL TAX C For the Transition Year and each Fiscal Year thereafter, the Authority shall levy the Special Tax C at up to 100% of the applicable Maximum Special Tax C, Proportionately on each Assessor's Parcel of Developed Property until the amount of Special Tax C equals the Special Tax C Requirement. Notwithstanding the foregoing, pursuant to Section 53321 (d) of the Act, the Special Tax C levied against an Assessor's Parcel used for private residential purposes shall under no circumstances increase more than ten (10%) as a consequence of delinquency of default by the owner of any other Assessor's Parcel or Assessor's Parcels and shall, in no event, exceed the Maximum Special Tax C in effect for the Fiscal Year in which the Special Tax C is being levied. SECTION N PREPAYMENT OF SPECIAL TAX C No prepayments of Special Tax C are permitted. SECTION O TERM OF THE SPECIAL TAX A, SPECIAL TAX B, AND SPECIAL TAX C For each Fiscal Year that any Bonds are outstanding the Special Tax A shall be levied on all Assessor's Parcels subject to the Special Tax A. If any delinquent Annual Special Tax A amounts remain uncollected prior to or after the Transition Year, the Special Tax A may be levied to the extent necessary to reimburse CFD 20-01 for uncollected Annual Special Tax A amounts associated with the levy of such Special Tax A amounts, but not later than the 2061-62 Fiscal Year. Prior to the Transition Year, Special Tax B shall be levied as long as the Authorized Services are being provided. Special Tax B shall not be levied during or after the Transition Year. For the Transition Year and each Fiscal Year thereafter, Special Tax C shall be levied in perpetuity as long as the Authorized Services are being provided. SECTION P EXEMPT PROPERTY The CFD Administrator shall classify as Exempt Property within the applicable Zone, (i) Assessor's Parcels which are owned by, irrevocably offered for dedication, encumbered by or restricted in use by the State of California, Federal or other local governments, including school districts, (ii) Assessor's Parcels which are used as places of worship and are exempt from ad valorem property taxes because they are owned by a religious organization, (iii) Assessor's Parcels which are owned by, irrevocably offered for dedication, encumbered by or which make use as a dwelling unit, or otherwise, infeasible by a homeowners' association, (iv) Assessor's Parcels with public or utility easements making impractical their utilization for other than the purposes set forth in the easement, (v) Assessor's Parcels which are privately owned and are encumbered by or restricted solely for public uses, or (vi) other types of public uses determined by the CFD Administrator. The CFD Administrator shall classify such Assessor's Parcels as Exempt Property in the chronological order in which property becomes Exempt. B-20 Notwithstanding the foregoing, the CFD Administrator for purposes of levying the Special Tax shall not, except for any Assessor's Parcel on which the Special Tax cannot be levied pursuant to the Mello -Roos Act, classify an Assessor's Parcel as Exempt Property if such classification would reduce the sum of all Taxable Property within the applicable Zone to less than the Acreage amounts listed in Table 6 below. Assessor's Parcels which cannot be classified as Exempt Property because such classification would reduce the Acreage of all Taxable Property within the applicable Zone to less than the Acreage amounts listed in Table 6 will be classified as Provisional Exempt Property, and will be subject to the levy of Special Tax pursuant to Step Five in Section F. No Special Tax shall be levied on any Assessor's Parcel in any Fiscal Year in which such Assessor's Parcel is classified as Exempt Welfare Exemption Property. TABLE 6 MINIMUM TAXABLE ACRES Zone Acres Zone 1 6.78 Zone 2 4.75 Zone 3 2.31 SECTION Q APPEALS AND INTERPRETATIONS Any property owner claiming that the amount or application of the Annual Special Tax A, Annual Special Tax B, or Annual Special Tax C is not correct may file a written notice of appeal with the CFD Administrator not later than twelve months after having paid the first installment of the Annual Special Tax A, Annual Special Tax B, or Annual Special Tax C that is disputed. The CFD Administrator shall promptly review the appeal, and if necessary, meet with the property owner, consider written and oral evidence regarding the amount of the Annual Special Tax A, Annual Special Tax B, or Annual Special Tax C in dispute and rule on the appeal. If the CFD Administrator's decision requires that the Annual Special Tax A, Annual Special Tax B, or Annual Special Tax C for an Assessor's Parcel be modified or changed in favor of the property owner, a cash refund shall not be made (except for the last year of levy in the case of the Annual Special Tax A), but an adjustment shall be made to the Annual Special Tax A, Annual Special Tax B, or Annual Special Tax C on that Assessor's Parcel in the subsequent Fiscal Year(s). The Board of Directors may interpret this Rate and Method of Apportionment of Special Tax for purposes of clarifying any ambiguity or to correct or supplement any defective or inconsistent provision hereof. SECTION R MANNER OF COLLECTION The Annual Special Tax A, Annual Special Tax B, and Annual Special Tax C shall be collected in the same manner and at the same time as ordinary ad valorem property taxes, provided, however, that CFD 20-01 may collect the Annual Special Tax A, Annual Special Tax B, and Annual Special Tax C at a different time or in a different manner if necessary to meet its financial obligations. B-21 ATTACHMENT A 1149 42lt 3321' 4'OJ'42' y °shy L-3d A5' Fi•29A4'-' h— 45 V7'14' * L-M.25' P gym' { ZONE 2 ZONE 3 {ate ZONE i, R-70W L=�m' 19'49V 95.11' �09 Yh7 �G�1' 4 J� r1--1413.hh r>,•1h'4r L-39.2]' R-MM' trf.5'S'42' L-51JE' MAI Zone 1: Tentative Tract Map No. 37509, Lots 1-111, Lots A (portion), U-X, Y (portion), Z and AC. Zone 2: Tentative Tract Map No. 37509, Lots 121-142, Lots H (portion), J-S, T (portion), and Y (portion). Zone 3: Tentative Tract Map No. 37509, Lots 112-120, Lots A (portion), B-G, H (portion), I, T (portion), Y (portion), AA and AB. B-22 EXHIBIT C TEMECULA PUBLIC FINANCING AUTHORITY COMMUNITY FACILITIES DISTRICT NO. 20-01 (HEIRLOOM FARMS) NOTICE OF PUBLIC HEARING Notice is hereby given that the Board of Directors of the Temecula Public Financing Authority will conduct a public hearing on Tuesday, April 13, 2021 at 7:00 p.m. or as soon thereafter as practicable, in the Temecula City Council chambers located at 41000 Main Street, Temecula, California, to consider the following: INTENT TO FORM TEMECULA PUBLIC FINANCING AUTHORITY COMMUNITY FACILITIES DISTRICT NO 20-01 (HEIRLOOM FARMS) On February 23, 2021, the Board of Director's of the Temecula Public Financing Authority adopted a Resolution entitled "A Resolution of the Board of Directors of the Temecula Public Financing Authority Declaring Its Intention to Establish a Community Facilities District and to Authorize the Levy of Special Taxes Therein — (Heirloom Farms)" (the "Resolution of Intention"). Reference is hereby made to the Resolution of Intention on file in the office of the Secretary of the Temecula Public Financing Authority for further particulars. In the Resolution of Intention, the Board of Directors declared its intention to form the Temecula Public Financing Authority Community Facilities District No. 20-01 (Heirloom Farms) to fund costs of certain public improvements and municipal services identified in an exhibit to the Resolution of Intention. The proposed boundaries of the community facilities district were identified, and the Resolution of Intention identified a proposed special tax to be levied on real property to be included in the community facilities district to fund costs of the public improvements and the municipal services, and/or to pay debt service on bonds to be issued, in a principal amount not to exceed $17,000,000, for the community facilities district to finance costs of the public improvements. In the Resolution of Intention, the Board of Directors provided that the levy of the special tax will be subject to a mailed ballot election among the landowners in the community facilities district. The Board of Directors authorized the Executive Director of the Temecula Public Financing Authority to execute a joint community facilities agreement with the City of Temecula, the Temecula Valley Unified School District, the Eastern Municipal Water District and any other public entity that will own and/or operate any of the public improvements, or that will provide any of the services, to be funded by the community facilities district, ordered the Director of Public Works of the City to prepare a report on the community facilities district, and called for a public hearing on the community facilities district. The Resolution of Intention also authorized the Executive Director of the Temecula Public Financing Authority to execute an Acquisition Agreement with Meritage Homes of California, Inc. relative to the construction and financing of improvements authorized to be financed by the community facilities district, in the form on file with the Secretary of the Authority. At the hearing, the testimony of all interested persons or taxpayers for or against the establishment of the community facilities district, the extent of the community facilities district or the furnishing of specified types of public improvements and services will be heard. Any person interested may file a protest in writing with the Secretary of the Authority. If fifty percent or more of the registered voters, or six registered voters, whichever is more, residing in the territory proposed to be included in the community facilities district, or the owners of one-half or more of the area of land in the territory proposed to be included in the community facilities district and not exempt from the special tax file written protests C-1 against the establishment of the community facilities district and the protests are not withdrawn to reduce the value of the protests to less than a majority, the Board of Directors of the Authority shall take no further action to establish the community facilities district or authorize the special taxes for a period of one year from the date of the decision of the Board of Directors, and if the majority protests of the registered voters or the landowners are only against the furnishing of a type or types of public improvements or services within the community facilities district, or against levying a specified special tax, those types of public improvements or services, or the specified special tax, will be eliminated from the proceedings to form the community facilities district. Any person interested in these matters is invited to comment, using the procedures described below, either for or against the above item. If you challenge the proposed action in court, you may be limited to raising only those issues you or someone else raised at the public hearing described in this notice or in written correspondence delivered to the Board of Directors of the Authority at or prior to the public hearing. IMPORTANT NOTICE REGARDING PUBLIC PARTICIPATION AT THE COUNCIL MEETING The Council meeting will be conducted utilizing teleconferencing and electronic means consistent with State of California Executive Order N-29-20, dated March 17, 2020, regarding the COVID-19 pandemic. The live stream of the meeting may be viewed on television and/or online. Details can be found at temeculaca.gov/tv. In accordance with Executive Order N-29-20, the public may only view the meeting on television and/or online and not in the Council Chamber. Submission of Public Comments: For those wishing to make public comments during the conduct of the public hearing at the Council meeting, please submit your comments by email to be read aloud at the meeting by the City Clerk. Email comments must be submitted to the City Clerk at randi.johl@temeculaca.gov. Email comments must be submitted prior to the time public comments are closed during the conduct of the public hearing. All email comments shall be subject to the same rules as would otherwise govern speaker comments at the Council meeting. Electronic comments regarding the above described matter for the April 13, 2021 Council meeting may only be submitted via email and comments via text and social media (Facebook, Twitter, etc.) will not be accepted. Reading of Public Comments: The City Clerk shall read all email comments, provided that the reading shall not exceed three (3) minutes, or such other time as the Council may provide, consistent with the time limit for speakers at a Council meeting. The email comments submitted shall become part of the record of the Council meeting. /s/ Randi Johl Secretary, Temecula Public Financing Authority C-2 RESOLUTION NO. TPFA 2021- A RESOLUTION OF THE BOARD OF DIRECTORS OF THE TEMECULA PUBLIC FINANCING AUTHORITY DECLARING ITS INTENTION TO INCUR BONDED INDEBTEDNESS OF THE PROPOSED TEMECULA PUBLIC FINANCING AUTHORITY COMMUNITY FACILITIES DISTRICT NO.20-01 (HEIRLOOM FARMS) THE BOARD OF DIRECTORS OF THE TEMECULA PUBLIC FINANCING AUTHORITY DOES HEREBY RESOLVE AS FOLLOWS: Section 1. This Board of Directors has this date adopted its Resolution entitled "A Resolution of the Board of Directors of the Temecula Public Financing Authority Declaring Its Intention to Establish a Community Facilities District and To Authorize the Levy of Special Taxes Therein — Heirloom Farms," stating its intention to form a community facilities district pursuant to the Mello -Roos Community Facilities Act of 1982 (the "Law"), for the purpose of financing the costs of certain public improvements (the "Facilities"), and the costs of providing certain municipal services. Section 2. This Board of Directors estimates that in order to finance the Facilities it is necessary to incur bonded indebtedness of the proposed Temecula Public Financing Authority Community Facilities District No. 20-01 (Heirloom Farms) (the "District") in the amount of not to exceed $17,000,000. Section 3. The bonded indebtedness is proposed to be incurred for the purpose of financing all or a portion of the costs of the Facilities, including costs incidental to or connected with the accomplishment of said purposes and of the financing thereof. Section 4. This Board of Directors, acting as legislative body for the District, intends to authorize the issuance and sale of bonds in the maximum aggregate principal amount of $17,000,000, bearing interest payable semi-annually or in such other manner as this Board of Directors shall determine, at a rate not to exceed the maximum rate of interest as may be authorized by applicable law at the time of sale of such bonds, and maturing not to exceed forty (40) years from the date of the issuance of said bonds. Section 5. Tuesday, April 13, 2021, at 7:00 p.m. or as soon thereafter as the matter may be heard, in the regular meeting place of this Board of Directors, City Council Chambers, Temecula City Hall, 41000 Main Street, Temecula, California, be, and the same are hereby appointed and fixed as the time and place when and where this Board of Directors, as legislative body for the District, will conduct a public hearing on the proposed debt issue and consider and finally determine whether the public interest, convenience and necessity require the issuance of bonds of the Authority for the District. Section 6. The Secretary is hereby directed to cause notice of said public hearing to be given by publication one time in a newspaper of general circulation circulated within the District. The publication of said notice shall be completed at least seven (7) days before the date herein set for said public hearing. The notice shall be substantially in the form of Exhibit A attached hereto. Section 7. This Resolution shall take effect upon its adoption. PASSED, APPROVED, AND ADOPTED by the Board of Directors of the Temecula Public Financing Authority this 23rd day of February, 2021. Maryann Edwards, Chair ATTEST: Randi Johl, Secretary [SEAL] STATE OF CALIFORNIA ) COUNTY OF RIVERSIDE ) ss CITY OF TEMECULA ) I, Randi Johl, Secretary of the Temecula Public Financing Authority, do hereby certify that the foregoing Resolution No. TPFA 2021- was duly and regularly adopted by the Board of Directors of the Temecula Public Financing Authority at a meeting thereof held on the 23rd day of February, 2021, by the following vote: AYES: BOARD MEMBERS: NOES: BOARD MEMBERS: ABSENT: BOARD MEMBERS: Randi Johl, Secretary EXHIBIT A TEMECULA PUBLIC FINANCING AUTHORITY COMMUNITY FACILITIES DISTRICT NO. 20-01 (HEIRLOOM FARMS) NOTICE OF PUBLIC HEARING Notice is hereby given that the Board of Directors of the Temecula Public Financing Authority will conduct a public hearing on Tuesday, April 13, 2021 at 7:00 p.m. or as soon thereafter as practicable, in the Temecula City Council chambers located at 41000 Main Street, Temecula, California, to consider the following: INTENT TO INCUR INDEBTEDNESS TEMECULA PUBLIC FINANCING AUTHORITY COMMUNITY FACILITIES DISTRICT NO 20-01 (HEIRLOOM FARMS) On February 23, 2021, the Board of Directors of the Temecula Public Financing Authority adopted a Resolution entitled "A Resolution of the Board of Directors of the Temecula Public Financing Authority Declaring Its Intention To Incur Bonded Indebtedness of the Proposed Temecula Public Financing Authority Community Facilities District No. 20-01 (Heirloom Farms)" (the "Resolution of Intention to Incur Indebtedness"). Reference is hereby made to the Resolution of Intention to Incur Indebtedness on file in the office of the Secretary of the Temecula Public Financing Authority for further particulars. In the Resolution of Intention to Incur Indebtedness, the Board of Directors declared its intention to authorize the issuance and sale of bonds in the maximum principal amount of $17,000,000 for the Temecula Public Financing Authority Community Facilities District No. 20-01 (Heirloom Farms) to finance costs of certain public improvements. The testimony of all interested persons, including all persons owning property in the area included in the proposed community facilities district, for or against the proposed debt issuance will be heard at the public hearing. Any person interested in these matters is invited to attend and present testimony either for or against the above item. If you challenge the proposed action in court, you may be limited to raising only those issues you or someone else raised at the public hearing described in this notice or in written correspondence delivered to the Board of Directors at or prior to the public hearing. IMPORTANT NOTICE REGARDING PUBLIC PARTICIPATION AT THE COUNCIL MEETING The Council meeting will be conducted utilizing teleconferencing and electronic means consistent with State of California Executive Order N-29-20, dated March 17, 2020, regarding the COVID-19 pandemic. The live stream of the meeting may be viewed on television and/or online. Details can be found at temeculaca.gov/tv. In accordance with Executive Order N-29-20, the public may only view the meeting on television and/or online and not in the Council Chamber. Submission of Public Comments: For those wishing to make public comments during the conduct of the public hearing at the Council meeting, please submit your comments by email to be read aloud at the meeting by the City Clerk. Email comments must be submitted to the City Clerk at randi.johl@temeculaca.gov. Email comments must be submitted prior to the time public comments are closed during the conduct of the public hearing. All email comments shall be subject to the same rules as would otherwise govern speaker comments at the Council meeting. Electronic comments regarding the above described matter for the April 13, 2021 Council meeting may only be submitted via email and comments via text and social media (Facebook, Twitter, etc.) will not be accepted. A-1 Reading of Public Comments: The City Clerk shall read all email comments, provided that the reading shall not exceed three (3) minutes, or such other time as the Council may provide, consistent with the time limit for speakers at a Council meeting. The email comments submitted shall become part of the record of the Council meeting. /s/ Randi Johl Secretary, Temecula Public Financing Authority A-2 RESOLUTION NO.2021- A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF TEMECULA APPROVING JOINT COMMUNITY FACILITIES AGREEMENT RELATING TO THE FINANCING OF PUBLIC IMPROVEMENTS AND IMPLEMENTATION OF AN ACQUISITION AGREEMENT THE CITY COUNCIL OF THE CITY OF TEMECULA DOES HEREBY RESOLVE AS FOLLOWS: Section 1. The Board of Directors of the Temecula Public Financing Authority (the "Authority") is undertaking proceedings to form the Temecula Public Financing Authority Community Facilities District No. 20-01 (Heirloom Farms) (the "CFD") pursuant to the Mello - Roos Community Facilities Act of 1982, as amended (the "Act"), and the Authority intends to issue bonds of the Authority for the CFD (the "Bonds") in order to finance, among other improvements, the costs of public improvements (the "Improvements") to be owned and/or operated by the City of Temecula (the "City") described in the proceedings to form the CFD. Section 2. The CFD is also expected to be authorized to fund certain maintenance services (the "Services") described in the proceedings to form the CFD. Section 3. In order to enable the CFD to finance the Improvements and the Services, Section 53316.2 of the California Government Code requires that the City and the Authority enter into a joint community facilities agreement prior to the adoption by the Authority of a resolution authorizing the issuance of the Bonds, with respect to the portion of the Improvements to be owned or operated, and with respect to the Services to be provided, by the City for the CFD. Section 4. A form of joint community facilities agreement, by and between the City and the Authority relating to the Improvements to be owned or operated by the City, and with respect to the Services to be provided by the City for the CFD (the "Joint Community Facilities Agreement") has been filed with the City Clerk. Section 5. The City Council, with the assistance of City staff, has reviewed the Joint Community Facilities Agreement, and the City Council now desires to approve the Joint Community Facilities Agreement and direct its execution and delivery. Section 6. The Authority expects to enter into an Acquisition Agreement (the "Acquisition Agreement") with of the developer of the land in the CFD, whereby developer will construct some of the Improvements to be acquired with the proceeds of the Bonds. Section 7. The implementation of the Acquisition Agreement will involve actions by the Director of Public Works of the City and certain other City officials, and the City Council now desires to authorize City officials to assist in the implementation of the Acquisition Agreement. Section 8. The City Council hereby approves the Joint Community Facilities Agreement in the form on file with the City Clerk, and hereby authorizes and directs the City Manager to execute and deliver the Joint Community Facilities Agreement in such form together with any changes therein deemed advisable by the City Manager upon consultation with the City Attorney and Bond Counsel, the approval of such changes to be conclusively evidenced by the execution and delivery by the City Manager of the Joint Community Facilities Agreement. The City Council hereby declares that the Joint Community Facilities Agreement will be beneficial to the residents residing within the boundaries of the City. Section 9. The City Council hereby authorizes the Director of Public Works and all other appropriate officials of the City to assist the Authority in the implementation of the Acquisition Agreement, and to perform those functions described in the Acquisition Agreement as to be performed by officials of the City. Section 10. The Mayor, City Manager, Director of Finance, the Director of Public Works and City Clerk, and all other officers of the City, are hereby authorized and directed to take all actions and do all things necessary or desirable hereunder to implement the Joint Community Facilities Agreement and to assist the Authority in implementing the Acquisition Agreement, including but not limited to the execution and delivery of any and all agreements, certificates, documents and other instruments which they, or any of them, deem necessary or desirable and not inconsistent with the purposes of this Resolution and such agreements. Section 11. This Resolution shall take effect upon its adoption. PASSED, APPROVED, AND ADOPTED by the City Council of the City of Temecula this 23rd day of February, 2021. Maryann Edwards, 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. 2021- was duly and regularly adopted by the City Council of the City of Temecula at a meeting thereof held on the 23rd day of February, 2021, by the following vote: AYES: COUNCIL MEMBERS: NOES: COUNCIL MEMBERS: ABSTAIN: COUNCIL MEMBERS: ABSENT: COUNCIL MEMBERS: Randi Johl, City Clerk Quint & Thimmig LLP 1 /15/2021 1/18/2021 2/9/2021 JOINT COMMUNITY FACILITIES AGREEMENT - CITY TEMECULA PUBLIC FINANCING AUTHORITY COMMUNITY FACILITIES DISTRICT NO.20-01 (HEIRLOOM FARMS) This Joint Community Facilities Agreement - City (the "Agreement"), dated for convenience as of March 1, 2021, is by and between the Temecula Public Financing Authority (the "Authority") and the City of Temecula, California (the "Participating Agency"). RECITALS: WHEREAS, the Authority is undertaking proceedings to form the Temecula Public Financing Authority Community Facilities District No. 20-01 (Heirloom Farms) (the "CFD") pursuant to the Mello -Roos Community Facilities Act of 1982, as amended (the "Act"), and the Authority intends to issue bonds of the Authority for the CFD (the 'Bonds") in order to finance various public improvements to be acquired and constructed in the City of Temecula; and WHEREAS, the improvements to be financed with the proceeds of the Bonds may include the improvements described in Attachment A hereto (the "Improvements"), which Attachment is, by this reference, incorporated herein; and WHEREAS, the CFD will also be authorized to finance certain maintenance services (the "Services"), and the Participating Agency is willing to provide the Services to the extent it is reimbursed for the costs thereof by the CFD; and WHEREAS, some of the Improvements designated as the CFD Designated Facilities on Attachment A (the "CFD Designated Facilities") are to be constructed by Meritage Homes of California, Inc., the owner of the land in the CFD (the "Developer"), and the Authority expects to enter into an Acquisition Agreement (the "Acquisition Agreement") with the Developer, whereby the Authority will use proceeds of the Bonds to acquire the CFD Designated Facilities from the Developer; and WHEREAS, the parties hereto expect that the Participating Agency will own and operate the CFD Designated Facilities if they comply with the standards and have been completed to the satisfaction of the Participating Agency; and WHEREAS, the implementation of the Acquisition Agreement will involve actions by officials of the Participating Agency, and the Participating Agency is willing to provide the services of its officials as necessary to implement the provisions of the Acquisition Agreement; and WHEREAS, the Improvements designated as the City Designated Facilities on Attachment A (the "City Designated Facilities") will be determined, constructed, and owned and operated by the Participating Agency, costs of which will be funded with Bond proceeds; and WHEREAS, Section 53316.2 of the Act requires that the Authority enter into a joint community facilities agreement with the Participating Agency, prior to the adoption by the Authority of a resolution authorizing the issuance of the Bonds in respect of the Improvements which Improvements are to be financed with the proceeds of the Bonds, and, upon completion, 20009.18:J17267 are to be owned and operated by the Participating Agency, and in respect to the Services to be provided by the Participating Agency; and WHEREAS the Authority and the Participating Agency now desire to enter into this Agreement to satisfy the requirements of Section 53316.2 of the Act and to memorialize their understanding with respect to the proceeds of the Bonds, the Improvements, the Services and the Acquisition Agreement, all as more particularly set forth below. NOW, THEREFORE, in consideration of the foregoing and mutual covenants set forth below, the parties hereto do hereby agree as follows: Section 1. Reservation of Bond Funds. If and when it issues the Bonds, the Authority intends to deposit a portion of the proceeds of the Bonds in an Acquisition Account (the "Acquisition Account") of an Improvement Fund (the "Improvement Fund") for the CFD to be available to finance a portion of the costs incurred in connection with the acquisition and construction of the CFD Designated Facilities, and to deposit a portion of the proceeds of the Bonds to a City Account (the "City Account") of the Improvement Fund to finance costs of the City Designated Facilities. Amounts in the Improvement Fund, including in the accounts therein, together with any investment earnings thereon, shall be held in the Improvement Fund for the sole and exclusive benefit of the CFD, and such amount shall in no way be pledged as security for the Bonds. Other than the funds described in the preceding paragraph, the Authority shall have no obligation to pay for any of the costs of the Improvements, including but not limited to any costs of planning, acquisition, construction, installation or inspection of the Improvements. Any costs of the CFD Designated Facilities listed in Attachment A hereto in excess of the proceeds of the Bonds in the Acquisition Account and any earnings thereon while in the Acquisition Account available to pay such costs will be paid by or on behalf of the Developer. Any costs of the City Designated Facilities in excess of the proceeds of the Bonds in the City Account and any earnings thereon while in the City Account available to pay such costs will be paid by the Participating Agency. The Participating Agency shall provide a credit against its development impact fees and Quimby Act fees (together, the "City Development Fees") otherwise payable with respect to the construction of attached and detached residential dwelling units in the territory of the CFD, on a dollar for dollar basis, equal to amounts disbursed to the Participating Agency from the City Account that are in excess of $750,000 (i.e. no credit in respect of the first $750,000 disbursed from the City Account). In the event that the Developer pays to the City either a public facility contribution in the amount of $750,000 (the "Developer Contribution") or any of the City Development Fees prior to the issuance of any Bonds, the City shall, promptly following the issuance of the Bonds, rebate to the Developer the amount of the Developer Contribution and any City Development Fees so paid. Section 2. Construction of Improvements. (a) The CFD Designated Facilities have been or will be constructed pursuant to plans and specifications approved by the Participating Agency. The Participating Agency shall not have any liability whatsoever in respect of any work performed in connection with the CFD Designated Facilities; provided that this sentence shall in no way limit any rights the Participating Agency may have against any persons or entities in respect of the acquisition or construction of the CFD Designated Facilities once the Participating Agency accepts title to and control over the CFD Designated Facilities. -2- To the extent that the Participating Agency incurs expenses incident to reviewing and approving design plans and specifications, conducting construction field inspections and otherwise in connection with the design, construction and acceptance of the CFD Designated Facilities, such expenses may be reimbursed to the Participating Agency upon presentation of invoices as to the nature and amount of such costs and expenses, from available amounts in the Acquisition Account, or if there are no such available funds, then from one of the owners of the land in the CFD (as may be required in any applicable subdivision improvement agreements pertaining thereto) or from any other legally available funds. (b) The Participating Agency (i) shall determine the specific City Designated Facilities to be funded in whole or in part with funds in the City Account, each of which shall have a useful life of five years or longer, shall be owned by the Participating Agency or a governmental entity (other than the federal government) in which no nongovernmental entity (or the federal government) has any special legal entitlements; (ii) shall proceed with due diligence to complete the improvements and to pay costs thereof from amounts in the City Account within three years of the date of issuance of the Bonds; and (iii) reasonably expects to draw and expend all amounts in the City Account within three years of the date of issuance of the Bonds. The Participating Agency shall be responsible for the construction of the City Designated Facilities, cost of which shall be paid from amounts in the City Account or from other lawfully available funds of the Participating Agency. Section 3. Inspection and Acceptance; Ownership. (a) The Participating Agency shall cause inspections to be made during the construction of the CFD Designated Facilities in accordance with its customary procedures for construction projects of a similar nature. Upon completion of construction of the CFD Designated Facilities to the satisfaction of the Participating Agency, the Participating Agency shall accept dedication of the CFD Designated Facilities in accordance with its customary procedures, and shall accept ownership, and responsibility for operation of the CFD Designated Facilities conditioned upon the passage to the Participating Agency of fee title clear of all encumbrances and easements not otherwise acceptable to the Participating Agency in its sole discretion. The Participating Agency shall have no responsibility with respect to the ownership or operation of the CFD Designated Facilities unless and until construction has been completed to the satisfaction of the Participating Agency. The Authority shall have no obligation to at any time own or operate any of the CFD Designated Facilities. (b) The Participating Agency shall own all of the City Designated Facilities during their construction and upon their completion. The Authority shall have no obligation to at any time own or operate any of the City Designated Facilities. (c) The Participating Agency shall not sell or lease all or any portion of the Improvements, or grant any special legal entitlements to any of the Improvements, that would cause the Authority to be in breach of its covenants related to the tax-exempt status of the interest on the Bonds. Section 4. Provision of Services. The Participating Agency hereby agrees to provide, or cause to be provided, the Services authorized to be financed by the CFD and otherwise identified in Attachment A hereto, but only to the extent and so long as proceeds of special taxes levied in the CFD are made available to the Participating Agency for such purpose. Section 5. Assistance with Acquisition Agreement. The Participating Agency hereby agrees to assist the Authority in connection with the implementation of the Acquisition Agreement by making its Director of Public Works and other officials available for the purposes, -3- on the terms and as otherwise provided for in the Acquisition Agreement with respect to any actions to be performed by Participating Agency officials under the Acquisition Agreement. Section 6. Limited Obligations. All obligations of the Authority under and pursuant to this Agreement shall be limited (a) with respect to the Improvements, to the amounts on deposit in the Acquisition Account and the City Account of the Improvement Fund and described in Section 1 above, and (b) with respect to the Services, to the proceeds of special taxes levied in the CFD for such purpose and otherwise collected from the property owners in the CFD. No Boardmember, officer or employee of the Authority shall in any event be personally liable hereunder. The sole obligation of the Participating Agency hereunder with respect to the CFD Designated Facilities shall be to inspect and accept the CFD Designated Facilities as described above, and as otherwise provided in Section 3(c) above. The Participating Agency shall have no responsibility or obligation with respect to the CFD Designated Facilities for any action occurring prior to acceptance by the Participating Agency. If, for any reason whatsoever, there are insufficient funds to complete the CFD Designated Facilities or any portion thereof, the Participating Agency shall have no obligation under this Agreement to fund any such shortfall. The sole obligation of the Participating Agency with respect to the City Designated Improvements shall be as set forth in Sections 2(b) and 3(b) and (c) above. The sole obligation of the Participating Agency hereunder with respect to the Services shall be to provide all or such portion of the Services as the Participating Agency shall determine can be provided for in respect of any special tax revenue from the CFD made available to the Participating Agency for such purpose. The sole obligation of the Participating Agency hereunder with respect to the Acquisition Agreement shall be to make available officials of the Participating Agency specifically referenced in, and for the tasks specifically to be undertaken by such officials under the terms of, the Acquisition Agreement. If the Participating Agency shall fail to perform any of its obligations hereunder, the sole remedy of the Authority shall be the commencement of an action in the Superior Court for specific performance by the Participating Agency of such obligations. Section 7. Termination. Notwithstanding any other provision of this Agreement, this Agreement shall cease to be effective and shall terminate if the Bonds are not issued by December 31, 2023. If not earlier terminated pursuant to the preceding sentence, this Agreement shall terminate: (a) as to the Improvements, upon acceptance of the ownership and operation of the CFD Designated Facilities by the Participating Agency, and disbursement of all amounts from the Improvement Fund to pay costs of the Improvements, and (b) as to the Services, when the special taxes are no longer levied on the property owners in the CFD. Section 8. No Obligation to Form CFD; Agreement of Benefit to Residents. The provisions of this Agreement shall in no way obligate the Authority to form the CFD or to issue the Bonds. Notwithstanding the foregoing, by their respective execution of this Agreement, the Authority and the Participating Agency each declare that this Agreement is beneficial to the residents within the jurisdiction of their respective entities in assuring the provision of financing for a portion of the costs of the Improvements and the Services in furtherance of the purposes of the Act. -4- Section 9. Partial Invalidity. If any part of this Agreement is held to be illegal or unenforceable by a court of competent jurisdiction, the remainder of this Agreement shall be given effect to the fullest extent reasonably possible. Section 10. Successors and Assigns; Beneficiaries. This Agreement shall be binding upon and inure to the benefit of the successors and assigns of the parties hereto. This Agreement is for the benefit of the Authority and the Participating Agency and their successors and assigns, and no other person or entity shall be deemed to be a beneficiary hereof or have an interest herein; provided, however, that notwithstanding the foregoing Meritage Homes of California, Inc. is a third party beneficiary of the third and fourth paragraphs of Section 1 above and shall have the right to enforce such provision against the Participating Agency, but solely by an action for specific performance. Section 11. Execution in Counterparts. This Agreement may be executed in counterparts, each of which shall be deemed an original. -5- IN WITNESS WHEREOF, the parties hereto have executed this Agreement as of the day and year written alongside their signature below. 20009.18:J17267 CITY OF TEMECULA (the "Participating Agency") By: Aaron Adams, City Manager TEMECULA PUBLIC FINANCING AUTHORITY (the "Authority") in Aaron Adams, Executive Director [signature page to CFD 20-01 - Joint Community Facilities Agreement - City] S-1 ATTACHMENT A DESCRIPTION OF THE IMPROVEMENTS CFD Designated Facilities • Streets (including paving, aggregate base, striping and traffic marking, sidewalks, curbs, gutters and driveways), including Temecula Center Drive and Ynez Road within and in the vicinity of the CFD; stormwater drainage systems (including storm drain lines, inlets, outlets, channels, structures, junctions, manholes, catch basins and related dewatering); street light improvements (including light fixtures, substructures, conduits and service points of connection); and street signage (including traffic, stop and street name signs). • Traffic signal improvements, including traffic signal interconnection and video surveillance systems, at the intersection of Ynez Road and Temecula Center Drive. • Landscaping improvements in the public right of way along or in the vicinity of Temecula Center Drive, Date Street and Ynez Road, including related appurtenances. City Designated Facilities • Capital improvements included in the City of Temecula's adopted Capital Improvement Program for Fiscal Years 2021-2025. DESCRIPTION OF THE SERVICES • Public safety services, including police and fire protection. • Maintenance of parks, and landscaping in public areas, public easements and public right of way in or near the area of the CFD, such maintenance to include but not be limited to maintenance of planting areas, trees, bioretention filters, multipurpose trails, and the furnishing of water for irrigation. • Maintenance of public signage in or near the CFD. • Maintenance of storm drainage systems within or serving the area of the CFD, and including storm drain pipes, culverts, detention/desilting basins, manholes, catch basins and drop inlets, cleanout of storm drains and catch basin cleaning and inspection. • Maintenance of sidewalks, streets and roadways within or in the vicinity of the area of the CFD, and including slurry, overlay, curbs and gutters, curb ramps, striping and street sweeping. • Maintenance of street lighting located within or in the vicinity of the CFD, and including decorative lighting and pull box assemblies. • Maintenance of traffic signals, and traffic signal interconnection and video surveillance systems, within and in the vicinity of the CFD, and including electrical, LED replacement, maintenance and replacement. • Graffiti removal from public improvements within and in the area of the CFD. A-1 Quint & Thimmig LLP 1/15/21 2/9/21 ACQUISITION AGREEMENT by and between the TEMECULA PUBLIC FINANCING AUTHORITY and MERITAGE HOMES OF CALIFORNIA, INC. dated as of , 2021 relating to: Temecula Public Financing Authority Community Facilities District No. 20-01 (Heirloom Farms) 20009.18:J17265 TABLE OF CONTENTS ARTICLE I DEFINITIONS Section1.01. Definitions.........................................................................................................................................................1 ARTICLE II RECITALS Section2.01. The CID ............................................................................................................................................................. 3 Section2.02. The Development............................................................................................................................................. 3 Section2.03. The Facilities...................................................................................................................................................... 4 Section2.04. The Financing.................................................................................................................................................... 4 Section2.05. The Bonds.......................................................................................................................................................... 4 Section 2.06. No Advantage to Authority Construction.................................................................................................... 4 Section2.07. Agreements....................................................................................................................................................... 4 ARTICLE III FUNDING Section3.01. Authority Proceedings..................................................................................................................................... 4 Section3.02. Bonds.................................................................................................................................................................. 5 Section3.03. Bond Proceeds................................................................................................................................................... 5 Section3.04. Refunding Bonds.............................................................................................................................................. 6 ARTICLE IV CONSTRUCTION OF FACILITIES Section4.01. Plans................................................................................................................................................................... 6 Section 4.02. Construction of Facilities................................................................................................................................. 6 Section 4.03. Relationship to Public Works; Bidding Requirements............................................................................... 7 Section 4.04. Independent Contractor; No Joint Venture.................................................................................................. 8 Section 4.05. Performance and Payment Bonds.................................................................................................................. 8 Section 4.06. Contracts and Change Orders........................................................................................................................ 8 Section4.07. Time for Completion........................................................................................................................................ 9 ARTICLE V ACQUISITION AND PAYMENT Section5.01. Inspection.......................................................................................................................................................... 9 Section 5.02. Agreement to Sell and Purchase Facilities.................................................................................................... 9 Section5.03. Payment Requests............................................................................................................................................ 9 Section 5.04. Processing Payment Requests......................................................................................................................10 Section5.05. Payment...........................................................................................................................................................10 Section 5.06. Restrictions on Payments..............................................................................................................................11 Section 5.07. Acquisition of Additional Facilities.............................................................................................................13 Section 5.08. Defective or Nonconforming Work.............................................................................................................14 Section 5.10. Right of City to Make Withdrawals From Improvement Fund..............................................................14 ARTICLE VI OWNERSHIP AND TRANSFER OF FACILITIES Section 6.01. Facilities to be Owned by the City — Conveyance of Land and Easements to City..............................14 Section 6.02. Facilities to be Owned by the City — Title Evidence..................................................................................14 Section 6.03. Facilities Constructed on Private Lands.....................................................................................................15 Section 6.04. Facilities Constructed on City Land............................................................................................................15 Section 6.05. Facilities to be Acquired by Other Public Agencies..................................................................................15 Section 6.06. Maintenance and Warranties........................................................................................................................15 ARTICLE VII INSURANCE; RESPONSIBILITY FOR DAMAGE Section 7.01. Liability Insurance Requirements................................................................................................................16 Section7.02. Responsibility for Damage............................................................................................................................18 -i- ARTICLE VIII REPRESENTATIONS, WARRANTIES AND COVENANTS Section 8.01. Representations, Covenants and Warranties of RVR...............................................................................19 Section 8.02. Indemnification and Hold Harmless........................................................................................................... 21 ARTICLE IX TERMINATION Section 9.01. Termination of Funding Obligations........................................................................................................... 22 Section9.02. Mutual Consent.............................................................................................................................................. 22 Section 9.03. Authority Election for Cause........................................................................................................................ 22 Section9.04. Force Majeure.................................................................................................................................................. 23 Section 9.05. Survival of Certain Provisions...................................................................................................................... 23 ARTICLE X MISCELLANEOUS Section 10.01. Limited Liability of Authority...................................................................................................................... 24 Section10.02. Excess Costs..................................................................................................................................................... 24 Section10.03. Audit................................................................................................................................................................ 24 Section10.04. Attorney's Fees............................................................................................................................................... 24 Section10.05. Notices............................................................................................................................................................. 24 Section10.06. Severability...................................................................................................................................................... 24 Section 10.07. Successors and Assigns................................................................................................................................. 25 Section10.08. Other Agreements.......................................................................................................................................... 25 Section10.09. Waiver..............................................................................................................................................................25 Section10.10. Merger.............................................................................................................................................................. 25 Section10.11. Parties in Interest............................................................................................................................................ 25 Section10.12. Amendment.................................................................................................................................................... 25 Section10.13. Counterparts................................................................................................................................................... 26 Section10.14. Governing Law............................................................................................................................................... 26 EXHIBIT A DESCRIPTION OF FACILITIES ELIGIBLE FOR ACQUISITION FROM THE DEVELOPER EXHIBIT B FACILITIES AND RELATED BUDGETED COSTS EXHIBIT C FORM OF PAYMENT REQUEST THIS ACQUISITION AGREEMENT (the "Acquisition Agreement"), dated as of , 2021, is by and between (i) the Temecula Public Financing Authority, a joint exercise of powers authority organized and existing under the laws of the State of California (the "Authority"), for and on behalf of the Authority's Community Facilities District No. 20-01 (Heirloom Farms) (the "CFD"), and (ii) Meritage Homes of California, Inc., a California corporation (the "Developer"). ARTICLE I DEFINITIONS Section 1.01. Definitions. The following capitalized terms shall have the meanings given to them in this Section 1.01 for purposes of this Acquisition Agreement. Unless otherwise indicated, any other terms, capitalized or not, when used herein shall have the meanings given to them in the Fiscal Agent Agreement (as hereinafter defined). "Acceptable Title" means title to land or interest therein, in form acceptable to the Director of Public Works, which title or interest is free and clear of all liens, taxes, assessments, leases, easements and encumbrances, whether or not recorded, but subject to any exceptions determined by the Director of Public Works as not interfering with the actual or intended use of the land or interest therein. Notwithstanding the foregoing, an irrevocable offer of dedication may constitute land with an "Acceptable Title" if: (i) such offer is necessary to satisfy a condition to a tentative or final parcel map, (ii) such offer is in a form acceptable to the Director of Public Works, (iii) the Director of Public Works has no reason to believe that such offer of dedication will not be accepted by the applicable public agency, and (iv) the Developer commits in writing not to allow any liens to be imposed on such property prior to its formal acceptance by the applicable public agency. "Acceptance Date" means the date the City Council of the City (or other public entity which is to own a Facility) takes final action to accept dedication of or transfer of title to a Facility. "Acquisition Agreement" means this Acquisition Agreement, together with any Supplement hereto. "Act" means the Mello -Roos Community Facilities Act of 1982, Section 53311 et seq. of the California Government Code, as amended. "Actual Cost" means the substantiated cost of a Facility, which costs may include: (i) the costs (evidenced by payments to parties unrelated to the Developer, or, in the event that the Developer avails itself of the provisions of Section 4.03(C), determined by reference to the written contract to be entered into with the Developer as referenced in said Section) incurred by the Developer for the construction of such Facility, (ii) the reasonable costs incurred by the Developer in preparing the Plans for such Facility and the related costs of design, engineering and environmental evaluations of the Facility, (iii) the fees paid to governmental agencies for obtaining permits, licenses or other governmental approvals for such Facility, (iv) professional costs incurred by the Developer associated with such Facility, such as engineering, architecture, landscape architecture, legal, accounting, inspection, construction staking, materials testing and similar professional services; (v) costs directly related to the construction and / or acquisition of a Facility, such as costs of payment, performance and/or maintenance bonds, and insurance costs related to Facilities (including costs of any title insurance required hereunder, but not including the cost of any insurance described in Section 7.01 of this Acquisition Agreement); -1- and (vi) the out-of-pocket cost to the Developer of any real property or interest therein that the Developer must acquire from one or more entities that are not Affiliates of the Developer and which acquisition is required for the construction of a Facility and which real property or interest therein is required to be conveyed to the public entity that will own or operate such Facility. Actual Cost may include an amount not in excess of five percent (5%) of the cost described in clause (i) of the preceding sentence in respect of any construction, project management or other similar fee payable to the Developer or any party related thereto. Actual Cost shall not include any financing fees, costs or charges, or any interest, cost of carry or other similar charges. "Affiliate" means any entity with respect to which fifty percent (50%) or more of the ownership or voting power is held individually or collectively by the Developer and any other entity owned, controlled or under common ownership or control by or with, as applicable, the Developer, and includes the managing member of any entity that is a limited liability company, and includes all general partners of any entity which is a partnership. Control shall mean ownership of fifty percent (50%) or more of the voting power of or ownership interest in the respective entity. "Authority" means the Temecula Public Financing Authority, a joint exercise of powers agency duly created and existing under the laws of the State. "Bonds" means any bonds issued by the Authority under the Act for the CFD, proceeds of which are deposited to the Improvement Fund to be used to pay costs of the Facilities. "Budgeted Cost" means the estimated cost of a Facility as shown on Exhibit B hereto. "CFD" means the Temecula Public Financing Authority Community Facilities District No. 20-01 (Heirloom Farms), created by the Board of Directors of the Authority under the Act. "City" means the City of Temecula, California. "City Attorney" means the attorney, or firm of attorneys, serving in the capacity of City Attorney for the City. "Conditions of Approval" means the conditions of approvals and mitigation measures imposed in connection with the granting of the land use entitlements for the development of land in the CFD, and any subdivision improvement, development or other agreement with the City relating to the development of the land in the CFD or the installation of the Facilities. "County" means the County of Riverside, California. "Developer" means Meritage Homes of California, Inc., a California corporation, and its successors and assigns to the extent permitted under Section 10.07 hereof. "Director of Public Works" means the Director of Public Works of the City, or his written designee acting as such under this Acquisition Agreement. "Facilities" means the public facilities described in Exhibit A hereto which are eligible to be financed by the CFD. "Fiscal Agent" means an entity acting as fiscal agent under a Fiscal Agent Agreement, or any successor thereto acting as fiscal agent under a Fiscal Agent Agreement. -2- "Fiscal Agent Agreement" means any agreement by that name, between the Authority for the CFD and the Fiscal Agent, providing for, among other matters, the issuance of the Bonds and the establishment of the Improvement Fund, as executed and as it may thereafter amended and supplemented in accordance with its terms. "Improvement Fund" means (a) prior to the date of issuance of any Bonds, a fund maintained by the Authority into which it will deposit Special Taxes in accordance with section 3.04 hereof; and (b) from and after the issuance of any Bonds, an Acquisition Account within the Improvement Fund established by a Fiscal Agent Agreement. During the period in which the Improvement Fund is to be maintained by the Authority, it may be maintained as a component of any other fund maintained by the Authority and funds therein may be commingled with other Authority funds for investment and safekeeping purposes, so long as the Authority maintains separate records for the amounts deposited thereto, any investment earnings thereon, and any amounts withdrawn therefrom. "Payment Request" means a document, substantially in the form of Exhibit C hereto, to be used by the Developer in requesting payment of a Purchase Price. "Plans" means the plans, specifications, schedules and related construction contracts for the Facilities approved pursuant to the applicable standards of the City or other entity that will own, operate or maintain the Facilities when completed and acquired. As of the date of this Acquisition Agreement, the City standards for construction incorporate those set forth in the Green Book, Standard Specifications for Public Works Construction (SSPWC), adopted by Public Works Standards, Inc., as modified by any applicable City Special Provisions. "Purchase Price" means the amount paid by the Authority for a Facility determined in accordance with Article V hereof, being an amount equal to the Actual Cost of such Facility, but subject to the limitations and reductions provided for in Article V. "Risk Manager" shall mean the person acting in the capacity of Risk Manager for the City. "State" means the State of California. "Supplement" means a written document amending, supplementing or otherwise modifying this Acquisition Agreement and any exhibit hereto, including any amendments to the list of Facilities in Exhibit B, and / or the addition to Exhibit B of additional Facilities to be financed with the proceeds of the Bonds deposited in the Improvement Fund. ARTICLE II RECITALS Section 2.01. The CFD. The Board of Directors of the Authority has established the CFD under the Act for the financing of, among other things, the acquisition, construction and installation of public facilities identified in the proceedings to form the CFD, which include the Facilities listed in Exhibit A hereto. Section 2.02. The Development. The Developer, together with other entities, is developing land located within the CFD. -3- Section 2.03. The Facilities. The Facilities are within or in the vicinity of the CFD, and the Authority and the Developer will benefit from a coordinated plan of design, engineering and construction of the Facilities and the development of the land that is located within the CFD. The Developer acknowledges that the inclusion of Facilities in Exhibit A hereto in no way, in itself, obligates the Authority to use any funds in the Improvement Fund to finance the Facilities or implies that the Authority has in any way engaged the Developer to construct the Facilities, except as specifically provided in this Acquisition Agreement. The Facilities which are the subject of acquisition from the Developer under this Acquisition Agreement are only the Facilities listed in Exhibit B hereto, as such Exhibit may be amended and / or supplemented by any Supplement; however, this Acquisition Agreement shall in no way, by itself, obligate the Developer to construct any of the Facilities. Section 2.04. The Financing. The Developer and the Authority wish to finance the acquisition, construction and installation of some of the Facilities and the payment therefor by entering into this Acquisition Agreement for the acquisition of the Facilities and therefor as shown in Exhibit B hereto (as it may be amended and supplemented) with funds deposited to the Improvement Fund. Section 2.05. The Bonds. The Authority is proceeding with the authorization and issuance of the first series of the Bonds for the CFD under the Act and the Fiscal Agent Agreement, the proceeds of which Bonds shall be used, in part, to finance the acquisition of all or a portion of the Facilities. The execution by the Authority of this Acquisition Agreement in no way obligates the Authority to issue any Bonds, or the City to acquire any Facilities financed with proceeds of any Bonds issued, except the Facilities listed in Exhibit B hereto which are to be acquired subject to the terms and conditions set forth in this Agreement. Section 2.06. No Advantage to Authority Construction. The Authority, by its approval of this Acquisition Agreement, has determined that it will obtain no advantage from undertaking the construction by the Authority directly of the Facilities, and that the provisions of this Acquisition Agreement require that any Facilities to be constructed by the Developer be so constructed by the Developer as if they had been constructed under the direction and supervision of the Authority. The Developer hereby represents that it has experience in the supervision of the construction of public facilities of the character of the Facilities. Section 2.07. Agreements. In consideration of the mutual promises and covenants set forth herein, and for other valuable consideration the receipt and sufficiency of which are hereby acknowledged, the Authority and the Developer agree that the foregoing recitals, as applicable to each, are true and correct and further make the agreements set forth herein. ARTICLE III FUNDING Section 3.01. Authority Proceedings. The Authority shall conduct all necessary proceedings under the Act for the issuance, sale and delivery of one or more of the Bonds for the CFD; provided, however, that nothing herein shall be construed as requiring the Authority to issue any of the Bonds for the CFD. Upon the written request of the Developer, the Developer and the Authority staff shall meet regarding the amount, timing and other material aspects of the Bonds for the CFD, but the legal proceedings and the principal amount, interest rates, terms and conditions and timing of the sale of the Bonds for the CFD shall be in all respects subject to the approval of the Board of Directors of the Authority. -4- Section 3.02. Bonds. The Authority shall not be obligated to pay the Purchase Price of the Facilities except from amounts on deposit in the Improvement Fund. The Authority makes no warranty, express or implied, that the proceeds of the Bonds deposited and held in the Improvement Fund, and any investment earnings thereon deposited to the Improvement Fund, will be sufficient for payment of the Purchase Price of all of the Facilities. The Developer agrees to assist the Authority in the preparation of any disclosure document or continuing disclosure agreement deemed necessary by the Authority to issue the Bonds, including but not limited to the submission of information reasonably requested by the Authority's disclosure counsel, any appraiser or any market absorption consultant in connection with the preparation of disclosure materials for the sale of the Bonds, and the provision of such continuing disclosure obligations, certifications and legal opinions as may be reasonably required by the underwriter of the Bonds. Section 3.03. Bond Proceeds. The proceeds of each series of the Bonds shall be deposited, held, invested, reinvested and disbursed as provided in the Fiscal Agent Agreement. A portion of the proceeds of the Bonds will be set aside under the Fiscal Agent Agreement in the Improvement Fund. Moneys in the Improvement Fund shall be withdrawn therefrom in accordance with the provisions of the Fiscal Agent Agreement and the provisions hereof for payment of all or a portion of the costs of construction and/or acquisition of the Facilities, all as herein provided. The Developer agrees that the Authority alone shall direct the investment of the funds on deposit in the funds and accounts established by or pursuant to the Fiscal Agent Agreement, including the Improvement Fund, and that the Developer has no right whatsoever to direct investments under the Fiscal Agent Agreement. The Authority shall have no responsibility whatsoever to the Developer with respect to any investment of funds made by the Fiscal Agent under the Fiscal Agent Agreement, including any loss of all or a portion of the principal invested or any penalty for liquidation of an investment. Any such loss may diminish the amounts available in the Improvement Fund to pay the Purchase Price of Facilities hereunder. The Developer further acknowledges that the obligation of any owner of real property in the CFD, including the Developer to the extent it owns any real property in the CFD, to pay special taxes levied in the CFD is not in any way dependent on: (i) the availability of amounts in the Improvement Fund to pay for all or any portion of the Facilities hereunder, or (ii) the alleged or actual misconduct of the Authority in the performance of its obligations under this Acquisition Agreement, the Fiscal Agent Agreement, any developer agreement or amendment thereto or any other agreement to which the Developer and the City or the Authority are signatories. The Developer acknowledges that any lack of availability of amounts in the Improvement Fund to pay the Purchase Price of Facilities shall in no way diminish any obligation of the Developer with respect to the construction of or contributions for public facilities required by this Acquisition Agreement, the Conditions of Approval or any development or other agreement to which the Developer is a party, or any governmental approval to which the Developer or any land within the CFD is subject. Section 3.04. Special Taxes. The Authority agrees, when and if the CFD is formed, to levy the Special Taxes on property in the CFD in accordance with the Rate and Method of Apportionment; provided that Special Taxes shall be levied solely on Developed Property (as defined in the Rate and Method of Apportionment) pursuant to Step One in Section F of the Rate and Method of Apportionment. The Authority agrees to deposit any Special Taxes received by it prior to the issuance of any Bonds, after deducting any Administrative Expenses (as defined in the Rate and Method of Apportionment) theretofore incurred and expected to be incurred in the then Fiscal Year, in the Improvement Fund. -5- On the date of issuance of the first series of the Bonds, the Authority shall transfer all amounts then held by it in the Improvement Fund maintained by it as described in clause (a) of the definition of "Improvement Fund" in Section 1.01 hereof to the Fiscal Agent for deposit by the Fiscal Agent to the Improvement Fund established under the Fiscal Agent Agreement for such Bonds. Proceeds of Bonds in any Improvement Fund shall be used for payments to the Developer hereunder prior to the use of Special Taxes deposited thereto, except as may otherwise be provided in any Fiscal Agent Agreement pursuant to which the Bonds were issued. Section 3.05. Refunding Bonds. The Authority may, in its sole and absolute discretion, determine at any time to issue bonds the net proceeds of which are used to refund any outstanding Bonds (the term "refund" as used in this sentence, and the term "refunding" as used in the next sentence, includes any purchase in lieu of redemption of any Bonds). The Developer shall have no right whatsoever in connection with any such refunding bond issue, including but not limited to any right to any reduction in special taxes levied or to be levied by the CFD, or to any additional funds whether pursuant to this Acquisition Agreement or otherwise as a consequence of any such refunding. Section 3.06. Fee Credits. The Authority and the City are parties to a Joint Community Facilities Agreement - City, dated as of March 1, 2021 (the "City JCFA" ), with respect to certain matters pertaining to the CFD. The Authority hereby acknowledges the provisions of the third and fourth paragraphs of Section 1 of the City JCFA and agrees with the provisions thereof. ARTICLE IV CONSTRUCTION OF FACILITIES Section 4.01. Plans. The Developer shall obtain the written approval of the Plans to be prepared for the Facilities listed in Exhibit B in accordance with applicable ordinances and regulations of the City and / or the public entity that will own and operate the Facilities. Copies of all Plans shall be provided by the Developer to the Director of Public Works upon request therefor, and, in any event, as built drawings and a written assignment of the Plans for any Facility listed in Exhibit B shall be provided to the City prior to its acceptance of the Facility. Section 4.02. Construction of Facilities. All Facilities to be acquired hereunder specified in Exhibit B hereto, as amended from time to time, shall be constructed by or at the direction of the Developer in accordance with the approved Plans and the Conditions of Approval. The Developer shall perform all of its obligations hereunder and shall conduct all operations with respect to the construction of Facilities in a good, workmanlike and commercially reasonable manner, with the standard of diligence and care normally employed by duly qualified persons utilizing their best efforts in the performance of comparable work and in accordance with generally accepted practices appropriate to the activities undertaken. The Developer shall require that each general contractor performing work in connection with the Facilities employ at all times adequate staff or consultants with the requisite experience necessary to administer and coordinate all work related to the design, engineering, acquisition, construction and installation of the Facilities to be acquired from the Developer hereunder. The Developer shall at all times have adequate staff or consultants with the requisite experience and licenses to discharge its obligations under this Acquisition Agreement. As a condition to the acquisition of the Facilities to be completed by the Developer, the Developer shall: (i) construct and cause conveyance to the City (or other applicable governmental agency) all Facilities listed in Exhibit B hereto in accordance with the provisions W of this Acquisition Agreement and the Conditions of Approval, and (ii) use its own funds to pay all costs thereof in excess of the Purchase Prices thereof to be paid therefor hereunder, except as may otherwise expressly provided in the Conditions of Approval. The Developer hereby acknowledges that (i) because of the limitations imposed by Section 5.06 hereof, the Purchase Price for any Facility may be less than the Actual Cost, or cost to the Developer, of such Facility, and (ii) there may be insufficient funds in the Improvement Fund to pay the Purchase Prices of all of the Facilities listed in Exhibit B, and, in any event, this Acquisition Agreement shall not affect any obligation of any owner of land in the CFD under the Conditions of Approval with respect to the public improvements required in connection with the development of the land within the CFD. Section 4.03. Relationship to Public Works; Bidding Requirements. The following shall apply to all contracts applicable to the Facilities acquired with funds withdrawn from the Improvement Fund: A. General. This Acquisition Agreement is for the acquisition of the Facilities listed in Exhibit B hereto from moneys in the Improvement Fund and is not intended to be a public works contract. The Authority and the Developer agree that the Facilities are of local, and not state-wide concern, and that the provisions of the California Public Contract Code shall not apply to the construction of the Facilities. The Authority and the Developer agree that the Developer shall award all contracts for the construction of the Facilities listed in Exhibit B hereto and that this Acquisition Agreement is necessary to assure the timely and satisfactory completion of such Facilities and that compliance with the Public Contract Code with respect to such Facilities would work an incongruity and would not produce an advantage to the Authority or the CFD. The Developer acknowledges that State prevailing wage laws apply to any contracts and any subcontracts for the construction of the Facilities, and that it shall at all times assure compliance with Section 8.01 G. hereof. B. Bidding Procedures. Notwithstanding the foregoing, the Developer shall award all contracts for construction of the Facilities listed in Exhibit B, and materials related thereto, by means of a bid process consistent with this Section 4.03 B. or otherwise acceptable to the Director of Public Works, in each case consistent with applicable City regulations. The Developer shall establish a list of written criteria acceptable to the Director of Public Works (including experience, ability to perform on schedule and financial ability) to determine qualified contractors for any contract. Such general contractors shall comply with any applicable City regulations. Formal bids shall be requested from those entities on the list of qualified contractors. The Developer shall prepare bid packages, including engineering reports and estimates, for each of the Facilities, and shall submit such packages to the Director of Public Works, reasonably in advance of the anticipated bid, for review. Upon agreement by the Director of Public Works and the Developer on the content of such bid packages and a schedule of bid prices, plus an acceptable margin of variance, the Developer may proceed to take bids on the applicable Facilities. At the reasonable request of the Developer, the Director of Public Works shall also meet with the qualified general contractors to discuss the requirements of the particular contract to be bid. Bids for each Facility shall be submitted to the Director of Public Works prior to the time and date prescribed for bid opening. If a bid is within the constraints of the approved bid package, the Developer shall award the applicable contract to the lowest responsible bidder; provided, however, that the Developer shall have the right to reject -7- all bids and to rebid the work for any Facility. If all bids are in excess of the bid parameters, the Developer shall obtain the consent of the Director of Public Works prior to awarding the contract. Upon written request of the Director of Public Works, the Developer shall provide an analysis of bids for construction and materials for the Facilities, indicating how the winning bid was determined and how it was consistent with the applicable bid package. The Developer shall promptly publish notice of the award of any contract in such paper as the Director of Public Works shall specify. C. Scheduling. The Developer shall develop or cause to be developed and shall maintain or cause to be maintained a schedule, using the critical path method, for the construction of the Facilities to be acquired hereunder. The Developer shall provide the Director of Public Works with a complete copy of the schedule and with each update to the schedule for the review by the Director of Public Works. D. Periodic Meetings. From time to time (expected to be at least every two weeks) at the request of the Director of Public Works, representatives of the Developer shall meet and confer with City staff, consultants and contractors regarding matters arising hereunder with respect to the Facilities, and the progress in constructing and acquiring the same, and as to any other matter related to the Facilities or this Acquisition Agreement. The Developer shall advise the Director of Public Works in advance of any coordination and scheduling meetings to be held with contractors relating to the Facilities, in the ordinary course of performance of an individual contract. The Director of Public Works or the Director of Public Work's designated representative shall have the right to be present at such meetings, and to meet and confer with individual contractors if deemed advisable by the Director of Public Works to resolve disputes and / or ensure the proper completion of the Facilities. Section 4.04. Independent Contractor; No Joint Venture. In performing this Acquisition Agreement, the Developer is an independent contractor and not the agent or employee of the Authority, the City or the CFD. None of the Authority, the City or the CFD shall be responsible for making any payments directly or otherwise to any contractor, subcontractor, agent, consultant, employee or supplier of the Developer. The Developer hereby acknowledges and agrees that the City, the Authority and the CFD, on the one hand, and the Developer, on the other, are not joint venturers or partners in the construction, acquisition, and / or installation of the Facilities, and nothing in this Acquisition Agreement shall be construed as implying any sort of joint venture or partnership relationship between the City, Authority and / or the CFD, and the Developer or any other entity involved in the construction, acquisition and / or installation of any of the Facilities. Section 4.05. Performance and Payment Bonds. The Developer agrees to comply with all applicable performance and payment bonding requirements of the Authority (and other applicable public entities and / or public utilities) with respect to the construction of the Facilities listed in Exhibit B hereto. Performance and payment bonds shall not be required of the Developer to the extent moneys are available in the Improvement Fund to pay the Purchase Price of a Facility (and consistent with the Budgeted Costs therefore shown in Exhibit B and the limitations expressed in Section 5.06 hereof); provided that all contractors and / or subcontractors employed by the Developer in connection with the construction of Facilities shall provide a labor and materials and performance bonds which name the Authority and the City as additional insureds. Section 4.06. Contracts and Change Orders. The Developer shall be responsible for entering into all contracts and any supplemental agreements (commonly referred to as "change In orders') required for the construction of the Facilities listed in Exhibit B hereto, as amended from time to time, and all such contracts and supplemental agreements shall be submitted to the Director of Public Works. Prior approval of supplemental agreements by the Director of Public Works shall only be required for such change orders which in any way materially alter the quality or character of the subject Facilities, or which involve an amount greater than $25,000.00. The Authority expects that such contracts and supplemental agreements needing prior approval by the Director of Public Works will be approved or denied (any such denial to be in writing, stating the reasons for denial and the actions, if any, that can be taken to obtain later approval) within ten (10) business days of receipt by the Director of Public Works thereof. Any approval by the Director of Public Works of a supplemental agreement shall in no way affect the Budgeted Costs listed in Exhibit B for any related Facility, but to the extent that it increases the Actual Cost of a Facility, such increased cost may be payable as part of the Purchase Price of the related Facility as provided in Section 5.06A. hereof. Section 4.07. Time for Completion. The Developer agrees that this Acquisition Agreement is for the benefit of the Authority and the Developer and, therefore, the Developer represents that it expects to complete the Facilities and to have requested payment for the Facilities under this Acquisition Agreement within thirty-six (36) months of the date of issuance of any of the Bonds. Any failure to complete the Facilities within such time period shall not, however, in itself, constitute a breach by the Developer of the terms of this Acquisition Agreement. ARTICLE V ACQUISITION AND PAYMENT Section 5.01. Inspection. No payment hereunder shall be made by the Authority to the Developer for a Facility until the Facility has been inspected and found to be completed in accordance with the approved Plans by the City or other applicable public entity or utility. The Authority shall cause the City to make periodic site inspections of the Facilities to be acquired hereunder; provided that in no event shall the Authority incur any liability for any delay in the inspection of any Facilities. For Facilities to be acquired by other public entities or utilities, the Developer shall be responsible for obtaining such inspections and providing written evidence thereof to the Director of Public Works. The Developer agrees to pay all inspection, permit and other similar fees of the City applicable to construction of the Facilities, subject to reimbursement therefor as an Actual Cost of the related Facility. Section 5.02. Agreement to Sell and Purchase Facilities. The Developer hereby agrees to sell the Facilities listed in Exhibit B hereto to the City (or other applicable public agency that will own a Facility), and the Authority hereby agrees to use amounts in the Improvement Fund to pay the Purchase Prices thereof to the Developer, subject to the terms and conditions hereof. The Authority shall not be obligated to finance the purchase of any Facility until the Facility is completed and the Acceptance Date for such Facility has occurred. In any event, the Authority shall not be obligated to pay the Purchase Price for any Facility except from the moneys in the Improvement Fund. Section 5.03. Payment Requests. In order to receive the Purchase Price for a completed Facility, inspection thereof under Section 5.01 shall have been made and the Developer shall deliver to the Director of Public Works: (i) a Payment Request in the form of Exhibit C hereto for such Facility, together with all attachments and exhibits required by Exhibit C and this Section 5.03 to be included therewith (including, but not limited to Attachments 1 and 2 to Exhibit C), and (ii) if payment is requested for a completed Facility, (a) if the property on which the Facility ME is located is not owned by the City (or other applicable public agency that will own the Facility) at the time of the request, a copy of the recorded documents conveying to the City (or other applicable public agency that will own the Facility) Acceptable Title to the real property on, in or over which such Facility is located, as described in Section 6.01 hereof, (b) a copy of the recorded notice of completion of such Facility (if applicable), (c) to the extent paid for with the proceeds of the Bonds, an assignment to the CFD of any reimbursements that may be payable with respect to the Facility, such as public or private utility reimbursements, and (d) an assignment of the warranties and guaranties for such Facility, as described in Section 6.05 hereof, in a form acceptable to the Authority. Section 5.04. Processing Payment Requests. Upon receipt of a Payment Request (and all accompanying documentation), the Director of Public Works shall conduct a review in order to confirm that such request is complete, that such Facility identified therein was constructed in accordance with the Plans therefor, and to verify and approve the Actual Cost of such Facility specified in such Payment Request. The Director of Public Works shall also conduct such review as is required in his discretion to confirm the matters certified in the Payment Request. The Developer agrees to cooperate with the Director of Public Works in conducting each such review and to provide the Director of Public Works with such additional information and documentation as is reasonably necessary for the Director of Public Works to conclude each such review. For any Facilities to be acquired by another public entity or utility, the Developer shall provide evidence acceptable to the Director of Public Works that such Facilities are acceptable to such entity or utility. Within ten (10) business days of receipt of any Payment Request, the Director of Public Works expects to review the request for completeness and notify the Developer whether such Payment Request is complete, and, if not, what additional documentation must be provided. If such Payment Request is complete, the Director of Public Works expects to provide a written approval or denial (specifying the reason for any denial) of the request within 30 days of its submittal. If a Payment Request seeking reimbursement for more than one Facility is denied, the Director of Public Works shall state whether the Payment Request is nevertheless approved and complete for any one or more Facilities and any such Facilities shall be processed for payment under Section 5.05 notwithstanding such partial denial. If multiple payment requests are submitted simultaneously, the Developer shall designate the order in which they are to be reviewed. Section 5.05. Payment. Upon approval of the Payment Request by the Director of Public Works, the Director of Public Works shall sign the Payment Request and forward the same to the City's Finance Director. Upon receipt of the reviewed and fully signed Payment Request, the City's Finance Director shall, within the then current City financial accounting payment cycle but in any event within thirty (30) days of receipt of the approved Payment Request, cause the same to be paid by the Fiscal Agent to the extent of funds then on deposit in the Improvement Fund. Any approved Payment Request not paid due to an insufficiency of funds in the Improvement Fund, shall be paid promptly following the deposit into the Improvement Fund of proceeds of any investment earnings or other amounts transferred to an Improvement Fund under the terms of the Fiscal Agent Agreement. The parties hereto acknowledge that (i) the Developer may be constructing Facilities prior to the issuance of Bonds for the CFD, (ii) the Developer may be submitting Payment Requests to the City in advance of such an issuance of Bonds for the CFD, with knowledge that, other than as described in Section 3.04, there will not be funds available in the Improvement Fund for reimbursement until the Bonds for the CFD are issued, (iii) the Facilities that are the subject of the Payment Requests submitted when there are no funds or insufficient funds in the Improvement Fund will be inspected and reviewed by the Director of Public Works as set forth in this Article V and that such Payment Requests will be reviewed by the Director of Public Works and, if appropriate, submitted in the manner set forth in Sections 5.03, 5.04 and 5.05, and -10- (iv) the payment for any Payment Requests approved in the preceding manner will be deferred until the date, if any, on which there are sufficient amounts in the Improvement Fund to make such payment, at which time the Director of Public Works will forward the approved Payment Requests to the City's Finance Director, who will then arrange for payment from the Improvement Fund in the manner set forth above. The Purchase Price paid hereunder for any Facility shall constitute payment in full for such Facility, including, without limitation, payment for all labor, materials, equipment, tools and services used or incorporated in the work, supervision, administration, overhead, expenses and any and all other things required, furnished or incurred for completion of such Facility, as specified in the Plans. Section 5.06. Restrictions on Payments. Notwithstanding any other provisions of this Acquisition Agreement, the following restrictions shall apply to any payments made to the Developer under Sections 5.02 and 5.05 hereof: A. Amounts of Payments. Subject to the following paragraphs of this Section 5.06, payments for each Facility will be made only in the amount of the Purchase Price for the respective Facility; however, if the Actual Cost exceeds the Budgeted Cost for a Facility, the excess shall be borne by the Developer until such time as a Budgeted Cost for another Facility is greater than the Actual Cost therefore, in which event the savings shall be applied to reduce any excess of Actual Cost over Budgeted Cost previously paid for any Facility by the Developer. Any savings attributable to the Actual Cost being less than Budgeted Cost which are not disbursed under the previous sentence to cover unreimbursed Actual Costs or as otherwise consented to by the Developer shall be carried forward to be credited against future cost overruns, or costs related to supplemental agreements (change orders), or if not needed for either of the foregoing purposes, to be disposed of as provided in the Fiscal Agent Agreement for excess monies in the Improvement Fund. Nothing herein shall require the Authority in any event (i) to pay more than the Actual Cost of a Facility, (ii) to make any payment beyond the available funds in the Improvement Fund, or (iii) to pay for any roadway improvements that are not generally accessible to the public (i.e. behind gates that impede the free flow of traffic). The parties hereto acknowledge and agree that all payments to the Developer for the Purchase Prices of Facilities are intended to be reimbursements to the Developer for monies already expended or for immediate payment by the Developer (or directly by the Authority) to third parties in respect of such Facilities. No payment shall be made for the Purchase Price of any Facility if (i) the Developer fails to fully provide any information requested pursuant to the second sentence of Section 8.01G. related thereto, or (ii) if the Authority or the City determines that the provisions of Section 8.01G. hereof were violated in connection with the work related to such Facility and such violation has not been remedied to the satisfaction of the City Attorney. B. Toint or Third Party Payments. The Authority may make any payment jointly to the Developer and any mortgagee or trust deed beneficiary, contractor or supplier of materials, as their interests may appear, or solely to any such third party, if the Developer so requests the same in writing (including, but not limited to, any financial institution providing financing to the Developer or any Affiliate thereof) or as the Authority otherwise determines such joint or third party payment is necessary to obtain lien releases. -11- Notwithstanding the foregoing, in the event that the City, the CFD and / or the Authority has been in any way threatened with legal action or named in any legal action by any contractor, subcontractor, supplier or other entity that has, or allegedly has, provided any labor or materials for any Facility for which the Developer has submitted a payment request, unless and until the Developer provides an unqualified lien release from each such entity in a form acceptable to the City Attorney, the Authority, at its sole and exclusive option, may either: (i) require the filing of an interpleader or similar action in Superior Court with respect to payments for such Facility and make payment to an escrow subject to approval of disbursement by the Court; or (ii) make payments directly to the entity or entities that have filed liens or as otherwise demonstrated to the reasonable satisfaction of the City Attorney that they are owed amounts in respect of the respective Facility or District Components, up to the amount of such lien or amount owed. The provisions of this Section 5.06C. shall prevail over any assignment, or purported assignment, by the Developer of its rights to payment under this Acquisition Agreement. C. Withholding Pam. The Authority shall be entitled, but shall not be required, to withhold any payment hereunder for a Facility if the Developer or any Affiliate is delinquent in the payment of ad valorem real property taxes, special assessments or taxes, or special taxes in each case as levied on property located in the CFD. In the event of any such delinquency, the Authority shall only make payments hereunder, should any be made at the Authority's sole discretion, directly to contractors or other third parties employed in connection with the construction of the Facilities or to any assignee of the Developer's interests in this Acquisition Agreement (and not to the Developer or any Affiliate), until such time as the Developer provides the Director of Public Works with evidence that all such delinquent taxes and assessments have been paid. The Authority shall be entitled to withhold any payment hereunder for a Facility that is the subject of a Payment Request until it is satisfied that any and all claims for labor and materials have been paid by the Developer for the Facility that is the subject of a Payment Request, or conditional lien releases have been provided by the Developer for such Facility. The Authority, in its discretion, may waive this limitation upon the provision by the Developer of sureties, undertakings, securities and / or bonds of the Developer or appropriate contractors or subcontractors and deemed satisfactory by the Director of Public Works to assure payment of such claims. The Authority shall be entitled to withhold payment for any Facility hereunder to be owned by the City until: (i) the Director of Public Works determines that the Facility is ready for its intended use, (ii) the Acceptance Date for the Facility has occurred and the requirements of Section 6.01, if applicable to such Facility, have been satisfied, and (iii) a Notice of Completion executed by the Developer, in a form acceptable to the Director of Public Works, has been recorded for the Facility and general lien releases conditioned solely upon payment from the proceeds of the Bonds to be used to acquire such Facility have been submitted to the Director of Public Works for the Facility. The Authority hereby agrees that the Developer shall have the right to post or cause the appropriate contractor or subcontractor to post a bond with the City to indemnify it for any losses sustained by the City or the Authority because of any liens that may exist at the time of acceptance of such a Facility, so long as such bond is drawn on an obligor and is otherwise in a form acceptable to the Director of Public Works. The -12- Authority shall be entitled to withhold payment for any Facility to be owned by other governmental entities, until the Developer provides the Director of Public Works with evidence that the governmental entity has accepted dedication of and / or title to the Facility. If the Director of Public Works determines that a Facility is not ready for intended use under (i) above, the Director of Public Works shall so notify the Developer as soon as reasonably practicable in writing specifying the reason(s) therefor. Nothing in this Acquisition Agreement shall be deemed to prohibit the Developer from contesting in good faith the validity or amount of any mechanics or materialmans lien nor limit the remedies available to the Developer with respect thereto so long as such delay in performance shall not subject the Facilities to foreclosure, forfeiture or sale. In the event that any such lien is contested, the Developer shall only be required to post or cause the delivery of a bond in an amount equal to twice the amount in dispute with respect to any such contested lien, so long as such bond is drawn on an obligor and is otherwise in a form acceptable to the Director of Public Works. D. Retention. The Authority shall withhold in the Improvement Fund an amount equal to ten percent (10%) of the Purchase Price of each Facility to be paid hereunder. Any such retention will be released to the Developer upon final completion and acceptance of the related Facility and the expiration of a maintenance period consistent with applicable City policy thereafter (currently a one year warranty period for any landscaping, and upon receipt of a maintenance bond acceptable to the Director of Public Works to remain in effect for one year as to other Facilities). Notwithstanding the foregoing, the Developer shall be entitled to payment of any such retention upon the completion and acceptance of a Facility, if a maintenance or warranty bond is posted in lieu thereof in accordance with Section 6.06 hereof. Payment of any retention shall also be contingent upon the availability of monies in the Improvement Fund therefor. No retention shall apply if the Developer proves to the Director of Public Work's satisfaction that the Developer's contracts for the Facilities provide for the same retention as herein provided, so that the Purchase Price paid for the Facility is at all times net of the required retention. E. Frequency. Unless otherwise agreed to by the Director of Public Works, no more than one Payment Request shall be submitted by the Developer in any calendar month. F. Right -of -Way. Payments for any right-of-way described in Exhibit B hereto shall be based upon appraisals of the respective land to be acquired in a form acceptable to the Director of Public Works, or upon such other basis as the Director of Public Works shall, in his sole and absolute discretion, determine is appropriate in the circumstances. Section 5.07. Acquisition of Additional Facilities. If the construction and acquisition of all the Facilities theretofore listed in Exhibit B have been completed and the Purchase Prices (including any retentions described in 5.06D. above) with respect thereto have been paid, and funds remain on deposit in any of the Improvement Fund, the Authority shall notify the Developer in writing of the amount of funds remaining in the Improvement Fund and shall allow the Developer thirty (30) calendar days to submit a proposed amendment to Exhibit B to this Acquisition Agreement to include Facilities not theretofore funded by the CFD. If such amendment is approved by the Board of Directors of the Authority, the Authority shall retain the excess funds in the Improvement Fund as necessary to pay the Purchase Prices of the Facilities so added to Exhibit B, subject to the provisions of this Acquisition Agreement. If such -13- proposed amendment is not so approved, or if the remaining funds are in excess of what is needed to pay the Actual Costs of such Facilities added to Exhibit B, such excess funds will be disposed of as provided in the Fiscal Agent Agreement. Section 5.08. Defective or Nonconforming Work. If any of the work done or materials furnished for a Facility listed in Exhibit B are found by the Director of Public Works to be defective or not in accordance with the applicable Plans: (i) and such finding is made prior to payment for the Purchase Price of such Facility hereunder, the Authority may withhold payment therefor until such defect or nonconformance is corrected to the satisfaction of the Director of Public Works, or (ii) and such finding is made after payment of the Purchase Price of such Facility, the Authority and the Developer shall act in accordance with the City's standard specification for public works construction (which are set forth in the Green Book, Standard Specifications for Public Works Construction (SSPWC), by Public Works Standards, Inc., as modified by applicable City Special Provisions. Section 5.09. Right of City to Make Withdrawals From Improvement Fund. The Developer acknowledges that the City may withdraw or cause to be withdrawn amounts from the Improvement Fund for payment to the City as necessary to pay costs of the City, the Authority or the CFD (i) in the event that the construction of the Facilities is substantially delayed, (ii) in the event that the plans for or any other aspect of such construction are substantially altered without the consent of the City, (iii) as provided in the last paragraph of Section 8.02, or (iv) otherwise in the amount of any costs that the Director of Public Works determines that the City has incurred or reasonably expects to incur in connection with the performance of the obligations of the City (including the Director of Public Works) under this Acquisition Agreement. The City shall give written notice of the amount of any such expected withdrawal from the Improvement Fund for a purpose described in any of clauses (i), (ii), (iii) or (iv) of the preceding sentence and the purpose(s) thereof to the Developer, prior to implementing a withdrawal from the Improvement Fund for such a purpose. The Developer acknowledges that any transfer described in the first sentence of this Section 5.09 will reduce the amount available to pay the Purchase Prices of the Facilities hereunder. ARTICLE VI OWNERSHIP AND TRANSFER OF FACILITIES Section 6.01. Facilities to be Owned by the City — Conveyance of Land and Easements to City. Acceptable Title to all property on, in or over which each Facility to be acquired by the City will be located, shall be deeded over to the City by way of grant deed, quitclaim, or dedication of such property, or easement thereon, if such conveyance of interest is approved by the City as being a sufficient interest therein to permit the City to properly own, operate and maintain such Facility located therein, thereon or thereover, and to permit the Developer to perform its obligations as set forth in this Acquisition Agreement. The Developer agrees to assist the City in obtaining such documents as are required to obtain Acceptable Title. Completion of the transfer of title to land shall be accomplished prior to the payment of the Purchase Price for a Facility and shall be evidenced by recordation of the acceptance thereof by the City Council or the designee thereof. Section 6.02. Facilities to be Owned by the City — Title Evidence. Upon the request of the City, the Developer shall furnish to the City, with respect to Facilities to be acquired by the City and not previously dedicated or otherwise conveyed to the City: (i) a preliminary title report for land for review and approval at least fifteen (15) calendar days prior to the transfer of Acceptable Title to a Facility to the City, and (ii) a written certification to the effect that the Developer is not aware of any promises or other arrangements with or for the benefit of the -14- owner or any previous owner of the respective land to be conveyed, and there are no known impediments to the conveyance of such land to the City. The Director of Public Works shall approve the preliminary title report unless it reveals a matter which, in the judgment of the City, could materially affect the City's use and enjoyment of any part of the property or easement covered by the preliminary title report. In the event the City does not approve the preliminary title report, the City shall not be obligated to accept title to such Facility and the Authority shall not be obligated to pay the Purchase Price for such Facility until the Developer has cured such objections to title to the satisfaction of the City. Section 6.03. Facilities Constructed on Private Lands. If any Facilities to be acquired are located on privately -owned land, the owner thereof shall retain title to the land and the completed Facilities until acquisition of the Facilities under Article V hereof. Pending the completion of such transfer, the Developer shall not be entitled to receive any payment for any such Facility. Section 6.04. Facilities Constructed on City Land. If the Facilities to be acquired are on land owned by the Authority, the Authority shall cause the City to grant to the Developer a license to enter upon such land for purposes related to the construction (and maintenance pending acquisition) of the Facilities. The provisions for inspection and acceptance of such Facilities otherwise provided herein shall apply. Section 6.05. Facilities to be Acquired by Other Public Agencies. With respect to any Facility to be acquired by a public entity other than the City, the Developer shall comply with such entities rules and regulations regarding title and conveyance of property, and provide the Director of Public Works with evidence of such compliance, prior to the payment of the Purchase Price for any such Facility. Section 6.06. Maintenance and Warranties. The Developer shall maintain each Facility in good and safe condition until the Acceptance Date of the Facility. Prior to the Acceptance Date, the Developer shall be responsible for performing any required maintenance on any completed Facility. On or before the Acceptance Date of the Facility, the Developer shall assign to the Authority all of the Developer's rights in any warranties, guarantees, maintenance obligations or other evidence of contingent obligations of third persons with respect to such Facility. The Developer shall maintain or cause to be maintained each Facility to be owned by the City (including the repair or replacement thereof) for a period of one year from the Acceptance Date thereof, or, alternatively, shall provide a bond reasonably acceptable in form and substance to the Director of Public Works for such period and for such purpose (specifically, a one-year maintenance period for landscaping improvements, and for the posting of a warranty bond to remain in effect for one year as to other Facilities), to insure that defects, which appear within said period will be repaired, replaced, or corrected by the Developer, at its own cost and expense, to the satisfaction of the Director of Public Works. During any such one- year period, the Developer shall commence to repair, replace or correct any such defects within thirty (30) days after written notice thereof by the Authority, the City or other public entity that took ownership of the respective Facility to the Developer, and shall complete such repairs, replacement or correction as soon as practicable. After such one-year period, the City (or other public entity that has accepted title to the Facility) shall be responsible for maintaining such Facility. Any warranties, guarantees or other evidences of contingent obligations of third persons with respect to the Facilities to be acquired by the City shall be delivered to the Director of Public Works as part of the transfer of title. -15- ARTICLE VII INSURANCE; RESPONSIBILITY FOR DAMAGE Section 7.01. Liability Insurance Requirements. The Developer shall provide to the Director of Public Works evidence of insurance and endorsements thereto on forms acceptable to the Risk Manager within 10 working days of execution by it of this Acquisition Agreement and prior to any physical work on the Facilities being performed. The Developer shall procure and maintain for the duration of this Acquisition Agreement the following minimum insurance coverage and limits against claims for injuries to persons or damage to property which may arise from or in connection with the performance of the work covered by this Acquisition Agreement by the Developer, its agents, representatives, employees or subcontractors: (a) Premises, operation and mobile equipment. (b) Products and completed operations. (c) Explosion, collapse and underground hazards. (d) Personal injury. (e) Contractual liability. (f) Errors and omissions for work performed by design professionals. COVERAGE PER OCCURRENCE Commercial General Liability (Primary) Umbrella Liability (Over Primary, if required) Business Auto Workers' Compensation Employers' Liability Errors and Omissions ISO FORM CG 00 011185 or 88 Rev. $2,000,000 GL 00 011185 or 88 Rev. $1,000,000 CA 00 0106 92 $1,000,000 Statutory $1,000,000 $1,000,000 Combined single limit per occurrence shall include coverage for bodily injury, personal injury, and property damage for each accident and a five million dollar ($5,000,000) general aggregate. Insurance shall be placed with insurers that are admitted to the State of California and with an AM Best's Rating of no less than A:VII. The Developer shall furnish to the Risk Manager certificates of insurance and endorsements on forms specified by the Risk Manager, duly authenticated, giving evidence of the insurance coverage required in this contract and other evidence of coverage or copies of policies as may be reasonably required by the Risk Manager from time to time. Each required insurance policy coverage shall not be suspended, voided, canceled by either party, reduced in coverage or in limits except after fifteen (15) days written notice by certified mail, return receipt requested, has been given to the Risk Manager. Liability coverage shall not be limited to the vicarious liability or supervising role of any additional insured nor shall there be any limitation with the severability clause. Coverage shall contain no limitation endorsements and there shall be no endorsement or modification limiting the scope of coverage for liability arising from pollution, explosion, collapse, underground property damage or employment related practices. Any umbrella liability coverage shall apply to bodily injury / property damage, personal injury / advertising injury, at a minimum, and shall include a "drop down' provision providing -16- primary coverage above a maximum $25,000.00 self -insured retention for liability not covered by primary polices not covered by the umbrella policy. Coverage shall be following form to any other underlying coverage. Coverage shall be on a "pay on behalf" basis, with defense costs payable in addition to policy limits. There shall be no cross policy exclusion and no limitation endorsement. The policy shall have starting and ending dates concurrent with the underlying coverage. All liability insurance shall be on an occurrence basis. Insurance on a claims made basis will be rejected. Any deductibles or self -insured retentions shall be declared to and approved by the Risk Manager. The insurer shall provide an endorsement to the City eliminating such deductibles or self -insured retentions as respects the Authority, and its consultants, and each of its Boardmembers, officials, employees and volunteers. All subcontractors employed on the work referred to in this Acquisition Agreement shall meet the insurance requirements set forth in this Section 7.01 for the Developer. The Developer shall furnish certificates of insurance and endorsements for each subcontractor at least five days prior to the subcontractor entering the job site, or the Developer shall furnish the Risk Manager an endorsement including all subcontractors as insureds under its policies. Neither the City nor the Authority shall be liable for any accident, loss, or damage to the work prior to its completion and acceptance, and the Developer shall save, keep and hold harmless the Authority, the City and their consultants, and each of their Boardmembers, Councilmembers, officers, officials, employees, agents and volunteers from all damages, costs or expenses in law or equity that may at any time arise or be claimed because of damages to property, or personal injury received by reason of or in the course of performing work, which may be caused by any willful or negligent act or omission by the Developer or any of the Developer's employees, or any subcontractor. The cost of insurance required by this subsection shall be born by the Developer and its subcontractors and no compensation for purchasing insurance or additional coverage needed to meet these requirements will be paid for by the Authority. In the event that any required insurance is reduced in coverage, canceled for any reason, voided or suspended, the Developer agrees that the Authority may arrange for insurance coverage as specified, and the Developer further agrees that administrative and premium costs may be deducted from any deposits or bonds the Authority may have, or from the Improvement Fund. A reduction or cancellation will be grounds for termination of this Acquisition Agreement and will cause a halt to payment for any work on the Facilities until the insurance is reestablished. Liability policies shall contain, or be endorsed to contain the following provisions: (a) General Liability and Automobile Liability: The Authority, the City and their respective consultants, and each of their Boardmembers, Councilmembers, officers, officials, employees and volunteers shall be covered as additional insureds using ISO form CG 00 01 11 85 or 88 as it respects: liability arising out of activities performed by or on behalf of the Developer; products and completed operations of the Developer' premises owned, occupied or used by the Developer; or automobiles owned, leased, hired or borrowed by the Developer. The coverage shall contain no special limitations on the scope or protection afforded to the Authority, the City and their respective consultants, and each of their respective Boardmembers, Councilmembers, officers, officials, employees, or volunteers. -17- The Developer's insurance coverage shall be primary insurance with respect to the Authority, the City and their respective consultants, and each of their respective Boardmembers, Councilmembers, officers, officials, employees and volunteers. Any insurance or self-insurance maintained by the Authority, the City and their respective consultants, and each of their respective Boardmembers, Councilmembers, officers, officials, employees and volunteers shall be excess of the Developer's insurance and shall not contribute with it. Any failure to comply with reporting provisions of the policies shall not affect coverage provided to the Authority, the City, and their respective consultants, and each of their respective Boardmembers, Councilmembers, officers, officials, employees, and volunteers. The Developer'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. (b) Workers' Compensation and Employer's Liability: The Developer and all subcontractors shall have workers' compensation for all employees in conformance with the requirements in Section 3700 of the Labor Code. (c) Error and Omissions Liability: The Developer and all subcontractors who are design professionals shall have and maintain errors and omissions insurance. Section 7.02. Responsibility for Damage. The Developer shall take and assume all responsibility for the work performed as part of the Facilities constructed pursuant to this Acquisition Agreement. The Developer shall bear all losses and damages directly or indirectly resulting to it, to the Authority, to the City, and their respective consultants, and their respective Boardmembers, Councilmembers, officers, employees and agents, or to others on account of the performance or character of the work, unforeseen difficulties, accidents of any other causes whatsoever. The Developer shall assume the defense of and indemnify and save harmless the Authority, the City, and their respective consultants, their respective Boardmembers, Councilmembers, officers, employees, and agents, from and against any and all claims, losses, damage, expenses and liability of every kind, nature, and description, directly or indirectly arising from the performance of the work, and from any and all claims, losses, damage, expenses, and liability, howsoever the same may be caused, resulting directly, or indirectly from the nature of the work covered by this Acquisition Agreement, to the fullest extent permitted by law and regardless (except as provided in the next sentence) of responsibility for any negligence. In accordance with Civil Code section 2782, nothing in this Section 7.02 shall require defense or indemnification for death, bodily injury, injury to property, or any other loss, damage or expense arising from the sole negligence or willful misconduct of the Authority, the City, and their respective consultants, and their respective Boardmembers, Councilmembers, agents, servants or independent contractors who are directly responsible to the Authority or the City, or for defects in design furnished by such persons. Moreover, nothing in this Section 7.02 shall apply to impose on the Developer, or to relieve the Authority or the City from, liability for active negligence of the Authority, the City, or their respective consultants or their respective Boardmembers, Councilmembers, officers, employees or agents as delineated in Civil Code Section 2782. Any relief for determining the Authority's or the City's sole or active negligence shall be determined by a court of law. go The Authority does not, and shall not, waive any rights against the Developer which it may have by reason of the aforesaid hold harmless agreements because of the acceptance by the Authority or the City, or deposit with the Authority by the Developer of any insurance policies described in Section 7.01. The aforesaid hold harmless agreement by the Developer shall apply to all damages and claims for damages of every kind suffered, or alleged to have been suffered by reasons of any of the aforesaid operations of the Developer, or any subcontractor, regardless of whether or not such insurance policies are determined to be applicable to any of such damages or claims for damages. No act by the City, or its representatives in processing or accepting any plans, in releasing any bond, in inspecting or accepting any work, or of any other nature, shall in any respect relieve the Developer or anyone else from any legal responsibility, obligation or liability it might otherwise have. ARTICLE VIII REPRESENTATIONS, WARRANTIES AND COVENANTS Section 8.01. Representations, Covenants and Warranties of the Developer. The Developer represents and warrants for the benefit of the Authority as follows: A. Organization. The Developer is a limited liability company duly organized and validly existing under the laws of the State of Delaware, is in compliance with all applicable laws of the State, and has the power and authority to own its properties and assets and to carry on its business as now being conducted and as contemplated in this Acquisition Agreement. B. Authori1y. The Developer has the power and authority to enter into this Acquisition Agreement, and has taken all action necessary to cause this Acquisition Agreement to be executed and delivered, and this Acquisition Agreement has been duly and validly executed and delivered by the Developer. C. Binding Obligation. This Acquisition Agreement is a legal, valid and binding obligation of the Developer, enforceable against the Developer in accordance with its terms, subject to bankruptcy and other equitable principles. D. Compliance with Laws. The Developer shall not with knowledge commit, suffer or permit any act to be done in, upon or to the lands of the Developer in the CID or the Facilities in violation of any law, ordinance, rule, regulation or order of any governmental authority or any covenant, condition or restriction now or hereafter affecting the lands in the CFD or the Facilities. E. Requests for Payment. The Developer represents and warrants that (i) it will not request payment from the Authority for the acquisition of any improvements that are not part of the Facilities, and (ii) it will diligently follow all procedures set forth in this Acquisition Agreement with respect to the Payment Requests. F. Financial Records. Until the date which is one year following the date of the final acceptance of the Facilities, the Developer covenants to maintain proper books of record and account for the construction of the Facilities and all costs related thereto. Such accounting books shall be maintained in accordance with generally accepted -19- accounting principles, and shall be available for inspection by the Authority or its agent at any reasonable time during regular business hours on reasonable notice. G. Prevailing Wages. The Developer covenants that, with respect to any contracts or subcontracts for the construction of the Facilities listed in Exhibit B to be acquired from the Developer hereunder, it will assure complete compliance with any applicable law or regulation for the payment of prevailing wages. The Developer shall provide, at the written request of the Director of Public Works, evidence satisfactory to the Director of Public Works that the Developer has complied with the provisions of this Section 8.01G. with respect to any Facilities to be funded under this Acquisition Agreement. H. Plans. The Developer represents that it has obtained or will obtain approval of the Plans for the Facilities listed in Exhibit B to be acquired from the Developer hereunder from all appropriate departments of the City and from any other public entity or public utility from which such approval must be obtained. The Developer further agrees that the Facilities listed in Exhibit B to be acquired from the Developer hereunder have been or will be constructed in full compliance with such approved plans and specifications and any supplemental agreements (change orders) thereto, as approved in the same manner. I. Land Owners. The Developer agrees that in the event that it sells any land owned by it within the boundaries of the CFD other than to an individual prospective homeowner, the Developer will (i) notify the Authority within 30 days of the sale, in writing, identifying the legal name of and mailing address for the purchaser, the applicable County Assessor's parcel number or numbers for the land sold and the acreage of the land sold, (ii) notify the purchaser in writing prior to the closing of any such sale of the existence of this Acquisition Agreement and, in general, the Developer's rights and obligations hereunder with respect to the construction of and payment for the Facilities, and (iii) notify the purchaser (including for purposes of this clause (iii) any prospective homeowner buying property from the Developer) in writing of the existence of the CFD and the special tax lien in connection therewith, and otherwise comply with any applicable provision of Section 53341.5 of the Act. J. Additional Information. The Developer agrees to cooperate with all reasonable written requests for nonproprietary information by the original purchasers of the Bonds or the Authority related to the status of construction of improvements required by the Conditions of Approval, the anticipated completion dates for future improvements, and any other matter material to the investment quality of the Bonds. K. Continuing Disclosure. The Developer agrees to comply with all of its obligations under any continuing disclosure agreement executed by it in connection with the offering and sale of any of the Bonds for the CFD. L. Ownership By Affiliates. The Developer agrees to provide to the City's Finance Director on the date of issuance of the Bonds, on (or within five (5) business days of) July 1 of each year so long as the Bonds are outstanding and the Developer or any Affiliate thereof owns property in the CFD, and on any other date upon three business days notice from the City's Finance Director, a written list of all Affiliates of the Developer which own or control the ownership of land located within the CFD, or which have options on land within the CFD, indicating the parcels of land by County Assessor's Parcel number of all such land so owned or optioned. -20- M. Allocation of Sales Taxes to Authority. The Developer shall use reasonable efforts, with respect to any construction contract for a contract price of $5,000,000 or more and related to any construction by the Developer within the geographical boundaries of the City, to have the installing contractor obtain a sub -permit from the California Board of Equalization under the Bradley -Burns Uniform Local Sales and Use Tax law for the job site on which the work is to be performed. Section 8.02. Indemnification and Hold Harmless. The Developer shall assume the defense of, indemnify and save harmless the Authority, the City and the CFD, the members of the Authority, the members of the Board of Directors of the Authority and of the City Council of the City, their respective officers, officials, employees and agents and each of them, from and against all actions, damages, claims, losses or expense of every type and description to which they may be subjected or put, by reason of, or resulting from (i) the breach of any provision of this Acquisition Agreement by the Developer; (ii) the Developer's or any other entity's design, engineering and / or construction of any of the Facilities acquired from the Developer hereunder; (iii) the Developer's non-payment under contracts between the Developer and its consultants, engineer's, advisors, contractors, subcontractors and suppliers in the provision of the Facilities, including but not limited to any claim, lien or action by any such entity against the City, the Authority or the CFD for money or damages; or (iv) any claims of persons employed by the Developer or its agents to construct the Facilities. Notwithstanding the foregoing, no indemnification is given hereunder for any action, damage, claim, loss or expense directly attributable to the intentional acts or negligence of the Authority, the CFD or the City, or their respective Boardmembers, Councilmembers, officers, officials, directors, employees or agents hereunder. No provision of this Acquisition Agreement shall in any way limit the Developer's responsibility for payment of damages resulting from the operations of the Developer, its agents, employees or its contractors. The Developer shall assume the defense of (with counsel satisfactory to the Authority), indemnify and save harmless the Authority, the City and the CFD, members of the governing board of the Authority and of the City Council of the City, their officers, officials, employees and agents and each of them, from and against all actions, damages, claims, losses or expense of every type and description to which they may be subjected or put, by reason of, or resulting from, any alleged or actual material misstatements or omissions of facts necessary to make the statements with respect to the development by the Developer of the land in the CFD, or the Developer, not misleading under the circumstances made in any disclosure materials published in connection with the Bonds. Notwithstanding the foregoing, no indemnification is given hereunder for any action, damage, claim, loss or expense directly attributable to the intentional misstatements of material facts or material omissions in any such disclosure materials with respect to the Authority or the City. In the event that the Developer fails to discharge its obligations under any of the foregoing provisions of this Section 8.02, the Authority shall be entitled, following prior written notice of such failure to the Developer, to draw upon funds in the Improvement Fund as it deems necessary for the defense, indemnity or hold harmless otherwise to be provided by the Developer hereunder. -21- ARTICLE IX TERMINATION Section 9.01. Termination of Funding Obligations. Unless otherwise agreed to in writing by the parties hereto, this Acquisition Agreement shall terminate on December 31, 2030, if the Bonds have not been issued by that date. If Bonds are issued before such date, this Acquisition Agreement shall terminate on the date that no funds remain in the Improvement Fund and the Authority has determined that no further Bonds will be issued for the CFD (other than possible refunding bonds as described in Section 3.05). From and after the date of termination of this Acquisition Agreement, the Authority shall have no further obligation to pay the Purchase Price of any Facilities hereunder. Section 9.02. Mutual Consent. This Acquisition Agreement may be terminated by the mutual, written consent of the Authority and the Developer, in which event the Authority may let contracts for any remaining work related to the Facilities not theretofore acquired from the Developer hereunder, and use all or any portion of the monies in the Improvement Fund to pay for same, and the Developer shall have no claim or right to any further payments for the Purchase Price of Facilities hereunder, except as otherwise may be provided in such written consent. Section 9.03. Authority Election for Cause. The following events shall constitute grounds for the Authority, at its option, to suspend payments to the Developer hereunder as provided in the second succeeding paragraph, or terminate this Acquisition Agreement as described in the succeeding paragraph, in each case without the consent of the Developer: (a) The Developer shall voluntarily file for reorganization or other relief under any Federal or State bankruptcy or insolvency law. (b) The Developer shall have any involuntary bankruptcy or insolvency action filed against it, or shall suffer a trustee in bankruptcy or insolvency or receiver to take possession of the assets of the Developer, or shall suffer an attachment or levy of execution made against the property it owns within the CFD unless, in any of such cases, such circumstance shall have been terminated or released within thirty (30) days thereafter. (c) The Developer shall abandon construction of the Facilities. Failure for a period of ninety (90) consecutive days to undertake substantial work related to the construction of the Facilities, other than for a reason specified in Section 9.04 hereof, shall constitute a noninclusive example of such abandonment. (d) The Developer shall breach any material covenant or default in the performance of any material obligation hereunder. (e) The Developer shall transfer any of its rights or obligations under this Acquisition Agreement without the prior written consent of the Authority. (f) The Developer shall have made any material misrepresentation or omission in any written materials furnished in connection with any preliminary official statement, official statement or bond purchase contract used in connection with the sale of the Bonds for the CFD. -22- (g) The Developer or any of its Affiliates shall at any time challenge the validity of the CFD, or any of the Bonds, or the levy of special taxes within the CFD, other than on the grounds that such levy was not made in accordance with the terms of the Rate and Method of Apportionment of the Special Taxes for the CFD. If any such event occurs, the Authority shall give written notice of its knowledge thereof to the Developer, and the Developer agrees to meet and confer with the Director of Public Works and other appropriate City staff and consultants within thirty (30) days of receipt of such notice as to options available to assure timely completion of the Facilities listed in Exhibit B. Such options may include, but not be limited to the termination of this Acquisition Agreement by the Authority. If the Authority elects to terminate this Acquisition Agreement, the Authority shall first notify the Developer (and any mortgagee or trust deed beneficiary specified in writing by the Developer to the Authority to receive such notice) of the grounds for such termination and allow the Developer a minimum of thirty (30) days to eliminate or mitigate to the satisfaction of the Director of Public Works the grounds for such termination. Such period may be extended, at the sole discretion of the Authority, if the Developer, to the satisfaction of the Authority, is proceeding with diligence to eliminate or mitigate such grounds for termination. If at the end of such period (and any extension thereof), as determined solely by the Authority, the Developer has not eliminated or completely mitigated such grounds, to the satisfaction of the Authority, the Authority may then terminate this Acquisition Agreement. Notwithstanding the foregoing provisions of this paragraph, if an event described in clause (a) or (b) of the preceding paragraph occurs, the Authority need not comply with any of the foregoing provisions of this paragraph and may, in its sole and absolute discretion, terminate this Acquisition Agreement upon twenty (20) days prior written notice to the Developer of such termination. Notwithstanding the foregoing paragraph, so long as any event listed in any of clauses (a) through and including (g) above has occurred, notice of which has been given by the Authority to the Developer, and such event has not been cured or otherwise eliminated by the Developer, the Authority may in its discretion cease making payments for the Purchase Price of Facilities under Article V hereof. Nothing in this Section 9.03 shall in any way prohibit the Authority, the City or the CFD from drawing funds from the Improvement Fund for any of the purposes described in Section 5.09. Section 9.04. Force Majeure. Whenever performance is required of a party hereunder, that party shall use all due diligence and take all necessary measures in good faith to perform, but if completion of performance is delayed by reasons of floods, earthquakes or other acts of God, war, pandemic, terrorist attacks, civil commotion, riots, strikes, picketing, or other labor disputes, damage to work in progress by casualty, or by other cause beyond the reasonable control of the party (financial inability excepted), then the specified time for performance shall be extended by the amount of the delay actually so caused. Section 9.05. Survival of Certain Provisions. The provisions of Sections 7.02, 8.02 and 10.01 of this Acquisition Agreement shall survive the termination of this Acquisition Agreement, and the obligations of the Developer under said Sections shall remain in effect following any such termination. -23- ARTICLE X MISCELLANEOUS Section 10.01. Limited Liability of Authority. The Developer agrees that any and all obligations of the Authority arising out of or related to this Acquisition Agreement are special and limited obligations of the Authority and the Authority's obligations to make any payments hereunder are restricted entirely to the moneys, if any, in the Improvement Fund and from no other source. No member of the Authority's Board of Directors, or Authority staff member, employee or agent shall incur any liability hereunder to the Developer or any other party in their individual capacities by reason of their actions hereunder or execution hereof. Section 10.02. Excess Costs. The Developer will be responsible for any and all costs of the Facilities that it is obligated to construct pursuant to the Conditions of Approval in excess of the moneys available therefor in the Improvement Fund. Section 10.03. Audit. The Director of Public Works and / or the City's Finance Director shall have the right, during normal business hours and upon the giving of two (2) business days prior written notice to the Developer, to review all books and records of the Developer pertaining to costs and expenses incurred by the Developer in to any of the Facilities, and any bids taken or received for the construction thereof or materials therefor. Section 10.04. Attorney's Fees. In the event that any action or suit is instituted by either party against the other arising out of this Acquisition Agreement, the party in whose favor final judgment shall be entered shall be entitled to recover from the other party all costs and expenses of suit, including reasonable attorneys' fees. Section 10.05. Notices. Any notice, payment or instrument required or permitted by this Acquisition Agreement to be given or delivered to either party shall be deemed to have been received when personally delivered, or transmitted by telecopy or facsimile transmission (which shall be immediately confirmed by telephone and shall be followed by mailing an original of the same within twenty-four hours after such transmission), or seventy-two hours following deposit of the same in any United States Post Office, registered or certified mail, postage prepaid, addressed as follows: Authority or CFD: Temecula Public Financing Authority 41000 Main Street Temecula, California 92589-9033 Attention: Director of Public Works Developer: Meritage Homes of California, Inc. 5 Peters Canyon Road, Suite 310 Irvine, CA 92606 Attention: Nick Emsiek, Division President Each party may change its address or addresses for delivery of notice by delivering written notice of such change of address to the other party. Section 10.06. Severability. If any part of this Acquisition Agreement is held to be illegal or unenforceable by a court of competent jurisdiction, the remainder of this Acquisition Agreement shall be given effect to the fullest extent possible. -24- Section 10.07. Successors and Assigns. This Acquisition Agreement shall be binding upon and inure to the benefit of the successors and assigns of the parties hereto. This Acquisition Agreement shall not be assigned by the Developer, except in whole to an Affiliate, without the prior written consent of the Authority, which consent shall not be unreasonably withheld or delayed. In connection with any such consent of the Authority, the Authority may condition its consent upon the acceptability of the relevant experience and financial condition of the proposed assignee, the assignee's express assumption of all obligations of the Developer hereunder, and / or upon any other factor which the Authority deems relevant in the circumstances. In any event, any such assignment shall be in writing, shall clearly identify the scope of the rights and / or obligations assigned, and shall not be effective until approved in writing by the Authority. No assignment, whether or not consented to by the Authority, shall release the Developer from its obligations and liabilities under this Acquisition Agreement. Notwithstanding the foregoing, the Developer may assign its rights to payment hereunder, without the prior consent of the Authority, to any financial institution providing financing to the Developer or an Affiliate of the Developer. Section 10.08. Other Agreements. The obligations of the Developer hereunder shall be those of a party hereto and not as an owner of property in the CFD. Nothing herein shall be construed as affecting the Authority's or the Developer's rights, or duties to perform their respective obligations, under other agreements, use regulations or subdivision requirements relating to the development of the land in the CFD. This Acquisition Agreement shall not confer any additional rights, or waive any rights given, by either party hereto under any development or other agreement to which they are a party. Section 10.09. Waiver. Failure by a party to insist upon the strict performance of any of the provisions of this Acquisition Agreement by the other party, or the failure by a party to exercise its rights upon the default of the other party, shall not constitute a waiver of such party's right to insist and demand strict compliance by the other party with the terms of this Acquisition Agreement thereafter. Section 10.10. Merger. No other agreement, statement or promise made by any party or any employee, officer or agent of any party with respect to any matters covered hereby that is not in writing and signed by all the parties to this Acquisition Agreement shall be binding. Section 10.11. Parties in Interest. Nothing in this Acquisition Agreement, expressed or implied, is intended to or shall be construed to confer upon or to give to any person or entity other than the Authority, the CFD, the City, and the Developer any rights, remedies or claims under or by reason of this Acquisition Agreement or any covenants, conditions or stipulations hereof; and all covenants, conditions, promises, and agreements in this Acquisition Agreement contained by or on behalf of the Authority or the Developer shall be for the sole and exclusive benefit of the Authority, the CFD, the City, and the Developer. The City is an intended third party beneficiary of this Agreement. No provision of this Acquisition Agreement shall in any way be construed to provide any right whatsoever to any contractor, subcontractor, supplier or other party involved in the acquisition, construction or maintenance of any of the Facilities against the Authority, the City or the CFD, including but not limited to any right to payment or damages of any nature, in law or in equity. Section 10.12. Amendment. This Acquisition Agreement may be amended, from time to time, by written Supplement hereto and executed by both the Authority and the Developer. -25- Section 10.13. Counterparts. This Acquisition Agreement may be executed in counterparts, each of which shall be deemed an original. Section 10.14. Governing Law. The provisions of this Acquisition Agreement shall be governed by the laws of the State applicable to contracts made and performed in the State. -26- IN WITNESS WHEREOF, the parties hereto have executed this Acquisition Agreement as of the day and year first -above written. 20009.18:J17265 TEMECULA PUBLIC FINANCING AUTHORITY, for and on behalf of the TEMECULA PUBLIC FINANCING AUTHORITY COMMUNITY FACILITIES DISTRICT NO.20-01 (HEIRLOOM FARMS) By: Aaron Adams, Executive Director MERITAGE HOMES OF CALIFORNIA, INC., a California corporation Nick Emsiek, Division President S-1 EXHIBIT A DESCRIPTION OF FACILITIES ELIGIBLE FOR ACQUISITION FROM THE DEVELOPER The acquisition and construction of: streets (including paving, aggregate base, striping and traffic marking, sidewalks, curbs, gutters and driveways), including Temecula Center Drive and Ynez Road within and in the vicinity of the CFD; stormwater drainage systems (including storm drain lines, inlets, outlets, channels, structures, junctions, manholes, catch basins and related dewatering); street light improvements (including light fixtures, substructures, conduits and service points of connection); and street signage (including traffic, stop and street name signs). • The acquisition and installation of traffic signal improvements at the intersection of Ynez Road and Temecula Center Drive. • Landscaping improvements in the public right of way along or in the vicinity of Temecula Center Drive, Date Street and Ynez Road, including related appurtenances. Exhibit A Page 1 EXHIBIT B FACILITIES ELIGIBLE FOR ACQUISITION FROM THE DEVELOPER AND RELATED BUDGETED COSTS Facility Budgeted No. Description Cost 1 Temecula Center Drive from Ynez Road to Date Street: $1,935,729.20 Improvements include grading, removal of asphalt berms, sawcut and removal of existing asphalt, paving, grind and overlay of existing asphalt, curb and gutter, sidewalk, landscaping, irrigation, signing and striping, street lights, traffic control, storm drain and other appurtenant improvements necessary to complete Temecula Center Drive. 2 Ynez Road from Temecula Center Drive to Date Street: $367,138.20 Improvements include sawcut and removal of existing pavement and median curb, construction of new median and turn lane, removal of median landscaping, paving, grind and overlay of existing asphalt, curb and gutter, landscape, irrigation, signing and striping, traffic control and other appurtenant improvements necessary to complete Ynez Road. Date Street from Ynez Road to Temecula Center Drive: $242,284.11 Improvements include sawcut and removal of existing pavement median curb, construction of new median, removal of median landscaping, paving, grind and overlay of existing asphalt, curb and gutter, landscape, irrigation, signing and striping, traffic control, and other appurtenant improvements necessary to complete Ynez Road. 4 Traffic Signal at Temecula Center Drive and Ynez Road: $740,520.00 Improvements include traffic signal, traffic signal interconnect on Ynez Rd. from Temecula Center Drive to Equity Drive, and other appurtenant improvements necessary to complete the traffic signal at Temecula Center Drive and Ynez Road. Exhibit B Page 1 EXHIBIT C FORM OF PAYMENT REQUEST PAYMENT REQUEST NO. The undersigned ("the Developer'), hereby requests payment in the total amount of $ for the Facilities (as defined in the Acquisition Agreement, dated as of 2021, between (a) the Temecula Public Financing Authority (the "Authority"), for and on behalf of the Temecula Public Financing Authority Community Facilities District No. 03- 02 (Roripaugh Ranch) and the Temecula Public Financing Authority Community Facilities District No. 20-01 (Heirloom Farms), and (b) the Developer), all as more fully described in Attachment 1 hereto. In connection with this Payment Request, the undersigned hereby represents and warrants to the Authority as follows: 1. He(she) is a duly authorized officer of the Developer, qualified to execute this Payment Request for payment on behalf of the Developer and is knowledgeable as to the matters set forth herein. 2. To the extent that this payment request is with respect to a completed Facility, the Developer has submitted or submits herewith to the City of Temecula (the "City") as -built drawings or similar plans and specifications for the items to be paid for as listed in Attachment 1 hereto with respect to any such completed Facility, and such drawings or plans and specifications, as applicable, are true, correct and complete. 3. All costs of the Facilities for which payment is requested hereby are Actual Costs (as defined in the Agreement referenced above) and have not been inflated in any respect. The items for which payment is requested have not been the subject of any prior payment request submitted to the Authority. 4. Supporting documentation (such as third party invoices) is attached with respect to each cost for which payment is requested. 5. There has been compliance with applicable laws relating to prevailing wages for the work to construct the Facilities for which payment is requested. 6. The Facilities for which payment is requested were constructed in accordance with all applicable City or other governmental standards, and in accordance with the as -built drawings or plans and specifications, as applicable, referenced in paragraph 2 above. 7. The Developer is in compliance with the terms and provisions of the Acquisition Agreement and no portion of the amount being requested to be paid was previously paid. 8. The Purchase Price for each Facility (a detailed calculation of which is shown in an Attachment 2 hereto for each such Facility), has been calculated in conformance with the terms of Section 5.06 of the Acquisition Agreement. 9. Neither the Developer nor any Affiliate (as defined in the Acquisition Agreement) is in default in the payment of ad valorem real property taxes or special taxes or special assessments levied in the CFD (as defined in the Acquisition Agreement), except as follows: Exhibit C Page 1 I hereby declare under penalty of perjury that the above representations and warranties are true and correct. DEVELOPER: MERITAGE HOMES OF CALIFORNIA, INC. Authorized Representative of the Developer Date: AUTHORITY: Payment Request Approved for Submission to the Finance Director of the City of Temecula Director of Public Works Date: Exhibit C Page 2 ATTACHMENT 1 EXHIBIT C [list here all Facilities for which payment is requested, and attach support documentation] Exhibit C-1 Page 3 ATTACHMENT 2 EXHIBIT C CALCULATION OF PURCHASE PRICE [Use a separate sheet for each Facility for which payment is being requested] 1. Description (by reference to Exhibit B to the Acquisition Agreement) of the Facility 2. Actual Cost (list here total of supporting invoices and / or other documentation supporting determination of Actual Cost): $ 3. Budgeted Cost: $ 4. Permitted Addition to Budgeted Cost (to the extent, and only to the extent, that Actual Cost exceeds Budgeted Cost), consisting of Savings (Actual Costs less than Budgeted Cost) carried forward from prior acquired Facilities (see first paragraph of Section 5.06A) and not previously applied to cover cost overruns (Actual Costs greater than Budgeted Cost) on previously acquired Facilities: $ 5. Subtractions from Purchase Price: A. Holdback for Lien releases (see Section 5.06(C) of the Acquisition Agreement) $ B. Retention (see Section 5.06(D) of the Acquisition Agreement) $ 6. Total disbursement requested (amount listed in 3, plus amount, if any, listed in 4 (total of amounts in 3 and 4 not to exceed amount listed in 2), less amounts, if any, listed in 5) $ Exhibit C-2 Page 1 SHEET 1 OF 1 I HEREBY CERTIFY THAT THE WITHIN MAP SHOWING PROPOSED BOUNDARIES COOMMUNITY FACILITIES DISTRICT NO. 20-01 (HEIRLOOM FARMS), TEMECULA PUBLIC FINANCING AUTHORITY, COUNTY OF RIVERSIDE, STATE OF CALIFORNIA, WAS APPROVED BY THE BOARD OF DIRECTORS OF THE TEMECULA PUBLIC FINANCING AUTHORITY AT A REGULAR MEETING THEREOF, HELD ON THE DAY OF , 2021. BY RESOLUTION NO. SECRETARY OF THE BOARD OF DIRECTORS, TEMECULA PUBLIC FINANCING AUTHORITY FILED IN THE OFFICE OF THE SECRETARY OF THE BOARD OF DIRECTORS OF THE TEMECULA PUBLIC FINANCING AUTHORITY, COUNTY OF RIVERSIDE, STATE OF CALIFORNIA THIS DAY OF 12021. SECRETARY OF THE BOARD OF DIRECTORS, TEMECULA PUBLIC FINANCING AUTHORITY V 5 VICINITY MAP NOT TO SCALE �O �Q 15 AID) SITE GPO �Ci �G THIS BOUNDARY MAP CORRECTLY SHOWS THE LOT OR PARCEL OF LAND INCLUDED WITHIN THE BOUNDARIES OF THE COMMUNITY FACILITIES DISTRICT. FOR DETAILS CONCERNING THE LINES AND DIMENSIONS OF LOTS OR PARCELS REFER TO THE COUNTY ASSESSOR'S MAPS FOR FISCAL YEAR 2020-2021. PROPOSED BOUNDARY MAP COMMUNITY FACILITIES DISTRICT NO. 20-01 (HEIRLOOM FARMS) TEMECULA PUBLIC FINANCING AUTHORITY COUNTY OF RIVERSIDE, STATE OF CALIFORNIA SEC.26, T.7S., R.3W. COUNTY OF RIVERSIDE N 0 500 1,000 I I I Feet RECORDED THIS DAY OF , 20211 AT THE HOUR OF O'CLOCK .M., IN BOOK PAGE OF MAPS OF ASSESSMENT AND COMMUNITY FACILITIES DISTRICTS IN THE OFFICE OF THE COUNTY RECORDER, IN THE COUNTY OF RIVERSIDE, STATE OF CALIFORNIA. FEE: NO.: PETER ALDANA, ASSESSOR, COUNTY CLERK, RECORDER DEPUTY PARCEL IDENTIFICATION NUMBER 916-400-034 916-400-035 916-400-036 916-400-039 916-400-060 LEGEND PROPOSED CFD BOUNDARY PARCEL BOUNDARY *IX 3:e33:e33:�9_1Yy: 101111] : 10111aLfy_%1[9]010 1111111•1:3: IV M: IGIS AssessmentjTemecula CFD 20-01. Item No. 9 TO: FROM: DATE CITY OF TEMECULA / TEMECULA COMMUNITY SERVICES DISTRICT AGENDA REPORT City Council / Board of Directors Aaron Adams, City Manager / Executive Director February 23, 2021 SUBJECT: Approve Fiscal Year 2020-21 Mid -Year Budget Adjustments PREPARED BY: Jennifer Hennessy, Director of Finance RECOMMENDATION: That the City Council/TCSD Board of Directors adopt the following resolutions entitled: RESOLUTION NO. 2021- A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF TEMECULA AMENDING THE FISCAL YEAR 2020-21 ANNUAL OPERATING BUDGET RESOLUTION NO. CSD 2021- A RESOLUTION OF THE BOARD OF DIRECTORS OF THE TEMECULA COMMUNITY SERVICES DISTRICT OF THE CITY OF TEMECULA AMENDING THE FISCAL YEAR 2020-21 ANNUAL OPERATING BUDGETS RESOLUTION NO. 2021- A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF TEMECULA AMENDING THE CAPITAL IMPROVEMENT PROGRAM FISCAL YEARS 2021-25 AND AMENDING THE CAPITAL IMPROVEMENT BUDGET FOR FISCAL YEAR 2020-21 BACKGROUND: In accordance with Budget Policy II.B.- Interim Reporting, City staff conducted a comprehensive Mid -Year review of its Annual Operating Budget and Capital Improvement Program Budget. The purpose of the review is to analyze revenue and expenditure trends to identify variances from the Adopted Budget and ensure that the City maintains a healthy fiscal position. The Mid -Year Budget includes a review of all City funds. The requested adjustments are summarized in the attached exhibits and discussed in further detail below. GENERAL FUND: General Fund Revenue includes a reduction of $1,468,642, bringing total FY20-21 Revenue to $79,536,270. Adjustments by revenue category are noted below: • Property Tax — increase of $449,473, to reflect the anticipated 4.5% increase in property values within the City, as provided by the City's consultant team at HdL Coren & Cone. • Sales Tax — increase of $917,000, to reflect more favorable sales tax activity than originally projected. Despite the global pandemic, Sales Tax is expected to increase 2.5% over the prior year, as recent trends have shown that taxpayers who have retained employment have experienced an increase in disposable income due to less expenditures on travel, entertainment and job -related expenditures. • Sales Tax Sharing Agreement — reduction of $352,761, to reflect an anticipated reduction in the sales tax of a major corporation with whom the City has a tax sharing agreement. • Franchise Fees — reduction of $69,252, to reflect less cable subscription revenue than originally anticipated. • Transient Occupancy Tax — reduction of $560,774, to reflect the prolonged closure of hotels and motels due to the pandemic. • Licenses, Permits and Service Charges — increase of $625,333, to reflect the increase in development -related revenue. • Fines and Forfeitures — reduction of $272,165, to reflect less Vehicle Code Fine activity than originally projected. • Use of Money and Property — reduction of $200,000, to reflect the change in fair value on the City's investments. • Intergovernmental Revenues — increase of $56,337, to align Property Tax In Lieu of Vehicle License Fee revenue with the amount provided by the County for this revenue source. • Reimbursements — reduction of $23,165, which reflects the deferral of $115,165 in Community Facility District fees for municipal services. These fees are assessed on new homes built within the Sommer's Bend and Rancho Soleo housing developments, offset by $92,000 increase in Public Works' reimbursements. • Transfers In — reduction of $2,671,698, as a result of the reduced need for Measure S funds which were reduced by $3,000,000, partially offset by higher Transfers In from Gas Tax ($221,624) and the Supplemental Law Enforcement Grant ($106,678). General Fund Expenditures include a reduction of $64,164, bringing total Expenditues and Transfers Out to $84,313,207. Adjustments by expenditure category are noted below: • Salaries and Benefits — reduction of $11,338, due primarily to savings achieved from vacant positions. • Operations and Maintenance — reduction of $569,903, due primarily to a $402,794 reduction in the Sheriff's Contract as a result of a more favorable contract rate than originally projected. Additional reductions include less Economic Development sponsorship activity ($38,415) and a temporary reduction in the intern/fellowship program ($21,051) due to COVID. Reductions in Planning's consulting services ($25,000) and staff training ($15,500), combined with a reduction in Public Works' consulting services ($50,000) all reflect lower levels of service as a result of the pandemic. • Capital Outlay — increase of $155,000 for a new license plate reader program for the Police department, which is offset by savings in departmental Salaries and Benefits. • Transfers Out — increase of $362,077 for the Sidewalks-DLR Drive capital project, which was erroneously missed in the October Budget update. General Fund Ending Fund Balance is protected to be $27,756,5131 with Reserves fully - funded at $19,829,389. A total of $6,749,159 of fund balance is Unassigned and available to fund future one-time projects and/or equipment. General Fund 5-Year Projections Fund Balance Trend 35,000,000 30,000,000 25,000,000 20,000,000 15,000,000 10,000,000 o12"13 FI1314, 091_15 o10- 6 vo-6.11 FYV_18 oV,-19 01924 o211_21 FY21.22 FY2223 Fy23-2& F,aAr25 +Fund Balance —Funded Reserve O Desired Reserve In addition, the General Fund 5-Year Projections indicate that Reserves will remain fully -funded throughout the long-term forecast, as revenues continue to outpace expenditure projections. MEASURE S FUND: Measure S Revenue includes a reduction of $377,029, bringing total FY20-21 Revenue to $27,754,800, which aligns with the City's Sales Tax consultant estimate. Measure S revenue is remitted on a delayed basis from the State of California and through February, the City has only received information on sales activity from July — September 2020. Due to the unknown impact of the statewide closures on our local economy, the City is utilizing the projections of the consultant team, HdL Companies. Measure S Expenditures includes a reduction of $3,400,000, bringing total FY20-21 Expenditures to $36,883,883. The transfer to the General Fund to support Public Safety was reduced by $3,000,000 due to more favorable revenue than anticipated in the General Fund, reducing the reliance on Measure S. The transfer to the TCSD Fund was also reduced, by $400,000, due to the prolonged closure of TCSD facilities, programs and events. Total Measure S Ending Fund Balance is estimated to be $6,316,608. SPECIAL REVENUE & DEBT SERVICE FUNDS: The City maintains 15 separate Special Revenue Funds and two Debt Service Funds. Activities in these funds are legally required to be accounted for in separate and distinct funds. Below is a summary of the Mid -Year requests for each Special Revenue and Debt Service Funds. Beginning Current Revised Current Revised Ending Balance Revenues/ Mid -Year Revenues/ Expenditures/ Mid -Year Expenditures/ Balance 2020-21 Transfers In Adjustment Transfers In Transfers Out Adjustment Transfers Out 2020-21 2020-21 2020-21 2020-21 2020-21 SPECIAL REVENUE RINDS 100: GAS TAX 101,877 2,418,092 221,624 2,639,716 2,418,092 221,624 2,639,716 101,877 102: ROAD MAINTENANCE REHABILITATION ACCOUNT 1,324,432 1,840,342 203,995 2,044,337 2,806,076 - 2,806,076 562,693 (RMRA) 103: STREET MAINTENANCE 1,457,541 2,012,500 - 2,012,500 - - - 3,470,041 106: JEFFERSON STREET IN -LIEU FEES 892,717 222,718 - 222,718 - - 1,115,435 107: CARES ACT - 1,382,508 - 1,382,508 1,382,508 - 1,382,508 - 120: DEVELOPMENT IMPACT FEES 4,388,270 4,755,870 - 4,755,870 9,144,140 - 9,144,140 - 125:PUBLIC EDUCATION & GOVERNMENT (PEG) 427,810 222,219 - 222,219 100,000 - 100,000 550,029 140: COMMUNITY DEV BLOCK GRANT (63,909) 1,487,736 1,018,650 2,506,386 1,176,527 1,265,950 2,442,477 - 145:TEMECULA ENERGY EFFICIENCY ASSET TEAM 198,410 1,300 640,754 642,054 - 200,000 200,000 640,464 150: AB 2766 MOTOR VEHICLE SUBVENTION 15,214 153,370 - 153,370 116,900 - 116,900 51,684 160: SUPPLEMENTAL LAW ENFORCEMENT SERVICES - 172,507 106,678 279,185 172,507 106,678 279,185 - 161:TEMECULA MAJOR CRIMES REWARD 27,124 180 - 180 - - - 27,304 165: AFFORDABLE HOUSING 11,957,411 340,100 - 340,100 597,131 (22,367) 574,764 11,722,747 170: MEASURE A 7,741,676 2,818,800 - 2,818,800 9,868,388 - 9,868,388 692,088 198: PUBLIC ART 56,632 13,255 - 13,255 - - - 69,887 TOTAL SPECIAL REVENUE FUNDS 28,525,205 17,841,497 2,191,701 20,033,198 27,782,269 1,771,885 29,554,154 19,004,249 INTERNAL SERVICES FUNDS: The City has nine Internal Service Funds, used to account for services provided internally between departments. Below is a summary of the Mid -Year requests for each Internal Service Fund. Beginning Current Revised Current Revised Ending Balance Revenues/ Mid -Year Revenues/ Expenditures/ Mid -Year Expenditures/ Balance 2020-21 Transfers In Adjustment Transfers In Transfers Out Adjustment Transfers Out 2020-21 2020-21 2020-21 2020-21 2020-21 INTERNAL SERVICE RINDS 300: INSURANCE 748,090 1,097,820 - 1,097,820 1,143,369 - 1,143,369 702,541 305: WORKERS' COMPENSATION 2,376,525 13,000 - 13,000 278,779 - 278,779 2,110,746 310: VEHICLES AND EQUIPMENT 3,800,749 891,376 - 891,376 136,616 (125,000) 11,616 4,680,509 320: INFORMATION TECHNOLOGY 1,110,473 4,578,204 - 4,578,204 5,087,712 - 5,087,712 600,965 325: TECHNOLOGY REPLACEMENT 1,660,004 712,224 - 712,224 1,142,536 - 1,142,536 1,229,692 330: SUPPORT SERVICES 2,704 379,376 - 379,376 376,769 - 376,769 5,311 335: SUPPORT SERVICES REPLACEMENT 421,259 28,524 - 28,524 60,000 - 60,000 389,783 340: FACILITIES 585,694 1,394,190 40,000 1,434,190 1,361,455 402,056 1,763,5111 256,373 350: FACILITY REPLACEMENT 621,233 501,700 48,583 550,283 450,000 (85,000) 365,000 806,516 TOTAL INTERNAL SERVICE RINDS 11,326,731 9,596,414 88,583 9,684,997 10,037,236 192,056 10,229,292 10,782,436 TEMECULA COMMUNITY SERVICES DISTRICT The Temecula Community Services District (TCSD) provides for a comprehensive neighborhood and community park system, as well as a complement of recreational and cultural programs, community and human services and special events. TCSD also provides street lighting, median and slope maintenance, refuse hauling and recycling, emergency dirt road maintenance, and library services. Fiscal Year 2020-21 Mid -Year adjustments reflect the prolonged closures of TCSD facilities, programs and events due to the pandemic, and are summarized in the table below. Beginning Current Revised Current Revised Ending Balance Revenues/ Mid -Year Revenues/ Expenditures/ Mid -Year Expenditures/ Balance 2020-21 Transfers In Adjustment Transfers In Transfers Out Adjustment Transfers Out 2020-21 2020-21 2020-21 2020-21 2020-21 TEMECULA COMMUNITY SERVICES DISTRICT 190: TEMECULA COMMUNITY SERVICES DISTRICT 845,744 11,558,813 (871,121) 10,687,692 11,881,390 (571,250) 11,310,140 223,296 192: TCSD SERVICE LEVEL "B" STREET LIGHTS 257,367 713,935 - 713,935 575,723 - 575,723 395,579 194: TCSD SERVICE LEVEL "D" REFUSE/RECYCLING 147,821 8,676,945 - 8,676,945 8,685,983 - 8,685,983 138,783 195: TCSD SERVICE LEVEL "R" STREET/ROAD MAINT 20,778 5,652 7,050 12,702 15,150 - 15,150 18,330 196: TCSD SERVICE LEVEL "L" LAKE PARK MAINT. 418,989 253,232 - 253,232 271,673 - 271,673 400,548 197: TEMECULA LIBRARY 382,653 875,031 (23,067) 851,964 1,090,394 (85,843) 1,004,551 230,066 501-530: TCSD SERVICE LEVEL"C" ZONES 1-30 1,847,877 1,595,669 - 1,595,669 1,956,415 - 1,956,415 1,487,131 TOTAL TCSD 3,921,229 23,679,278 (887,138) 22,792,140 24,476,728 (657,093) 23,819,635 2,893,734 CAPITAL IMPROVEMENT PROGRAM Adjustments to the Fiscal Years 2021-25 Capital Improvement Program include the following: • Comprehensive General Plan Update Project - increase grant funding by $10,000 to match the Local Early Action Planning (LEAP) grant award amount of $310,000. • Sports Field Lighting - Light Emitting Diode (LED) Conversion Project - increase funding by $200,000 from the Temecula Energy Efficiency Asset (TEAM) Fund. • Sidewalks -Old Town Improvements Project - transfer $280,000 in Measure S funding from the Sidewalks -Old Town Boardwalk Enhancement project. • I-15 Congestion Relief Project - increase appropriation by $100,000 to reflect the contribution received from the City of Murrieta. FISCAL IMPACT: The Fiscal impact of each fund is noted in the attached Exhibits. ATTACHMENTS: 1. Resolution - Mid -Year Budget Amendments a. Exhibit A - General & Measure S Fund b. Exhibit B - Special Revenue & Debt Service Funds c. Exhibit C - Internal Service Funds 2. CSD Resolution - Mid -Year Budget Amendments a. Exhibit A - TCSD Funds 3. Resolution - Capital Improvement Program Mid -Year Budget Amendments a. Exhibit 1 - CIP Mid -Year Adjustments RESOLUTION NO. 2021- A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF TEMECULA AMENDING THE FISCAL YEAR 2020-21 ANNUAL OPERATING BUDGET THE CITY COUNCIL OF THE CITY OF TEMECULA DOES HEREBY RESOLVE AS FOLLOWS: Section 1. The purpose of this review is to conduct an analysis of revenues and expenditures to ensure that the City maintains a prudent and healthy fiscal position. Section 2. That each year a mid -year review is conducted of City operating budgets. Section 3. That the mid -year review has been completed and the recommended adjustments are reflected in the attached schedules for the City's General Fund, Special Revenue, Debt Service and Internal Services Funds. Section 4. That the Fiscal Year 2020-21 General Fund and Measure S Fund Annual Operating Budgets are hereby amended in accordance with the attached Exhibit A, General Fund Fiscal Year 2020-21 Mid -Year Budget. Section 5. That the Fiscal Year 2020-21 Special Revenue and Debt Service Funds Annual Operating Budgets are hereby amended in accordance with the attached Exhibit B — Special Revenue and Debt Service Funds Fiscal Year 2020-21 Mid -Year Budget. Section 6. That the Fiscal Year 2020-21 Internal Services Funds Annual Operating Budgets are hereby amended in accordance with the attached Exhibit C, Internal Services Funds Fiscal Year 2020-21 Mid -Year Budget. Section 7. The City Clerk shall certify adoption of the resolution. PASSED, APPROVED, AND ADOPTED by the City Council of the City of Temecula this 23rd day of February, 2021. Maryann Edwards, 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. 2021- was duly and regularly adopted by the City Council of the City of Temecula at a meeting thereof held on the 23rd day of February, 2021, by the following vote: AYES: COUNCIL MEMBERS: NOES: COUNCIL MEMBERS: ABSTAIN: COUNCIL MEMBERS: ABSENT: COUNCIL MEMBERS: Randi Johl, City Clerk EXHIBIT A General Fund & Measure S Fund Alk The Heart of Southern California Wine Country City of Temecula Fiscal Year 2020-21 Quarterly Budget Report FUND: 001 - GENERAL FUND % Change 2020-21 Year to Date 2020-21 Q2 from 2019-20 Current Actuals Revised Requested Current Description Actuals Budget 12-31-2020 Budget Adjustments Budget Revenues by Source Taxes and Franchises Property Tax 8,831,452 8,777,137 5,287,251 9,226,610 449,473 5.1 % Sales Tax 35,263,640 35,260,000 16,S41,339 36,177,000 917,000 2.6 % Sales Tax Sharing Agreement (1,354,111) (1,597,814) (303,785) (1,245,053) 352,761 -22.1 % Franchise Fees 3,039,761 3,631,908 1,542,623 3,562,656 (69,252) -1.9 % Transient Occupancy Tax 2,662,876 3,181,349 1,185,331 2,620,575 (560,774) -17.6 % Special Tax (Measure C) 1,840,763 1,880,264 43,941 1,880,264 0 0.0 % Licenses, Permits and Service Charges Development Impact Fees 22,811 18,000 0 18,000 0 0.0 % Business Licenses 2S4,667 2S5,000 95,780 255,000 0 0.0 % Land Development 1,847,119 578,504 845,123 1,006,805 428,301 74.0 % Public Works 1,175 800 4,750 4,750 3,950 493.8 % Parks Maintenance 25,668 1,000 0 1,000 0 0.0 % Building 1,959,017 1,660,009 955,233 1,671,009 11,000 0.7 % Planning 474,845 532,140 243,526 542,722 10,582 2.0 % Police 150,512 140,557 56,191 149,557 9,000 6.4 % Fire 794,973 707,269 425,156 786,769 79,500 11.2 % Development Fees 177,444 159,780 77,510 159,780 0 0.0 % Fines and Forfeitures Fines & Forfeitures 601,163 691,939 220,300 419,774 (272,165) -39.3 % Use of Money and Property Investment Interest 815,902 82,300 (140,893) (117,700) (200,000) -243.0 % Lease/Rental Income 185,823 148,089 65,221 148,089 0 0.0 % Other 95,559 0 4,941 4,941 4,941 100.0 % Intergovernmental Revenues Property Tax In Lieu Of VLF 8,434,916 8,745,321 0 8,801,658 56,337 0.6 % Vehicle License Fees 90,088 55,415 0 55,415 0 0.0 % Grants 2,249,767 0 3,500 0 0 0.0 % Reimbursements Capital Improvement Program 169,474 2,435,827 989,959 2,435,827 0 0.0 % Pechanga IGA 0 356,567 0 356,567 0 0.0 % Other Reimbursements 233,439 356,614 203,640 333,449 (23,165) -6.5 % Operating Transfers In Operating Transfers In 2,840,294 3,973,107 1,732,209 4,301,409 328,302 8.3 % Contribution From Measure S 5,592,418 8,944,780 2,236,195 5,944,780 (3,000,000) -33.5 % Miscellaneous Miscellaneous 35,251 29,050 20,612 34,617 5,567 19.2 % Total Revenues and Other Sources 77,336,705 81,004,912 32,335,654 79,536,270 (1,468,642) -1.8 % Expenditures by Category Salaries & Benefits 16,221,068 16,153,016 7,614,670 16,141,678 (11,338) -0.1 % Operations & Maintenance 51,348,094 57,645,829 21,456,538 57,075,926 (569,903) -1.0 % Internal Service Fund Allocations 5,180,162 5,611,512 2,796,628 5,611,512 0 0.0 % Capital Outlay 104,791 333,438 74,303 488,438 155,000 46.5 % Transfers 5,663,044 4,633,575 3,415,871 4,995,652 362,077 7.8 % Alk The Heart of Southern California Wine Country FUND: 001 - GENERAL FUND City of Temecula Fiscal Year 2020-21 Quarterly Budget Report Change 2020-21 Year to Date 2020-21 Q2 from 2019-20 Current Actuals Revised Requested Current Description Actuals Budget 12-31-2020 Budget Adjustments Budget Total Expenditures and Other Financing Uses 78,517,158 84,377,371 35,358,009 84,313,207 (64,164) Excess of Revenues Over (Under) Expenditures (1,180,453) (3,372,459) (3,022,355) (4,776,937) (1,404,478) -0.1 41.6 Fund Balance, Beginning of Year 33,713,903 32,533,450 32,533,450 Fund Balance, End of Year 32,533,450 29,160,991 27,756,513 Fund Description The General Fund is the main operating fund for the City of Temecula. It is used to account for all financial resources for the City that are not restricted to a special purpose and otherwise required to be accounted for in another fund. The General fund provides the resources necessary to sustain the day-to-day activities and pays for all administrative and operating expenditures. Alk The Heart of Southern California Wine Country City of Temecula Fiscal Year 2020-21 Quarterly Budget Report FUND: 002 - MEASURE S FUND % Change 2020-21 Year to Date 2020-21 Q2 from 2019-20 Current Actuals Revised Requested Current Description Actuals Budget 12-31-2020 Budget Adjustments Budget Revenues by Source Taxes and Franchises Transactions And Use Tax 28,158,664 28,091,029 13,131,207 27,734,000 (357,029) -1.3 % Use of Money and Property Investment Interest 164,280 40,800 (13,295) 20,800 (20,000) -49.0 % Total Revenues and Other Sources 28,322,944 28,131,829 13,117,913 27,754,800 (377,029) -1.3 % Expenditures by Category Transfers 19,641,318 40,283,883 9,860,384 36,883,883 (3,400,000) -8.4 % Total Expenditures and Other Financing Uses 19,641,318 40,283,883 9,860,384 36,883,883 (3,400,000) -8.4 % Excess of Revenues Over (Under) Expenditures 8,681,626 (12,152,054) 3,257,529 (9,129,083) 3,022,971 -24.9 % Fund Balance, Beginning of Year 6,764,065 15,445,691 15,445,691 Fund Balance, End of Year 15,445,691 3,293,637 6,316,608 Fund Description Measure S, approved by the voters on November 8, 2016, established a one -cent Transactions and Use Tax for the City. The measure was approved based on the commitment to maintain 9-1-1 emergency response times, prevent cuts to local paramedic/police/fire protection, school safety patrols, youth/after-school, senior and disabled services; improve freeway interchanges/reduce traffic and provide for other general services. EXHIBIT B Special Revenue Funds and Debt Service Funds Alk The Heart of Southern California Wine Country FUND: 100 -GAS TAX FUND City of Temecula Fiscal Year 2020-21 Quarterly Budget Report % Change 2020-21 Year to Date 2020-21 Q2 from 2019-20 Current Actuals Revised Requested Current Description Actuals Budget 12-31-2020 Budget Adjustments Budget Revenues by Source Taxes and Franchises Gas Tax 2,631,080 2,418,092 1,311,033 2,639,716 221,624 9.2 Use of Money and Property Investment Interest 9,524 0 510 0 0 0.0 % Total Revenues and Other Sources 2,640,603 2,418,092 1,311,543 2,639,716 221,624 9.2 % Expenditures by Category Transfers 2,538,726 2,418,092 1,413,420 2,639,716 221,624 9.2 Total Expenditures and Other Financing Uses 2,538,726 2,418,092 1,413,420 2,639,716 221,624 9.2 % Excess of Revenues Over (Under) Expenditures 101,877 0 (101,877) 0 0 0.0 % Fund Balance, Beginning of Year 0 101,877 101,877 Fund Balance, End of Year 101,877 101,877 101,877 Fund Description This fund was established to account for the tax per gallon on the purchase of motor vehicle fuel imposed by the State of California. A portion is allocated to the City of Temecula as specified in the California Streets and Highways Code (SHC) (Sections 2013, 2105, 2107 and 2107.5). Gas Tax monies are restricted to the repair, maintenance and upkeep of City streets and roads, and the purchase of equipment used to maintain roads. Alk The Heart of Southern California Wine Country City of Temecula Fiscal Year 2020-21 Quarterly Budget Report FUND: 102 - ROAD MAINTENANCE REHABILITATION ACCOUNT (RMRA) FUND Change 2020-21 Year to Date 2020-21 Q2 from 2019-20 Current Actuals Revised Requested Current Description Actuals Budget 12-31-2020 Budget Adjustments Budget Revenues by Source Taxes and Franchises Gas Tax 1,988,186 1,827,342 1,046,267 2,031,337 203,995 11.2 Use of Money and Property Investment Interest 25,533 13,000 (1,663) 13,000 0 0.0 % Total Revenues and Other Sources 2,013,719 1,840,342 1,044,603 2,044,337 203,995 11.1 Expenditures by Category Transfers 2,000,000 2,806,076 0 2,806,076 0 0.0 Total Expenditures and Other Financing Uses 2,000,000 2,806,076 0 2,806,076 0 0.0 Excess of Revenues Over (Under) Expenditures 13,719 (965,734) 1,044,603 (761,739) 203,995 -21.1 Fund Balance, Beginning of Year 1,310,713 1,324,432 1,324,432 Fund Balance, End of Year 1,324,432 358,698 562,693 Fund Description This fund is to account for gasoline and vehicle registration taxes pursuant to the Road Repair and Accountability Act of 2017 (S61 Beall). Monies are collected by the State of California and allocated to local agencies for streets and roads projects and other transportation uses. Alk The Heart of Southern California Wine Country City of Temecula Fiscal Year 2020-21 Quarterly Budget Report FUND: 103 - STREET MAINTENANCE FUND Change 2020-21 Year to Date 2020-21 Q2 from 2019-20 Current Actuals Revised Requested Current Description Actuals Budget 12-31-2020 Budget Adjustments Budget Revenues by Source Use of Money and Property Investment Interest 44,557 12,500 (503) 12,500 0 0.0 % Operating Transfers In Contribution From Measure S 0 2,000,000 0 2,000,000 0 0.0 Total Revenues and Other Sources 44,557 2,012,500 (503) 2,012,500 0 0.0 Excess of Revenues Over (Under) Expenditures 44,557 2,012,500 (503) 2,012,500 0 0.0 Fund Balance, Beginning of Year 1,412,984 1,457,541 1,457,541 Fund Balance, End of Year 1,457,541 3,470,041 3,470,041 Fund Description This fund was established to accumulate resources for the future replacement of streets and roads throughout the City. Alk The Heart of Southern California Wine Country City of Temecula Fiscal Year 2020-21 Quarterly Budget Report FUND: 106 - JEFFERSON STREET IN -LIEU FEES % Change 2020-21 Year to Date 2020-21 Q2 from 2019-20 Current Actuals Revised Requested Current Description Actuals Budget 12-31-2020 Budget Adjustments Budget Revenues by Source Licenses, Permits and Service Charges Development Impact Fees 393,933 222,718 0 222,718 0 0.0 % Use of Money and Property Investment Interest 5,448 0 (352) 0 0 0.0 % Operating Transfers In Operating Transfers In 493,336 0 0 0 0 0.0 % Total Revenues and Other Sources 892,717 222,718 (352) 222,718 0 0.0 % Excess of Revenues Over (Under) Expenditures 892,717 222,718 (352) 222,718 0 0.0 % Fund Balance, Beginning of Year 892,717 892,717 Fund Balance, End of Year 892,717 1,115,435 1,115,435 Fund Description This fund was established in conjunction with the adoption of the Uptown Temecula Specific Plan New Streets In -Lieu Fee. The Specific Plan requires developers to dedicate right-of-way and construct new street improvements adjacent to or through their development sites. Developers within the Specific Plan who cannot contribute right-of-way and/or build new streets will be charge( a new streets in -lieu fee. IL f Adk The Heart of Southern California Wine Country City of Temecula Fiscal Year 2020-21 Quarterly Budget Report FUND: 107 - CARES ACT Change 2020-21 Year to Date 2020-21 Q2 from 2019-20 Current Actuals Revised Requested Current Description Actuals Budget 12-31-2020 Budget Adjustments Budget Revenues by Source Reimbursements Capital Improvement Program 0 1,382,508 1,382,508 1,382,508 0 0.0 Total Revenues and Other Sources 0 1,382,508 1,382,508 1,382,508 0 0.0 Expenditures by Category Transfers 0 1,382,508 0 1,382,508 0 0.0 Total Expenditures and Other Financing Uses 0 1,382,508 0 1,382,508 0 0.0 Excess of Revenues Over (Under) Expenditures 0 0 1,382,508 0 0 0.0 Fund Balance, Beginning of Year 0 0 Fund Balance, End of Year 0 0 0 Fund Description CARES Act grant revenue Alk The Heart of Southern California Wine Country City of Temecula Fiscal Year 2020-21 Quarterly Budget Report FUND: 120 - DEVELOPMENT IMPACT FEES FUND % Change 2020-21 Year to Date 2020-21 Q2 from 2019-20 Current Actuals Revised Requested Current Description Actuals Budget 12-31-2020 Budget Adjustments Budget Revenues by Source Licenses, Permits and Service Charges Development Impact Fees 2,559,163 4,213,358 670,308 4,213,358 0 0.0 % Quimby Fees 518,199 524,512 22,088 524,512 0 0.0 % Use of Money and Property Investment Interest 70,819 18,000 (1,822) 18,000 0 0.0 % Operating Transfers In Operating Transfers In 5,971 0 0 0 0 0.0 Total Revenues and Other Sources 3,154,152 4,755,870 690,573 4,755,870 0 0.0 % Expenditures by Category Transfers 4,782,851 9,144,140 794,300 9,144,140 0 0.0 % Total Expenditures and Other Financing Uses 4,782,851 9,144,140 794,300 9,144,140 0 0.0 % Excess of Revenues Over (Under) Expenditures (1,628,699) (4,388,270) (103,727) (4,388,270) 0 0.0 % Fund Balance, Beginning of Year 4,221,054 2,592,355 2,592,355 Fund Balance, Adjustment 0 1,795,915 1,795,915 Fund Balance, End of Year 2,592,355 0 0 Fund Description This fund accounts for the development impact fees received as a result of development activity within the City. The fees are primarily used to fund Capital Improvement Projects designed to mitigate the impacts of development projects. Alk The Heart of Southern California Wine Country City of Temecula Fiscal Year 2020-21 Quarterly Budget Report FUND: 125 - PUBLIC EDUCATION & GOVERNMENT (PEG) FUND % Change 2020-21 Year to Date 2020-21 Q2 from 2019-20 Current Actuals Revised Requested Current Description Actuals Budget 12-31-2020 Budget Adjustments Budget Revenues by Source Taxes and Franchises Peg Fees 233,144 220,219 34,547 220,219 0 0.0 Use of Money and Property Investment Interest 7,420 2,000 (224) 2,000 0 0.0 % Total Revenues and Other Sources 240,564 222,219 34,324 222,219 0 0.0 % Expenditures by Category Capital Outlay 179,749 100,000 10,245 100,000 0 0.0 Total Expenditures and Other Financing Uses 179,749 100,000 10,245 100,000 0 0.0 % Excess of Revenues Over (Under) Expenditures 60,815 122,219 24,079 122,219 0 0.0 % Fund Balance, Beginning of Year 366,995 427,810 427,810 Fund Balance, End of Year 427,810 550,029 550,029 Fund Description This fund was established to account for Public Education and Government (PEG) fees. Fees received from local cable operators for the sole purpose of supporting the access facilities and activities within the City. Alk The Heart of Southern California Wine Country City of Temecula Fiscal Year 2020-21 Quarterly Budget Report FUND: 140 - COMMUNITY DEV BLOCK GRANT FUND % Change 2020-21 Year to Date 2020-21 Q2 from 2019-20 Current Actuals Revised Requested Current Description Actuals Budget 12-31-2020 Budget Adjustments Budget Revenues by Source Intergovernmental Revenues Grants 0 0 0 329,000 329,000 100.0 % Community Development Block Grant S28,033 1,487,736 63,909 1,487,736 0 0.0 % Operating Transfers In Operating Transfers In 0 0 412,056 689,650 689,650 100.0 % Total Revenues and Other Sources 528,033 1,487,736 475,965 2,506,386 1,018,650 68.5 % Expenditures by Category Salaries & Benefits 111,688 111,441 93,435 157,627 46,186 41.4 % Operations & Maintenance 127,280 477,489 407,410 1,297,253 819,764 171.7 % Transfers 3S2,974 S87,597 0 987,597 400,000 68.1 % Total Expenditures and Other Financing Uses 591,942 1,176,527 S00,845 2,442,477 1,265,950 107.6 % Excess of Revenues Over (Under) Expenditures (63,909) 311,210 (24,880) 63,910 (247,300) -79.5 % Fund Balance, Beginning of Year 0 (63,909) (63,909) Fund Balance, End of Year (63,909) 247,300 0 Fund Description This fund was established to account for grants received from the U.S. Department of Housing and Urban Development (HUD). The grants are used for the redevelopment of a viable community by providing decent housing, a suitable living environment, and for expanding opportunities, principally for persons of low and moderate income. Alk The Heart of Southern California Wine Country City of Temecula Fiscal Year 2020-21 Quarterly Budget Report FUND: 145 - TEMECULA ENERGY EFFICIENCY ASSET (TEAM) FUND % Change 2020-21 Year to Date 2020-21 Q2 from 2019-20 Current Actuals Revised Requested Current Description Actuals Budget 12-31-2020 Budget Adjustments Budget Revenues by Source Use of Money and Property Investment Interest 4,160 1,300 (70) 1,300 0 0.0 % Reimbursements Other Reimbursements 0 0 0 640,754 640,754 100.0 % Total Revenues and Other Sources 4,160 1,300 (70) 642,054 640,754 49,288.8 % Expenditures by Category Transfers 0 0 0 200,000 200,000 100.0 Total Expenditures and Other Financing Uses 0 0 0 200,000 200,000 100.0 % Excess of Revenues Over (Under) Expenditures 4,160 1,300 (70) 442,054 440,754 33,904.2 % Fund Balance, Beginning of Year 194,250 198,410 198,410 Fund Balance, End of Year 198,410 199,710 640,464 Fund Description This fund was established to capture energy efficiency rebates and reimbursements as well as expenditure savings resulting from energy efficiency projects completed at various City facilities. Revenue collected in this fund will be utilized on future energy efficiency projects. Alk The Heart of Southern California Wine Country City of Temecula Fiscal Year 2020-21 Quarterly Budget Report FUND: 150 - AB 2766 MOTOR VEHICLE SUBVENTION FUND % Change 2020-21 Year to Date 2020-21 Q2 from 2019-20 Current Actuals Revised Requested Current Description Actuals Budget 12-31-2020 Budget Adjustments Budget Revenues by Source Use of Money and Property Investment Interest 4,778 1,500 (160) 1,500 0 0.0 % Intergovernmental Revenues AB2766 Motor Vehicle Subvention 142,094 151,870 37,417 151,870 0 0.0 Total Revenues and Other Sources 146,872 153,370 37,257 153,370 0 0.0 % Expenditures by Category Operations & Maintenance 10,000 10,200 0 10,200 0 0.0 Transfers 347,198 106,700 0 106,700 0 0.0 % Total Expenditures and Other Financing Uses 357,198 116,900 0 116,900 0 0.0 % Excess of Revenues Over (Under) Expenditures (210,326) 36,470 37,257 36,470 0 0.0 Fund Balance, Beginning of Year 225,540 15,214 15,214 Fund Balance, End of Year 15,214 51,684 51,684 Fund Description This fund was established to account for subvention funds that are used to implement programs and projects that reduce air pollution from motor vehicles. AB2766 Funds are derived from a Motor Vehicle Registration fee surcharge. Local governments are allocated $1.60 for every eligible vehicle registered within the South Coast Air Quality Management District. Funds are disbursed based on the City's population as a percentage of the total population within the District. This fund is used for Capital projects and the City's share of WRCOG's Clean Cities Coalition. Alk The Heart of Southern California Wine Country City of Temecula Fiscal Year 2020-21 Quarterly Budget Report FUND: 160 - SUPPLEMENTAL LAW ENFORCEMENT SERVICES FUND % Change 2020-21 Year to Date 2020-21 Q2 from 2019-20 Current Actuals Revised Requested Current Description Actuals Budget 12-31-2020 Budget Adjustments Budget Revenues by Source Use of Money and Property Investment Interest 663 490 91 490 0 0.0 % Intergovernmental Revenues SLESF Grant 171,239 172,017 228,698 278,695 106,678 62.0 Total Revenues and Other Sources 171,902 172,507 228,789 279,185 106,678 61.8 % Expenditures by Category Transfers 171,902 172,507 228,789 279,185 106,678 61.8 Total Expenditures and Other Financing Uses 171,902 172,507 228,789 279,185 106,678 61.8 % Excess of Revenues Over (Under) Expenditures 0 0 0 0 0 0.0 % Fund Balance, Beginning of Year 0 0 0 Fund Balance, End of Year 0 0 0 Fund Description This fund was established to account for the Supplemental Law Enforcement Services grant monies from the State of California which are provided to assist cities in delivering front line law enforcement services. These monies supplement existing services and may not be used to supplant any existing funding for law enforcement services provided by the City. Alk The Heart of Southern California Wine Country City of Temecula Fiscal Year 2020-21 Quarterly Budget Report FUND: 161 - TEMECULA MAJOR CRIMES REWARD FUND Change 2020-21 Year to Date 2020-21 Q2 from 2019-20 Current Actuals Revised Requested Current Description Actuals Budget 12-31-2020 Budget Adjustments Budget Revenues by Source Use of Money and Property Investment Interest 569 180 (10) 180 0 0.0 % Total Revenues and Other Sources 569 180 (10) 180 0 0.0 Excess of Revenues Over (Under) Expenditures 569 180 (10) 180 0 0.0 Fund Balance, Beginning of Year 26,555 27,124 27,124 Fund Balance, End of Year 27,124 27,304 27,304 Fund Description This fund was established to account for a reward for information that leads to the capture and conviction of the person(s) responsible for the murder of Larry Robinson and Justin Triplett. The General Fund contributed $25,000 and the public can also contribute to this fund. The fund was established in accordance with Resolution Nos. 13-25 and 15-37. In April of 2018, Council adopted Resolution No. 18-24 for the continuation of the reward for an additional three years (to March 22, 2021) to assist the Sheriff in the investigation since no person has been arrested for the Larry Robinson murder. Alk The Heart of Southern California Wine Country City of Temecula Fiscal Year 2020-21 Quarterly Budget Report FUND: 165 - AFFORDABLE HOUSING FUND % Change 2020-21 Year to Date 2020-21 Q2 from 2019-20 Current Actuals Revised Requested Current Description Actuals Budget 12-31-2020 Budget Adjustments Budget Revenues by Source Licenses, Permits and Service Charges Police 925 0 1,000 0 0 0.0 Use of Money and Property Investment Interest 23,931 4,700 (621) 4,700 0 0.0 % Lease/Rental Income 1,136,349 85,400 208,000 85,400 0 0.0 % Intergovernmental Revenues Agency Trust Contribution 250,000 250,000 0 250,000 0 0.0 Reimbursements Other Reimbursements 75,000 0 0 0 0 0.0 Total Revenues and Other Sources 1,486,204 340,100 208,379 340,100 0 0.0 % Expenditures by Category Salaries & Benefits 294,008 301,732 123,758 279,365 (22,367) -7.4 % Operations & Maintenance 97,284 258,462 19,126 258,462 0 0.0 % Internal Service Fund Allocations 35,853 36,937 20,605 36,937 0 0.0 % Total Expenditures and Other Financing Uses 427,144 597,131 163,488 574,764 (22,367) -3.7 % Excess of Revenues Over (Under) Expenditures 1,059,060 (257,031) 44,891 (234,664) 22,367 -8.7 % Fund Balance, Beginning of Year 10,898,351 11,957,411 11,957,411 Fund Balance, End of Year 11,957,411 11,700,380 11,722,747 Fund Description The Affordable Housing fund contains the assets as well as loan and rental income which have been transferred to the City of Temecula from the former Redevelopment Agency. Alk The Heart of Southern California Wine Country City of Temecula Fiscal Year 2020-21 Quarterly Budget Report FUND: 170 - MEASURE A FUND % Change 2020-21 Year to Date 2020-21 Q2 from 2019-20 Current Actuals Revised Requested Current Description Actuals Budget 12-31-2020 Budget Adjustments Budget Revenues by Source Use of Money and Property Investment Interest 121,678 35,800 (3,676) 35,800 0 0.0 % Intergovernmental Revenues Measure A 3,374,987 2,783,000 1,474,871 2,783,000 0 0.0 Total Revenues and Other Sources 3,496,665 2,818,800 1,471,195 2,818,800 0 0.0 % Expenditures by Category Operations & Maintenance 773,103 3,520,878 2,464,996 3,520,878 0 0.0 Transfers 0 6,347,510 143,600 6,347,510 0 0.0 % Total Expenditures and Other Financing Uses 773,103 9,868,388 2,608,596 9,868,388 0 0.0 % Excess of Revenues Over (Under) Expenditures 2,723,561 (7,049,588) (1,137,400) (7,049,588) 0 0.0 Fund Balance, Beginning of Year 5,018,115 7,741,676 7,741,676 Fund Balance, End of Year 7,741,676 692,088 692,088 Fund Description This fund was established to account for the City's allocation of the County of Riverside's additional one-half percent sales tax for transportation. These monies are restricted for use on local streets. In 2002, Measure A was extended by Riverside County voters. Measure A will continue to fund transportation improvements through 2039. Alk The Heart of Southern California Wine Country City of Temecula Fiscal Year 2020-21 Quarterly Budget Report FUND: 198 - PUBLIC ART FUND Change 2020-21 Year to Date 2020-21 Q2 from 2019-20 Current Actuals Revised Requested Current Description Actuals Budget 12-31-2020 Budget Adjustments Budget Revenues by Source Licenses, Permits and Service Charges Public Art 34,097 13,055 14,733 13,055 0 0.0 Use of Money and Property Investment Interest 833 200 (37) 200 0 0.0 % Total Revenues and Other Sources 34,930 13,2S5 14,696 13,255 0 0.0 Excess of Revenues Over (Under) Expenditures 34,930 13,255 14,696 13,255 0 0.0 Fund Balance, Beginning of Year 21,702 56,632 56,632 Fund Balance, End of Year 56,632 69,887 69,887 Fund Description This fund was established pursuant to Temecula Municipal Code Section 5.08.040, whereby the fund serves a a depository for the fees paid in lieu of art as well as monetary donations for public art. The Public Art In Lieu fee is one -tenth of one percent of an eligible development project in excess of $100,000. Eligble uses of this fund include the design, acquisition, installation, improvement, maintenance and insurance of public artwork; offering of performing arts programs on City property for the community; and art education programs on City property for the community. Alk The Heart of Southern California Wine Country City of Temecula Fiscal Year 2020-21 Quarterly Budget Report FUND: 395 - 2018 FINANCING LEASE (CIVIC CENTER) FUND % Change 2020-21 Year to Date 2020-21 Q2 from 2019-20 Current Actuals Revised Requested Current Description Actuals Budget 12-31-2020 Budget Adjustments Budget Revenues by Source Operating Transfers In Operating Transfers In 2,075,512 2,077,767 1,037,967 2,077,767 0 0.0 Total Revenues and Other Sources 2,075,512 2,077,767 1,037,967 2,077,767 0 0.0 % Expenditures by Category Operations & Maintenance 2,075,512 2,077,767 1,037,967 2,077,767 0 0.0 Total Expenditures and Other Financing Uses 2,075,512 2,077,767 1,037,967 2,077,767 0 0.0 % Excess of Revenues Over (Under) Expenditures 0 0 0 0 0 0.0 Fund Balance, Beginning of Year 0 0 0 Fund Balance, End of Year 0 0 0 Fund Description This fund was established to account for the payment of interest and principal of the refunding of the 2001 and 2008 Certificates of Participation (COPs). The 2001 COPS were originally issued to finance the construction of the Community Recreation Center and the 2008 COPS were originally issued to finance the construction of the Civic Center. In Fiscal Year 2018-19, the terms of the lease were refinanced, lowering the interest rate from 3.75% to 3.42%. The term of the lease expires September 1, 2033. Alk The Heart of Southern California Wine Country City of Temecula Fiscal Year 2020-21 Quarterly Budget Report FUND: 396 - 2018 FINANCING LEASE (MRC) FUND Change 2020-21 Year to Date 2020-21 Q2 from 2019-20 Current Actuals Revised Requested Current Description Actuals Budget 12-31-2020 Budget Adjustments Budget Revenues by Source Operating Transfers In Operating Transfers In 555,807 555,808 277,904 555,808 0 0.0 Total Revenues and Other Sources 555,807 555,808 277,904 555,808 0 0.0 Expenditures by Category Operations & Maintenance 555,807 555,808 277,904 555,808 0 0.0 Total Expenditures and Other Financing Uses 555,807 555,808 277,904 555,808 0 0.0 Excess of Revenues Over (Under) Expenditures 0 0 0 0 0 0.0 Fund Balance, Beginning of Year 0 0 0 Fund Balance, End of Year 0 0 0 Fund Description This fund was established to account for the payments of interest and principal related to the financing of the rehabilitation of the Margarita Recreation Center (MRC). The Lease Agreement, dated August 1, 2018, generated $6.5 million in proceeds at an interest rate of 3.42%. The Term of the lease expires September 1, 2033, EXHIBIT C Internal Service Funds Alk The Heart of Southern California Wine Country FUND: 300 - INSURANCE FUND City of Temecula Fiscal Year 2020-21 Quarterly Budget Report % Change 2020-21 Year to Date 2020-21 Q2 from 2019-20 Current Actuals Revised Requested Current Description Actuals Budget 12-31-2020 Budget Adjustments Budget Revenues by Source Licenses, Permits and Service Charges Charges For Services 1,284,285 1,092,120 745,955 1,092,120 0 0.0 Use of Money and Property Investment Interest 19,195 5,700 (486) 5,700 0 0.0 % Total Revenues and Other Sources 1,303,480 1,097,820 745,469 1,097,820 0 0.0 % Expenditures by Category Salaries & Benefits 53,192 86,526 36,619 86,526 0 0.0 Operations & Maintenance 823,972 1,056,843 763,655 1,056,843 0 0.0 % Total Expenditures and Other Financing Uses 877,164 1,143,369 800,274 1,143,369 0 0.0 % Excess of Revenues Over (Under) Expenditures 426,316 (45,549) (54,805) (45,549) 0 0.0 Fund Balance, Beginning of Year 321,774 748,090 748,090 Fund Balance, End of Year 748,090 702,540 702,540 Fund Description The Insurance Fund was established to account for the City's liability and property insurance costs. Fund Balance is a combination of both spendable and non spendable assets. These costs are allocated to each department based on the total number of Full Time Equivalent positions assigned to those departments. The City has a Self -Insured Retention (SIR) of $150,000 per incident, and strives to maintain a fund balance equal to three times the SIR. Alk The Heart of Southern California Wine Country FUND: 305 - WORKERS' COMPENSATION FUND City of Temecula Fiscal Year 2020-21 Quarterly Budget Report % Change 2020-21 Year to Date 2020-21 Q2 from 2019-20 Current Actuals Revised Requested Current Description Actuals Budget 12-31-2020 Budget Adjustments Budget Revenues by Source Licenses, Permits and Service Charges Charges For Services 488,843 0 0 0 0 0.0 Use of Money and Property Investment Interest 41,747 13,000 (652) 13,000 0 0.0 % Reimbursements Other Reimbursements 1,071 0 0 0 0 0.0 % Total Revenues and Other Sources 531,660 13,000 (652) 13,000 0 0.0 % Expenditures by Category Salaries & Benefits 31,357 68,695 28,369 68,695 0 0.0 % Operations & Maintenance 125,759 210,084 173,273 210,084 0 0.0 % Total Expenditures and Other Financing Uses 157,116 278,779 201,642 278,779 0 0.0 % Excess of Revenues Over (Under) Expenditures 374,544 (265,779) (202,294) (265,779) 0 0.0 % Fund Balance, Beginning of Year 2,001,981 2,376,525 2,376,525 Fund Balance, End of Year 2,376,525 2,110,746 2,110,746 Fund Description The Workers' Compensation Fund was established in Fiscal Year 2014-15 as the City transitions to a self -insured status for Workers' Compensation liabilities. Departments are charged based on each position allocated on a Full Time Equivalent basis, with a cost assigned to each position based on job duties and potential for risk. The desired Net Position for this fund is $1.5 million, which represents three -times the City's Self -Insured Retention amount of $500,000. Alk The Heart of Southern California Wine Country FUND: 310 - VEHICLES AND EQUIPMENT FUND City of Temecula Fiscal Year 2020-21 Quarterly Budget Report % Change 2020-21 Year to Date 2020-21 Q2 from 2019-20 Current Actuals Revised Requested Current Description Actuals Budget 12-31-2020 Budget Adjustments Budget Revenues by Source Licenses, Permits and Service Charges Charges For Services 182,011 378,076 103,838 378,076 0 0.0 % Use of Money and Property Investment Interest 45,796 13,300 (549) 13,300 0 0.0 % Operating Transfers In Contribution From Measure S 0 500,000 0 500,000 0 0.0 % Total Revenues and Other Sources 227,807 891,376 103,289 891,376 0 0.0 % Expenditures by Category Operations & Maintenance 214,593 0 0 0 0 0.0 % Capital Outlay 0 136,616 10,433 11,616 (125,000) -91.5 % Total Expenditures and Other Financing Uses 214,593 136,616 10,433 11,616 (125,000) -91.5 % Excess of Revenues Over (Under) Expenditures 13,214 754,760 92,857 879,760 125,000 16.6 % Fund Balance, Beginning of Year 3,787,535 3,800,749 3,800,749 Fund Balance, End of Year 3,800,749 4,555,508 4,680,508 Fund Description The Vehicles and Equipment Fund was established to account for the depreciation of vehicles and capital equipment over their estimated useful lives, and to accumulate resources for the purchase of future replacement vehicles and equipment. Fund Balance is a combination of both spendable and non spendable assets. Departments are charged based on the replacement costs for each asset benefitting the department. Alk The Heart of Southern California Wine Country City of Temecula Fiscal Year 2020-21 Quarterly Budget Report FUND: 320 - INFORMATION TECHNOLOGY FUND % Change 2020-21 Year to Date 2020-21 Q2 from 2019-20 Current Actuals Revised Requested Current Description Actuals Budget 12-31-2020 Budget Adjustments Budget Revenues by Source Licenses, Permits and Service Charges Charges For Services 3,817,577 4,313,104 2,202,538 4,313,104 0 0.0 Use of Money and Property Investment Interest 14,217 5,100 587 5,100 0 0.0 % Reimbursements Other Reimbursements 0 0 172 0 0 0.0 % Operating Transfers In Contribution From Measure S 160,000 260,000 65,000 260,000 0 0.0 % Total Revenues and Other Sources 3,991,794 4,578,204 2,268,296 4,578,204 0 0.0 % Expenditures by Category Salaries & Benefits 2,008,780 1,978,496 990,244 1,978,496 0 0.0 % Operations & Maintenance 1,836,705 3,109,216 1,767,569 3,109,216 0 0.0 % Internal Service Fund Allocations 2,660 0 1,330 0 0 0.0 % Total Expenditures and Other Financing Uses 3,848,146 5,087,712 2,759,143 5,087,712 0 0.0 % Excess of Revenues Over (Under) Expenditures 143,648 (509,508) (490,846) (509,508) 0 0.0 % Fund Balance, Beginning of Year 966,825 1,110,473 1,110,473 Fund Balance, End of Year 1,110,473 600,965 600,965 Fund Description The Information Technology Fund was established to fund and account for computer and telephone system operating and maintenance expenses. Fund Balance is a combination of both spendable and non spendable assets. Adjustments are made to Fund Balance to include additional spendable resources available for expenditure. Departments are charged based on the number of electronic devices assigned. The Ronald H. Roberts Temecula Public Library facility is charged directly for all IT expenditures and personnel costs related to the facility. Alk The Heart of Southern California Wine Country City of Temecula Fiscal Year 2020-21 Quarterly Budget Report FUND: 325 - TECHNOLOGY REPLACEMENT FUND % Change 2020-21 Year to Date 2020-21 Q2 from 2019-20 Current Actuals Revised Requested Current Description Actuals Budget 12-31-2020 Budget Adjustments Budget Revenues by Source Licenses, Permits and Service Charges Charges For Services 185,962 202,824 78,690 202,824 0 0.0 Use of Money and Property Investment Interest 30,573 9,400 (273) 9,400 0 0.0 % Operating Transfers In Contribution From Measure S 0 500,000 0 500,000 0 0.0 % Total Revenues and Other Sources 216,535 712,224 78,417 712,224 0 0.0 % Expenditures by Category Operations & Maintenance 284,592 0 0 0 0 0.0 % Capital Outlay 34,717 379,002 84,645 379,002 0 0.0 % Transfers 0 763,534 0 763,534 0 0.0 % Total Expenditures and Other Financing Uses 319,309 1,142,536 84,645 1,142,536 0 0.0 % Excess of Revenues Over (Under) Expenditures (102,774) (430,312) (6,228) (430,312) 0 0.0 % Fund Balance, Beginning of Year 1,762,778 1,660,004 1,660,004 Fund Balance, End of Year 1,660,004 1,229,692 1,229,692 Fund Description The Technology Replacement Fund was established in Fiscal Year 2014-15 in order to accumulate resources for computer and telephone equipment and software to fund future equipment replacement. Fund Balance is a combination of both spendable and non spendable assets. Contributions to this fund are made by departments utilizing the assets in an amount equivalent to the estimated cost to replace the item at the end of its useful life. Alk The Heart of Southern California Wine Country City of Temecula Fiscal Year 2020-21 Quarterly Budget Report FUND: 330 - SUPPORT SERVICES FUND % Change 2020-21 Year to Date 2020-21 Q2 from 2019-20 Current Actuals Revised Requested Current Description Actuals Budget 12-31-2020 Budget Adjustments Budget Revenues by Source Licenses, Permits and Service Charges Charges For Services 320,688 379,276 116,876 379,276 0 0.0 Use of Money and Property Investment Interest 256 100 23 100 0 0.0 % Total Revenues and Other Sources 320,944 379,376 116,899 379,376 0 0.0 % Expenditures by Category Salaries & Benefits 223,596 229,352 98,754 229,352 0 0.0 Operations & Maintenance 97,874 147,418 106,544 147,418 0 0.0 % Total Expenditures and Other Financing Uses 321,470 376,769 205,299 376,769 0 0.0 % Excess of Revenues Over (Under) Expenditures (526) 2,607 (88,400) 2,607 0 0.0 Fund Balance, Beginning of Year 3,230 2,704 2,704 Fund Balance, End of Year 2,704 5,310 5,310 Fund Description The Support Services Fund was established as a cost center for the City's central receptionist, duplicating, printing, and mailing activities. It is also used to depreciate all related copying and mailing equipment over their useful lives, and to accumulate resources for the purchase of future equipment. Fund Balance is a combination of both spendable and non spendable assets. Departments are charged based on a count of copies made in the previous fiscal year. Alk The Heart of Southern California Wine Country City of Temecula Fiscal Year 2020-21 Quarterly Budget Report FUND: 335 - SUPPORT SERVICES REPLACEMENT FUND % Change 2020-21 Year to Date 2020-21 Q2 from 2019-20 Current Actuals Revised Requested Current Description Actuals Budget 12-31-2020 Budget Adjustments Budget Revenues by Source Licenses, Permits and Service Charges Charges For Services 36,388 26,424 13,212 26,424 0 0.0 Use of Money and Property Investment Interest 6,917 2,100 (83) 2,100 0 0.0 % Total Revenues and Other Sources 43,305 28,524 13,129 28,524 0 0.0 % Expenditures by Category Operations & Maintenance 59,331 0 0 0 0 0.0 Capital Outlay 0 60,000 59,454 60,000 0 0.0 % Total Expenditures and Other Financing Uses 59,331 60,000 59,454 60,000 0 0.0 % Excess of Revenues Over (Under) Expenditures (16,025) (31,476) (46,324) (31,476) 0 0.0 Fund Balance, Beginning of Year 437,285 421,259 421,259 Fund Balance, End of Year 421,259 389,783 389,783 Fund Description The Support Services Replacement Fund was established to accumulate resources for the future replacement of the City's duplicating equipment. Alk The Heart of Southern California Wine Country City of Temecula Fiscal Year 2020-21 Quarterly Budget Report FUND: 340 - FACILITIES FUND % Change 2020-21 Year to Date 2020-21 Q2 from 2019-20 Current Actuals Revised Requested Current Description Actuals Budget 12-31-2020 Budget Adjustments Budget Revenues by Source Licenses, Permits and Service Charges Charges For Services 1,256,593 1,390,890 580,606 1,390,890 0 0.0 Use of Money and Property Investment Interest 9,668 3,300 38S 3,300 0 0.0 % Reimbursements Other Reimbursements 34,845 0 10,564 40,000 40,000 100.0 Total Revenues and Other Sources 1,301,106 1,394,190 591,555 1,434,190 40,000 2.9 % Expenditures by Category Salaries & Benefits 381,292 342,301 178,539 342,301 0 0.0 % Operations & Maintenance 893,630 1,019,1S4 6SS,S80 1,009,1S4 (10,000) -1.0 % Transfers 0 0 412,056 412,056 412,0S6 100.0 % Total Expenditures and Other Financing Uses 1,274,922 1,361,455 1,246,175 1,763,511 402,056 29.5 % Excess of Revenues Over (Under) Expenditures 26,185 32,735 (654,619) (329,321) (362,056) -1,106.0 % Fund Balance, Beginning of Year 559,509 585,694 585,694 Fund Balance, End of Year 585,694 618,429 256,373 Fund Description The Facilities Fund was established to account for the cost of the Civic Center, Former City Hall Facility, City Maintenance Facility, Field Operations Center, and Civic Center Parking Structure operations and maintenance. Fund Balance is a combination of both spendable and non spendable assets. Departments are charged based on square footage allotted as well as full time staff equivalents assigned. Alk The Heart of Southern California Wine Country City of Temecula Fiscal Year 2020-21 Quarterly Budget Report FUND: 350 - FACILITY REPLACEMENT FUND % Change 2020-21 Year to Date 2020-21 Q2 from 2019-20 Current Actuals Revised Requested Current Description Actuals Budget 12-31-2020 Budget Adjustments Budget Revenues by Source Licenses, Permits and Service Charges Charges For Services 29,412 0 17,210 48,583 48,583 100.0 % Use of Money and Property Investment Interest 3,511 1,700 (382) 1,700 0 0.0 % Operating Transfers In Contribution From Measure S 600,000 500,000 125,000 500,000 0 0.0 % Total Revenues and Other Sources 632,923 501,700 141,828 550,283 48,583 9.7 % Expenditures by Category Operations & Maintenance 62,507 0 0 0 0 0.0 % Capital Outlay 0 150,000 0 65,000 (85,000) -56.7 % Transfers 300,000 300,000 300,000 300,000 0 0.0 % Total Expenditures and Other Financing Uses 362,507 450,000 300,000 365,000 (85,000) -18.9 % Excess of Revenues Over (Under) Expenditures 270,416 51,700 (158,172) 185,283 133,583 258.4 % Fund Balance, Beginning of Year 350,817 621,233 621,233 Fund Balance, End of Year 621,233 672,933 806,516 Fund Description The Facility Replacement Fund was established to accumulate resources for the future replacement of equipment, systems and fixtures within City -owned facilities. RESOLUTION NO. CSD 2021- A RESOLUTION OF THE BOARD OF DIRECTORS OF THE TEMECULA COMMUNITY SERVICES DISTRICT OF THE CITY OF TEMECULA AMENDING THE FISCAL YEAR 2020-21 ANNUAL OPERATING BUDGETS THE BOARD OF DIRECTORS OF THE TEMECULA COMMUNITY SERVICES DISTRICT OF THE CITY OF TEMECULA DOES HEREBY RESOLVE AS FOLLOWS: Section 1. The purpose of this review is to conduct an analysis of revenues and expenditures to ensure that the Temecula Community Services District (TCSD) maintains a prudent and healthy fiscal position. Section 2. That each year a Mid -Year review is conducted of all Temecula Community Services (TCSD) operating budgets. Section 3. That the Mid -Year review has been completed and the recommended adjustments are reflected in the schedules attached hereto as Exhibit A. Section 4. That the Fiscal Year 2020-21 TCSD operating budgets are amended in accordance with the attached schedules. PASSED, APPROVED, AND ADOPTED by the Board of Directors of the Temecula Community Services District of the City of Temecula this 23rd day of February, 2021. Zak Schwank, President ATTEST: Randi Johl, Secretary [SEAL] STATE OF CALIFORNIA ) COUNTY OF RIVERSIDE ) ss CITY OF TEMECULA ) I, Randi Johl, Secretary of the Temecula Community Services District of the City of Temecula, do hereby certify that the foregoing Resolution No. CSD 2021- was duly and regularly adopted by the Board of Directors of the Temecula Community Services District of the City of Temecula at a meeting thereof held on the 23rd day of February, 2021, by the following vote: AYES: BOARD MEMBERS: NOES: BOARD MEMBERS: ABSTAIN: BOARD MEMBERS: ABSENT: BOARD MEMBERS: Randi Johl, Secretary N EXHIBIT A Temecula Community Services District Alk The Heart of Southern California Wine Country City of Temecula Fiscal Year 2020-21 Quarterly Budget Report FUND: 190 - TEMECULA COMMUNITY SERVICES DISTRICT FUND % Change 2020-21 Year to Date 2020-21 Q2 from 2019-20 Current Actuals Revised Requested Current Description Actuals Budget 12-31-2020 Budget Adjustments Budget Revenues by Source Taxes and Franchises Special Tax (Measure C) 1,840,763 1,880,264 43,941 1,880,264 0 0.0 % Licenses, Permits and Service Charges Development Impact Fees 542 0 10 10 10 100.0 % Contract Classes 705,811 500,000 52,708 250,000 (250,000) -50.0 % Classes/Activities 33,318 20,458 15,466 20,500 42 0.2 % Facility Rentals 235,923 246,152 67,367 149,215 (96,937) -39.4 % Aquatics 106,819 82,000 35,144 68,000 (14,000) -17.1 % Museum Admissions 52,186 44,250 277 5,500 (38,750) -87.6 % Theater Admissions 208,484 190,134 743 29,000 (161,134) -84.7 % Sports Leagues & Tournaments 111,332 127,828 5,587 93,563 (34,265) -26.8 % Day Camps 5,241 44,740 468 44,740 0 0.0 % Fines and Forfeitures Fines & Forfeitures 0 50 0 50 0 0.0 % Use of Money and Property Investment Interest 13,026 2,800 413 2,800 0 0.0 % Reimbursements Capital Improvement Program 19,322 0 0 0 0 0.0 % Other Reimbursements 57,000 69,894 19,739 229,894 160,000 228.9 % Operating Transfers In Contribution From Measure S 8,439,182 8,297,243 3,074,311 7,897,243 (400,000) -4.8 % Miscellaneous Miscellaneous 66,148 53,000 11,048 16,913 (36,087) -68.1 % Total Revenues and Other Sources 11,895,098 11,558,813 3,327,221 10,687,692 (871,121) -7.5 % Expenditures by Category Salaries & Benefits 6,643,722 6,726,387 3,080,904 6,622,905 (103,482) -1.5 % Operations & Maintenance 3,068,186 3,415,314 1,627,620 2,723,546 (691,768) -20.3 % Internal Service Fund Allocations 1,600,286 1,729,689 886,732 1,729,689 0 0.0 % Capital Outlay 47,793 10,000 0 234,000 224,000 2,240.0 % Total Expenditures and Other Financing Uses 11,359,987 11,881,390 5,595,256 11,310,140 (571,250) -4.8 % Excess of Revenues Over (Under) Expenditures 535,111 (322,577) (2,268,035) (622,448) (299,871) 93.0 % Fund Balance, Beginning of Year 310,634 845,744 845,744 Fund Balance, End of Year 845,744 523,167 223,296 Fund Description Citywide Operations reflects the collection of the Special Tax (Measure C) charged to households for recreation programs as well as fees for classes and activities. Accounts for facility operations, maintenance, and community recreation programs. Measure C was approved by residents in 1997 at a rate of $74.44 per parcel for the purpose of maintaining the City's parks, recreation facilities, arerial street lighting and traffic signals. The Special Tax revenue is allocated equally between TCSD and the General Fund to fund both recreation programs and parks maintenance. Alk The Heart of Southern California Wine Country City of Temecula Fiscal Year 2020-21 Quarterly Budget Report FUND: 192 - TCSD SERVICE LEVEL "B" STREET LIGHTS FUND % Change 2020-21 Year to Date 2020-21 Q2 from 2019-20 Current Actuals Revised Requested Current Description Actuals Budget 12-31-2020 Budget Adjustments Budget Revenues by Source Licenses, Permits and Service Charges Assessments 634,456 640,767 11,182 640,767 0 0.0 Use of Money and Property Investment Interest 327 0 (15) 0 0 0.0 % Operating Transfers In Contribution From Measure S 71,037 73,168 18,292 73,168 0 0.0 % Total Revenues and Other Sources 705,819 713,935 29,460 713,935 0 0.0 % Expenditures by Category Salaries & Benefits 23,572 22,718 10,048 22,718 0 0.0 % Operations & Maintenance 4S5,048 553,005 98,959 553,005 0 0.0 % Total Expenditures and Other Financing Uses 478,620 575,723 109,007 575,723 0 0.0 % Excess of Revenues Over (Under) Expenditures 227,199 138,212 (79,547) 138,212 0 0.0 % Fund Balance, Beginning of Year 30,169 257,367 257,367 Fund Balance, End of Year 257,367 395,580 395,580 Fund Description Service Level B reflects the collection of benefit assessments charged to property owners. Service Level B includes only those parcels within residential subdivisions that receive residential street lighting services. This service level includes operational, administrative, maintenance and utility costs of residential street lights. Alk The Heart of Southern California Wine Country City of Temecula Fiscal Year 2020-21 Quarterly Budget Report FUND: 194 - TCSD SERVICE LEVEL "D" REFUSE/RECYCLING FUND % Change 2020-21 Year to Date 2020-21 Q2 from 2019-20 Current Actuals Revised Requested Current Description Actuals Budget 12-31-2020 Budget Adjustments Budget Revenues by Source Licenses, Permits and Service Charges Assessments 8,331,536 8,634,245 156,151 8,634,245 0 0.0 Recycling Program 5,000 18,500 0 18,500 0 0.0 Use of Money and Property Investment Interest 12,520 1,200 (129) 1,200 0 0.0 % Miscellaneous Miscellaneous 0 23,000 0 23,000 0 0.0 % Total Revenues and Other Sources 8,349,056 8,676,945 156,022 8,676,945 0 0.0 % Expenditures by Category Salaries & Benefits 66,141 59,460 29,356 59,460 0 0.0 % Operations & Maintenance 8,410,603 8,626,523 4,274,977 8,626,523 0 0.0 % Total Expenditures and Other Financing Uses 8,476,744 8,685,983 4,304,333 8,685,983 0 0.0 % Excess of Revenues Over (Under) Expenditures (127,688) (9,038) (4,148,311) (9,038) 0 0.0 % Fund Balance, Beginning of Year 275,509 147,821 147,821 Fund Balance, End of Year 147,821 138,783 138,783 Fund Description Service Level D Fund is used to collect benefit assessments charged to property owners for the purpose of providing refuse collection, recycling, and street sweeping throughout the City, which is provided by CR&R. In addition, Service Level D has received grants to increase recycling efforts Citywide. Alk The Heart of Southern California Wine Country City of Temecula Fiscal Year 2020-21 Quarterly Budget Report FUND: 195 - TCSD SERVICE LEVEL "R" STREET/ROAD MAINT FUND % Change 2020-21 Year to Date 2020-21 Q2 from 2019-20 Current Actuals Revised Requested Current Description Actuals Budget 12-31-2020 Budget Adjustments Budget Revenues by Source Licenses, Permits and Service Charges Assessments 5,475 5,532 461 5,532 0 0.0 Use of Money and Property Investment Interest 416 120 (18) 120 0 0.0 % Reimbursements Other Reimbursements 0 0 7,050 7,050 7,050 100.0 Total Revenues and Other Sources 5,890 5,652 7,493 12,702 7,050 124.7 % Expenditures by Category Operations & Maintenance 5,410 15,150 0 15,150 0 0.0 % Total Expenditures and Other Financing Uses 5,410 15,150 0 15,150 0 0.0 % Excess of Revenues Over (Under) Expenditures 480 (9,498) 7,493 (2,448) 7,050 -74.2 % Fund Balance, Beginning of Year 20,298 20,778 20,778 Fund Balance, End of Year 20,778 11,280 18,330 Fund Description Service Level R Fund reflects the operational, administrative, construction and maintenance costs for certain unpaved roads that become inaccessible after inclement weather. Zone R-1 provides service in the Nicolas/Liefer Road area. The maximum rate that can be charged for Zone R-1 for an improved parcel is $115.26 and for an unimproved parcel is $57.62. Alk The Heart of Southern California Wine Country City of Temecula Fiscal Year 2020-21 Quarterly Budget Report FUND: 196 - TCSD SERVICE LEVEL "L" LAKE PARK MAINT. FUND % Change 2020-21 Year to Date 2020-21 Q2 from 2019-20 Current Actuals Revised Requested Current Description Actuals Budget 12-31-2020 Budget Adjustments Budget Revenues by Source Licenses, Permits and Service Charges Assessments 236,303 246,732 9,995 246,732 0 0.0 Harveston Lake Boat Revenue 3,977 4,200 2,416 4,200 0 0.0 Use of Money and Property Investment Interest 8,139 2,300 (37) 2,300 0 0.0 % Miscellaneous Miscellaneous 0 0 390 0 0 0.0 % Total Revenues and Other Sources 248,420 253,232 12,764 253,232 0 0.0 % Expenditures by Category Salaries & Benefits 24,887 2S,849 12,842 2S,849 0 0.0 % Operations & Maintenance 223,204 245,824 204,166 245,824 0 0.0 % Total Expenditures and Other Financing Uses 248,091 271,673 217,009 271,673 0 0.0 % Excess of Revenues Over (Under) Expenditures 329 (18,441) (204,244) (18,441) 0 0.0 % Fund Balance, Beginning of Year 418,660 418,989 418,989 Fund Balance, End of Year 418,989 400,548 400,548 Fund Description Service Level L Fund reflects the benefit assessments charged to property owners for the purpose of maintaining the Harveston Lake Park. Expenditures include operational, administrative and maintenance costs. Alk The Heart of Southern California Wine Country City of Temecula Fiscal Year 2020-21 Quarterly Budget Report FUND: 197 - TEMECULA LIBRARY FUND % Change 2020-21 Year to Date 2020-21 Q2 from 2019-20 Current Actuals Revised Requested Current Description Actuals Budget 12-31-2020 Budget Adjustments Budget Revenues by Source Licenses, Permits and Service Charges Printing & Copies 11,735 5,400 443 886 (4,514) -83.6 % Fines and Forfeitures Fines & Forfeitures 48,796 15,250 1,197 1,697 (13,553) -88.9 % Use of Money and Property Investment Interest 7,407 2,200 (155) 2,200 0 0.0 % Lease/Rental Income 11,792 5,000 (1,152) 0 (5,000) -100.0 % Operating Transfers In Operating Transfers In (93) 0 0 0 0 0.0 % Contribution From Measure S 921,203 847,181 211,795 847,181 0 0.0 % Total Revenues and Other Sources 1,000,840 875,031 212,129 851,964 (23,067) -2.6 % Expenditures by Category Salaries & Benefits 117,436 113,419 61,426 113,419 0 0.0 % Operations & Maintenance 422,998 575,063 288,257 489,220 (85,843) -14.9 % Internal Service Fund Allocations 293,955 401,913 153,630 401,913 0 0.0 % Capital Outlay 4,958 0 0 0 0 0.0 % Total Expenditures and Other Financing Uses 839,347 1,090,394 503,313 1,004,552 (85,843) -7.9 % Excess of Revenues Over (Under) Expenditures 161,493 (215,363) (291,183) (152,588) 62,776 -29.1 % Fund Balance, Beginning of Year 221,160 382,653 382,653 Fund Balance, End of Year 382,653 167,289 230,065 Fund Description The Library Fund is used to account for the maintenance and operations of the Ronald H. Roberts Temecula Public Library on Pauba Road. Alk The Heart of Southern California Wine Country City of Temecula Fiscal Year 2020-21 Quarterly Budget Report FUND: 501 - SERVICE LEVEL"C"ZONE 1 SADDLEWOOD FUND % Change 2020-21 Year to Date 2020-21 Q2 from 2019-20 Current Actuals Revised Requested Current Description Actuals Budget 12-31-2020 Budget Adjustments Budget Revenues by Source Licenses, Permits and Service Charges Assessments 37,358 37,932 465 37,932 0 0.0 Use of Money and Property Investment Interest 151 12 10 12 0 0.0 % Total Revenues and Other Sources 37,508 37,944 474 37,944 0 0.0 % Expenditures by Category Salaries & Benefits 17 2 1 2 0 0.0 Operations & Maintenance 41,612 40,047 33,072 40,047 0 0.0 % Total Expenditures and Other Financing Uses 41,629 40,049 33,073 40,049 0 0.0 % Excess of Revenues Over (Under) Expenditures (4,121) (2,105) (32,599) (2,105) 0 0.0 Fund Balance, Beginning of Year 15,880 11,759 11,759 Fund Balance, End of Year 11,759 9,653 9,653 Fund Description Service Level C Fund reflects the collection of benefit assessments charged to property owners for the purpose of providing perimeter landscaping and slope maintenance throughout the City. Service Level C assesses only those parcels within residential subdivisions receiving TCSD perimeter landscaping and slope maintenance and are separated into 32 zones. The rate levels for Zones 6 and 29, are subject to a Consumer Price Index -Urban Consumers (CPI-U) annual inflator while all other rate levels will not increase. Zones 30-32 will not be assessed, as the property owners have elected to have the landscaping maintained by the respective Homeowner's Associations (HOAs). Alk The Heart of Southern California Wine Country City of Temecula Fiscal Year 2020-21 Quarterly Budget Report FUND: 502 - SERVICE LEVEL"C"ZONE 2 WINCHESTER CREEK FUND % Change 2020-21 Year to Date 2020-21 Q2 from 2019-20 Current Actuals Revised Requested Current Description Actuals Budget 12-31-2020 Budget Adjustments Budget Revenues by Source Licenses, Permits and Service Charges Assessments 42,103 42,542 445 42,542 0 0.0 Use of Money and Property Investment Interest 1,985 575 (23) 575 0 0.0 % Total Revenues and Other Sources 44,089 43,117 422 43,117 0 0.0 % Expenditures by Category Salaries & Benefits 826 24 23 24 0 0.0 Operations & Maintenance 33,822 44,937 33,993 44,937 0 0.0 % Total Expenditures and Other Financing Uses 34,649 44,961 34,015 44,961 0 0.0 % Excess of Revenues Over (Under) Expenditures 9,440 (1,844) (33,593) (1,844) 0 0.0 Fund Balance, Beginning of Year 96,889 106,329 106,329 Fund Balance, End of Year 106,329 104,485 104,485 Fund Description Alk The Heart of Southern California Wine Country City of Temecula Fiscal Year 2020-21 Quarterly Budget Report FUND: 503 - SERVICE LEVEL"C"ZONE 3 RANCHO HIGHLANDS FUND % Change 2020-21 Year to Date 2020-21 Q2 from 2019-20 Current Actuals Revised Requested Current Description Actuals Budget 12-31-2020 Budget Adjustments Budget Revenues by Source Licenses, Permits and Service Charges Assessments 46,740 47,328 297 47,328 0 0.0 Use of Money and Property Investment Interest 693 170 4 170 0 0.0 % Total Revenues and Other Sources 47,433 47,498 300 47,498 0 0.0 % Expenditures by Category Salaries & Benefits 20 24 12 24 0 0.0 Operations & Maintenance 46,339 48,841 33,201 48,841 0 0.0 % Total Expenditures and Other Financing Uses 46,359 48,865 33,213 48,865 0 0.0 % Excess of Revenues Over (Under) Expenditures 1,073 (1,367) (32,913) (1,367) 0 0.0 Fund Balance, Beginning of Year 40,634 41,707 41,707 Fund Balance, End of Year 41,707 40,340 40,340 Fund Description Alk The Heart of Southern California Wine Country City of Temecula Fiscal Year 2020-21 Quarterly Budget Report FUND: 504 - SERVICE LEVEL"C"ZONE 4 THE VINEYARDS FUND % Change 2020-21 Year to Date 2020-21 Q2 from 2019-20 Current Actuals Revised Requested Current Description Actuals Budget 12-31-2020 Budget Adjustments Budget Revenues by Source Licenses, Permits and Service Charges Assessments 6,417 6,394 0 6,394 0 0.0 Use of Money and Property Investment Interest 56 12 1 12 0 0.0 % Total Revenues and Other Sources 6,473 6,406 1 6,406 0 0.0 % Expenditures by Category Salaries & Benefits 165 24 14 24 0 0.0 Operations & Maintenance 6,362 6,394 4,590 6,394 0 0.0 % Total Expenditures and Other Financing Uses 6,527 6,418 4,604 6,418 0 0.0 % Excess of Revenues Over (Under) Expenditures (54) (12) (4,603) (12) 0 0.0 Fund Balance, Beginning of Year 4,260 4,206 4,206 Fund Balance, End of Year 4,206 4,194 4,194 Fund Description Alk The Heart of Southern California Wine Country City of Temecula Fiscal Year 2020-21 Quarterly Budget Report FUND: 505 - SERVICE LEVEL"C"ZONE 5 SIGNET SERIES FUND % Change 2020-21 Year to Date 2020-21 Q2 from 2019-20 Current Actuals Revised Requested Current Description Actuals Budget 12-31-2020 Budget Adjustments Budget Revenues by Source Licenses, Permits and Service Charges Assessments 38,518 39,025 440 39,025 0 0.0 Use of Money and Property Investment Interest 452 120 4 120 0 0.0 % Total Revenues and Other Sources 38,970 39,145 444 39,145 0 0.0 % Expenditures by Category Salaries & Benefits 826 24 23 24 0 0.0 Operations & Maintenance 40,241 39,389 29,413 39,389 0 0.0 % Total Expenditures and Other Financing Uses 41,068 39,413 29,436 39,413 0 0.0 % Excess of Revenues Over (Under) Expenditures (2,098) (268) (28,991) (268) 0 0.0 Fund Balance, Beginning of Year 29,240 27,142 27,142 Fund Balance, End of Year 27,142 26,874 26,874 Fund Description Alk The Heart of Southern California Wine Country City of Temecula Fiscal Year 2020-21 Quarterly Budget Report FUND: 506 - SERVICE LEVEL"C"ZONE 6 WOODCREST COUNTRY FUND % Change 2020-21 Year to Date 2020-21 Q2 from 2019-20 Current Actuals Revised Requested Current Description Actuals Budget 12-31-2020 Budget Adjustments Budget Revenues by Source Licenses, Permits and Service Charges Assessments Use of Money and Property Investment Interest Total Revenues and Other Sources Expenditures by Category Salaries & Benefits Operations & Maintenance Total Expenditures and Other Financing Uses Excess of Revenues Over (Under) Expenditures Fund Balance, Beginning of Year Fund Balance, End of Year Fund Description 25,853 678 26,761 190 0 (5) 26,761 190 0 0 0.0 0.0 26,531 26,951 (5) 26,951 0 0.0 % 418 20,914 24 29,413 17 20,762 24 29,413 0 0 0.0 0.0 % 21,332 29,437 20,779 29,437 0 0.0 % 5,199 (2,486) (20,784) (2,486) 0 0.0 34,049 39,248 39,248 39,248 36,762 36,762 Alk The Heart of Southern California Wine Country City of Temecula Fiscal Year 2020-21 Quarterly Budget Report FUND: 507 - SERVICE LEVEL"C"ZONE 7 RIDGEVIEW FUND % Change 2020-21 Year to Date 2020-21 Q2 from 2019-20 Current Actuals Revised Requested Current Description Actuals Budget 12-31-2020 Budget Adjustments Budget Revenues by Source Licenses, Permits and Service Charges Assessments 16,750 15,308 223 15,308 0 0.0 Use of Money and Property Investment Interest 65 1 4 1 0 0.0 % Total Revenues and Other Sources 16,815 15,309 226 15,309 0 0.0 % Expenditures by Category Salaries & Benefits 826 2 12 2 0 0.0 Operations & Maintenance 13,252 14,384 10,084 14,384 0 0.0 % Total Expenditures and Other Financing Uses 14,079 14,386 10,096 14,386 0 0.0 % Excess of Revenues Over (Under) Expenditures 2,736 923 (9,869) 923 0 0.0 Fund Balance, Beginning of Year 4,835 7,571 7,571 Fund Balance, End of Year 7,571 8,494 8,494 Fund Description Alk The Heart of Southern California Wine Country City of Temecula Fiscal Year 2020-21 Quarterly Budget Report FUND: 508 - SERVICE LEVEL"C"ZONE 8 VILLAGE GROVE FUND % Change 2020-21 Year to Date 2020-21 Q2 from 2019-20 Current Actuals Revised Requested Current Description Actuals Budget 12-31-2020 Budget Adjustments Budget Revenues by Source Licenses, Permits and Service Charges Assessments 136,801 137,025 1,093 137,025 0 0.0 Use of Money and Property Investment Interest 1,736 450 21 450 0 0.0 % Total Revenues and Other Sources 138,537 137,475 1,113 137,475 0 0.0 % Expenditures by Category Salaries & Benefits 10,478 12,005 6,017 12,005 0 0.0 Operations & Maintenance 122,032 138,406 104,550 138,406 0 0.0 % Total Expenditures and Other Financing Uses 132,510 150,411 110,567 150,411 0 0.0 % Excess of Revenues Over (Under) Expenditures 6,027 (12,936) (109,454) (12,936) 0 0.0 Fund Balance, Beginning of Year 107,352 113,379 113,379 Fund Balance, End of Year 113,379 100,443 100,443 Fund Description Alk The Heart of Southern California Wine Country City of Temecula Fiscal Year 2020-21 Quarterly Budget Report FUND: 509 - SERVICE LEVEL"C"ZONE 9 RANCHO SOLANA FUND % Change 2020-21 Year to Date 2020-21 Q2 from 2019-20 Current Actuals Revised Requested Current Description Actuals Budget 12-31-2020 Budget Adjustments Budget Revenues by Source Licenses, Permits and Service Charges Assessments 5,082 5,106 1 5,106 0 0.0 Use of Money and Property Investment Interest 581 175 (9) 175 0 0.0 % Total Revenues and Other Sources 5,663 5,281 (8) 5,281 0 0.0 % Expenditures by Category Salaries & Benefits 61 2 2 2 0 0.0 Operations & Maintenance 3,868 5,770 2,868 5,770 0 0.0 % Total Expenditures and Other Financing Uses 3,930 5,773 2,870 5,773 0 0.0 % Excess of Revenues Over (Under) Expenditures 1,733 (492) (2,878) (492) 0 0.0 Fund Balance, Beginning of Year 27,264 28,997 28,997 Fund Balance, End of Year 28,997 28,506 28,506 Fund Description Alk The Heart of Southern California Wine Country City of Temecula Fiscal Year 2020-21 Quarterly Budget Report FUND: 510 - SERVICE LEVEL"C"ZONE 10 MARTINIQUE FUND % Change 2020-21 Year to Date 2020-21 Q2 from 2019-20 Current Actuals Revised Requested Current Description Actuals Budget 12-31-2020 Budget Adjustments Budget Revenues by Source Licenses, Permits and Service Charges Assessments 9,686 9,744 58 9,744 0 0.0 Use of Money and Property Investment Interest 229 60 0 60 0 0.0 % Total Revenues and Other Sources 9,915 9,804 58 9,804 0 0.0 % Expenditures by Category Salaries & Benefits 331 24 16 24 0 0.0 Operations & Maintenance 9,339 9,473 6,656 9,473 0 0.0 % Total Expenditures and Other Financing Uses 9,670 9,497 6,672 9,497 0 0.0 % Excess of Revenues Over (Under) Expenditures 245 307 (6,613) 307 0 0.0 Fund Balance, Beginning of Year 13,082 13,326 13,326 Fund Balance, End of Year 13,326 13,633 13,633 Fund Description Alk The Heart of Southern California Wine Country City of Temecula Fiscal Year 2020-21 Quarterly Budget Report FUND: 511 - SERVICE LEVEL"C"ZONE 11 MEADOWVIEW FUND % Change 2020-21 Year to Date 2020-21 Q2 from 2019-20 Current Actuals Revised Requested Current Description Actuals Budget 12-31-2020 Budget Adjustments Budget Revenues by Source Licenses, Permits and Service Charges Assessments 2,450 2,450 0 2,450 0 0.0 Use of Money and Property Investment Interest 56 15 0 15 0 0.0 % Total Revenues and Other Sources 2,506 2,465 0 2,465 0 0.0 % Expenditures by Category Salaries & Benefits 102 2 2 2 0 0.0 Operations & Maintenance 1,959 2,374 1,512 2,374 0 0.0 % Total Expenditures and Other Financing Uses 2,061 2,376 1,514 2,376 0 0.0 % Excess of Revenues Over (Under) Expenditures 445 89 (1,514) 89 0 0.0 Fund Balance, Beginning of Year 2,990 3,435 3,435 Fund Balance, End of Year 3,435 3,524 3,524 Fund Description Alk The Heart of Southern California Wine Country City of Temecula Fiscal Year 2020-21 Quarterly Budget Report FUND: 512 - SERVICE LEVEL"C"ZONE 12 VINTAGE HILLS FUND % Change 2020-21 Year to Date 2020-21 Q2 from 2019-20 Current Actuals Revised Requested Current Description Actuals Budget 12-31-2020 Budget Adjustments Budget Revenues by Source Licenses, Permits and Service Charges Assessments Use of Money and Property Investment Interest Total Revenues and Other Sources Expenditures by Category Salaries & Benefits Operations & Maintenance Total Expenditures and Other Financing Uses Excess of Revenues Over (Under) Expenditures Fund Balance, Beginning of Year Fund Balance, End of Year Fund Description 95,254 1,965 96,396 550 2,411 0 96,396 550 0 0 0.0 0.0 97,219 96,946 2,411 96,946 0 0.0 % 4,903 85,331 6,003 102,656 3,090 74,516 6,003 102,656 0 0 0.0 0.0 % 90,234 108,658 77,606 108,658 0 0.0 % 6,985 (11,712) (75,195) (11,712) 0 0.0 110,022 117,007 117,007 117,007 105,294 105,294 Alk The Heart of Southern California Wine Country City of Temecula Fiscal Year 2020-21 Quarterly Budget Report FUND: 513 - SERVICE LEVEL"C"ZONE 13 PRESLEY DEVELOP FUND % Change 2020-21 Year to Date 2020-21 Q2 from 2019-20 Current Actuals Revised Requested Current Description Actuals Budget 12-31-2020 Budget Adjustments Budget Revenues by Source Licenses, Permits and Service Charges Assessments 34,026 34,224 438 34,224 0 0.0 Use of Money and Property Investment Interest 420 100 4 100 0 0.0 % Total Revenues and Other Sources 34,446 34,324 441 34,324 0 0.0 % Expenditures by Category Salaries & Benefits 826 600 301 600 0 0.0 Operations & Maintenance 31,025 34,931 25,551 34,931 0 0.0 % Total Expenditures and Other Financing Uses 31,851 35,532 25,853 35,532 0 0.0 % Excess of Revenues Over (Under) Expenditures 2,595 (1,208) (25,412) (1,208) 0 0.0 Fund Balance, Beginning of Year 25,436 28,031 28,031 Fund Balance, End of Year 28,031 26,823 26,823 Fund Description Alk The Heart of Southern California Wine Country City of Temecula Fiscal Year 2020-21 Quarterly Budget Report FUND: 514 - SERVICE LEVEL"C"ZONE 14 MORRISON HOMES FUND % Change 2020-21 Year to Date 2020-21 Q2 from 2019-20 Current Actuals Revised Requested Current Description Actuals Budget 12-31-2020 Budget Adjustments Budget Revenues by Source Licenses, Permits and Service Charges Assessments 14,507 14,774 223 14,774 0 0.0 Use of Money and Property Investment Interest 139 25 2 25 0 0.0 % Total Revenues and Other Sources 14,646 14,799 225 14,799 0 0.0 % Expenditures by Category Salaries & Benefits 252 2 4 2 0 0.0 Operations & Maintenance 12,897 14,831 9,551 14,831 0 0.0 % Total Expenditures and Other Financing Uses 13,149 14,833 9,555 14,833 0 0.0 % Excess of Revenues Over (Under) Expenditures 1,497 (34) (9,331) (34) 0 0.0 Fund Balance, Beginning of Year 8,942 10,439 10,439 Fund Balance, End of Year 10,439 10,405 10,405 Fund Description Alk The Heart of Southern California Wine Country City of Temecula Fiscal Year 2020-21 Quarterly Budget Report FUND: 515 - SERVICE LEVEL"C"ZONE 15 BARCLAY ESTATES FUND % Change 2020-21 Year to Date 2020-21 Q2 from 2019-20 Current Actuals Revised Requested Current Description Actuals Budget 12-31-2020 Budget Adjustments Budget Revenues by Source Licenses, Permits and Service Charges Assessments 9,800 9,800 0 9,800 0 0.0 Use of Money and Property Investment Interest 143 35 0 35 0 0.0 % Total Revenues and Other Sources 9,943 9,835 0 9,835 0 0.0 % Expenditures by Category Salaries & Benefits 217 2 4 2 0 0.0 Operations & Maintenance 7,302 8,973 6,221 8,973 0 0.0 % Total Expenditures and Other Financing Uses 7,520 8,975 6,225 8,975 0 0.0 % Excess of Revenues Over (Under) Expenditures 2,423 860 (6,225) 860 0 0.0 Fund Balance, Beginning of Year 8,035 10,458 10,458 Fund Balance, End of Year 10,458 11,317 11,317 Fund Description Alk The Heart of Southern California Wine Country City of Temecula Fiscal Year 2020-21 Quarterly Budget Report FUND: 516 - SERVICE LEVEL"C"ZONE 16 TRADEWINDS FUND % Change 2020-21 Year to Date 2020-21 Q2 from 2019-20 Current Actuals Revised Requested Current Description Actuals Budget 12-31-2020 Budget Adjustments Budget Revenues by Source Licenses, Permits and Service Charges Assessments Use of Money and Property Investment Interest Total Revenues and Other Sources Expenditures by Category Transfers Salaries & Benefits Operations & Maintenance Total Expenditures and Other Financing Uses Excess of Revenues Over (Under) Expenditures Fund Balance, Beginning of Year Fund Balance, End of Year Fund Description 37,188 37,800 525 37,800 0 0.0 1,109 300 (8) 300 0 0.0 38,296 38,100 517 38,100 0 0.0 % 0 940 35,471 21,500 600 40,057 0 303 23,767 21,500 600 40,057 0 0 0 0.0 0.0 % 0.0 % 36,411 62,157 24,071 62,157 0 0.0 % 1,885 (24,057) (23,554) (24,057) 0 0.0 54,654 56,539 56,539 56,539 32,482 32,482 Alk The Heart of Southern California Wine Country City of Temecula Fiscal Year 2020-21 Quarterly Budget Report FUND: 517 - SERVICE LEVEL"C"ZONE 17 MONTE VISTA FUND % Change 2020-21 Year to Date 2020-21 Q2 from 2019-20 Current Actuals Revised Requested Current Description Actuals Budget 12-31-2020 Budget Adjustments Budget Revenues by Source Licenses, Permits and Service Charges Assessments 2,116 2,116 0 2,116 0 0.0 Use of Money and Property Investment Interest 27 5 0 5 0 0.0 % Total Revenues and Other Sources 2,143 2,121 0 2,121 0 0.0 % Expenditures by Category Salaries & Benefits 20 2 1 2 0 0.0 Operations & Maintenance 1,805 2,102 1,252 2,102 0 0.0 % Total Expenditures and Other Financing Uses 1,825 2,104 1,253 2,104 0 0.0 % Excess of Revenues Over (Under) Expenditures 318 17 (1,253) 17 0 0.0 Fund Balance, Beginning of Year 1,570 1,888 1,888 Fund Balance, End of Year 1,888 1,904 1,904 Fund Description Alk The Heart of Southern California Wine Country City of Temecula Fiscal Year 2020-21 Quarterly Budget Report FUND: 518 - SERVICE LEVEL"C"ZONE 18 TEMEKU HILLS FUND % Change 2020-21 Year to Date 2020-21 Q2 from 2019-20 Current Actuals Revised Requested Current Description Actuals Budget 12-31-2020 Budget Adjustments Budget Revenues by Source Licenses, Permits and Service Charges Assessments 92,651 94,010 1,377 94,010 0 0.0 Use of Money and Property Investment Interest 870 185 20 185 0 0.0 % Total Revenues and Other Sources 93,521 94,195 1,397 94,195 0 0.0 % Expenditures by Category Transfers 0 10,000 0 10,000 0 0.0 Salaries & Benefits 3,532 3,602 1,790 3,602 0 0.0 % Operations & Maintenance 91,073 100,754 78,216 100,754 0 0.0 % Total Expenditures and Other Financing Uses 94,604 114,355 80,006 114,355 0 0.0 % Excess of Revenues Over (Under) Expenditures (1,084) (20,160) (78,609) (20,160) 0 0.0 Fund Balance, Beginning of Year 59,066 57,983 57,983 Fund Balance, End of Year 57,983 37,822 37,822 Fund Description Alk The Heart of Southern California Wine Country City of Temecula Fiscal Year 2020-21 Quarterly Budget Report FUND: 519 - SERVICE LEVEL"C"ZONE 19 CHANTEMAR FUND % Change 2020-21 Year to Date 2020-21 Q2 from 2019-20 Current Actuals Revised Requested Current Description Actuals Budget 12-31-2020 Budget Adjustments Budget Revenues by Source Licenses, Permits and Service Charges Assessments 54,835 54,450 496 54,450 0 0.0 Use of Money and Property Investment Interest 1,933 500 (4) 500 0 0.0 % Total Revenues and Other Sources S6,768 S4,9SO 492 S4,9SO 0 0.0 % Expenditures by Category Salaries & Benefits 2,255 5,042 2,464 5,042 0 0.0 Operations & Maintenance 55,580 62,340 46,180 62,340 0 0.0 % Total Expenditures and Other Financing Uses S7,836 67,382 48,64S 67,382 0 0.0 % Excess of Revenues Over (Under) Expenditures (1,068) (12,432) (48,152) (12,432) 0 0.0 Fund Balance, Beginning of Year 97,215 96,147 96,147 Fund Balance, End of Year 96,147 83,715 83,715 Fund Description Alk The Heart of Southern California Wine Country City of Temecula Fiscal Year 2020-21 Quarterly Budget Report FUND: 520 - SERVICE LEVEL"C"ZONE 20 CROWNE HILL FUND % Change 2020-21 Year to Date 2020-21 Q2 from 2019-20 Current Actuals Revised Requested Current Description Actuals Budget 12-31-2020 Budget Adjustments Budget Revenues by Source Licenses, Permits and Service Charges Assessments 175,486 177,975 1,721 177,975 0 0.0 Use of Money and Property Investment Interest 4,014 1,100 (12) 1,100 0 0.0 % Total Revenues and Other Sources 179,500 179,075 1,709 179,075 0 0.0 % Expenditures by Category Transfers 0 30,803 0 30,803 0 0.0 Salaries & Benefits 6,556 12,005 5,962 12,005 0 0.0 % Operations & Maintenance 153,843 185,752 129,991 185,752 0 0.0 % Total Expenditures and Other Financing Uses 160,399 228,560 135,953 228,560 0 0.0 % Excess of Revenues Over (Under) Expenditures 19,101 (49,485) (134,244) (49,485) 0 0.0 Fund Balance, Beginning of Year 212,034 231,135 231,135 Fund Balance, End of Year 231,135 181,650 181,650 Fund Description Alk The Heart of Southern California Wine Country City of Temecula Fiscal Year 2020-21 Quarterly Budget Report FUND: 521 - SERVICE LEVEL"C"ZONE 21 VAIL RANCH FUND % Change 2020-21 Year to Date 2020-21 Q2 from 2019-20 Current Actuals Revised Requested Current Description Actuals Budget 12-31-2020 Budget Adjustments Budget Revenues by Source Licenses, Permits and Service Charges Assessments 226,159 228,201 3,466 228,201 0 0.0 Use of Money and Property Investment Interest 4,426 1,200 15 1,200 0 0.0 % Total Revenues and Other Sources 230,585 229,401 3,481 229,401 0 0.0 % Expenditures by Category Salaries & Benefits 9,779 22,810 11,230 22,810 0 0.0 Operations & Maintenance 244,444 279,561 210,029 279,561 0 0.0 % Total Expenditures and Other Financing Uses 254,224 302,371 221,260 302,371 0 0.0 % Excess of Revenues Over (Under) Expenditures (23,638) (72,970) (217,779) (72,970) 0 0.0 Fund Balance, Beginning of Year 255,207 231,569 231,569 Fund Balance, End of Year 231,569 158,599 158,599 Fund Description Alk The Heart of Southern California Wine Country City of Temecula Fiscal Year 2020-21 Quarterly Budget Report FUND: 522 - SERVICE LEVEL"C"ZONE 22 SUTTON PLACE FUND % Change 2020-21 Year to Date 2020-21 Q2 from 2019-20 Current Actuals Revised Requested Current Description Actuals Budget 12-31-2020 Budget Adjustments Budget Revenues by Source Licenses, Permits and Service Charges Assessments 4,350 4,408 58 4,408 0 0.0 Use of Money and Property Investment Interest 142 40 (2) 40 0 0.0 % Total Revenues and Other Sources 4,492 4,448 56 4,448 0 0.0 % Expenditures by Category Salaries & Benefits 143 2 3 2 0 0.0 Operations & Maintenance 1,983 4,208 2,584 4,208 0 0.0 % Total Expenditures and Other Financing Uses 2,126 4,210 2,586 4,210 0 0.0 % Excess of Revenues Over (Under) Expenditures 2,366 238 (2,530) 238 0 0.0 Fund Balance, Beginning of Year 7,293 9,659 9,659 Fund Balance, End of Year 9,659 9,897 9,897 Fund Description Alk The Heart of Southern California Wine Country City of Temecula Fiscal Year 2020-21 Quarterly Budget Report FUND: 523 - SERVICE LEVEL"C"ZONE 23 PHEASENT RUN % Change 2020-21 Year to Date 2020-21 Q2 from 2019-20 Current Actuals Revised Requested Current Description Actuals Budget 12-31-2020 Budget Adjustments Budget Revenues by Source Licenses, Permits and Service Charges Assessments 8,412 8,400 321 8,400 0 0.0 Use of Money and Property Investment Interest 379 110 (5) 110 0 0.0 % Total Revenues and Other Sources 8,791 8,510 316 8,510 0 0.0 % Expenditures by Category Salaries & Benefits 232 36 21 36 0 0.0 Operations & Maintenance 5,934 8,296 4,711 8,296 0 0.0 % Total Expenditures and Other Financing Uses 6,166 8,332 4,731 8,332 0 0.0 % Excess of Revenues Over (Under) Expenditures 2,625 178 (4,416) 178 0 0.0 Fund Balance, Beginning of Year 18,667 21,293 21,293 Fund Balance, End of Year 21,293 21,471 21,471 Fund Description Alk The Heart of Southern California Wine Country City of Temecula Fiscal Year 2020-21 Quarterly Budget Report FUND: 524 - SERVICE LEVEL"C"ZONE 24 HARVESTON FUND % Change 2020-21 Year to Date 2020-21 Q2 from 2019-20 Current Actuals Revised Requested Current Description Actuals Budget 12-31-2020 Budget Adjustments Budget Revenues by Source Licenses, Permits and Service Charges Assessments 159,953 162,100 2,576 162,100 0 0.0 Use of Money and Property Investment Interest 993 115 55 115 0 0.0 % Total Revenues and Other Sources 160,947 162,215 2,631 162,215 0 0.0 % Expenditures by Category Salaries & Benefits 5,431 9,604 4,765 9,604 0 0.0 Operations & Maintenance 168,622 171,859 138,324 171,859 0 0.0 % Total Expenditures and Other Financing Uses 174,053 181,463 143,089 181,463 0 0.0 % Excess of Revenues Over (Under) Expenditures (13,106) (19,248) (140,458) (19,248) 0 0.0 Fund Balance, Beginning of Year 77,807 64,701 64,701 Fund Balance, End of Year 64,701 45,452 45,452 Fund Description Alk The Heart of Southern California Wine Country City of Temecula Fiscal Year 2020-21 Quarterly Budget Report FUND: 525 - SERVICE LEVEL"C"ZONE 25 SERENA HILLS FUND % Change 2020-21 Year to Date 2020-21 Q2 from 2019-20 Current Actuals Revised Requested Current Description Actuals Budget 12-31-2020 Budget Adjustments Budget Revenues by Source Licenses, Permits and Service Charges Assessments 43,300 44,000 709 44,000 0 0.0 Use of Money and Property Investment Interest 1,215 300 (6) 300 0 0.0 % Total Revenues and Other Sources 44,515 44,300 704 44,300 0 0.0 % Expenditures by Category Salaries & Benefits 1,615 1,201 602 1,201 0 0.0 Operations & Maintenance 38,309 48,774 35,214 48,774 0 0.0 % Total Expenditures and Other Financing Uses 39,924 49,975 35,816 49,975 0 0.0 % Excess of Revenues Over (Under) Expenditures 4,591 (5,675) (35,112) (5,675) 0 0.0 Fund Balance, Beginning of Year 63,681 68,272 68,272 Fund Balance, End of Year 68,272 62,597 62,597 Fund Description Alk The Heart of Southern California Wine Country City of Temecula Fiscal Year 2020-21 Quarterly Budget Report FUND: 526 - SERVICE LEVEL"C"ZONE 26 GALLERY TRADITION FUND % Change 2020-21 Year to Date 2020-21 Q2 from 2019-20 Current Actuals Revised Requested Current Description Actuals Budget 12-31-2020 Budget Adjustments Budget Revenues by Source Licenses, Permits and Service Charges Assessments 1,890 2,160 270 2,160 0 0.0 Use of Money and Property Investment Interest 17 4 0 4 0 0.0 % Total Revenues and Other Sources 1,907 2,164 270 2,164 0 0.0 % Expenditures by Category Salaries & Benefits 41 2 1 2 0 0.0 Operations & Maintenance 1,717 2,238 1,292 2,238 0 0.0 % Total Expenditures and Other Financing Uses 1,758 2,240 1,293 2,240 0 0.0 % Excess of Revenues Over (Under) Expenditures 150 (76) (1,023) (76) 0 0.0 Fund Balance, Beginning of Year 1,133 1,283 1,283 Fund Balance, End of Year 1,283 1,206 1,206 Fund Description Alk The Heart of Southern California Wine Country City of Temecula Fiscal Year 2020-21 Quarterly Budget Report FUND: 527 - SERVICE LEVEL" C"ZONE 27 AVONDALE FUND % Change 2020-21 Year to Date 2020-21 Q2 from 2019-20 Current Actuals Revised Requested Current Description Actuals Budget 12-31-2020 Budget Adjustments Budget Revenues by Source Licenses, Permits and Service Charges Assessments 8,886 9,100 136 9,100 0 0.0 Use of Money and Property Investment Interest 161 40 3 40 0 0.0 % Total Revenues and Other Sources 9,047 9,140 139 9,140 0 0.0 % Expenditures by Category Salaries & Benefits 232 24 15 24 0 0.0 Operations & Maintenance 8,533 8,845 6,733 8,845 0 0.0 % Total Expenditures and Other Financing Uses 8,765 8,869 6,747 8,869 0 0.0 % Excess of Revenues Over (Under) Expenditures 282 271 (6,609) 271 0 0.0 Fund Balance, Beginning of Year 8,904 9,186 9,186 Fund Balance, End of Year 9,186 9,457 9,457 Fund Description Alk The Heart of Southern California Wine Country City of Temecula Fiscal Year 2020-21 Quarterly Budget Report FUND: 528 - SERVICE LEVEL"C"ZONE 28 WOLF CREEK FUND % Change 2020-21 Year to Date 2020-21 Q2 from 2019-20 Current Actuals Revised Requested Current Description Actuals Budget 12-31-2020 Budget Adjustments Budget Revenues by Source Licenses, Permits and Service Charges Assessments 230,376 232,974 1,984 232,974 0 0.0 Use of Money and Property Investment Interest 8,975 2,600 (438) 2,600 0 0.0 % Total Revenues and Other Sources 239,351 235,574 1,546 235,574 0 0.0 % Expenditures by Category Salaries & Benefits 8,715 24,011 11,775 24,011 0 0.0 Operations & Maintenance 299,621 337,793 233,397 337,793 0 0.0 % Total Expenditures and Other Financing Uses 308,336 361,804 245,172 361,804 0 0.0 % Excess of Revenues Over (Under) Expenditures (68,985) (126,230) (243,626) (126,230) 0 0.0 Fund Balance, Beginning of Year 464,405 395,420 395,420 Fund Balance, End of Year 395,420 269,190 269,190 Fund Description Alk The Heart of Southern California Wine Country City of Temecula Fiscal Year 2020-21 Quarterly Budget Report FUND: 529 - SERVICE LEVEL"C"ZONE 29 GALLERY PORTRAIT FUND % Change 2020-21 Year to Date 2020-21 Q2 from 2019-20 Current Actuals Revised Requested Current Description Actuals Budget 12-31-2020 Budget Adjustments Budget Revenues by Source Licenses, Permits and Service Charges Assessments 4,101 4,171 0 4,171 0 0.0 Use of Money and Property Investment Interest 38 6 0 6 0 0.0 % Total Revenues and Other Sources 4,139 4,177 0 4,177 0 0.0 % Expenditures by Category Salaries & Benefits 143 2 3 2 0 0.0 Operations & Maintenance 2,076 3,003 1,614 3,003 0 0.0 % Total Expenditures and Other Financing Uses 2,219 3,005 1,616 3,005 0 0.0 % Excess of Revenues Over (Under) Expenditures 1,920 1,172 (1,617) 1,172 0 0.0 Fund Balance, Beginning of Year 1,628 3,548 3,548 Fund Balance, End of Year 3,548 4,721 4,721 Fund Description IL f Adk The Heart of Southern California Wine Country City of Temecula Fiscal Year 2020-21 Quarterly Budget Report FUND: 530 - SERVICE LEVEL"C"ZONE 30 FUTURE ZONES FUND Change 2020-21 Year to Date 2020-21 Q2 from 2019-20 Current Actuals Revised Requested Current Description Actuals Budget 12-31-2020 Budget Adjustments Budget Revenues by Source Use of Money and Property Investment Interest 759 0 (13) 0 0 0.0 % Total Revenues and Other Sources 759 0 (13) 0 0 0.0 Excess of Revenues Over (Under) Expenditures 759 0 (13) 0 0 0.0 Fund Balance, Beginning of Year 35,461 36,220 36,220 Fund Balance, End of Year 36,220 36,220 36,220 Fund Description RESOLUTION NO. 2021- A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF TEMECULA AMENDING THE CAPITAL IMPROVEMENT PROGRAM FISCAL YEARS 2021-25 AND AMENDING THE CAPITAL IMPROVEMENT BUDGET FOR FISCAL YEAR 2020-21 THE CITY COUNCIL OF THE CITY OF TEMECULA DOES HEREBY RESOLVE AS FOLLOWS: Section 1. Recitals. The City Council hereby finds, determines and declares that: A. On June 3, 2020, the Planning Commission found the Capital Improvement Program projects are consistent with the General Plan in accordance with Government Code Section 65401 of State Planning and Zoning Law. B. On June 9, 2020, the City Council adopted Resolution No. 2020-42 approving the City of Temecula Capital Improvement Program Fiscal Years 2021-25 (CIP). C. Adoption of the Amendments noted herein are categorically exempt from environmental review under the California Environmental Quality Act (CEQA). Pursuant to Sections 15262 and 15061 (b) (3) of the State Guidelines for Implementation of CEQA, a project involving only feasibility or planning studies for possible future actions because it can be seen with certainty that this prioritizing and fund allocation program set forth in the Amendment cannot and does not have the potential to cause a significant effect on the environment. No physical activity will occur until all required CEQA review is conducted at the time the physical improvements prioritized in the Amendment are undertaken. The Council reaffirms and incorporates herein the findings set forth in Section 1 of Resolution No. 2020-42. Section 2. Specific Actions: Based on the findings above, the City Council determines and declares the following adjustments to the Fiscal Year "City of Temecula Capital Improvement Program Fiscal Years 2021- 25" are hereby adopted: A. Amend the 2020-21 appropriation for the Comprehensive General Plan Update project, to allocate an additional $10,000 in 2020-21 Grants funding to reflect an updated amount to be received from the Local Early Action Planning (LEAP) Grant. B. Amend the 2020-21 appropriation for the Sports Field Lighting — Light Emitting Diode (LED) Conversion project, to allocate an additional $200,000 from the Temecula Energy Efficiency Asset (TEAM) Fund. C. Amend the 2020-21 appropriation for the Sidewalks — Old Town Improvements project, to allocate $280,000 in Measure S funds from the Sidewalks — Old Town Boardwalk Enhancement project. D. Amend the 2020-21 appropriation for the I-15 Congestion Relief project, to allocate $100,000 in funding received from the City of Murrieta. The budget and appropriation for these projects are set forth in Exhibit 1 and are hereby approved. Section 3. Certification: The City Clerk shall certify the adoption of this resolution. PASSED, APPROVED, AND ADOPTED by the City Council of the City of Temecula this 23rd day of February, 2021. ATTEST: Randi Johl, City Clerk [SEAL] Maryann Edwards, Mayor N 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. 2021- was duly and regularly adopted by the City Council of the City of Temecula at a meeting thereof held on the 23rd day of February, 2021, by the following vote: AYES: COUNCIL MEMBERS: NOES: COUNCIL MEMBERS: ABSTAIN: COUNCIL MEMBERS: ABSENT: COUNCIL MEMBERS: Randi Johl, City Clerk EXHIBIT 1 Capital Improvement Program �a f The Heo rt of Southern California wlee Co try 1-15 CONGESTION RELIEF Circulation Project Project Description: This project includes the design and construction of a single auxiliary lane, northbound Interstate 15 (1-15) connecting the Temecula Parkway on -ramp to the Rancho California Road off -ramp. Benefit: This project provides an operational improvement to relieve congestion on northbound 1-15. It represents one of several operational improvements identified by the Move 1-15 Regional Task Force to address congestion on 1-15. Core Value: Transportation Mobility and Connectivity Project Status: Project development is set to commence in Fiscal Year 2019-20. Department: Public Works -Account No. 210.265.999.609 / PW19-02 Level: I City of Temecula Fiscal Years 2021-25 Capital Improvement Program -7-..i;:_J0GH - TEiEUL.A VALLEY 2020-21 2020-21 Prior Years 2019-20 Mid -Year Adjusted 2022 2022-23 2023-24 2024-25 Total Project Project Cost: Actuals Adjusted Request Budget Projected Projected Projected Projected Cost Administration 20,456 49,631 79,398 200,000 100,000 449,485 Construction - - - 775,000 4,875,000 5,650,000 Construction Engineering - - 475,000 - 475,000 Design & Environmental 515- 412,599 100,000 889,126 - - 1,302,240 Total Expenditures 1 20,971 462,230 100,000 968,524 1,450,000 4,975,000 7,876,725 Source of Funds: General Fund 400,000 951,725 200,000 - 1,551,725 SHOPP - - - 1,250,000 1,250,000 Reimbursements 100,000 100,000 100,000 Unspecified - - - - 4,975,000 4,975,000 Total Funding 400,000 951,725 100,000 100,000 1,450,000 4,975,000 7,876,725 Future Operating & Maintenance Costs: Total Operating Costs Notes : 1. (1) SHOPP - State Highway Operation and Protection Program and Minor Program 2. (2) Reimbursement of $100,000 from the City of Murrieta COMPREHENSIVE GENERAL PLAN UPDATE Infrastructure Project Project Description: California State Law requires that each city adopt a comprehensive General Plan as the fundamental policy document for future development. It provides the framework for management and utilization of the City's physical, economic, and human resources. This document guides civic decisions regarding land use, conservation of existing housing and the provision of new dwelling units, the provisions of supporting infrastructure and public services, the protection of environmental resources, the allocation of fiscal resources, and the protection of residents from natural and human -caused hazards. The City's General Plan was last updated in 2005. The General Plan will serve as the blueprint for the community for approximately the next fifteen years. This project will update all of the elements of the General Plan and will also include the implementation of new legislation to ensure compliance with State Law. Benefit: The General Plan update satisfies all six of the City's core values: Healthy and Livable City; Economic Prosperity; Safe and Prepared Community; Sustainable City; Transportation, Mobility, and Connectivity; and Accountable and Responsive Local Government. Core Value: Healthy and Livable City Project Status: This project is estimated to start in Fiscal Year 2021-22. Department: Community Development - Account No. 210.265.999.777 Level: I City of Temecula Fiscal Years 2021-25 Capital Improvement Program l]� a T h,. Fl n,, r[ cr' o; Inrrn C. n li fn Wino Co try 2020-21 2020-21 Prior Years 2019-20 Mid -Year Adjusted 2022 2022-23 2023-24 2024-25 Total Project Project Cost: Actuals Adjusted Request Budget Projected Projected Projected Projected Cost Administration 10,000 310,000 1,000,000 200,000 1,510,000 Design & Environmental 500,000 500,000 Total Expenditures 10,000 310,000 1,000,000 700,000 2,010,000 Source of Funds: General Fund I 800,000 700,000 1,500,000 Grants 10,000 310,000 200,000 1 510,000 Future Operating & Maintenance Costs: Total Operating Costs I I I Notes : 1. (1) Grants funding represents $500,000 in Local Early Action Planning Grant Program (LEAP) funding provided by the California Department of Housing and Community Development (HCD). LEAP provides one-time grant funding to cities and counties to update their planning documents and implement process improvements that will facilitate the acceleration of housing production and help local governments prepare for their 6th cycle Regional Housing Needs Allocation (RHNA). City of Temecula Fiscal Years 2021-25 Capital Improvement Program SIDEWALKS - OLD TOWN BOARDWALK ENHANCEMENT Infrastructure Project Project Description: This project will establish programs that will remove boardwalk plank boards and replace them with colored concrete sidewalks stamped with wood grain finish similar to what was installed with the new Main Street bridge. Benefit: This project promotes a sustainable walkable surface that will require little maintenance. New sidewalks will enhance American with Disabilities Act(ADA) access. It will also promote a "walkable" community by connecting the City. Core Value: Healthy and Livable City Project Status: Project is estimated to be completed in Fiscal Year 2019-20. Department: Public Works -Account No. 210.265.999.696 / PW17-16 Level: I 2020-21 2020-21 Prior Years 2019-20 Mid -Year Adjusted 2022 2022-23 2023-24 2024-25 Total Project Project Cost: Actuals Adjusted Request Budget Projected Projected Projected Projected Cost Administration 231,473 176,776 - 408,249 Construction 77,482 585,257 (280,000) 24,170 686,909 Construction Engineering 1 37,407 - 37,407 Total Expenditures 1 308,9561 799,439 (280,000) 24,170 1,132,565 Measure S I 710,000 164,529 (280,000) (280,000) I 594,529 Total Funding 1 922,7451 489,820 (280,000) (280,000) 1,132,565 Future Operating & Maintenance Costs: Total Operating Costs �a f The Hear[ of Southern CaliFo-ia Wine Country SIDEWALKS -OLD TOWN IMPROVEMENTS Infrastructure Project Project Description: This project is comprised of adding new sidewalks, paving, street lights and trees on both sides of 5th Street from Old Town Front Street to the Murrieta Creek Channel. Benefit: This project will provide walking surfaces for pedestrians. Core Value: Transportation Mobility and Connectivity Project Status: Project is expected to be completed in Fiscal Year 2019-20. Department: Public Works -Account No. 210.265.999.766 / PW17-04 Level: I City of Temecula Fiscal Years 2021-25 Capital Improvement Program 2020-21 2020-21 Prior Years 2019-20 Mid -Year Adjusted 2022 2022-23 2023-24 2024-25 Total Project Project Cost: Actuals Adjusted Request Budget Projected Projected Projected Projected Cost Administration 341,298 5,463 25,000 25,023 371,784 Construction 834,462 71,972 200,000 315,176 1,221,610 Construction Engineering 30,850 15,000 28,900 59,750 Design & Environmental 90,981 40,000 54,022 145,003 Total Expenditures 1,297,591 77,435 280,000 423,121 1,798,147 Source of Funds: C D BG 653,492 149,655 803,147 Measure A 140,000 140,000 Measure S 400,000 175,000 280,000 280,000 855,000 Total Funding 1,193,492 324,655 280,000 280,000 1,798,147 Future Operating & Maintenance Costs: Total Operating Costs > 11,e Hear[ of Southern CalfFo-ia Wine Country City of Temecula Fiscal Years 2021-25 Capital Improvement Program SPORTS FIELD LIGHTING - LIGHT EMITTING DIODE (LED) CONVERSION Parks/Recreation Project Project Description: This project provides for the replacement of the aging sports field lighting components with new LED technology at various sports parks. Benefit: This project enhances the safety of sport field users, reduces unnecessary light pollution and increases energy efficiency at City parks. Core Value: Healthy and Livable City Project Status: Project will be completed on an on -going basis as funding becomes available. Department: Public Works - Account No. 210.290.999.113 Level: I 2020-21 2020-21 Prior Years 2019-20 Mid -Year Adjusted 2022 2022-23 2023-24 2024-25 Total Project Project Cost: Actuals Adjusted Request Budget Projected Projected Projected Projected Cost Construction 77,824 339,629 200,000 412,547 830,000 Total Expenditures 77,824 339,629 200,000 412,547 830,000 TEAM MeasUFund re SI 250,0001 280,000 200,000 200,000 200,000 Total Funding 1 250,0001 280,000 200,000 300,000 830,000 Future Operating & Maintenance Costs: Total Operating Costs Item No. 10 CITY OF TEMECULA AGENDA REPORT TO: City Manager/City Council FROM: Greg Butler, Assistant City Manager DATE: February 23, 2021 SUBJECT: Discuss and Provide Direction Regarding an Alternate Facility to Serve as the Base of Operations for the Sheriff's Deputies Assigned to Temecula, a Temecula Police Station within the City Limits (At the Request of Council Member Stewart) RECOMMENDATION: That the City Council: 1. Discuss the current Base of Operations, the Southwest Station, the current deployment model, and the concept of shifting to a Base of Operations within the City Limits; and 2. Provide direction on exploring an alternate Base of Operations, if, after discussion, the Council wishes to do so. Additionally, consider forming a City Council ad -hoc subcommittee to guide the process. BACKGROUND: The City of Temecula contracts for policing services with the Riverside County Sheriff. Currently, sheriff's deputies assigned to the City of Temecula use the Southwest Sheriff Station on Auld Road as their base of operations. Patrol Deputies are deployed into the City at the beginning of each shift. Typically, deputies respond to calls for service from their assigned patrol areas. The Southwest Sheriff Station is one component of the Southwest Justice Center complex which also includes the Southwest Detention Center (the local jail), local offices for the district attorney and the Riverside county courts. Council Member Stewart placed this item on the agenda to facilitate a Council discussion on the concept of having the sheriff's deputies assigned to Temecula operate out of a Police Station located within the City Limits. The outcome of that discussion will drive the second recommendation included above. FISCAL IMPACT: Should the Council provide direction to explore the feasibility of relocating the City's policing base of operations to a facility within the city limits it may be necessary to engage the services of a consultant through an RFP/RFQ process. The actual fiscal impact will be determined at the time of award and require separate Council action. ATTACHMENTS: None Item No. 11 CITY OF TEMECULA AGENDA REPORT TO: City Manager/City Council FROM: Luke Watson, Director of Community Development DATE: February 23, 2021 SUBJECT: Community Development Department Monthly Report RECOMMENDATION: That the City Council receive and file the Community Development Department monthly report. The following are the highlights for Community Development for the month of January 2021. VIRTUAL TRANSITION The COVID-19 pandemic necessitated the virtual shift of many functions of the City, and Community Development in particular. Community Development, in collaboration with Business License, Fire, Land Development, Police, and IT, shifted all Permit Center services online in under one week. Building and Safety has implemented virtual inspections utilizing FaceTime. While keeping the health and safety of staff and the community as the top priority, the division has been able to increase the volume of inspections conducted, and keep projects moving with this new process. Community Development resumed public hearings and meetings in April by shifting to virtual meetings, conducted via Zoom. CURRENT PLANNING ACTIVITIES Planning processed 42 new applications (not including Home Occupations) and conducted four (4) Public Hearings in January 2021. A detailed account of planning activities is attached to this report. Plan Type January 2021 Long Range ProjeAs 9 Accessary Dwelling 1 Conditional Use Permit 2 Develapment Plan 5 Home Occupation 23 Massage Permits 5 Minor Exception 1 Mod ifications 12 Pre -Application 3 Temporary Use Permit 1 Wireless Antenna Facility 3 Total 6S Woodspring Suites (PA20-0072): The City is processing a Development Plan for an approximately 60,600 square foot, four-story, 130 room Woodspring Suites Hotel located on the west side of Madison Avenue between Buecking Drive and McCabe Court. (COOPER) Sommers Bend Multi -Family Density Core (PA20-1219, 20-1459): The City is processing a Development Plan and Tentative Tract Map for a 376-unit multi -family community consisting of townhomes, motorcourt duplexes, and bungalow 3-packs built on 31.49 acres. The project includes a paseo connecting the project to the recreation center and sports park, a dog run, play areas, parks, barbecue areas, bocce ball, and a ninja course. The project is located within Planning Areas 28 & 29 of Sommers Bend. (COOPER) Sommers Bend PA15 HPR (PA20-1454): The City is processing a Home Product Review for Planning Area 15 of the Roripaugh Ranch Specific Plan to allow for three (3) unique detached single-family plans with three (3) architectural styles consisting of 45 lots. (CARDENAS) Sommers Bend Home Product Review (HPR) (PAs 20-1414, 20-1415, 20-1416): The City is processing Home Product Reviews for a total of 57 single family lots. This phase is located on the southern and eastern boundaries of the project, are the larger 20,000 square foot minimum lots and encompasses Planning Areas 19, 20B, and 21. (COOPER) Sommers Bend Home Product Review (HPR) (PA20-1461): The City is processing Home Product Review for a total of 115 single family lots located in Planning Area 17A. (COOPER) Sommers Bend Home Product Review (HPR) (PA20-1321): The City is processing Home Product Review for a total of 74 single family lots located in Planning Area 18A. (COOPER) Temecula Village Phase II (PAs 20-0323, 20-0324, 20-0325, 20-0326): The City is processing a Development Plan for a 134 unit multi -family community built on 7.61 acres; a Tentative Tract Map (TTM 38043) to combine eight (8) existing contiguous parcels into a single parcel; a General Plan Amendment to amend the underlying General Plan Land Use designation of the project site from Professional Office (PO) to Medium Density Residential (M); a Planned Development Overlay Amendment for PDO-5, (Temecula Village). The City is working with a consultant to prepare a fiscal impact analysis. The project is located on the south side of Rancho California Road, approximately 150 feet west of Cosmic Drive. (COOPER) Paseo Del Sol Tentative Tract Map No. 36483 (PA14-0087): The City is processing a Tentative Tract Map (No. 36483) for 168 single-family homes and 11 open space lots located at the northwest corner of Temecula Parkway and Butterfield Stage Road. (COOPER) Solana Winchester (PA20-1371): The City is processing a Development Plan to allow for the construction of a 350-unit apartment community located within the Residential Overlay Area of Planning Area 12 of the Harveston Specific Plan at the terminus of Date Street. approximately 900 feet south of Ynez Road. The City is working with a consultant to prepare a fiscal impact analysis. (COOPER) Sanborn/Jefferson Gas Station (PAs 21-0075, 21-0076): The City is processing a Development Plan and Conditional Use Permit for an approximately 10,000 square foot gas station consisting of 12 fueling pumps, convenience store, quick service restaurant, and multi -tenant retail building located at 41480 Sanborn Ave. (COOPER) Winchester Hills Development Agreement Amendment (PA21-0128): The City is processing a Second Amendment to the Development Agreement between the City of Temecula and Winchester Hills I LLC, a California Limited Liability Company to rescind the First Amendment to the Development Agreement and reinstate the original term of the Development Agreement for the Winchester Property located within Planning Area 12 of the Harveston Specific Plan. (COOPER) LONG RANGE PLANNING Temporary Expanded Outdoor Dining and Retail in Old Town: As the State of California and Riverside County Public Health loosen restrictions related to the COVID 19 pandemic, City Council has directed staff to implement multiple programs (Temecula Revive) that accelerate local economic activity while maintaining compliance with all State or County mandates. Staff has developed the Temporary Expanded Dining/Retail program to assist businesses during these challenging times. On May 29, 2020, the City Council Old Town Steering Subcommittee (Naggar/Schwank) received a presentation from staff regarding the proposed Temporary Expanded Dining/Retail program. Staff provided updates to the City Council on July 14, 2020. Approximately 50 businesses have participated in the program throughout the City. (RABIDOU, WATSON) CEQA Traffic Impact Analysis - VMT Thresholds and Guidelines (LR18-1506): Per the requirements of SB 743, the City was required to update its Traffic Impact Analysis (TIA) Guidelines to facilitate compliance with Vehicles Miles Traveled (VMT). The City transitioned from level of service (LOS) based to VMT based before the state deadline of July 1, 2020. On January 28 and April 23, 2020, Staff met with the General Plan Update Subcommittee, consisting of Mayor Pro Tern Edwards and Council Member Rahn. The Planning Commission approved the Guidelines on April 22. On April 23, the project was presented to the Public Traffic Safety Commission. On May 26, 2020, the City Council approved the CEQA Transportation VMT Analysis Guidelines. Fehr & Peers has developed a tailored VMT forecasting tool. Staff has finalized the VMT forecasting tool and the formation of the TIA Guidelines with the Fehr & Peers. The City of Temecula's Updated TIA Guidelines and the VMT forecasting tool is now available to use by the public on Public Works webpage. (TOMA) Objective Design and Development Standards (LR18-1684): The City received an SB 2 Grant from the State Department of Housing and Community Development (HCD) to update the Objective Design and Development Standards for multi -family and mixed -use residential developments, with the goal of expediting housing production, streamlining approval processes, and establishing the foundation for future regulations and housing laws. Staff is developing Objective Design Standards that will conform with SB 35, and will incorporate objective design guidelines into the City's Development Code. Staff has hired P1aceWorks, to assist with development of our design standards for multifamily and mixed use. On September 28, 2020, staff and Consultant presented six architectural styles to the PC Infill Subcommittee, consisting of Commissioners Watts and Turley-Trejo. The Subcommittee agreed with staff s six recommended styles. On October 13, 2020, staff and Consultant presented to the CC Infill Subcommittee consisting of Council Member Naggar and Rahn, the six recommended architecture styles. The Council Members agreed with staffs recommendation to move forward with detailing the styles for the Objective Design Standards. Early December, the consultant provided staff with a first draft of the ODS document. Staff reviewed and provided comments/edits. Currently, the consultant is reviewing staffs comments will provide an updated draft mid -January. (TOMA, RABIDOU) Permit Ready ADU Program (LR19-1464): The City received an SB 2 Grant from the State Department of Housing and Community Development (HCD) to prepare, adopt, and implement a Permit Ready Accessory Dwelling Unit (ADU) program. The ADU program will encourage the construction of ADUs, offering property owners a selection of pre -approved ADU building plans that can be obtained at the community Development Department, free of charge. On September 16, 2020, the RFP closed on PlanetBids. The City received three detailed proposals from qualified consultants. After detailed review of all the proposals, staff selected checkerboardSTUDIOS Consultant Firm. Staff is working with the consultant to execute the contract. Work is anticipated to begin mid -January. (TOMA, RABIDOU) Waves to Wineries: Staff is working with the National Parks Service on the Waves to Wineries Trail Plan. The purpose of this plan is to unite Temecula Wine Country with the Pacific Coast by identifying a network of trails along the Santa Margarita River corridor. (PETERS) HOUSING Las Haciendas Affordable Housing Project: The City is processing a Development Plan for a 77-unit affordable multi -family housing community consisting of two residential buildings, a community building and tuck -under parking located at 28715 Las Haciendas. The City Council approved a Loan Agreement with Community Housing Works (CHW) for the use of affordable housing tax allocation bond proceeds on May 26, 2020. The developer held a virtual community workshop on July 28, 2020. The item was approved by the Planning Commission on October 7, 2020. CHW will apply for funding through the State in 2021. (RABIDOU, WATSON) Vine Creek Disposition and Development Agreement (DDA): City Council approved the DDA with Temecula Pacific Associates on June 25, 2019 for the development of 60 affordable units on City -owned property on Pujol Street. The developer is looking to secure financing from the State of California prior to construction. The City and developer will collaborate with the County of Riverside and the State Department of Housing and Community Development for additional funding opportunities through the Permanent Local Housing Allocation grant. (WATSON) Housing Element Update (LR18-1620 and LR17-1757): The City is working with De Novo Planning Group to update the 2021-29 Housing Element. De Novo will also assist with the RHNA process, community engagement, and CEQA. The current Housing Element was certified by the Department of Housing and Community Development (HCD) in 2013 and serves as the foundation for the update. The Housing Element is a required part of the City's General Plan and is a blueprint for meeting the housing needs of residents, at all economic levels, and addressing segments of the population with special needs. The City Council General Plan Ad Hoc Subcommittee, consisting of Mayor Pro Tem Edwards and Council Member Rahn, and the Planning Commission General Plan Ad Hoc Subcommittee, consisting of Commissioners Watts and Youmans, will serve as advisory bodies. Running concurrently with the Housing Element Update is the Regional Housing Needs Assessment (RHNA). The RHNA planning cycle is an eight -year cycle and covers October 2021 through October 2029. The Final RHNA allocation was issued in September 2020. Staff is working with the consultant to update data and write draft chapters. (RABIDOU, TOMA, PETERS) COMMUNITY DEVELOPMENT BLOCK GRANT (CDBG) Temecula Assist: On Thursday, May 21, 2020, during the City Council Budget Workshop, the Temecula City Council gave the greenlight to a half million dollars in aid for Temecula small businesses. The program, branded as Temecula Assist, is a set of two small business emergency relief grants designated for Temecula business owners coping with the financial effects of the COVID-19 pandemic. Temecula Assist is comprised of two grants: Rent Recovery and Job Retention Grant (funded through CDBG-CV) and a Business Improvement Grant (funded through the General Fund). The application period was May 26th through June 9th. The Substantial Amendment to the 2019-20 CDBG Annual Action Plan was approved at a public hearing at City Council on June 9, 2020. The grant program will assist 67 local businesses. (WATSON) CDBG Administration: The 2020-21 Notice of Funding Availability (NOFA) for CDBG funding was released in November 2019. Two technical workshops were held for applicants on December 12, 2019. The Finance Committee provided recommendations for the 2020-21 program on March 10, 2020. City Council approved the following recommendations on April 28, 2020. (WATSON) Finance Organization Project Name Program Description Committee 0 0 0 RecommendatioiJ Assistance League of Temecula Valley Operation School Bell Clothing & supplies for low $5,491 income students in TVUSD Round trip school transportation; Boys &Girls Clubs of Southwest County Before and After School Care activities before and after school $5,491 Canine Support Teams, Inc. Service Dogs for Disabled Provide service and assistance $5,491 Persons dogs to people with disabilities. Homeless Prevention and Connecting homeless individuals City of Temecula with services and financial $20,000 Diversion Program assistance Community Mission of Hope Housing Resource Center Provide case management for $5,491 homeless; food pantry Fair housing education, training, Fair Housing Council of Riverside County Comprehensive Fair Housing technical assistance; landlord/ $20,000 Program tenant mediation Hospice of the Valleys Senior Assistance Program Provide direct costs of hospice $5,491 care for senior citizens Riverside Area Rape Crisis Center Anti Violence Education and Provide support and services to $5,491 Crisis Intervention survivors of sexual assault Safe Alternatives for Everyone (SAFE) Creating SAFE Families Victim awareness; case $5,491 management; support for victims Voices for Children Court Appointed Special Case management and advocacy $5,491 Advocate (CASA) Program for foster children in Temecula Total Public Service Funds Requested for 2020-21 $83,928 BUILDING & SAFETY Building and Safety statistics for January 2021 are highlighted in the following table. Building& Safety Statistics January2021 Dermits 302 New Single Family Units 1 New Commercial Building 4 Photovoltaic 103 Tenant Improvements 8 Nan Can struction C of 0 18 Number of Active Plan Checks 200 Number of New Plan Checks 89 Number of Finaled Permits 203 Inspections 2,517 Inspections Per Day 139.8 Inspections Per Person Per Day 35.0 Stops Per Month 755.0 Visitors to Counter 0 New Construction Projects Currently in Plan Check • Truax Hotel (161,586 sf) • Parking Structure on 3rd Street (48,907 sf) • Town Square Market Place (two buildings at 43,640 sf each) • Generations at Linfield - memory care/assisted living (59 apartments and 32 condos) • iA Robotics (24,659 sf) • Hotel (38,202 sf) on Jefferson and Winchester • Temecula Hyundai Service Building (5,753 sf) • Trinity Lutheran Church Preschool (9,530 sf) • Temecula Valley Lexus Dealership (54,898 sf) • Epic Dog Academy (5,887 sf) • At Home (113,903 sf) Non -Construction Certificate of Occupancy • Gearhart's Cabinet — 42345 Avenida Alvardo Suites A/B • SpokeX Bike Shop — 43280 Business Park #102 Tenant Improvement • Flip Flop Shop — 40754 Winchester Bldg F Suite 300 • Simon's Dole Whip — 27636 Ynez Rd Suite L-1 • Evolution Chiropractic & Wellness 31333 Temecula Parkway #140 CODE ENFORCEMENT During the month of January, Code Enforcement responded to 157 web inquiries. In addition, the division opened 166 code cases, conducted 263 inspections, and forwarded 20 referrals. Type of Code Case January 2021 Abandoned or Inoperable Vehicle 1 Vacant Home / Prop. Maintenance /infestation/ Mold 13 Business or Home Occupation w/o license/CUP 4 Trash and Debris Dumping 18 Overgrown Vegetation / Weeds / Fire Hazard 12 Green Pool I Vector Control /Stagnant Water 1 Graffiti 51 Noise/Nuisance/Animal Control 15 Trailer/ RV Store d/B a at/Pa rki ng 5 Construction w/o Permit/Building Code 12 Encroach Public ROW /Trash Cans 7 Zoning/Signs 5 Public Safety & Health 22 Total Number of Cases 155 Foreclosure Tracking: Code Enforcement works with the local real estate community to monitor foreclosures, defaults and real estate owned properties. Foreclosure Tracking January 2021 Residential - Default 12 Residential - Foreclosure 21 Residential - REO 23 Total - Residential 56 Commercial - Default 1 Commercial - Foreclosure 1 Commercial - REO 4 Total - tommercia1 G ATTACHMENTS: 1. Current Planning Activity Report PLANNING ACTIVITY REPORT Assigned Planner Approval PA Number Project Address APN Apply Date Date Applicant PA21-0006 45105 Via Quivera 961-111-013 Jaime Cardenas 01/04/2021 01/06/2021 Carina Temecula, CA 92592 Gustafsson Case Title / Description: Carina's Therapy Service: a home occupation business license for psychotherapy video consultations. Company Owner Plan Type Status PL Home Approved Occupation PA21-0007 28495 Old Town Front St 922-026-008 Eric Jones 01/04/2021 Steve Rawlings CELIA PL Conditional Out Temecula, CA 92590 SANCHEZ Use Permit Case Title / Description: Mad Madeline's Minor Conditional Use Permit: A Minor Conditional Use Permit to allow an existing restaurant to upgrade their current Alcoholic Beverage Control (ABC) Type 41 License to an ABC Type 47 License. The project is located at 28498 Old Town Front Street. PA21-0017 40046 Walcott Ln 957-170-029 Jaime Cardenas 01/04/2021 01/06/2021 Javier Rodriguez Temecula, CA 92591 Case Title / Description: FCO Construction: a home occupation business license for a general contractor's office. PL Home Approved Occupation PA21-0018 28588 Old Town Front St 922-033-021 Jaime Cardenas 01/04/2021 Tamer Gergis Ronald Darling PL Modifications Plan Review Temecula, CA 92590 Case Title / Description: Topspin Building Window MOD: a modification application to modify previously approved windows and create a veranda that serves food and beverages under the second -floor canopy for Topspin Pizza & Pong, a future tenant in the building located at 28588 Old Town Front Street, Suite 200. PA21-0019 40820 Winchester Rd 910-420-030 Jaime Cardenas 01/05/2021 01/27/2021 Nivia Baijnath Temecula Towne PI -Temporary Approved Temecula, CA 92591 Center Assoc. Use Permit Case Title / Description: Smile Bus TUP: a minor Temporary Use Permit to allow a mobile bus to provide 3D mouth scanning services on customers inside and produce aligners off -site. The event date will be from January 30 through January 31, 2021 and the bus will be parked across the Promenade Mall's main entrance at 40820 Winchester Road. PA21-0025 40136 Village Rd, Unit 1821 916-560-001 Jaime Cardenas 01/06/2021 01/12/2021 Jennifer French PL Home Approved Temecula, CA 92591 Occupation Case Title / Description: Jaec Consulting, Inc.: a home occupation business license for bookkeeping and accounting services. Page 1 of 9 Assigned Planner Approval PA Number Project Address APN Apply Date Date Applicant Company Owner Plan Type Status PA21-0027 43655 Corte Cabral 955-122-060 Jaime Cardenas 01/07/2021 01/12/2021 Joshua Brinkman PI -Home Approved Temecula, CA 92592 Occupation Case Title / Description: MR. Cool Guy HVAC: a home occupation business license for HVAC service and repair services. PA21-0029 31805 Temecula Pky. 735 961-080-011 Jaime Cardenas 01/07/2021 01/12/2021 Tony Sanchez PI -Home Approved Temecula, CA 92592 Occupation Case Title / Description: Premier Pool Service: a home occupation business license for swimming pool cleaning and repair services. PA21-0030 39935 Sweetbriar Cir Jaime Cardenas 01/07/2021 01/12/2021 Abelardo PI -Home Approved Temecula, CA 92591 Vasquez Occupation Case Title / Description: A Vasquez Construction: a home occupation business license for general contracting services PA21-0033 29500 Mira Loma Dr. N103 944-060-005 Jaime Cardenas 01/07/2021 01/12/2021 Vanda Kingsbury PI -Home Approved Temecula, CA 92592 Occupation Case Title / Description: Blooms by Vanda: a home occupation business license to conduct florist services. PA21-0038 964-640-009 Scott Cooper 01/08/2021 01/14/2021 Trent Heiner WOODSIDE 05S PL Modifications Approved Case Title / Description: Sommers Bend Entry Monument Landscaping: A Modification for the review of landscaping Associated with the entry monuments located on the north and south side of Sommers Bend (North Loop) and Sommers Bend (South Loop) PA21-0039 31805 Temecula Pky. 961-080-011 Eric Jones 01/08/2021 Kuho Yeo Ureca GALILEO VAIL PL Modifications Plan Review Temecula, CA 92592 Construction co RANCH LP Case Title / Description: Hana Sushi Minor Modification (Planning Review Only): A Minor Modification (Planning Review Only) to allow a restaurant to construct a patio for outdoor dining. The project is located at 31805 Temecula Parkway. PA21-0047 27711 Diaz Rd 921-030-002 Eric Jones 01/11/2021 Tarek Shaer RBI TEMECULA PL Modifications Plan Review Temecula, CA 92590 PROP Case Title / Description: Diaz Road Distribution Center Minor Modification: A Minor Modification to allow architectural and site plan revisions for an existing developed site located at 27711 Diaz Road. PA21-0048 40531 Margarita Rd 910-470-029 Eric Jones 01/11/2021 Patrick Salcedo NUMBER 2 PC PL Modifications Plan Review Temecula, CA 92591 Case Title / Description: Chick-Fil-A Modification Application: A Major Modification application to allow an existing fast food restaurant to reconfigure the existing drive-thru and add square footage. The project is located at 40531 Margarita Road. Page 2 of 9 Assigned Planner Approval PA Number Project Address APN Apply Date Date Applicant Company Owner Plan Type Status PA21-0057 40969 Julo Way 957-591-010 Jaime Cardenas 01/13/2021 01/20/2021 Betty Balo PL Home Approved Temecula, CA 92591 Occupation Case Title / Description: BB3 Tax Services: a home occupation business license for tax preparation services. PA21-0059 39885 Jeffrey Heights Rd 957-120-018 Jaime Cardenas 01/13/2021 01/20/2021 Lauren Correia PL Home Approved Temecula, CA 92591 Occupation Case Title / Description: White Rabbit Engraving Company: a home occupation business for personal engraving services. PA21-0062 29775 Santiago Rd 922-130-020 Jaime Cardenas 01/12/2021 Rachel Bruin RANCHO Temecula, CA 92592 BAPTIST CHURCH Case Title / Description: 29775 Santiago T-Mobile Wireless MOD: a modification application existing wireless facility to remove three (3) antennas, three (3) TTAs, and six (6) coax cables and install three (3) antennas, three (3) radios, two (2) basebands, one (1) power booster, and one (1) hybrid cable to the existing T-Mobile wireless facility located at 29775 Santiago Road. PA21-0063 27363 Via Industria 909-325-016 Jaime Cardenas 01/14/2021 Steffen Sommers Temecula, CA 92590 Case Title / Description: 27363 Via Industria MOD: a modification application to change the storefront fenestration from window into a glass entry door for the industrial building located at 27363 Via Industria. PL Wireless Plan Review Antenna Facility Temecula PL Modifications Plan Review Corporate Center PA21-0064 44260Apis Rd 960-020-026 Eric Jones 01/14/2021 01/22/2021 Rick Alnagar Naythan PL Modifications Approved Temecula, CA 92592 Properties LLC Case Title / Description: Redhawk Carwash Minor Modification (Planning Review Only): A Minor Modification (Planning Review Only) to allow for architectural revisions to a previously approved auto detailing structure at an existing gas station. The project is located at 44260 Apis Road. PA21-0065 29775 Santiago Rd 922-130-019 Eric Jones 01/14/2021 Dino Romeo Temecula, CA 92592 Case Title / Description: AT&T Wireless Telecommunication Facility: A Wireless Telecommunication Facility application to allow for a new cellular facility to be co -located on an existing tower. The project is located at 29775 Santiago Road. RANCHO PL Wireless Void BAPTIST Antenna Facility CHURCH Page 3 of 9 Assigned Planner Approval PA Number Project Address APN Apply Date Date Applicant Company Owner Plan Type Status PA21-0066 29775 Santiago Rd 922-130-019 Eric Jones 01/14/2021 Dino Romeo RANCHO PL Wireless Plan Review Temecula, CA 92592 BAPTIST Antenna Facility CHURCH Case Title / Description: AT&T Wireless Telecommunication Facility: A Wireless Telecommunication Facility application to allow for a new cellular facility to be co -located on an existing tower. The project is located at 29775 Santiago Road. PA21-0067 42375 Remington Ave 909-370-036 Jaime Cardenas 01/15/2021 Jeff Miller 5670 PL Modifications Plan Review Temecula, CA 92590 TEMECULA Case Title / Description: Scott's Shade Structure MOD: a modification application to construct an attached 20'x94' patio at the rear of the existing Scott's building located at 42375 Remington Avenue. PA21-0074 42375 Remington Ave 909-370-036 Jaime Cardenas 01/19/2021 Tony Dixon 5670 PL Modifications Plan Review Temecula, CA 92590 TEMECULA Case Title / Description: Scott's Pellet Silo MOD: a modification application to install 2 new silos containing pellets for the Scott's building located at 42375 Remington Avenue. PA21-0075 41480 Sanborn Ave 910-272-008 Scott Cooper 01/19/2021 Emer Maulion Hoff Investments PL Development Plan Review Temecula, CA 92590 Plan Case Title / Description: Sanborn/Jefferson Gas Station DP: A Development Plan for an approximately 10,000 square foot gas station consisting of 12 fueling pumps, convenience store, quick service restaurant, and multi -tenant retail building located at 41480 Sanborn Ave. PA21-0076 41480 Sanborn Ave 910-272-008 Scott Cooper 01/19/2021 Emer Maulion Hoff Investments PL Conditional Plan Review Temecula, CA 92590 Use Permit Case Title / Description: Sanborn/Jefferson Gas Station CUP: A Conditional Use Permit for an approximately 10,000 square foot gas station consisting of 12 fueling pumps, convenience store, quick service restaurant, and multi -tenant retail building located at 41480 Sanborn Ave. PA21-0077 39674 Foxtail Dr 964-640-019 Scott Cooper 01/19/2021 01/20/2021 Mike Jagels WOODSIDE 05S PL Minor Approved Temecula, CA 92591 Exception Case Title / Description: Sommers Bend PA31B Lot 44 ME: A Minor Exception for Lot 44 to reduce the allowable rear yard setback by 4% from 15-0" to 14'-6" within Planning Area 31 B of Sommers Bend PA21-0081 31280 Calle Felicidad 919-240-005 Jaime Cardenas 01/19/2021 01/20/2021 Marissa Torres PL Home Approved Temecula, CA 92591 Occupation Case Title / Description: M.T. Baking Delights: a home occupation business license for sales of baked goods. Page 4 of 9 Assigned Planner Approval PA Number Project Address APN Apply Date Date Applicant Company Owner Plan Type Status PA21-0085 31590 Champions Cir 953-591-012 Jaime Cardenas 01/19/2021 01/20/2021 Jesselyn Torlak PI -Home Approved Temecula, CA 92591 Occupation Case Title / Description: Independent Solar Consultants LLC: a home occupation business license for solar installation systems consulting services. PA21-0086 39904 North General Kearny 919-481-006 Jaime Cardenas 01/20/2021 01/29/2021 Christopher PL Home Approved Rd Fields Occupation Temecula, CA 92591 Case Title / Description: Christopher Fields: a home occupation business license for telemarketing services. PA21-0098 42063Avenida Vista Ladera 921-631-016 Jaime Cardenas 01/21/2021 01/29/2021 Frank Gavit PI -Home Approved Temecula, CA 92591 Occupation Case Title / Description: LM Hurley & Associates: a home occupation business license for executive recruiting services. PA21-0100 40165 Paseo Sereno 919-140-008 Jaime Cardenas 01/21/2021 KENNETH PLAccessory Plan Review Temecula, CA 92591 MURPHY Dwelling Unit Case Title / Description: Murphy ADU: an accessory dwelling unit application to add a 985 square foot ADU to the second floor of the existing home located at 40165 Paseo Sereno. PA21-0103 32383 Corte Parado 954-392-013 Jaime Cardenas 01/21/2021 01/29/2021 Mia Kalfus PL Home Approved Temecula, CA 92592 Occupation Case Title / Description: Temecula's Little Bread Company: a home occupation business license for the sale of baked goods. PA21-0105 909-290-005 Jaime Cardenas 01/21/2021 Carolina Paz RidgeView PL Development Plan Review Business Park Plan Dev Case Title / Description: Mountainview Building 4 DP: MS Mountain View Building 4 DP: a Development Plan application to construct a 33,636 square foot building on APNs 909-290-006, -007. PA21-0107 39761 Rustic Glen Dr 920-035-008 Jaime Cardenas 01/21/2021 01/29/2021 Anil Dwivedi PI -Home Approved Temecula, CA 92591 Occupation Case Title / Description: Star Team Worx: a home occupation business license to provide staffing services. PA21-0109 42329 Via Consuelo 918-291-004 Scott Cooper 01/21/2021 01/25/2021 Bobby Ignacio PI -Home Approved Temecula, CA 92592 Occupation Case Title / Description: DiamondKingLLC: A Home Occupation Business License for a building contractor business. Page 5 of 9 Assigned Planner Approval PA Number Project Address APN Apply Date Date Applicant Company Owner Plan Type Status PA21-0111 39653 Foxtail Dr 964-640-019 Scott Cooper 01/22/2021 01/26/2021 Candice Fenton WOODSIDE 05S PL Modifications Approved Temecula, CA 92591 Case Title / Description: Sommers Bend PA31 B PPP MOD: A Modification (Planning Review Only) to modify the previously approved Product Placement Plan to change the building plotting on lots 12, 20, 22, 23, 42, 42, &44 within Planning Area 31 B of Sommers Bend PA21-0114 43378 Calle Carabana 955-264-015 Scott Cooper 01/22/2021 01/25/2021 Robert Milioto PI -Home Approved Temecula, CA 92592 Occupation Case Title / Description: Vivid Running - A Home Occupation Business License for health and wellness coaching services. PA21-0119 30492Avenida Estrada 919-161-006 Jaime Cardenas 01/22/2021 01/29/2021 Jenelle Baily PI -Home Approved Temecula, CA 92591 Occupation Case Title / Description: Baily Language School: a home occupation business license for reading and language tutoring services. PA21-0124 31839 Via Saltio 961-213-003 Scott Cooper 01/23/2021 01/25/2021 Jonathan Peters PI -Home Approved Temecula, CA 92592 Occupation Case Title / Description: JP Fix It -A Home Occupation Business License for handyman services PA21-0125 909-290-055 Eric Jones 01/25/2021 Mario Calvillo RidgeView PL Development Plan Review Business Park Plan Dev Case Title / Description: MS Mountain View Building 9 Development Plan: A Development Plan to allow for the construction of an approximately 19,919 square foot industrial building located approximately 1,000 feet west of the Avenida Alvarado and Tierra Vista Way intersection. PA21-0127 909-290-007 Jaime Cardenas 01/26/2021 Carolina Paz RidgeView PL Development Cancelled Business Park Plan Dev Case Title / Description: MS Mountain View Building 4 DP: a Development Plan application to construct a 33,636 square foot building on APNs 909-290-006, -007. Application Cancelled, see PA21-0105. PA21-0128 916-400-039 Scott Cooper 01/26/2021 Harveston SAB Harveston SAB PL Modifications Plan Review North North Case Title / Description: Winchester Hills DA Amendment #2: A Second Amendment to the Development Agreement between the City of Temecula and Winchester Hills I LLC, a California Limited Liability Company to rescind the First Amendment to the Development Agreement and reinstate the original term of the Development Agreement for the Winchester Property located within Planning Area 12 of the Harveston Specific Plan. Page 6 of 9 Assigned Planner Approval PA Number Project Address APN Apply Date Date Applicant Company Owner Plan Type Status PA21-0129 43040 Beamer Ct 955-551-016 Jaime Cardenas 01/26/2021 01/29/2021 Colette Murphy PL Home Approved Temecula, CA 92592 Occupation Case Title / Description: Colette Marie Murphy: a home occupation business license for freelance writing, editing, and educational services. PA21-0131 30802 Terrace View Cir 957-531-026 Eric Jones 01/28/2021 Rachel Trares ANDREW PL Modifications Plan Review Temecula, CA 92591 MAMMANO Case Title / Description: Terrace View Room Addition: A Minor Modification (Planning Review Only) to allow for an approximately 190 square foot room addition to the second floor of an existing single-family residential unit. The project is located at 30802 Terrace View Circle. PA21-0132 909-290-056 Eric Jones 01/28/2021 Mario Calvillo RidgeView PL Development Plan Review Business Park Plan Dev Case Title / Description: Mountain View Building 8 Development Plan: A Development Plan to allow for the construction of an approximately 17,329 square foot industrial building generally located approximately 1,500 feet west of the Avenida Alvarado and Tierra Alta Way. PA21-0133 33307 Decada St 962-323-028 Jaime Cardenas 01/28/2021 01/29/2021 Mary Drummond PL Home Approved Temecula, CA 92592 Occupation Case Title / Description: Deals on Wheels Auto Sales: a home occupation business license for wholesale auto sales. PA21-0135 43636 Savona St 959-281-045 Jaime Cardenas 01/29/2021 01/29/2021 Leisha PL Home Approved Temecula, CA 92592 Duquesnel Occupation Case Title / Description: Barn Tree Marketplace: a home occupation business license to sell homemade crafts and antiques online and at farmer's markets. PA21-0136 33079 Puffin St 962-430-013 01/29/2021 Heather Ann PL Home Plan Review Temecula, CA 92592 Ramaha Occupation Case Title / Description: Healthy Acupuncture - a home occupation business license for acupuncture and other treatments. PA21-0139 27725 Jefferson Ave, 106 921-400-031 Jaime Cardenas 01/29/2021 Shu Wei Collier Jefferson Capital PL Massage Plan Review Temecula, CA 92590 Permits Case Title / Description: Blue Water Massage: a Massage Establishment Permit (MEP) application renewal for Blue Water Massage located at 27725 Jefferson Avenue, Suite 106. PA21-0141 28165 Jefferson Ave, C 921-060-016 Jaime Cardenas 01/29/2021 Liefu Sun Paul Ryan PL Massage Plan Review Temecula, CA 92590 Permits Case Title / Description: Tang Yun Asian Spa MEP: a new Massage Establishment Permit (MEP) for Tang Yun Asian Spa (formerly Luxury Asian Spa) located at 28165 Jefferson Avenue, Suite C. Page 7 of 9 Assigned Planner Approval PA Number Project Address APN Apply Date Date Applicant Company Owner Plan Type Status PA21-0142 27365 Jefferson Ave 909-270-047 Jaime Cardenas 01/29/2021 Xiaoling Hu JEFFERSON PL Massage Plan Review Temecula, CA 92590 AVENUE Permits TEMECULA Case Title / Description: Oasis Spa Massage MEP: a Massage Establishment Permit (MEP) renewal for Oasis Spa Massage located at 27365 Jefferson Avenue, Suite K. PA21-0143 27715 Jefferson Ave 921-400-024 Jaime Cardenas 01/29/2021 Yunjue Guo Jefferson Capital PL Massage Plan Review Temecula, CA 92590 Permits Case Title / Description: Moon Bay Spa MEP: a Massage Establishment Permit (MEP) renewal for Moon Bay Spa located at 27715 Jefferson Avenue, Suite 108. PA21-0144 40665 Winchester Rd 910-290-006 Jaime Cardenas 01/29/2021 Winchester PL Massage Plan Review Temecula, CA 92591 Marketplace Permits Case Title / Description: Massage Green Temecula: a Massage Establishment Permit (MEP) application for Massage Green Spa located at 40665 Winchester Road. PA21-0146 31958 Calle Elenita 957-580-006 Jaime Cardenas 01/31/2021 02/01/2021 Omar Rodriguez PL Home Approved Temecula, CA 92591 Occupation Case Title / Description: OHMARLIN, INC.: a home occupation business license for professional management services. PA21-0149 45380 Escalante Ct 918-382-002 Jaime Cardenas 01/31/2021 02/01/2021 George Shunk PL Home Approved Temecula, CA 92592 Occupation Case Title / Description: G's Window Tinting: a home occupation business license for mobile window tinting services. PA21-0155 43976 Quiet Meadow Rd 944-031-020 Jaime Cardenas 01/31/2021 02/01/2021 James Germain PL Home Approved Temecula, CA 92592 Occupation Case Title / Description: JAG Handyman Services: a home occupation business license for handyman services. PREAPP21-0 921-280-002 Eric Jones 01/05/2021 01/26/2021 Omar Khoja Ridge Park Point PL Completed 022 Pre -Application Case Title / Description: The Learning Experience Pre -Application: A pre -application to review a proposed Development Plan for an approximately 9,990 square foot learning center located approximately 600 feet west of the Rancho California and Jefferson Avenue intersection. PREAPP21-0 955-050-016 Jaime Cardenas 01/11/2021 02/01/2021 Kent Cornwall Corp of Pres PL Completed 045 Bish Ch of Jesus Pre -Application Christ LDS Case Title / Description: LDS Church Shade Structure: a pre -application to review a proposed 1800 square -foot shade structure at the vacant lot with APN 955-050-016. Page 8 of 9 Assigned Planner Approval PA Number Project Address APN Apply Date Date Applicant Company Owner Plan Type Status PREAPP21-0 28780 Single Oak Dr 921-020-050 Jaime Cardenas 01/15/2021 02/01/2021 John Alvarado 068 Temecula, CA 92590 Case Title / Description: Temecula Hills Christian Fellowship Pre-App: a pre -application to review the proposed tenant improvements for a proposed church within the existing building located at 28780 Single Oak Drive, Suite 130 and 140. SINGLE OAK PL Completed DEV Pre -Application Page 9 of 9 CITY OF TEMECULA AGENDA REPORT TO: City Manager/City Council FROM: John Crater, Division Chief DATE: February 23, 2021 SUBJECT: Fire Department Monthly Report PREPARED BY: RECOMMENDATION: Report Wendy Miller, Administrative Assistant That the City Council receive and file the Fire Department Monthly „�. City of Temecula Fire Department Temecula Fire Department Service Calls Incident Type January 2021 Commercial Fire 4 of T Ems, ti� • w oa • rr - - 6vc: Plies* e 1 . w gg. • — Sid •- � • • • •• ` .��Ks�-��- n�`n , • - .� 1989 -. ...0.0 � •� • 4b • �'a"� :� •IJ” �', •, .a ►� • +,••. • . 4USA VALLEY rG �t '� �;� Jr '� a �; x• • ~ • - • • R. •_ { ~P[[IIRNGACA;[N CI R}iD RV /� �"+L!t Cf'~• �. scaly �'�■ �-- - / / f/% Rcfsai False Alarms Haz Mat Medical Other Fire Other Misc M Public Assist Res Fire Rescue imp Ringing Alarm Standby Traffic Collision Wildland Fire 57 1 606 6 13 24 0 0 4 9 I 58 � Total 783 ,�yCty of Temecula cwv Temecula FireoeFire� Department COUHrp t �a Plan Review and Inspections January 2021 Plan Review and Inspections January Year to Date Plan Review 309 309 Construction Inspections 225 255 Annual Inspections 670 670 Counter/Public Inquiries 0 0 I �yCty of Temecula Fire Department of TtNF, Introduction of Temecula's New 989mv„€ COUHTp y Battalion Chief Dan Olson 0 Item No. 12 Item No. 13 CITY OF TEMECULA AGENDA REPORT TO: City Manager/City Council FROM: Zachary Hall, Chief of Police DATE: February 23, 2021 SUBJECT: Temecula Sheriff's Monthly Report (January 2021) PREPARED BY: Steve DaSilva, Lieutenant RECOMMENDATION: Receive and file. The following report reflects the activity of the Temecula Sheriff's Department for the month of January 2021. PATROL SERVICES Overall calls for police service 6,613 "Priority One" calls for service 56 Average response time for "Priority One" calls 6.16 VOLUNTEERS Chaplain 6 Community Action Patrol (CAP) hours 206 Reserve officer hours (patrol) 13 Explorer 0 Station/Administration 33 Total Volunteer hours 285 CRIME PREVENTION Crime prevention/Neighborhood watch meetings 3 Safety presentations/Training 0 Special events 1 Residential/Business security surveys conducted 0 Residences/Businesses visited for past crime follow-up 0 Station Tours 0 Planning Review Projects 6 Temp Outdoor Use Permits 3 OLD TOWN STOREFRONT Total customers served 200 Fingerprints/Live Scans 86 Police reports filed 0 Citations signed off 12 Total receipts $2,418 SPECIAL TEAMS (PROBLEM ORIENTED POLICING) On sight felony arrests 13 On sight misdemeanor arrests 26 Felony arrest warrants served 11 Misdemeanor arrest warrants served 18 Follow-up investigations 4 Parole/Probation Searches 0 Pedestrian Checks 20 Traffic StopsNehicle Checks 35 Crime Free Housing Checks 0 SPECIAL TEAMS (HOMELESS OUTREACH TEAM) On sight felony arrests 3 On sight misdemeanor arrests 24 Felony arrest warrants served 5 Misdemeanor arrest warrants served 25 Area Checks 114 Camp Checks 45 Pedestrian Checks 87 Traffic StopsNehicle Checks... 49 Outreach attempts / Success... 13 / 6 SPECIAL TEAMS (SPECIAL ENFORCEMENT TEAM) On sight felony arrests 3 On sight misdemeanor arrests 14 Felony arrest warrants served 2 Misdemeanor arrest warrants served 14 Follow-up investigations 4 Parole/Probation Searches 1 Pedestrian Checks 25 Traffic StopsNehicle Checks... 30 Marijuana Dispensary Checks 0 SPECIAL TEAMS (Burglary Suppression Team) Felony arrests 4 Felony filings 3 Total Cases Assigned 25 Total Cases Closed 27 Search Warrants prepared/served 3 TRAFFIC Citations issued for hazardous violations 745 Non -hazardous citations 144 Parking citations 76 Stop Light Abuse/Intersection Program (S.L.A.P.) citations 49 Seatbelts 4 Cell Phone Cites 62 Injury collisions 21 D.U.I. Arrests 35 Grant funded D.U.I. / Traffic safety checkpoints 0 Grant funded traffic click it or ticket 0 INVESTIGATIONS Beginning Caseload 125 Total Cases Assigned 29 Total Cases Closed 38 Search Warrants prepared/served 19 Arrests 4 Out of Custody Filings 2 PROMENADE MALL TEAM Calls for service 62 Felony arrest/filings 3 Misdemeanor arrest/filings 15 Traffic Citations 0 Fingerprints/Live Scans 83 Total receipts $2,280 SCHOOL RESOURCE OFFICERS Felony arrests 0 Misdemeanor arrests 0 Reports 2 Citations 0 Meetings/Presentations 160 ***No Students on Campus in January* * * Item No. 14 CITY OF TEMECULA AGENDA REPORT TO: City Manager/City Council FROM: Patrick Thomas, Director of Public Works/City Engineer DATE: February 23, 2021 SUBJECT: Public Works Department Monthly Report RECOMMENDATION: Receive and file the Public Works Department Monthly Report for Capital Improvement Projects, Maintenance Projects, and Land Development Projects. This report may also be viewed on the City's website at: hlt2://temeculaca.gov/270/Cqpital-improvement-Projects-CIP City of Temecula DEPARTMENT OF PUBLIC WORKS PROJECT STATUS REPORT February 23, 2021 CAPITAL IMPROVEMENT PROJECTS CIRCULATION PROJECTS Cherry Street Extension & Murrieta Creek Low -Flow Crossing, PW19-15 Description: Design to 30% and environmental review of the extension of Cherry Street from Adams Avenue to Diaz Road, including a new low -flow crossing of Murrieta Creek. Cost: $2,387,000 Status: Kickoff January 2021. Design and environmental are expected to last 24 months. Diaz Road Expansion, PW17-25 Description Improve Diaz Road to meet the roadway classification of Major Arterial (4 Lanes Divided), between Cherry Street and Rancho California Road. The 2.2-mile stretch will be widened, extended, and/or improved to create a contiguous Major Arterial segment. The project will be developed and constructed in two phases. Phase 1 will include improvements on Diaz Road from Winchester Road to Rancho California Road. Phase 2 will include improvements on Diaz Road from Cherry Street to Winchester Road. Cost: $4,566,513 Status: Phase 1 design and Phase 1 & 2 environmental studies November 2019 — March 2022. Current activities include Consultant preparation of 60% plans, and several engineering and environmental studies. French Valley Parkway/Interstate 15 Improvements- Phase II, PW16-01 Description: 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 Interstate 15/Interstate 215 junction with connection to Interstate 15 and Interstate 215. Cost: $137,356,246 Status: Currently in design. Work continues on the environmental re-evaluation. City of Temecula DEPARTMENT OF PUBLIC WORKS PROJECT STATUS REPORT February 23, 2021 CIRCULATION PROJECTS 1-15 Congestion Relief, PW19-02 Description Design and construction of a single auxiliary lane, northbound Interstate 15 connecting the Temecula Parkway on -ramp to the Rancho California Road off -ramp. Cost: $7,776,725 Status: Design and environmental studies November 2019 — March 2022. Current activities include roadway design, structures design, noise study work program, drainage studies, air quality conformity determination, design standard decision document, and historical resources compliance report. Interstate-15 / State Route 79 South Ultimate Interchange, PW04-08 Description Construction of ramp system that will improve access to Interstate 15 from Temecula Parkway / State Route 79 South. Cost: $52,025,657 Status: City accepted the project as complete on June 30, 2020 and filed the Notice of Completion. Caltrans accepted the project as complete on September 1, 2020. In accordance with the 3-year Landscape Maintenance Agreement with Caltrans, the City will maintain the interchange site from June 30, 2020 through June 30, 2023. The City is working with Caltrans on the relinquishment of the interchange right- of-way to the State inventory. Murrieta Creek Bridge at Overland Drive, PW16-05 Description: Design and construction of a new bridge crossing over Murrieta Creek between Rancho California Road and Winchester Road. Cost: $14,307,394 Status: The City applied and was approved to receive Federal Highway Bridge Program (HBP) funds. City Council approved the design agreement with CNS Engineers Inc. at the March 12, 2019 meeting. Preliminary Environmental Study (PES) approved by Caltrans on August 15, 2019. Plans are 30% complete. RCA provided comments to the JPR application on 7/30/2020. CEQA approval is anticipated in Q2 2021. Type Selection Report submitted to Caltrans on July 9, 2020. Staff continues to work with Caltrans to advance HBP Grant Funds to earlier fiscal years. oil City of Temecula DEPARTMENT OF PUBLIC WORKS PROJECT STATUS REPORT February 23, 2021 CIRCULATION PROJECTS (Continued) Overland Drive Widening, PW 20-11 Description This project includes widening Overland Drive from Jefferson Avenue to Commerce Center Drive, to two lanes in each direction, and the completion of missing segments of sidewalk, streetlights and installation of the traffic signal at Commerce Center Drive and the modification of the traffic signal at Jefferson Avenue. Cost: $1,340,400 Status: Design is at 30%. Pavement Rehabilitation Program — Ynez Road (Winchester to Date), Equity Drive, County Center Drive Loop, and Winchester Road (Nicolas to Easterly City Limits), PW18-01 Description: Rehabilitation of Ynez Road from Winchester Road to Date Street, Equity Drive and County Center Drive loop, and Winchester Road from Nicolas Road to easterly City Limits. Cost: $1,105,000 Status: Bids were opened on Tuesday, December 22, 2020. Project is being scheduled to award to Contractor. Construction is scheduled to start in early Spring 2021. Pavement Rehabilitation Program — West Side Business Park Area, PW19-17 Description: Rehabilitation of Zevo Drive, Rio Nedo Road, Avenida Alvarado, Via Dos Picos, Business Park Drive, Del Rio Road, Calle Cortez, Las Haciendas Street, Enterprise Circle North, and Via Montezuma from Murrieta Creek to Jefferson Avenue. Cost: $1,900,000 Status: Construction start date is March 1, 2021. Pavement Rehabilitation Program — Butterfield Stage Road and Pauba Road, PW19-08 Description: Rehabilitation of Butterfield Stage Road, south of Rancho California Road to De Portola Road and Pauba Road, from Margarita Road to Butterfield Stage Road. Cost: $4,320,000 Status: Project is currently in design. Construction is anticipated in Summer 2021. 3 City of Temecula DEPARTMENT OF PUBLIC WORKS PROJECT STATUS REPORT February 23, 2021 CIRCULATION PROJECTS (Continued) Traffic Signal Installation — Citywide, Rancho California Road and Tee Drive, PW19-19 Description: This project includes the installation of a traffic signal on Rancho California Road at Tee Drive. Cost: $346,646.50 Status: Project is currently in design. Traffic Signal and Park & Ride Access Improvements, PW18-11 Description: This project includes the installation of a traffic signal on Temecula Parkway at Wabash Lane. The project also includes relocating the access of the Park and Ride facility on Temecula Parkway at La Paz Road from Vallejo Avenue to Wabash Lane. Cost: $1,347,674 Status: The project is currently wrapping up the design phase. Construction is anticipated in Summer 2021. Ynez Road Improvements, PW17-17 Description This project includes widening Ynez Road, from Rancho Vista Road to La Paz Street, to two lanes in each direction, and the completion of missing segments of curb & gutter, sidewalk, landscape medians, streetlights and modification of the traffic signal at Santiago Road. Cost: $4,571,766 Status: Design is at 60%. This project is currently on hold. M City of Temecula DEPARTMENT OF PUBLIC WORKS PROJECT STATUS REPORT February 23, 2021 INFRASTRUCTURE PROJECTS Citywide — Concrete Repairs, PW20-10 Description: Remove and replace concrete improvements including, but not limited to curb & gutter, sidewalk, ADA access ramp, commercial drive approach, cross gutter, and curb outlet top of structure. Cost: $157,789 Status: Bids opened on November 12, 2020. Construction contract award to IE Engineering is pending. Citywide Streetlight Acquisition and Light Emitting Diode (LED) Retrofit, PW17-18 Description: Effective November 12, 2019, the City assumed ownership, and operations and maintenance of 7,279 streetlights located within the City limits. The Light Emitting Diode (LED) lighting system retrofit and the installation of a wireless lighting control node system for all streetlights Citywide has also been completed. Applications for energy rebates from SCE for the conversion to LED lighting fixtures are currently being processed and the City is due to receive approximately $640,000. Cost: $8,003,311 Status: The purchase and acquisition, and LED retrofit of arterial and residential streetlights is complete. The SCE rebate for the LED retrofit is anticipated to be received in February 2021. Community Recreation Center (CRC) Renovations, PW19-07 Description: The project facilitates the rehabilitation, improvement, and reconfiguration of the Community Recreation Center. This project includes expansion and reconfiguration of teen center; conversion of office space to accommodate a dedicated police substation; renovation of key components of the building including safety features, flooring, roof, and restroom facility access; ADA compliance; renovation and expansion of existing office space and rec rooms including AV upgrades; expanded storage space and upgraded kitchen equipment. Cost: $5,000,000 Status: Planning phase and assessment of existing building is complete. Phase 1 needs design initiated. 5 City of Temecula DEPARTMENT OF PUBLIC WORKS PROJECT STATUS REPORT February 23, 2021 INFRASTRUCTURE PROJECTS (Continued) Interstate 15 / State Route 79 South Interchange Enhanced Landscaping, PW17-19 Description: Landscape beautification of the Interstate 15 corridor between French Valley Parkway and Temecula Parkway, including each interchange, in association with Visit Temecula Valley and the Pechanga Tribe. Cost: $4,427,350 Status: Design and environmental studies August 2019 — June 2021. Environmental revalidation completed October 2020. Current activities include 90% design plans, Design Engineering Evaluation Report, Project Specific Maintenance Agreement, Landscape Maintenance Agreement, Transportation Art / Community ID Proposal, and Copyright and Waiver of Moral Rights in Artwork. Margarita Recreation Center, PW17-21 Description: Demolition and Reconstruction of New Margarita Recreation Center Building and Pool Cost: $6,760,000 Status: RFP responses were received on August 27, 2020. The project was re -advertised on November 25, 2020 to account for increased project budget and proposals were received on December 23, 2020. Evaluation team is negotiating the scope and fee with the highest ranking firm. Contract award is anticipated in March 2021. Santa Gertrudis Creek Pedestrian/Bicycle Trail Extension and Interconnect, PW08-04 Description: Design, environmental document, and construction of the extension of the existing trail from Ynez Road to the Murrieta Creek Trail. The extension includes access and under -crossing at Ynez Road, Interstate 15 and Jefferson Avenue and a continuous paved trail along Santa Gertrudis Creek to connect to Murrieta Creek trail. Cost: $6,288,595 Status: The California Transportation Commission (CTC) has approved $3,759,000 State SB1 Alternative Transportation Program (ATP) Augmentation funds for this project. Currently processing application for Caltrans Streamlined Oversite and Encroachment Permit/Plan Check with Riverside County Flood Control (RCFC). CTC approved construction funding for the project on June 25, 2020. The project was advertised for construction bids with a closing date of December 3, 2020. Due to various irregularities with the bids received, staff and the City Attorney's Office, decided to reject all bids and re -advertise. The project is currently out to bid. The bid opening date is February 18, 2021. The contract award is anticipated to be in March of 2021. X City of Temecula DEPARTMENT OF PUBLIC WORKS PROJECT STATUS REPORT February 23, 2021 INFRASTRUCTURE PROJECTS (Continued) Santa Gertrudis Creek Phase II — Margarita Under -Crossing, PW19-04 Description: Design, environmental document, and construction of the undercrossing in Santa Gertrudis Creek at Margarita Road to connect to the pedestrian/bicycle trail. The under -crossing at Margarita Road will provide a continuous paved trail along Santa Gertrudis Creek at this location. Cost: $2,716,764 Status: The project is in design. Reviewed 60% plans. 100% PSE expected June 2021. Sidewalks — Citywide (Third Street), PW17-24 Description: Curb and sidewalk improvements on the north side of Third Street, between Old Town Front Street and Mercedes Street and the west side of Mercedes Street from Third Street for approximately 150' to the north. Portion adjacent to the proposed parking structure for the hotel will be completed by private developer. Cost: To be determined Status: This project has been shelved. Sidewalks — Citywide (Ynez Road, Rancho Highland to Tierra Vista Road), PW17-28 Description: New sidewalks on the west side of Ynez Road from Rancho Highland to Tierra Vista Road. Cost: $198,920 Status: Project is currently in design. Sidewalks — DLR Drive, PW19-18 Description: New sidewalks on the north and west side of DLR Drive. Cost: $442,077 Status: Project is currently in design. 7 City of Temecula DEPARTMENT OF PUBLIC WORKS PROJECT STATUS REPORT February 23, 2021 INFRASTRUCTURE PROJECTS (Continued) Sidewalks — Citywide (Pauba Road, Elinda Road to Showalter Road), PW 19-20 Description: New sidewalks and street widening on the South side of Pauba Road from Elinda Road to Showalter Road. Cost: $467,403 Status: Project is currently in design. City of Temecula DEPARTMENT OF PUBLIC WORKS PROJECT STATUS REPORT February 23, 2021 PARKS AND RECREATION PROJECTS Flood Control Channel Reconstruction and Repair, PW11-10 Description: This project repairs and reinforces the earth and berms between Pala Park and Temecula Creek and fortifies the banks to prevent further erosion into the park site. Cost: $1,280,284 Status: Preparation of the environmental document is underway. Geotechnical investigation for design alternatives performed in mid -August 2019. Geotechnical report received October 1, 2019. Redesign started in February of 2020. CEQA to be completed in March of 2021. Plans are 60% complete. Construction is expected to begin in September of 2021. Mini Pump Track, PW 20-09 Description: Construction of Mini Pump Track at Ronald Reagan Sports Park to complement existing track and accommodate newer riders. Cost: $95,000 Status: Contractor was issued a $60,000.00 construction contract which does not require a formal bid. Contractor began construction on December 7, 2020. Contractor completed construction on December 16, 2020. City staff along with a separate maintenance contractor completed final site preparation on December 17, 2020. Project is complete and was opened to the public on December 18, 2020. Park Restroom Renovations, Expansion and Americans with Disabilities Act (ADA), PW17-06 Description: Renovation of various park site restroom facilities, including Ronald Reagan Sports Park North/South Ball Field (new roof, cabinets, fixtures, and other building improvements), Butterfield Stage Park and Vail Ranch Park. Cost: $1,127,800 Status: Project is currently in design. 9 City of Temecula DEPARTMENT OF PUBLIC WORKS PROJECT STATUS REPORT February 23, 2021 PARKS AND RECREATION PROJECTS (Continued) Playground Equipment Enhancement and Safety Surfacing Description: Re -design, enhancement of playground equipment, and safety surfacing to comply with current state and federal regulations and enhance the quality of the parks. Cost: $5,157,649 Status: Playground renovations & replacements planned for FY20/21 include Sam Hicks, John Magee, Stephen Michael Linen, and Winchester Creek Parks. Sam Hicks, John Magee projects completed. Stephen Linen and Winchester Creek Park projects completing in February. Ronald Reagan Sports Park Restroom Expansion and Renovation, PW18-03 Description: Design and construction of the restroom building expansion, including adding stalls and urinals. It also includes renovating the snack bar, and enlarging the storage case. Cost: $1,120,000 Status: Project is currently in design. Sports Court Resurfacing Description: Repairs and resurfacing of sport court surfacing at various parks and facilities. This includes tennis courts, basketball courts, and hockey rinks at various parks. Cost: $50,000 Status: Court re -surfacing completed in January at Margarita Community Park hockey rink. Project cost $13,900. Sports Field Lighting — Light Emitting Diode (LED) Conversion Description: Replacement of aging sports field lighting components with new LED technology at various sports parks. Cost: $222,546.70 Status: Musco LED retrofit lighting for Ronald Reagan Sports Park Upper Soccer Fields installation scheduled for November 2020. Project cost $136,260.00. Currently seeking proposals for LED retrofit installation at tennis/pickleball courts and hockey rinks. 10 City of Temecula DEPARTMENT OF PUBLIC WORKS PROJECT STATUS REPORT February 23, 2021 LAND DEVELOPMENT OVERSIGHT PROJECTS Hilton Garden Inn Description: Grading plan to allow for the construction of an approximately 66,991 square foot, three-story, 104 room Hilton Garden Inn Hotel with underground parking and additional off -site parking located approximately north of Rancho California Road on the east side of Jefferson Avenue. Status: Permit issued October 4, 2019. Ongoing review of project by the Land Development division. Mexico Cafe Description: Grading plan and Street Improvement Plan to allow for the construction of an approximately 13,375 square foot Mexico Cafe restaurant south of the Temecula Parkway and Pechanga Parkway intersection. Status: Permit issued September 13, 2018. Ongoing review and inspections of project by the Land Development division. Rancho Soleo (Pechanga Parkway and Loma Linda Road) Description: Grading plan to allow for the final map and construction of a 245-unit multi -family development. Status: Permit issued October 16, 2018. Ongoing review and inspections of project by the Land Development division. Project is being phased at this time. Construction of Friendship Park (formerly known as Pala Park) has begun as of January 11, 2021. It is anticipated the development will reach 25% occupancy by Spring of 2021. Sommers Bend (formerly Roripaugh Ranch) Description: Land Development oversight of the following submittals in plan check: Final Map reviews, Community Sports Park Improvement Plan, Sommers Bend — Rough Grading Plan; Street Improvement Plan; Storm Drain Improvement Plan; Street Light Plan; Signing & Striping Plan. Status: Grading Permit issued September 27, 2018. The Loop Road (Sommers Bend) is completely paved with streetlights installed. The Community Sports Park has kicked off construction in June 2020. Models in three tracts are under construction. The Sommers Bend recreation center is also under construction. Ongoing review and inspections of project by the Land Development division. Models are open. Production homes are under construction. 11 City of Temecula DEPARTMENT OF PUBLIC WORKS PROJECT STATUS REPORT February 23, 2021 LAND DEVELOPMENT OVERSIGHT PROJECTS (Continued) Staybridge Suites Description: Grading plan to allow for an approximately 90,832 square foot, 4-story, 125-room Staybridge Suites hotel located at 27500 Jefferson Avenue. Status: Permit issued March 11, 2019. Ongoing review and inspections of project by the Land Development division. Temecula Village Description: Grading plan to allow for the construction of a 160-unit apartment community located on the south side of Rancho California Road, west of Cosmic Drive. Status: Permit issued June 27, 2019. Ongoing review and inspections of project by the Land Development division. Traffic signal has been installed at Via Portofino. 12 ELECTRONIC COMMENTS SUBMITTED FOR THE RECORD From: Randi Johl Sent: Tuesday, February 16, 2021 7:51 AM To: Subject: RE:open Thank you for your email. It was received and will be read into the record at the next Council meeting. Randi Johl,JD, MMC Legislative Director/City Clerk randi.johl@temeculaca.gov 41000 Main St, Temecula, CA 92590 ro i*.e+t of Scathrn W,M Country Please note that email correspondence with the City of Temecula, along with attachments, may be subject to the California Public Records Act, and therefore may be subject to disclosure unless otherwise exempt. From: Sent:Saturday, February 13, 20217:33 PM To: Randi Johl <randi.johl@temeculaca.gov> Subject: open This has gone on long enough. Open city hall and get back to business. This is ridicules. Joni Beckman 1 From: Randi Johl Sent: Tuesday, February 16, 2021 7:51 AM To: Belinda Morris Subject: RE:Temecula Thank you for your email. It was received and will be read into the record at the next Council meeting. Randi Johl,JD, MMC Legislative Director/City Clerk randi.johl@temeculaca.gov 41000 Main St,Temecula,CA 92590 Please note that email correspondence with the City of Temecula,along with attachments, may be subject to the California Public Records Act, and therefore may be subject to disclosure unless otherwise exempt. Original Message From: Belinda Morris< Sent: Sunday, February 14, 2021 9:51 AM To: Randi Johl <randi.johl@temeculaca.gov> Subject:Temecula To whom this may concern, we the people, United States of America.Temecula can and needs to be a beacon of light. We need to lead the way for protecting our God given rights and rights given to us by the blood of our brothers and sisters of this great country. We need to stand and demonstrate the strength of courage to go forward, to rebuild our communities, our churches, our children.Children, our most precious asset,are being taught to stand down, even though "the science" doesn't support the closure of schools. Plain and simple open our schools. I will volunteer my time to assist in anyway, I will be a substitute teacher, I will complete my education to become a teacher. I am 62 years old and this is unexceptionable what we are doing to our children and parents struggling at this time.We don't want to depend on government,we want to stand on our own two feet, standing tall and strong, chin held high(looking to God) as we go forward.Very simple OPEN OUR SCHOOLS!!! I've got your back. Sincerely Belinda Morris,One ferocious grandmother. I say this not for my grandchildren for they are homeschooled, hallelujah. I say this for the ones that need representation at the very troubling time. Sent from my iPhone i From: Randi Johl Sent: Friday, February 19, 2021 11:11 AM To: Subject: FW: Public Comments at City Council Meeting 2/23/21 Attachments: Temecula City Council Address-PDF.pdf Thank you for your email. It was received and will be read into the record at the next Council meeting. Randi Johl,JD,MMC Legislative Director/City Clerk randi.iohl a(..temeculaca.Qov 41000 Main St, Temecula, CA 92590 'v 4ut of Southern C..forn.. W .Country Please note that email correspondence with the City of Temecula, along with attachments, may be subject to the California Public Records Act, and therefore may be subject to disclosure unless otherwise exempt. From:Craig Evans< Sent:Thursday, February 18, 2021 5:12 PM To: Randi Johl <randi.johl@temeculaca.gov> Subject: Public Comments at City Council Meeting 2/23/21 Hi City Clerk, Below are my comments I would like read at the February 23, 2021 City Council Meeting. I have timed the reading and at a moderate pace it was 2min, 55 sec in length. Please let me know if your reading would be over the 3 min time limit and I will shorten to fit. I have also attached the reading as a PDF document for your convenience. Thank you, Craig Evans, 951-699-5799 Temecula Valley Neighbors Organized to Influence Sky Environment www.TVNOISE.org Good evening Honorable Mayor and City Council members. My name is Craig Evans. I'm a 33- year resident of the City of Temecula, living in the 4thDistrict. Late last year I formed a citizens group to address the increasing air traffic over our homes coming from the French Valley Airport. The group known as TVNOISE.org, (Temecula ValleyNeighbors Organized to Influence Sky Environment), consists of over 200 neighbors from the Temecula Valley area with over 100 residents from the City of Temecula. The goal is to help identify solutions to the growing impact of aircraft noise attributed to operations at the French Valley Airport. These solutions are based on nationally recognized, voluntary Noise Abatement Procedures to be followed by pilots and aircraft using the airport. These procedures, also known as Fly Quiet, Fly Friendly or Good Neighbor programs, are not FAA mandated or regulated. Rather they are voluntary flight procedures designed and agreed upon by the stakeholders, which include local citizens, the City of Temecula, City of Murrieta, Riverside County, the Airport, pilots, airport tenants, and the FAA. These voluntary procedures often include re-evaluating flight patterns around the airport to avoid flying over residential neighborhoods, flight pattern elevations, concentrating flights over already high ambient noise corridors, etc. Airports all over the nation have adopted robust and effective voluntary Noise Abatement Procedures. Local airports include Corona, Carlsbad, Santa Monica, Van Nuys, Hawthorne, La Vern, and many, many more. Although the French Valley airport does have Noise Abatement Procedures, they are lacking, outdated, unenforced, ignored by pilots, and not meeting current national trends. 90% of French Valley air traffic flies over the City of Temecula. When stakeholders make future Noise Abatement Procedures decisions, the city must be at the table to protect its interests and insure the superior quality of life for its residents. On behalf of the hundreds of citizens negatively affected by French Valley Airport operations, TVNOISE is asking the City of Temecula to be a major stakeholder in the discussions and act as catalyst to bring the other stakeholders together. A recent conversation with Luke Watson and Brandon Rabidou was very productive in introducing the issues and potential solutions to the city administrators. The City has the power and influence to bring all the stakeholders to the table to make positive changes. We need your help. Noise abatement takes dedication, patience, the desire to collaborate and willingness to compromise in an effort to find solutions to this issue.These initial steps and the willingness of the City of Temecula to support the effort can serve as a catalyst for future progress toward a more positive quality of life for the citizens of Temecula. Thank you for your consideration and please visit our website at TVNOISE.org 2 Temecula City Council Address By Craig Evans 2/23/21 Good evening Honorable Mayor and City Council members. My name is Craig Evans. I'm a 33-year resident of the City of Temecula,living in the 4th District. Late last year I formed a citizens group to address the increasing air traffic over our homes coming from the French Valley Airport.The group known as TVNOISE.org, (Temecula Valley Neighbors Organized to Influence Sky Environment),consists of over 200 neighbors from the Temecula Valley area with over 100 residents from the City of Temecula. The goal is to help identify solutions to the growing impact of aircraft noise attributed to operations at the French Valley Airport. These solutions are based on nationally recognized,voluntary Noise Abatement Procedures to be followed by pilots and aircraft using the airport.These procedures,also known as Fly Quiet,Fly Friendly or Good Neighbor programs,are not FAA mandated or regulated. Rather they are voluntary flight procedures designed and agreed upon by the stakeholders,which include local citizens,the City of Temecula, City of Murrieta, Riverside County,the Airport,pilots,airport tenants,and the FAA. These voluntary procedures often include re-evaluating flight patterns around the airport to avoid flying over residential neighborhoods, flight pattern elevations, concentrating flights over already high ambient noise corridors,etc.Airports all over the nation have adopted robust and effective voluntary Noise Abatement Procedures. Local airports include Corona,Carlsbad,Santa Monica,Van Nuys, Hawthorne, La Vern,and many, many more.Although the French Valley airport does have Noise Abatement Procedures, they are lacking,outdated,unenforced,ignored by pilots,and not meeting current national trends. 90% of French Valley air traffic flies over the City of Temecula. When stakeholders make future Noise Abatement Procedures decisions,the city must be at the table to protect its interests and insure the superior quality of life for its residents. On behalf of the hundreds of citizens negatively affected by French Valley Airport operations,TVNOISE is asking the City of Temecula to be a major stakeholder in the discussions and act as catalyst to bring the other stakeholders together.A recent conversation with Luke Watson and Brandon Rabidou was very productive in introducing the issues and potential solutions to the city administrators.The City has the power and influence to bring all the stakeholders to the table to make positive changes.We need your help. Noise abatement takes dedication,patience,the desire to collaborate and willingness to compromise in an effort to find solutions to this issue. These initial steps and the willingness of the City of Temecula to support the effort can serve as a catalyst for future progress toward a more positive quality of life for the citizens of Temecula.Thank you for your consideration and please visit our website at TVNOISE.org From: Randi Johl Sent: Friday, February 19, 2021 11:07 AM To: Subject: RE: Public Comment Thank you for your email. It was received and will be read into the record at the next Council meeting. Randi Johl, JD, MMC Legislative Director/City Clerk randi.iohl(a..temeculaca.gov 41000 Main St, Temecula, CA 92590 ". k..arn of Southrn Ca.fornw W.ne Country Please note that email correspondence with the City of Temecula, along with attachments, may be subject to the California Public Records Act, and therefore may be subject to disclosure unless otherwise exempt. From: M. Bourbonnais< Sent: Friday, February 19,2021 9:39 AM To: Randi Johl <randi.johl@temeculaca.gov> Subject: Public Comment To be read into the record during the February 23, 2021 council meeting: Dear Council Members, I am excited that attainable home ownership will be on the agenda for the March 9, 2021 council meeting. As you may know,the housing crisis has become part of the national conversation. California state senator Scott Weiner recently introduced legislation to provide powerful tools to local government to tackle the housing crisis, and major news outlets like the New York Times have published articles about anti-housing policies being at the heart of the crisis.The point is, Temecula will not be served by more of the same. During the February 9th council meeting, the City Manager stated that the affordable housing presentation will be on the March 9th agenda,as well as information about the Housing Element and what is currently in the pipeline.With all due respect, this is more of the same.An animated presentation is informative but serves no practical purpose toward a solution. It is incumbent upon you to think outside the box and consider new ideas. The Brown Act prohibits Council members from discussing non agenda items.This means it is critically important that the March 9, 2021 agenda include the following topics: Warehouse at Creekside regulatory violations,an inclusionary housing ordinance,and Lamont's attainable home ownership proposal. During the February 9th meeting,the City Manager acknowledged the numerous speakers who submitted public comments and said that he wants speakers to know they've been heard. We appreciate the acknowledgment and respectfully request that Council, in an act of good faith,follow through on this sentiment and place the aforementioned items on the March 9, 2021 agenda. 1 Thank you, Melissa Bourbonnais 2 From: Randi Johl Sent: Tuesday, February 23, 2021 9:47 AM To: Upward Community Subject: RE: Public Comment Thank you for your email. It was received and will be read into the record at the next Council meeting. Randi Johl,JD, MMC Legislative Director/City Clerk randi.iohlc temeculaca.gov 41000 Main St,Temecula,CA 92590 la" C ate S Please note that email correspondence with the City of Temecula, along with attachments, may be subject to the California Public Records Act, and therefore may be subject to disclosure unless otherwise exempt. From: Upward Community<hello@upwardcommunity.org> Sent: Monday, February 22, 2021 8:44 AM To: Randi Johl<randi.johl@temeculaca.gov> Subject: Public Comment To be read into the record during the February 23, 2021 council meeting: Dear Council Members, Like my colleagues, I am excited that attainable home ownership will be on the agenda for the March 9, 2021 council meeting.As you may know,the housing crisis has become part of the national conversation. California state senator Scott Weiner recently introduced legislation to provide powerful tools to local governments to tackle the housing crisis, and major news outlets like the New York Times have published articles about anti-housing policies being at the heart of the crisis.The point is,Temecula will not be served by more of the same. The City needs to think outside the box and consider new ideas; however,the Brown Act prohibits council members from discussing any non agenda item. This means it is critically important that the March 9, 2021 agenda include the following topics: Warehouse at Creekside regulatory violations, an inclusionary housing ordinance, and Lamont's attainable home ownership proposal. During the February 9th meeting,the City Manager acknowledged the numerous speakers who submitted public comments and said that he wants speakers to know they've been heard. We appreciate the acknowledgement and respectfully request that Council, in an act of good faith, follow through on this sentiment and place the aforementioned items on the March 9, 2021 agenda. Thank you, Jonnie Estes www.upwardcommunity.org 2 From: Randi Johl Sent: Tuesday, February 23, 2021 9:40 AM To: Tammy Acme Subject: RE: For Feb 23rd City Council Meeting Thank you for your email. It was received and will be read into the record at the next Council meeting. Randi Johl, JD, MMC Legislative Director/City Clerk randi.iohle.temeculaca.gov 41000 Main St, Temecula,CA 92590 cates Please note that email correspondence with the City of Temecula, along with attachments, may be subject to the California Public Records Act, and therefore may be subject to disclosure unless otherwise exempt. From:Tammy Acme < Sent: Monday, February 22, 2021 1:36 PM To: Randi Johl <randi.johl@temeculaca.gov> Subject: For Feb 23rd City Council Meeting To the Temecula City Council, Since you are a new group for 2021, I would like to see you think outside the box and consider some new ideas. The Brown Act is often used as an excuse for why City Council members refuse to discuss non agenda items. If the Brown Act is so restrictive, then please put the following topics on the agenda for the March 9th City Council Meeting: • Warehouse at Creekside regulatory violations • An inclusionary housing ordinance • Ms. Lamont's attainable home ownership proposal These are critical issues that need to be addressed now. Thank you for reading my email. Sincerely, Tammy(Temecula Resident for 14 years) 1 From: Randi Johl Sent: Tuesday, February 23, 2021 9:33 AM To: Subject: RE: General Comments to the Temecula City Council 2/23/2021 Thank you for your email. It was received and will be read into the record at the next Council meeting. Randi Johl, JD, MMC Legislative Director/City Clerk randi.iohl a(�.temeculaca.gov 41000 Main St, Temecula, CA 92590 CaleS Please note that email correspondence with the City of Temecula, along with attachments, may be subject to the California Public Records Act, and therefore may be subject to disclosure unless otherwise exempt. From: Sent: Monday, February 22, 2021 2:38 PM To: Randi Johl<randi.johl@temeculaca.gov> Cc: Subject: General Comments to the Temecula City Council 2/23/2021 General Comments to the Temecula City Council 2/23/2021 Many of our citizens don't believe that we have free and fair elections anymore. This is real voter suppression and is a civil rights impropriety. In order to rectify this, we, the People, are asking the Temecula City Council and any other entity that believes the same way as the aggrieved aforementioned People to mitigate this voter crisis by suing the Riverside County Registrar of voters to allow us to become a sanctuary county apart from the repressive voter policies imposed on the People by the State of California. • The lawsuit would include but not be limited to: • Make ballot harvesting illegal again. 1 • Require that Riverside County voters provide an ID before voting that also shows citizenship • Negate the mail-in only ballot system and return to absentee voting by request or necessity. • Require an ID when registering to vote that proves citizenship • Close polls by 8 PM and require all absentee ballots to be in by that time. No back-dating will be allowed such as happened in some States during the 2020 election count. • Allow poll watchers to view the ballot process at the polling locations and also at the Registrar of voters. This would include standing over the employees/volunteers that determine if a ballot is good or not. This would also include watching to make sure that potential voters provide a real ID before receiving their ballot. • Require overhead cameras in all Registrar of Voters offices where ballots are brought in or counted that is available for public viewing and recorded for future viewing. These videos must remain intact for 10 years; not destroyed as as happened in many States in the 2020 election count. • Count ballots by hand; no electronic tabulations e.g. Smartmatics, Dominion, etc Sincerely, Bob Kowell President, Murrieta Temecula Republican Assembly 2 From: Randi Johl Sent: Tuesday, February 23, 2021 9:30 AM To: karyn finley Subject: RE:ATTAINABLE HOME OWNERSHIP Thank you for your email. It was received and will be read into the record at the next Council meeting. Randi Johl,JD, MMC Legislative Director/City Clerk randi.johl@temeculaca.gov 41000 Main St, Temecula, CA 92590 C7e:AILI CMS Please note that email correspondence with the City of Temecula, along with attachments, may be subject to the California Public Records Act, and therefore may be subject to disclosure unless otherwise exempt. From: karyn finley< Sent: Monday, February 22, 2021 4:36 PM To: Randi Johl <randi.johl@temeculaca.gov> Subject:ATTAINABLE HOME OWNERSHIP To be read into the record during the February 23, 2021 council meeting: Dear Council Members, I am excited that attainable home ownership will be on the agenda for the March 9, 2021 council meeting. As you may know,the housing crisis has become part of the national conversation. California state senator Scott Weiner recently introduced legislation to provide powerful tools to local government to tackle the housing crisis, and major news outlets like the New York Times have published articles about anti-housing policies being at the heart of the crisis.The point is, Temecula will not be served by more of the same. During the February 9th council meeting, the City Manager stated that the affordable housing presentation will be on the March 9th agenda, as well as information about the Housing Element and what is currently in the pipeline. With all due respect,this is more of the same.An animated presentation is informative but serves no practical purpose toward a solution. It is incumbent upon you to think outside the box and consider new ideas. The Brown Act prohibits Council members from discussing non agenda items.This means it is critically important that the March 9, 2021 agenda include the following topics: Warehouse at Creekside regulatory violations, an inclusionary housing ordinance, and Lamont's attainable home ownership proposal. During the February 9th meeting, the City Manager acknowledged the numerous speakers who submitted public comments and said that he wants speakers to know they've been heard. We appreciate the acknowledgment and 1 respectfully request that Council, in an act of good faith, follow through on this sentiment and place the aforementioned items on the March 9, 2021 agenda. Thank you, Karyn Finley Karyn Finley Realty® Keller Williams Frisco Stars 2 From: Randi Johl Sent: Tuesday, February 23, 2021 9:28 AM To: Jennifer Cornelius Subject: RE:Council Meeting Thank you for your email. It was received and will be read into the record at the next Council meeting. Randi Johl,JD, MMC Legislative Director/City Clerk randi.iohl(a�temeculaca.gov 41000 Main St, Temecula, CA 92590 131_ 7.; C Please note that email correspondence with the City of Temecula, along with attachments, may be subject to the California Public Records Act, and therefore maybe subject to disclosure unless otherwise exempt. From:Jennifer Cornelius< Sent: Monday, February 22, 2021 7:51 PM To: Randi Johl<randi.johl@temeculaca.gov> Subject:Council Meeting To be read into record February 23, 2021: I have been a resident of Temecula since 2005. My husband owns a small business here and I have three children in Temecula public schools. I understand that the Brown Act prohibits council members from discussing any non-agenda item and I believe it is critically important that the March 9, 2021 agenda include the following topics: Warehouse at Creekside regulatory violations, an inclusionary housing ordinance and Laurel Lamont's attainable home ownership proposal. I believe that the people that work here deserve to live here. Thank you for your time, Jennifer Cornelius From: Randi Johl Sent: Tuesday, February 23, 2021 9:28 AM To: Basilia M Subject: RE: Election Integrity in Temecula Thank you for your email. It was received and will be read into the record at the next Council meeting. Randi Johl,JD, MMC Legislative Director/City Clerk randi.iohl(a)temeculaca.gov 41000 Main St, Temecula, CA 92590 C a n Please note that email correspondence with the City of Temecula, along with attachments, may be subject to the California Public Records Act, and therefore may be subject to disclosure unless otherwise exempt. From: Basilia M < Sent: Monday, February 22, 2021 8:21 PM To: Randi Johl<randi.johl@temeculaca.gov> Subject: Election Integrity in Temecula Dear Randi Johl and the City Council of Temecula, As a citizen of the city of Temecula for over a decade, I am writing today to request that the Council represent its citizens in the case of election integrity. I worked at Temecula voting center this past election, saw and experienced many election compromising activities take place. I was appalled to see the many ways the voting protocol was compromised and so vulnerable to tampering and manipulation. Ineligible people were allowed to vote without being registered, some with business address or P.O. box (unlawful), all without any ID or proof of citizenship (Non-citizens can vote?This should not be so).When the computer system wouldn't allow them to be entered,an override was initiated by the supervisors, "magically"the supervisors were able to get them in to vote after holding up the line for 30 minutes as they worked on helping these people. This caused enormous time delays and longer lines for the valid voters. Not only was it ineligible and unlawful voting activity it also prevented valid voters from voting.Additionally, several times systems were "down," not working, preventing workers from processing voter which caused the lines to be long,valid registered voters had to wait and could not vote. This caused lines that surpassed the 8:pm deadline causing people to not be able to vote having stood in line for 2 1/2 hours, sometimes more! There were not enough computers to look up registrations,which was the 1st step in being able to bring the people to the machines to vote,electronically.This also caused long time delays.The computers and machines were connected to the internet,this leaves all electronic votes completely vulnerable to hacking.Also, the in- person votes counted each night, but since all the selections that voters made could be easily seen as they were being counted they could have easily been sorted through and separated out to a particular preference. Since they were printed on pieces of white paper, the votes with selections that were considered undesirable by a particular counter or supervisor could be easily discarded and no one would have known nor would be able to track it. What a horrible hole in the system. I tried to be very cognitive of the number of counted ballots,to watch them ALL be sealed and transported to the car for delivery to the Registrar. Several nights I was told to leave by managers before ballots were secure. I insisted on staying, one supervisor insisted I leave. Both supervisors looked nervous when I insisted on watching the ballot number be recorded (per protocol) and sealed.The main night of the last election 11/3/2020, the bags were sealed and then re-opened after we left (I watched through the window). When I tried to re-enter, one of the supervisors stood in the doorway and wouldn't let me in. The same supervisor went unseen for several minutes after re- opening the bag, then came back and re-sealed the bags. Why did the ballots bag need to be re-opened after counted, recorded and sealed?A new tally sheet was easily replaced with the signature of the 2 supervisors working in tandem but without any oversight of anyone else who was legally allowed to observe. The supervisors were both of the same political persuasion, and working in concert, instead of having supervisors of different or neutral persuasions, to be able to cross check and verify one another. One of the supervisors had NO experience whatsoever but was given a supervisory role, but several others who had worked at many elections over many years, were given common roles. I question the selection of the supervisors. My welcome letter listed all the workers, but not the supervisors. How does a regulatory body such as the Registrar, not have their supervisors determined when that position requires 6 weeks of training, and so therefore needs to be chosen, determined and begun with plenty of time prior to an election, but the subordinate workers are already assigned a location needing only 2 hours of training and can be hired almost last minute. As business owner and former corporate manager find this order of assignment and scheduling very odd. The last night there I tried to confirm the ballot counts, but I was refused the information. As an election rep, it was my job and my right (along with others), to observe, verify and ensure correct counts. How could I do that if persons in the supervisory roles or even other poll workers refused that information?This wholly egregious to the integrity of elections, any kind of elections. How can citizens trust that their vote counts when a great many result compromising activities and actions has taken place? We cannot. This is NOT a trustworthy, vote-safe election system where the citizens' vote is valued, given protection and implemented. Our country was founded on, freedom, the right to vote for the people that represent us, and to do so with integrity, not in wrongful, unjust, fraudulent or manipulative activity. Since there is no trust We the People, begin to question who have been passed or placed in supervisory or governmental positions or what laws based on an erroneous, manipulative and/or intentionally devised outcomes. I am beyond dissatisfied with what I observed happening during the last election. It is a travesty, and must not ever happen again. I support Bob Kowell's statements and efforts in securing election integrity in our city with some additions of my own in red: • Make ballot harvesting illegal again. • Require that Riverside County voters provide an ID before voting that also shows citizenship • Negate the mail-in only ballot system and return to absentee voting by request or necessity. • Require an ID when registering to vote that proves citizenship. • Do not allow P.O. Boxes and/or business addresses to be used to register to vote. Provide specific and case-by case provision to those without a current address, for other or extenuating circumstances such as a truck driver who lives in his/her truck or RV. • Close polls by 8 PM and require all absentee ballots to be in by that time. No back-dating will be allowed such as happened in some States during the 2020 election count. If using computers to identify registered voters, provide plenty of computers and NO connectivity issues to prevent or slow lines or access preventing voters from meeting the 8:pm deadline. • Allow poll watchers to view the ballot process at the polling locations and also at the Registrar of voters. This would include standing over the employees/volunteers that determine if a ballot is good or not. This includes verifying the count and that each ballot is process equitably. This would also include watching to make sure that potential voters provide a[government issued] ID, verifying eligibility, photo, address and signature before receiving their ballot and verifying that they have not voted more than once. • Require overhead cameras in all Registrar of Voters offices where ballots are brought in or counted that is available for public viewing, live in real time,and recorded for future viewing. These videos must remain intact for 10 years: be duplicated and stored in different pre-determined locations for safety and security, in the event one set is damaged or destroyed, however would not be destroyed as as happened in many States in the 2020 election count. • Count ballots by hand; no electronic tabulations e.g. Smartmatics, Dominion, etc. • Ballot counting centers,voting centers,workers,observers and supervisors, should be assigned their roles based on knowledge, experience and honesty(as any other job)and each role, especially supervisory roles, must have equal amounts of persons in the same position,at the same location,with opposing political affiliations to check and balance. 2 Thank you for your time and attention to this matter. Andrea Melara City of Temecula resident 3 From: Randi Johl Sent: Tuesday, February 23, 2021 9:48 AM To: Lucille Loman Subject: RE: Subject: Thank you for Explaining the White Flags Thank you for your email. It was received and will be read into the record at the next Council meeting. Randi Johl,JD, MMC Legislative Director/City Clerk randi.iohl(c�temeculaca.Oov 41000 Main St, Temecula, CA 92590 -131 (COCI" Please note that email correspondence with the City of Temecula, along with attachments, may be subject to the California Public Records Act, and therefore may be subject to disclosure unless otherwise exempt. From: Lucille Loman < Sent:Tuesday, February 23, 2021 9:47 AM To: Randi Johl <randi.johl@temeculaca.gov> Subject: Subject: Thank you for Explaining the White Flags February 23, 2021 9:28 AM Dear Randi, It is scary how the enemy is really controlling our lives. Joe Biden and Hunter took money from China to infect us with the pandemic. Not to us only, but the world. The Democrats have succeeded in surrendering our lives and World War III is in order. The American people need to be saved from the enemy Democrats, China and WHO. Why are we being targeted? We need to proclaim indictment for Joe Biden, Kamala Harris & Nancy Pelosi. Put them in jail and throw away the key. Easier, put all the crooked Democrats on a flat bed boat and push them out to sea and let the sharks have a picnic. Thank you, Lucille Loman 1 From: Randi Johl Sent: Tuesday, February 23, 2021 12:17 PM To: cj ks 1 Subject: RE: Public comment for tonights meeting Thank you for your email. It was received and will be read into the record at the next Council meeting. Randi Johl,JD, MMC Legislative Director/City Clerk randi.iohl(a temeculaca.c ov 41000 Main St, Temecula, CA 92590 C7;aisim's°-,.. /°- CateS Please note that email correspondence with the City of Temecula, along with attachments, may be subject to the California Public Records Act, and therefore may be subject to disclosure unless otherwise exempt. From: Sent:Tuesday, February 23, 2021 11:47 AM To: Randi Johl <randi.johl@temeculaca.gov> Subject: Public comment for tonights meeting Dear City Council Members, Is there any update to when the rec center pool facilities and city hall will get back open without these ridiculous Covid mandates? How is the city addressing the impending hit to their budget reserves since the tax income is down from all the small businesses closing? I was surprised to see the council is even considering starting their own police dept. Do we really have the funds for this type of endeavor? Please do not think that the local small social justice warrior group speaks for the majority...they don't. Sincerely, A concerned longtime Temecula resident Sent with ProtonMail Secure Email. 1 From: Randi Johl Sent: Tuesday, February 23, 2021 2:49 PM To: Suzanne Lane Subject: RE: Public Comment Thank you for your email. It was received and will be read into the record at the next Council meeting. Randi Johl, JD,MMC Legislative Director/City Clerk randi.iohl a(�.temeculaca.gov 41000 Main St, Temecula, CA 92590 cafes Please note that email correspondence with the City of Temecula, along with attachments, may be subject to the California Public Records Act, and therefore may be subject to disclosure unless otherwise exempt. From:Suzanne Lane< Sent:Tuesday, February 23, 2021 2:27 PM To: Randi Johl <randi.johl@temeculaca.gov> Subject: Public Comment Good evening, Thank you for reading my public comment. I would like to share my thoughts regarding the white flags at the duck pond. I'm confident that you have only the best intentions and probably anticipated the flags being a positive presence. Unfortunately, it is not the sign of comfort and compassion that you have hoped for. My experience when driving past, and of everyone else that I have asked on the subject, is that the duck pond currently is one of oppression. It looks like we have surrendered to communism! Or that the duck pond is now a giant cemetery. The flags represent death. A body count, if you will. It is a horrible reminder that things are not as they should be. And since the flags can be placed for anyone that we know, local or not, that has died from covid, the duck pond could soon be covered with white flags that don't even represent Temecula. Also, this seems very insensitive. Why not flags all year, every year for those that have died in car accidents, drug overdoses, heart attacks, suicide, the list goes on. I have a good friend whose son died last year because he was literally too afraid to go to the hospital, due to all of the propaganda and fear mongoring that took place in our world. I do not think that people need another reminder right now, that this is one of the darkest times in our lives. As it is, its very depressing looking at all of the faceless people walking around with masks on that are compromising their oxygen intake, That alone screams "something is very wrong"! People need comfort and peace and anything that feels normal right now! Not another reminder of the "Plandemic". Every time a family drives by, they certainly should not have to explain to their already traumatized children, what the flags stand for. Please remove the flags as soon as possible. Perhaps leave them through the end of the month if you feel that you must have a memorial for covid. Then we need to move on with life. I will not accept a "new normal" mentality. I refuse to believe that the current situation will continue much longer. Also, I feel that it would be very helpful to the people if we could call in and speak with you live during the meetings. I may be therapeutic for folks to feel heard. 1 Thank you very much! Suzanne Lane 2 From: Randi Johl Sent: Tuesday, February 23, 2021 2:49 PM To: Jordan Bourbonnais Subject: RE:city council meeting Thank you for your email. It was received and will be read into the record at the next Council meeting. Randi Johl,JD, MMC Legislative Director/City Clerk randi.johl@temeculaca.gov 41000 Main St, Temecula, CA 92590 c7cates mi--"zeiric."7---- Please note that email correspondence with the City of Temecula, along with attachments, may be subject to the California Public Records Act, and therefore may be subject to disclosure unless otherwise exempt. From:Jordan Bourbonnais< Sent:Tuesday, February 23, 2021 2:42 PM To: Randi Johl <randi.johl@temeculaca.gov> Subject:city council meeting Dear council members, We know the housing crisis is getting worse. The local workforce needs you to discuss new ideas. Please put the topics related to attainable home ownership on the March 9th agenda. You know what they are Thank you, 1 From: Randi Johl Sent: Tuesday, February 23, 2021 3:31 PM To: Ferman, Yusur Subject: RE:Attainable Home Ownership Thank you for your email. It was received and will be read into the record at the next Council meeting. Randi Johl, JD, MMC Legislative Director/City Clerk randi.johl antemeculaca.gov 41000 Main St,Temecula,CA 92590 CMS Please note that email correspondence with the City of Temecula, along with attachments, may be subject to the California Public Records Act, and therefore may be subject to disclosure unless otherwise exempt. From: Ferman, Yusur<yferman@csu.fullerton.edu> Sent:Tuesday, February 23, 2021 3:27 PM To: Randi Johl<randi.johl@temeculaca.gov> Cc: Melissa Bourbonnais< Subject:Attainable Home Ownership Dear Council members, As you are aware, the housing crisis is growing worse every day, especially with the economic consequences of the shutdown. It is important that the City examine new ideas. Please put the following topics related to attainable home ownership on the agenda for discussion: Warehouse at Creekside regulatory violations, an inclusionary housing ordinance, and Lamont's proposal for attainable home ownership. Please represent all constituents, but most especially essential workers. Very Respectfully, Yusur Ferman B.A. Political Science Pre-Law 2024 California State University, Fullerton l Grossmont College e: yferman@csu.fullerton.edu From: Randi Johl Sent: Tuesday, February 23, 2021 4:41 PM To: Omar Pingel Subject: RE: Housing Thank you for your email. It was received and will be read into the record at the next Council meeting. Randi Johl,JD,MMC Legislative Director/City Clerk randi.iohl(a�temeculaca.gov 41000 Main St, Temecula, CA 92590 C 11 R CMS Please note that email correspondence with the City of Temecula, along with attachments, may be subject to the California Public Records Act, and therefore may be subject to disclosure unless otherwise exempt. From: Omar Pingel < Sent: Tuesday, February 23, 2021 3:52 PM To: Randi Johl <randi.johl@temeculaca.gov> Subject: Housing Dear Council, The housing crisis is getting worse every day. The City needs to discuss the merits of any new idea or proposal. Please put the following topics on the agenda for discussion: Warehouse at Creekside regulatory violations, an inclusionary housing ordinance, and Laurel Lamont's proposal for attainable home ownership. It's important that you represent all constituents, regardless of economic status. Thank you, Sent from Yahoo Mail on Android 1 From: Randi Johl Sent: Tuesday, February 23, 2021 6:06 PM To: Mary Ames Subject: RE: Comments on Inclusionary Affordable Housing for Tonight's meeting Thank you for your email. It was received and will be read into the record at the next Council meeting. Randi Johl,JD, MMC Legislative Director/City Clerk randi.johl@temeculaca.gov 41000 Main St,Temecula,CA 92590 Please note that email correspondence with the City of Temecula, along with attachments, may be subject to the California Public Records Act, and therefore may be subject to disclosure unless otherwise exempt. Original Message From: Mary Ames< Sent:Tuesday, February 23, 2021 5:52 PM To: Randi Johl<randi.johl@temeculaca.gov> Subject: Comments on Inclusionary Affordable Housing for Tonight's meeting > Dear Randi, > > Please include the following in the public comments for tonight's (February 23, 2021) meeting of the City Council. >Thank you, > Mary Ames > > > Dear Mayor Edwards and members of the City Council: > > I am writing to add to the comments that I made at your meeting of January 26, urging the City to adopt an Inclusionary Affordable Housing ordinance that would,at a minimum, require future residential developments to include a substantial number of units that people who work in Temecula could afford. > >Since that meeting, I have read the Inclusionary Affordable Housing Regulations in the San Diego Municipal Code (Chapter 14,Article 2, Division 13). Also the Bulletins and the Procedures Manual used to monitor and implement the regulations. I did this to get a better idea of what is already being done in the region. > > It struck me immediately that the San Diego model,though an enlightening example for me to study, may not be right for Temecula. Thanks to the efforts of many people, some of whom are in this meeting,Temecula is truly a community. But we are a large community that lacks certain characteristics that could make us even better. We lack tight-knit neighborhoods where people really know one another and help each other. We lack neighborhoods in which young singles, older people, single-parents with kids,and two-parent families can all afford to live. We lack neighborhoods with cultural and racial diversity. In cities that are thriving,you find a mix of people in contact with each other. The differences and the interaction, promote creativity, mutual aid,the exchange of ideas. 1 > Bringing those missing elements to our community should be among the goals of Inclusionary Affordable Housing in Temecula. Yes, we want to build less expensive housing for lower income workers, but not that alone. To achieve more, the City would need to tailor its ordinance carefully. We would not, for example, want to allow a developer -- to make payments or surrender land in lieu of providing affordable housing, as San Diego does. We would want, instead, for the affordable housing to be mixed in with market value residences. We might not want to perpetuate the old model that requires the City, or a housing agency like San Diego's Housing Commission, to serve as overseer. We might prefer to empower low-income, prospective homeowners to join with higher-income, long-time homeowners, to form non-profit cooperatives which could develop or redevelop property. The City could provide incentives, waive fees. Models like that abound. I discussed one of them, known as co-housing, with the city manager and staff several years ago at the invitation of then-mayor Rahn. > I don't know what model would work best for our City. But I bet the current staff is sufficiently talented and experienced that it could develop an extraordinary Inclusionary Affordable Housing program for Temecula -- one that would make our city an even better place to live and work than it already is. >Thank you for your serious consideration of this matter. > Sincerely, > Mary Ames > >Temecula 92592 2 From: Randi Johl Sent: Tuesday, February 23, 2021 6:06 PM To: Laurel LaMont Subject: RE: Council meeting Thank you for your email. It was received and will be read into the record at the next Council meeting. Randi Johl,JD, MMC Legislative Director/City Clerk randi.iohl(a�temeculaca.00v 41000 Main St, Temecula, CA 92590 -5 Cra'"1- cares Please note that email correspondence with the City of Temecula, along with attachments, may be subject to the California Public Records Act, and therefore may be subject to disclosure unless otherwise exempt. From: Laurel LaMont < Sent:Tuesday, February 23, 2021 6:00 PM To: Randi Johl <randi.johl@temeculaca.gov> Subject: Council meeting To be read into the record February 23 Let me start by saying thank you council members for placing attainable homeownership on the March 9th agenda. This is an incredible step forward in the process of representing the best interest of our local economic workforce. While the city's animated housing element video is appreciated, council needs to place the attainable homeownership proposal on the March 9th agenda. The City received this proposal in April of 2020 and cannot discuss its merits unless the proposal is on the agenda. As you may know, I reviewed the contracts regarding the developments in the "pipeline", and to the best of my knowledge, it is more of the same. With all due respect, these agreements are largely the same as the current "affordable housing", developments that already exist in Temecula. If these existing developments worked, there wouldn't be a housing crisis. Solutions require new ideas, not more of the same. Please place the attainable homeownership proposal on the March 9th agenda. Laurel LaMont Sent from my iPhone 1 Erika Ramirez From: Randi Johl Sent: Tuesday, February 23, 2021 9:28 AM To: ctmassa Subject: RE: Public Comment Agenda Item #5 Council Meeting 2/23 Thank you for your email. It was received and will be read into the record at the next Council meeting. Randi Johl,JD, MMC Legislative Director/City Clerk randi.johl@temeculaca.gov 41000 Main St, Temecula, CA 92590 -131- Criatof CMS Please note that email correspondence with the City of Temecula, along with attachments, may be subject to the California Public Records Act, and therefore may be subject to disclosure unless otherwise exempt. From: ctmassa< Sent: Monday, February 22, 2021 9:20 PM To: Randi Johl <randi.johl@temeculaca.gov> Subject: Public Comment Agenda Item#5 Council Meeting 2/23 Hi Randi, Hope you are well. Can you please enter this letter as public comment for Agenda Item 5 in the city council meeting on 2/23? Re:Joint Powers Authority Feasibility Assessment? Dear Council: Thank you for continuing to delve further into options for public safety for the city of Temecula. I think if the last year, especially the last 4-5 months has shown anything, it's that more local control is necessary for our public safety to improve. As recommended in the most recent JPA assessment, I support thecurrent proposal to ask the County to do their own assessment of how they can streamline and tailor the city services and their costs to our city. In parallel, can we ask Chief Hall to take his annual report from last month a few steps further? Rather than just regurgitate the metrics, I think the city and it's residents would benefit from the following presented back to council: o An actual analysis and interpretation of the data: -Provide strengths and development areas -Break out the data to a lower degree of detail, e.g., what are priority one calls? o Show a year-over-year analysis - what is improving and what is not, and what can we do about it? Furthermore, I'd request the city also do an independent study to assess our ability to start our own police department. As you know, the City of Menifee saved $2.5M in their first six months of operating their own police department, while also increasing their level of patrols. Menifee is just slightly smaller than Temecula, and we would likely to be able to scale their implementation. Thank you for your time. Thank you, Christine T. Massa 2 From: Randi Johl Sent: Tuesday, February 23, 2021 12:17 PM To: Summer Berg Subject: RE: Agenda Item #5 Thank you for your email. It was received and will be read into the record at the next Council meeting. Randi Johl,JD, MMC Legislative Director/City Clerk randi.iohl aatemeculaca.aov 41000 Main St, Temecula, CA 92590 Crneor.4.1";:e--4( CateS Please note that email correspondence with the City of Temecula, along with attachments, may be subject to the California Public Records Act, and therefore may be subject to disclosure unless otherwise exempt. From: Summer Berg< Sent:Tuesday, February 23, 2021 11:58 AM To: Randi Johl <randi.johl@temeculaca.gov> Subject:Agenda Item #5 Good evening City Council members. My name is Summer Berg. I am a member of Temecula Unity and I have been a proud Temecula citizen for 12 years. After reading the Feasibility Assessment, I urge the council to support the findings of the assessment and ask the Riverside County Sheriff's Department to conduct their own cost/benefit analysis and recommend ways they may reduce the city's costs. Additionally, I found the current assessment to be lacking interpretation of the data. Please ask Chief Hall to expand his report to analyze the data in greater detail, including a year-over-year analysis. Finally, and most importantly, I urge the council to do a Feasibility Assessment on Temecula starting its own police department. I believe that Temecula will observe significant savings over what we currently spend on our contracts with the county sheriff's department. This is evident when we look at the success Menifee has seen with their own Police Department, saving $2.5 million in the first 6 months while increasing patrols. Currently Temecula pays nearly twice as much per citizen than other nearby cities and I believe that those funds could be utilized more efficiently. I love living in Temecula and want to be sure that as our community grows, our services develop to properly support it. Thank you for the time tonight. -Summer Berg From: Randi Johl Sent: Tuesday, February 23, 2021 12:17 PM To: Dean Vasquez Subject: FW: Letter submitted for Council Meeting tonight Attachments: City Council Letters Feb 23 2021.pdf Thank you for your email. It was received and will be read into the record at the next Council meeting. Randi Johl,JD, MMC Legislative Director/City Clerk randi.iohl(ctemeculaca.gov 41000 Main St,Temecula, CA 92590 C a S Please note that email correspondence with the City of Temecula, along with attachments, may be subject to the California Public Records Act, and therefore may be subject to disclosure unless otherwise exempt. From: Dean Vasquez< Sent:Tuesday, February 23, 2021 11:41 AM To: Randi Johl<randi.johl@temeculaca.gov> Subject: Letter submitted for Council Meeting tonight Good Day Randi, Please find 2 letters to submit to the council meeting this evening.They should be labeled correctly, but if any information is missing please advise and I will correct. One is for item#5 and one for item #10. Thanks for your wonderful assistance and service to our city!! Dean Dean Vasquez Temecula CA 92592 1 Temecula City Council Letter from Dean Vasquez, Temecula CA 92592 To:Council Members, Staff and Community, Comments for Agenda Item #5: This letter is to speak about the Joint Police Authority and the study presented. I concur with the report that there is not a financial benefit of a JPA.Also,as a resident of Temecula, I would strongly oppose moving from the Riverside Sheriff Department contract to a JPA. I also strongly support the commissioning of a study into creating an independent Temecula Police Department and would suggest authorizing the funds to commence such a feasibility study immediately.Over time,Temecula needs and deserves an independent Law Enforcement agency that answers to the City of Temecula, under the guidance/control of this City Council. Thanks Pearl „tit 4 Dean V squez Temecula City Council Letter from Dean Vasquez, Temecula CA 92592 To:Council Members, Staff and Community, Comments for Agenda Item#10: This letter is to speak in support of the effort to build/convert existing building within the City of Temecula to a police/sheriff station. Simply stated-a city the size is Temecula needs to have a centralized response location for law enforcement to base and we currently do not have such a facility.So I strongly support the addition of a Station if located in the City of Temecula. It is time to start moving to more local influence and control of the Law Enforcement in our city, and this is the first step. Thanks an Dean Vasquez From: Randi Johl Sent: Tuesday, February 23, 2021 1:57 PM To: Subject: FW: Public Safety Concerns in Old Town Temecula Attachments: Open Letter to the City of Temecula.pdf Thank you for your email. It was received and will be read into the record at the next Council meeting. Randi Johl,JD, MMC Legislative Director/City Clerk randi.johl@temeculaca.gov 41000 Main St,Temecula,CA 92590 Original Message From: Monica Chian < Sent: Tuesday, February 23, 2021 1:49 PM To:James Stewart<James.Stewart@TemeculaCA.gov>; Maryann Edwards<Maryann.Edwards@citycouncil.org>;Zak Schwank<Zak.Schwank@temeculaca.gov>; Matt Rahn <matt.rahn@TemeculaCA.gov>;Jessica Alexander <Jessica.Alexander@TemeculaCA.gov>;Aaron Adams<aaron.adams@temeculaca.gov> Subject: Public Safety Concerns in Old Town Temecula Hello City Council Officials, I am enclosing an Open Letter to the City of Temecula regarding concerns I have in my city relative to topics to be discussed in your council meeting scheduled for this evening. It is lengthy and contains detailed events. I hope you are able to take the time to review my letter and look forward to your response. Sincerely, Monica Chian 1 February 23, 2021 An Open Letter to the City of Temecula I am a single working mom living in Temecula, California for nearly 14 years. I moved here from Los Angeles in 2007 to raise my children and because I wanted to live in a safer community than where we lived before. Like everywhere else in the world, a lot has changed since 2007, more so now because of the COVID-19 Pandemic. However, the change in Temecula is not that it is unusually quiet and closed due to the pandemic. In 2019, our city was listed as one of the Top 10 Best Wine Travel Destinations. So when state and county health department officials required bars and restaurants to limit indoor dining and adhere to recommended safety precautions because of COVID-19, our city continued to have an insurmountable surge of visitors that poured directly into Old Town Temecula's bars and restaurants, weekend after weekend. Visitors come from Los Angeles, Orange, San Diego, San Bernardino, and northern Riverside counties. From what I've observed, our city does not strictly enforce public health precautions at this particular location. That is, not as much as our neighboring cities or counties do and to me, this is the reason more out-of-town visitors come to Old Town Temecula. I've worked in Old Town Temecula for 3 years. The store I work at is a family-owned retail grocery store, located on the corner of Front Street and Main Street, right in the heart of Old Town Temecula. This intersection is one of the busiest and most crowded parts of our city on weekends. It was once a fun place to work until the pandemic started. We are an essential business. To keep our customers and staff at our store safe and to remain open, our store's owners and managers have adapted to the infrastructure changes and have operated under the Riverside County Health Department's COVID-19 safety guidelines since April 2020. In recent months, I have seen an increase in public violence, vandalism, disorderly drunks, overwhelming traffic violations, thefts, an obvious lack of public health safety observations, and limited law enforcement presence. As of last summer, there have been only two Riverside County Sheriff foot patrol deputies assigned to walk and monitor Old Town Temecula activity 7 days a week. I see these officers on Front Street often and know them by name. Frequently, patrons who visit from out of town often ask why our city is so "open" as compared to other cities or counties, why aren't people wearing masks, why are so many crowded together and not social distancing? I simply explain our town has become the "speakeasy town" in Southern California that no one talks about. Last fall, a local publication posted an article about a business in Old Town Temecula trying to raise concerns about the growing problem. The owner was quickly berated by his neighboring business owners and was called a "snitch" by the public on social media. On December 10, 2020, FOXLA televised a report called "It is Business as Unusual in Temecula" where restaurants openly described ignoring capacity restrictions and mask mandates, thoroughly enjoying the influx regardless of the consequences. Well, I have recently become a victim of the violence in the city I call home. This is the purpose of my letter. It is time someone talks about the crowds, the lack of public safety, and most importantly, the violence. I would like our city to stop turning a blind eye to the crowds and to really look at the increase in violence the crowds bring into Old Town Temecula. At 6 pm Saturday, February 20th, 2021 , all four corners were packed and crowded with bumper-to-bumper cars, including hot rods, low-riders, and obnoxiously loud motorcycles cruising up and down Front Street. Hundreds of pedestrians from all over were shopping, walking, drinking, smoking, or waiting for seating at the restaurants and bars - nothing new for a Saturday night in Old Town Temecula during a pandemic. The vibe and spectacle are exciting to witness, especially for visitors. For me, it was time to close the store. As I was attempting to bring in our store's signage, I noticed a woman's belongings; her driver's license, credit card, and other items were laying on the steps of my store's porch. Unbeknownst to me, just moments before I arrived outside, the same woman and 3 other women allegedly attacked a bystander nearby, kicking her in the face as she lay on the sidewalk. I didn't witness this but as I started to grab my sign, I pointed to the items on the ground looking up at one of the women concerned to ask her if the items were hers but instead was immediately attacked by her. She charged at me, pushed me, and as I turned to catch my fall she pulled my hair, repeatedly yanking at my scalp and punching my head. My store manager witnessed the attack and instantly pulled my assailant off me. My attacker and her 3 other cohorts appeared to be under the influence of drugs or alcohol or both. They were all restrained by several bystanders until law enforcement came to the scene. Within 2 hours, charges were pressed, statements were taken and arrests were made. This crime will run its course through our justice system but the problem will remain until something changes. Unlike the woman attacked before me, I have no serious injuries except for a few bumps and bruises. I am learning to overcome my traumatic experience. I can recall the conversations with officers who monitored and secured the crime scene. When I asked one of the officers if this activity has become the norm, his response was "Yes, just never this early." Another officer explained there aren't enough Riverside County officers contracted by the city to cover the influx of crimes occurring in Temecula and therefore, many of them are working overtime. Even the lieutenant investigating the crime cried out angrily, "This is the last call I'm taking in this overtime shift tonight! I'm so done with this!" One of the assigned foot patrol deputies I mentioned earlier in this letter was in the middle of booking a previous arrest elsewhere but he was radioed by the other officers about my incident and arrived at the scene to take my statement. Yes, he was just doing his job, but I'll say this, his choice in doing so made me feel heard, he made me feel important, he made me feel safe. I understand our City Council meeting's agenda this evening includes a review of Citygate Associates, LLC's Police Services Joint Power of Authority Feasibility Assessment for 7 cities in Riverside County, including the City of Temecula. Although the findings do not recommend establishing a JPA and suggest our city continue to work within Riverside County Sheriff's Department's recent efforts in place as they are. If the City of Temecula continues to allow the increase in patronage from neighboring counties, our city needs to re-evaluate its definition of"satisfaction with police services." Our city needs to look further into using our tax dollars wisely to increase law enforcement support and presence. Also on the City Council Agenda is a discussion on moving Temecula Police Operations within city limits which may help to remedy a part of this issue and should be immediately looked into. Another possible solution: We have several "free" parking areas in and around Old Town Temecula. Is there any reason those spots couldn't be turned into "paid" parking spots where the funds could be used to pay for any additional police resources? Another suggestion: There are signs posted at every public park in Riverside County warning the public of its restrictions, otherwise violators would be subjected to fines up to $1000 or up to 6 months in jail. Is there any reason the city couldn't post similar warning signs visibly all over Old Town Temecula? I wish to make it publicly known and raise awareness to all communities, the influx of visitors and crimes is not what the City of Temecula should continue to permit. I do not want to simply dismiss what happened that night as just another incident on a typical Saturday night in Old Town Temecula. It will continue to happen. My daughter works at my store with me. It terrifies me to think it could have been her in that attack. In speaking on behalf of many Temecula citizens, we have had enough of this shameless nonsense. No essential worker, nor should a bystander be subjected to any violence openly invited into our town. It is bad enough we are all struggling to survive a pandemic. Allowing the flood of out-of-town patrons from all over to squeeze into 8 tiny blocks of businesses without adequate measures of control just to pump up our city's economy is not the answer to our survival, it is detrimental to our public safety. If we are to continue to keep our bars and restaurants open safely, I am asking our city officials, our local bar and restaurant owners, and our law enforcement to jointly act for change. responsibly work towards safer solutions, reevaluate the best way for critical resources to be utilized and ensure public safety is enforced by the best means possible. Thank you for your time and consideration. Sincerely, Monica Chian From: Randi Johl Sent: Tuesday, February 23, 2021 3:32 PM To: Lisa Sanchez Subject: FW: Statement -- Agenda Items 5 and 10 Attachments: City Council Letter Feb 23 2021.pdf Thank you for your email. It was received and will be read into the record at the next Council meeting. Randi Johl, JD, MMC Legislative Director/City Clerk randi.iohl ar7.temeculaca.00v 41000 Main St, Temecula, CA 92590 '151 (7:e't4.*°"";16(...— CateS Please note that email correspondence with the City of Temecula, along with attachments, may be subject to the California Public Records Act, and therefore may be subject to disclosure unless otherwise exempt. From: L S< Sent:Tuesday, February 23, 2021 3:00 PM To: Randi Johl<randi.johl@temeculaca.gov> Cc: Lisa Sanchez< Subject:Statement--Agenda Items 5 and 10 Hello Randi. I hope you are well!! I would like the following statement read at the city council meeting tonight for items 5 and item 10.The statement supports for#10, but focuses mostly on item #5. Please let me know that you've received this. Thank you, Lisa * * * Dear Mayor Edwards and Council: I am writing regarding agenda item 10 and 5. I believe I speak for most Temecula residents in supporting the effort to relocate the police to the heart of the city. On item 5, I do not support the adoption of a multi-city police department model because Temecula needs its own independent police force.At the same time,the default position of being 1 out of 17 cities in contract with the Riverside County Sheriff disadvantages Temecula residents for the following 3 reasons: Number One:Temecula is being overcharged for services relative to other cities.According to the 7-city feasibility study conducted by Citygate Associates,Temecula paid 25%of the sheriff's personnel costs for all 7 cities—nearly$35 MILLION of the total allocated. Considering the size of our population,Temecula paid almost twice as much on average, at$304 dollars per person per year, compared to the other 7 cities,which averaged $176 dollars per person per year. Number Two:There is no indication that Temecula is getting better service for the extra money paid.We rarely see 1 helpful community police officers walking the beat and getting to know residents. This past year, we experienced quite the opposite. As the Riverside County Sheriff publicly declared his absolute refusal to enforce the constitutionally-valid public health orders, Temecula's hands were tied event to respond to egregious violations like mass overcrowding and related violence in Old Town and elsewhere precisely because the sheriff's non-enforcement policy was COUNTY-WIDE and Temecula lacks its own locally-controlled police force. Number Three: While Temecula has always taken pride in being a safe city, the FBI's Uniform Crime Report shows an increase in the crime rate in 8 out of 10 offense categories since 2018.Temecula's crime rate, furthermore, exceeds that of neighboring cities with their own police department in 8 out of 10 offense categories in Murrieta, for example, and 7 out of 10 in Menifee. In some categories, the crime rate in Temecula is 30 to 50% higher. Having terminated its RCSD contract and hired its own city police force in 2020, the city of Menifee provides the best policing model for our area: in just 6 months, it saved the city 2.5 MILLION dollars while adding services and patrol hours. Rather than accept an unfair budget and county-wide policies that harm our city, an empowered Temecula city council could advise and direct its own police force while saving the city money. It could work cooperatively with local police to tailor policies and practices to our specific needs and could assist the police in finding humane solutions to problems like homelessness and mental illness, which have increased dramatically in recent years. Because the sheriff's department has a vested interest in maintaining its contract with our city, Temecula residents would best be served if the city would commission an independent study or city study with a singular focus: the feasibility of an independent police force for Temecula. Thank you, Dr. Lisa Sanchez 2 Dear Mayor Edwards and Council: I am writing regarding agenda item 10 and 5. I believe I speak for most Temecula residents in supporting the effort to relocate the police to the heart of the city. On item 5, I do not support the adoption of a multi-city police department model because Temecula needs its own independent police force.At the same time, the default position of being 1 out of 17 cities in contract with the Riverside County Sheriff disadvantages Temecula residents for the following 3 reasons: Number One:Temecula is being overcharged for services relative to other cities.According to the 7-city feasibility study conducted by Citygate Associates,Temecula paid 25%of the sheriff's personnel costs for all 7 cities—nearly $35 MILLION of the total allocated. Considering the size of our population,Temecula paid almost twice as much on average,at$304 dollars per person per year,compared to the other 7 cities,which averaged $176 dollars per person per year. Number Two: There is no indication that Temecula is getting better service for the extra money paid. We rarely see helpful community police officers walking the beat and getting to know residents.This past year, we experienced quite the opposite.As the Riverside County Sheriff publicly declared his absolute refusal to enforce the constitutionally-valid public health orders, Temecula's hands were tied event to respond to egregious violations like mass overcrowding and related violence in Old Town and elsewhere precisely because the sheriff's non-enforcement policy was COUNTY-WIDE and Temecula lacks its own locally-controlled police force. Number Three: While Temecula has always taken pride in being a safe city,the FBI's Uniform Crime Report shows an increase in the crime rate in 8 out of 10 offense categories since 2018. Temecula's crime rate,furthermore,exceeds that of neighboring cities with their own police department in 8 out of 10 offense categories in Murrieta, for example,and 7 out of 10 in Menifee. In some categories,the crime rate in Temecula is 30 to 50%higher. Having terminated its RCSD contract and hired its own city police force in 2020,the city of Menifee provides the best policing model for our area: in just 6 months, it saved the city 2.5 MILLION dollars while adding services and patrol hours. Rather than accept an unfair budget and county-wide policies that harm our city,an empowered Temecula city council could advise and direct its own police force while saving the city money. It could work cooperatively with local police to tailor policies and practices to our specific needs and could assist the police in finding humane solutions to problems like homelessness and mental illness,which have increased dramatically in recent years. Because the sheriff's department has a vested interest in maintaining its contract with our city, Temecula residents would best be served if the city would commission an independent study or city study with a singular focus: the feasibility of an independent police force for Temecula. Thank you, Dr. Lisa Sanchez From: Randi Johl Sent: Tuesday, February 23, 2021 3:31 PM To: Tami Simms Subject: RE: Please read at tonights City Council General Meeting (and thank you for all you do Randi) Thank you for your email. It was received and will be read into the record at the next Council meeting. Randi Johl,JD, MMC Legislative Director/City Clerk randi.johl@temeculaca.gov 41000 Main St, Temecula, CA 92590 C7e;'": CateS Please note that email correspondence with the City of Temecula, along with attachments, may be subject to the California Public Records Act, and therefore may be subject to disclosure unless otherwise exempt. From:Tami Simms< Sent:Tuesday, February 23, 2021 3:22 PM To: Randi Johl<randi.johl@temeculaca.gov> Subject: Please read at tonights City Council General Meeting(and thank you for all you do Randi) Council Members, Thank you first and foremost for allowing me to express my views and concerns for OUR City of Temecula. I have been a resident of Temecula for over 34 years and care very much about our community and hope to continue to make Temecula an even better place for ALL of us. I would like to speak to Agenda item#5 Temecula adopting a regional Police department model. I would encourage you to consider an independent feasibility study to assess our ability to start our own Police department. We can look at and adopt things that worked for the City of Menifee for example they have now saved 2.5 million dollars in just their first six months.Temecula's budget is twice the cost per person at$304.00 per person per year than the average taken from 6 other cities which averaged $176.00 per person per year. We can and will save much needed City dollars by having our own Police Department. We need to really look at the needs of Temecula and compare to other cities independently to create the best Police department for our community. Agenda item#10 Repurposing an existing building into a Temecula Police Station. I support this measure for many reasons,the main one would be the savings,we currently spend $750,000.00 annually to maintain a facility on the outskirts of the city. We can refurbish and repurpose a building within the city limits and recover the costs within 10-15 years the city could outright own it. There are several buildings that would work and I support this measure. Thank you for your time and hard work, Tami Sims 1 Temecula resident 2 From: Randi Johl Sent: Tuesday, February 23, 2021 3:30 PM To: Ashley Clingingsmith Subject: FW: Agenda item #5 Attachments: Agenda item#5.docx Thank you for your email. It was received and will be read into the record at the next Council meeting. Randi Johl,JD,MMC Legislative Director/City Clerk randi johlatemeculaca.gov 41000 Main St, Temecula, CA 92590 Cre#4.4.1...° CMS Please note that email correspondence with the City of Temecula, along with attachments, may be subject to the California Public Records Act, and therefore may be subject to disclosure unless otherwise exempt. From:Ashley Clingingsmith<cling004@cougars.csusm.edu> Sent:Tuesday, February 23, 2021 3:27 PM To: Randi Johl <randi.johl@temeculaca.gov> Subject:Agenda item #5 >On Feb 23, 2021, at 3:25 PM,Ashley Clingingsmith<cling004@cougars.csusm.edu>wrote: >Good afternoon Randi, > Please find attached letter for agenda item #5. >Thanks! >Ashley Clingingsmith<Agenda item#5.docx> 1 Good afternoon Members of Temecula City Council, I am writing this letter in regard to agenda item #5. The adoption of a regional police department model is not supported by myself, nor other Temecula residents for numerous reasons. Rather, an independent police department model is desired with a feasibility study conducted prior. The city's own assessment would rationalize and mold the cost of service to the city. I ask that Chief Hall extends his data interpretation providing a detailed breakdown of a yearly analysis showcasing the strengths and areas in need of improvements. I am inquiring that Temecula conduct an independent assessment of their own with the end goal of the creation of our own Temecula Police Department. The City of Menifee has recently acquired their own police department with a cost reduction of 2.5 million within the first six months. Patrols have been increased without an increased cost to the city. In fact, Temecula's budget ($304 pp/yr) was twice as high than six other cities involved in the study, averaging $176 pp/yr. Temecula CAN be like our neighboring cities, providing service to the city at a lower cost. Community policing is one goal of an independent police department, where residents can feel safe, protected and served. The police get to know the residents and adopt a real relationship. In addition, another hope of mine is that our own police department would work alongside mental health experts in special cases where one is necessary. Our own department could provide proper bias training and officers would be well trained and mentally sound. Temecula could be a model for other cities with the adoption of an independent model with modernized goals. Thank you for your time, Ashley Clingingsmith From: Randi Johl Sent: Tuesday, February 23, 2021 5:02 PM To: Tim McDonald Subject: RE: Regarding agenda item number#5 (Please read into record 2/23/21 Meeting) Thank you for your email. It was received and will be read into the record at the next Council meeting. Randi Johl,JD, MMC Legislative Director/City Clerk randi.iohlna.temeculaca.gov 41000 Main St, Temecula,CA 92590 CateS Please note that email correspondence with the City of Temecula, along with attachments, may be subject to the California Public Records Act, and therefore may be subject to disclosure unless otherwise exempt. From:Tim McDonald < Sent:Tuesday, February 23, 2021 4:45 PM To: Randi Johl <randi.johl@temeculaca.gov> Subject: Regarding agenda item number#5 (Please read into record 2/23/21 Meeting) Good Evening Members of the Temecula City Council, Regarding agenda item number#5, I would like to commend The City of Temecula and this City Council for exploring alternatives to contracting our law enforcement services to the Riverside County Sheriff's department.Temecula is now a city of 115,000 people with its own unique policing needs that it seems like the County Sheriff is struggling to meet. We are unlike any other city in the county with our own special balance of industry, residency, and tourism. It is time that we find a law enforcement service that meets our specific fiscal and societal needs. It is no shock to me though that the Police Services Joint Powers Authority Feasibility Assessment came back not recommending the JPA.The JPA would have us join forces with many other cities in our area that have a variety of other concerns and needs than our city does when it comes to policing.The JPA would be too similar of a model to our current one of outsourcing to the Riverside County Sheriff's to make much difference in any aspect of policing. It is about time that Temecula looks to form its own department which the city,city council, and its citizens would have more local control over. Our city is now over 30 years old, has the largest population in the valley, and has the largest budget. How can Murrieta and Menifee, both of which are smaller and younger cities, have their own departments, but we cannot?There is local interest in this and it's clearly worth looking into. Reports from the City of Menifee a year after they created their own department and coming back very positive. I recommend the city initiates its own independent study into the feasibility of starting our own City of Temecula Police Department. Thank you for your time and attention given to this matter, Tim McDonald 1 From: Randi Johl Sent: Tuesday, February 23, 2021 6:05 PM To: Julie Geary Subject: RE: agenda item #5 Thank you for your email. It was received and will be read into the record at the next Council meeting. Randi Johl, JD, MMC Legislative Director/City Clerk randi.johl(a�temeculaca.gov 41000 Main St, Temecula. CA 92590 jai qt CalleS Please note that email correspondence with the City of Temecula, along with attachments, may be subject to the California Public Records Act, and therefore may be subject to disclosure unless otherwise exempt. From:Julie Geary< Sent:Tuesday, February 23, 2021 5:24 PM To: Randi Johl <randi.johl@temeculaca.gov> Subject: agenda item #5 Members of the Temecula City Council, my name is Julie Geary and I am a member of Temecula Unity, I have lived in this valley since 1997. I am writing today In regards to agenda item #5. I agree with the assessment that a regional police department is not the correct nor fiscally responsible direction for the city to take. However this year has made it apparent that there are severe issues and systemic leadership concerns with the Riverside County Sheriffs Department that need to be addressed. First I would like the city to do a feasibility study on Temecula implementing their own independent police department. When the city of Menifee initiated a study it was shown that an independent police department would save the city 5-7million dollars a year and give the city more local control over the services they provide. Since its adoption last year, the city of Menifee has reported, in a January Press Enterprise article, that the city saved 2.5 million dollars in its first year of having their own independent police department, even considering the impacts of covid-19. Temecula needs to know if an independent police department will be the fiscally responsible measure to take. Second I would like Chief Hall to provide more insight and analysis with his annual police report to the city. As a woman of science, I know the importance of presenting and analyzing data to provide more information. I encourage him to break down the crime statistics into more detail e.g. violent and nonviolent crime, provide strengths and development areas for law enforcement, and to show a year- over-year analysis of the data. We should know what is improving and what is not. We know that there are gaps in social justice, equity, oversight and fiscal responsibility with the Riverside County Sheriff's department, now is the time to take action, conduct a study and take control back for our City. Sincerely, Julie Geary 2 From: Randi Johl Sent: Tuesday, February 23, 2021 9:28 AM To: ctmassa Subject: RE: Public Comment Agenda Item #10, Council Meeting 2/23 Thank you for your email. It was received and will be read into the record at the next Council meeting. Randi Johl,JD, MMC Legislative Director/City Clerk randi.iohl antemeculaca.gov 41000 Main St, Temecula,CA 92590 —15 CafeS Please note that email correspondence with the City of Temecula, along with attachments, may be subject to the California Public Records Act, and therefore may be subject to disclosure unless otherwise exempt. From: ctmassa < Sent: Monday, February 22, 2021 9:29 PM To: Randi Johl <randi.johl@temeculaca.gov> Subject: Public Comment Agenda Item #10, Council Meeting 2/23 Hi Randi, Thank you for considering my second e-mail. Can you please enter this letter as public comment for Agenda Item 10 in the city council meeting on 2/23? Re: a Temecula Police Station within city limits? Dear Council: Thank you for continuing to delve further into options for public safety for the city of Temecula. As I stated earlier, we've seen that in the last year, especially the last 4-5 months, more local control and interaction could benefit the community. I am supportive of creating a police station within the city limits, especially a more centralized location like the former city hall building. We know that with the current station in French Valley, response times to city of Temecula can be anywhere from five minutes to 45 minutes to get to South Temecula. It's also true that with dispatch being in French Valley, our police are challenged with not being freeway- adjacent. Criminals in cars can make quick getaways without fear of being quickly apprehended. Just think of all the bank branches right near freeway on ramps off Ynez Rd. We could also easily see cost savings from this effort. The city currently spends $750k annually to maintain a facility on the outskirts of town. The city owns buildings that could be refurbished and repurposed, with ROI in -10-15 years. Thank you for considering placement of a police department location in a more centralized location. Thank you, Christine T. Massa 2 From: Randi Johl Sent: Tuesday, February 23, 2021 12:17 PM To: Summer Berg Subject: RE: Agenda Item #10 Thank you for your email. It was received and will be read into the record at the next Council meeting. Randi Johl,JD, MMC Legislative Director/City Clerk randi.iohl atemeculaca.c ov 41000 Main St, Temecula, CA 92590 Cates Please note that email correspondence with the City of Temecula, along with attachments, may be subject to the California Public Records Act, and therefore may be subject to disclosure unless otherwise exempt. From: Summer Berg< Sent:Tuesday, February 23, 2021 11:59 AM To: Randi Johl <randi.johl@temeculaca.gov> Subject:Agenda Item #10 Good evening City Council members. My name is Summer Berg. I am a member of Temecula Unity and I have been a proud Temecula citizen for 12 years. I would like to make a statement in support of item #10 on the agenda. Temecula is in desperate need of its own police station. The Southwest Sheriff's station is too far away to sufficiently dispatch officers in a timely manner; response times can be as high as 45 minutes in areas of the city. In an emergency, dispatchers need to be familiar with the area and officers need to arrive significantly faster. The proposed building is centrally located and freeway adjacent, which will dramatically improve law enforcement's ability to react quickly. We are currently spending $750k annually to maintain a station that is no longer appropriate for the city's needs. Refurbishing an existing building is a smart investment that the city will see a return on in the future. Thank you for your time this evening. -Summer Berg From: Randi Johl Sent: Tuesday, February 23, 2021 3:40 PM To: Ashley Clingingsmith Subject: FW:Agenda item #10 Attachments: Agenda item#10.docx Thank you for your email. It was received and will be read into the record at the next Council meeting. Randi Johl,JD, MMC Legislative Director/City Clerk randi.johl@temeculaca.gov 41000 Main St,Temecula,CA 92590 Please note that email correspondence with the City of Temecula,along with attachments, may be subject to the California Public Records Act, and therefore may be subject to disclosure unless otherwise exempt. Original Message From: Ashley Clingingsmith<cling004@cougars.csusm.edu> Sent:Tuesday, February 23, 2021 3:39 PM To: Randi Johl<randi.johl@temeculaca.gov> Subject: Agenda item#10 Good afternoon Randi, Attached is my letter for agenda item#10. Thanks! Ashley C. 1 Good afternoon Members of Temecula City Council, I am writing this letter in regard to agenda item #10, the repurposing of an existing building into a Temecula Police Station. I am in full support of this agenda item. This is absolutely necessary in order to aid the adoption of an independent police department for the city of Temecula. The current station is not located within city limits and 911 dispatch is located in Riverside, making dispatch less familiar with our city and its landmarks. Current response times are broadened at 5 to 45 minutes, which is unacceptable in an emergency. Please take these points into consideration when making your decision. Thank you for your time, Ashley Clingingsmith From: Randi Johl Sent: Tuesday, February 23, 2021 5:02 PM To: Tim McDonald Subject: RE: Regarding agenda item number#10 (Please read into record 2/23/21 Meeting) Thank you for your email. It was received and will be read into the record at the next Council meeting. Randi Johl,JD, MMC Legislative Director/City Clerk randi.iohl antemeculaca.gov 41000 Main St, Temecula, CA 92590 C a e S Please note that email correspondence with the City of Temecula, along with attachments, may be subject to the California Public Records Act, and therefore may be subject to disclosure unless otherwise exempt. From:Tim McDonald < Sent: Tuesday, February 23, 2021 4:56 PM To: Randi Johl <randi.johl@temeculaca.gov> Subject: Regarding agenda item number#10 (Please read into record 2/23/21 Meeting) Good Evening Members of the Temecula City Council, Regarding agenda item number#10, I am very pleased to see this item on the agenda. I have lived in Temecula for over 30 years now and I have wondered on many occasions why we do not have a proper police station within our City Limits. The current Base of Operations is so far out of the heart of our city that there is no way it can be part of any efficient policing model. Having a base much closer to the center of Temecula would more greatly serve the community and its law enforcement needs. A location much closer to the banks, car dealerships, old town, and our neighborhoods where the majority of chime takes place makes far more sense than working out of a location out past our airport on the edge of the most rural part of town. I hope the Council forms the recommended subcommittee to explore this topic. Thank you for your time and the attention given to this matter, Tim McDonald 1 From: Randi Johl Sent: Tuesday, February 23, 2021 6:06 PM To: Julie Geary Subject: RE: agenda item #10 Thank you for your email. It was received and will be read into the record at the next Council meeting. Randi Johl,JD, MMC Legislative Director/City Clerk randi.iohlatemeculaca.gov 41000 Main St, Temecula, CA 92590 R CMS Please note that email correspondence with the City of Temecula, along with attachments, maybe subject to the California Public Records Act, and therefore maybe subject to disclosure unless otherwise exempt. From:Julie Geary< Sent:Tuesday, February 23, 2021 5:43 PM To: Randi Johl <randi.johl@temeculaca.gov> Subject: agenda item #10 Hello, it's Julie Geary, again, and I am writing for a second time tonight In regards to agenda item #10. I commend councilor Stew on bringing this important and crucial measure forward and wholeheartedly agree that Temecula needs its own police station. Our current police station is not within city limits nor is it near a freeway. This has many negative impacts on the city including, longer response times to calls, 911 dispatch that is not familiar with the city, and an increased cost to our cities budget. Having our own police station near the city center would significantly shorten response times for calls, this could save lives and prevent crime. It currently can take anywhere from 5-25 minutes for a patrol car to travel from the station to areas in South Temecula. We could also utilize the 911 dispatch services of the Murrieta Police department to better serve our community with people that are more familiar with the area. Currently we rent the South West detention center and spend around $750,000 a year to maintain a facility that is not in our city limits on a building we do not own. We own and can repurpose the old city hall building in the heart of Temecula into a police station. We would see our return of investment in 10-15 yrs and would immediately see the impact of shorter response times, local control of 911 dispatch, and the accessibility of having a station close to the 15 freeway. Please support this proposal. Thank you, Julie 2 From: Randi Johl Sent: Tuesday, February 23, 2021 6:24 PM To: Allison A Donahoe-Beggs Subject: RE: Item #10 on City Council Agenda Thank you for your email. It was received and will be read into the record at the next Council meeting. Randi Johl,JD, MMC Legislative Director/City Clerk randi.johl@temeculaca.gov 41000 Main St,Temecula, CA 92590 Please note that email correspondence with the City of Temecula,along with attachments, may be subject to the California Public Records Act,and therefore may be subject to disclosure unless otherwise exempt. Original Message From: Allison A Donahoe-Beggs< Sent:Tuesday, February 23, 2021 6:22 PM To: Randi Johl<randi.johl@temeculaca.gov> Cc: Matt Rahn <matt.rahn@TemeculaCA.gov> Subject: Item #10 on City Council Agenda Hello, I am writing to support the proposal to establish an Independent Police Department in Temecula. This measure would repurpose an existing building, perhaps the old City Hall building, into a Temecula Police Station. I have been a Temecula resident since 1998. I do not feel our city is well served by the Riverside County Sheriff. The current station is in Murrieta which slows response time. It is also not freeway adjacent or close to any of the areas needing to be protected (Old Town Temecula, businesses along the freeway). I would love if we could have our own Police Department, much like the city of Menifee recently established. This provides for more community policing, meaning officers are from this community and get to know the members of this community more intimately. We can then have our own oversight and ideally, the establishment of partnering services to assist when needed (mental health, domestic violence, substance abuse,etc,). Thank you for your time. Allison Donahoe-Beggs 1