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HomeMy WebLinkAbout092810 CC Agenda In compliance with the Americans with Disabilities Act, if you need special assistance to participate in this meeting, please contact the office of the City Clerk(951)694-6444. Notification 48 hours prior to a meeting will enable the City to make reasonable arrangements to ensure accessibility to that meeting [28 CFR 35.102.35.104 ADA Title II] AGENDA TEMECULA CITY COUNCIL A REGULAR MEETING CITY COUNCIL CHAMBERS 43200 BUSINESS PARK DRIVE SEPTEMBER 28, 2010— 7:00 PM At approximately 9:45 P.M., the City Council will determine which of the remaining agenda items can be considered and acted upon prior to 10:00 P.M. and may continue all other items on which additional time is required until a future meeting. All meetings are scheduled to end at 10:00 P.M. 6:00; P.M. -:.Closed Session; of, the. City Council/Temecula Redevelopment Agency pursuant to Government Code Section:: 1) Conference with City Attorney pursuant to Government Code Section 54956.9(b) with respect to one matter of potential litigation. With respect to such matter, the '.City Attorney h'as determined that a point has been reached where there is a.. significant exposure to litigation.involving•the City and„City related entities based on existing facts and circumstances. With respect to such matter,the City Council will also meet pursuant to Government Code Section'54956.9(c) to decide whether to initiate litigation. • Public Information concerning existing litigation between the City and various parties may beacquired by reviewing the public.documents held by the City Clerk. Next in Order: Ordinance: 10-13 Resolution: 10-68 CALL TO ORDER: Mayor Jeff Comerchero Prelude Music: Cassidy Hsieh Invocation: Pastor Dave Hadden of House of Praise Flag Salute: Council Member Edwards ROLL CALL: Edwards, Naggar, Roberts, Washington, Comerchero PRESENTATIONS/PROCLAMATIONS Certificate of Achievement for Eagle Scout Cameron Clossick Temecula Valley Historical Society Presentation Western Riverside Enemy Leadership Partnership (WRELP) Presentation 1 PUBLIC COMMENTS A total of 30 minutes is provided so members of the public may address the Council on items that appear within the Consent Calendar or ones that are not listed on the agenda. Speakers are limited to two (2) minutes each. If you desire to speak to the Council on an item which is listed on the Consent Calendar or a matter not listed on the agenda, a pink "Request to Speak" form should be filled out and filed with the City Clerk. When you are called to speak, please come forward and state your name for the record. For all Public Hearing or Council Business matters on the agenda, a "Request to Speak" form must be filed with the City Clerk prior to the Council addressing that item. There is a five minute (5) time limit for individual speakers. 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 (10) minutes will be devoted to these reports. CONSENT CALENDAR NOTICE TO THE PUBLIC 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 Standard Ordinance and Resolution Adoption Procedure RECOMMENDATION: 1.1 Motion to waive the reading of the text of all ordinances and resolutions included in the agenda. 2 Action Minutes RECOMMENDATION: 2.1 Approve the action minutes of September 14, 2010. 3 List of Demands RECOMMENDATION: 3.1 Adopt a resolution entitled: RESOLUTION NO. 10- A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF TEMECULA ALLOWING CERTAIN CLAIMS AND DEMANDS AS SET FORTH IN EXHIBIT A 2 4 Financial Statements for the Fiscal Year Ended June 30, 2010 RECOMMENDATION: 4.1 Receive and file the Financial Statements for the Fiscal Year Ended June 30, 2010; 4.2 Approve a Fiscal Year 2009-10 budget reallocation of$1,387,137 for programs financed from Measure A and reimbursable to the General Fund - Public Works, and budget these programs directly from the Measure A fund and also make this change effective for Fiscal Year 2010-11 operating budget; 4.3 Approve a transfer of$150,000 from Police Department line item budget to Fire Department budget; 4.4 Approve a transfer of$20,000 from Planning Department line item budget to City Manager budget; 4.5 Approve an appropriation of$41,000 in AB 3229 COPS Fund line item Expenditure Budget, and an increase of$41,000 in AB 3229 COPS Fund Revenue Budget. 5 Authorization to execute the Supplemental Agreement for the use of Community Development Block Grant Funds for Fiscal Year 2010-2011 RECOMMENDATION: 5.1 Execute the Supplemental Agreement for the use of Community Development Block Grant Funds for Fiscal Year 2010-2011. 6 Edward Byrne Memorial Justice Assistance Grant Funding RECOMMENDATION: 6.1 Increase estimated General Fund Grant Revenue by $23,055; 6.2 Appropriate $23,055 from General Fund Grant Revenue to the Police Department. 7 Purchase of Four Honda Police Motorcycles RECOMMENDATION: 7.1 Approve the purchase of four Honda Police Motorcycles for a total amount of $79,264. 3 8 Amendment to the City's Proposition 18 Spending Plan, Budget Transfer, and Contract Change Order to Facilitate the Santiago Road Rehabilitation and Restripinq RECOMMENDATION: 8.1 Approve an amendment to the City's Proposition 1B Spending Plan for FY 2008- 09 to include Santiago Road as part of the Jedediah Smith Road Reconstruction Project; 8.2 Approve a transfer of $180,000 from the Citywide Slurry Seal Project, Roripaugh Estates Area (PW09-06) to the Jedediah Smith Road Reconstruction Project (PW09-10) to cover the cost of the added work Contract Change Order and anticipated additional administration costs; 8.3 Approve CCO No. 4 in the amount of$158,785 adding the Santiago Road rehabilitation and restriping to the Jedediah Smith Road Reconstruction Project, Project No. PW09-10. 9 Expanded Parking Plan - Santiago Road RECOMMENDATION: 9.1 Adopt a resolution entitled: RESOLUTION NO. 10- A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF TEMECULA ESTABLISHING A PARKING RESTRICTION ON THE NORTH SIDE OF SANTIAGO ROAD FROM YNEZ ROAD TO 350 FEET WEST OF "C" STREET, MONDAY THROUGH FRIDAY, EXCEPT HOLIDAYS AS SHOWN IN EXHIBIT "A" **********.......... RECESS CITY COUNCIL MEETING TO SCHEDULED MEETINGS OF THE TEMECULA COMMUNITY SERVICES DISTRICT AND THE CITY OF TEMECULA REDEVELOPMENT AGENCY 4 TEMECULA COMMUNITY SERVICES DISTRICT MEETING Next in Order: Ordinance: No. CSD 10-01 Resolution: No. CSD 10-05 CALL TO ORDER: President Chuck Washington ROLL CALL: DIRECTORS: Comerchero, Edwards, Naggar, Roberts, Washington CSD PUBLIC COMMENTS A total of 15 minutes is provided so members of the public may address the Board of Directors on items that are not listed on the agenda or on the Consent Calendar. Speakers are limited to two (2) minutes each. If you decide to speak to the Board of Directors on an item not on the agenda or on the Consent Calendar, a pink "Request to Speak" form should be filled out and filed with the City Clerk. When you are called to speak, please come forward and state your name for the record. For all other agenda items, a "Request to Speak" form must be filed with the City Clerk Prior to the Board of Directors addressing that item. There is a five (5) minute time limit for individual speakers. Anyone wishing to address the Board of Directors should present a completed pink "Request to Speak" form to the City Clerk. When you are called to speak, please come forward and state your name for the record. CSD CONSENT CALENDAR 10 Action Minutes RECOMMENDATION: 10.1 Approve the action minutes of September 14, 2010. 11 Financial Statements for the Fiscal Year Ended June 30, 2010 RECOMMENDATION: 11.1 Receive and file the Financial Statements for the Fiscal Year Ended June 30, 2010. CSD DEPARTMENTAL REPORT 12 Community Services Department Monthly Report 5 CSD DIRECTOR OF COMMUNITY SERVICES REPORT CSD GENERAL MANAGERS REPORT CSD BOARD OF DIRECTORS REPORTS CSD ADJOURNMENT Next regular meeting: Tuesday, October 12, 2010, at 5:30 P.M., for a Closed Session, with regular session commencing at 7:00 PM., City Council Chambers, 43200 Business Park Drive, Temecula, California. 6 TEMECULA REDEVELOPMENT AGENCY MEETING Next in Order: Ordinance: No. RDA 10-01 Resolution: No. RDA 10-11 CALL TO ORDER: Chair Person Mike Naggar ROLL CALL: AGENCY MEMBERS: Comerchero, Edwards, Roberts, Washington, Naggar RDA PUBLIC COMMENTS A total of 15 minutes is provided so members of the public may address the Redevelopment Agency on items that are not listed on the agenda or on the Consent Calendar. Speakers are limited to two (2) minutes each. If you decide to speak to the Board of Directors on an item not on the agenda or on the Consent Calendar, a pink "Request to Speak" form should be filled out and filed with the City Clerk. When you are called to speak, please come forward and state your name for the record. For all other agenda items, a "Request to Speak" form must be filed with the City Clerk Prior to the Board of Directors addressing that item. There is a five (5) minute time limit for individual speakers. Anyone wishing to address the Board of Directors should present a completed pink "Request to Speak" form to the City Clerk. When you are called to speak, please come forward and state your name for the record. RDA CONSENT CALENDAR 13 Action Minutes RECOMMENDATION: 13.1 Approve the action minutes of September 14, 2010. 14 Financial Statements for the Fiscal Year Ended June 30, 2010 RECOMMENDATION: 14.1 Receive and file the Financial Statements for the Fiscal Year Ended June 30, 2010; 14.2 Approve an increase of$568,000 for Tax Increment revenues in the Debt Service Fund budget; 14.3 Approve an appropriation of$665,000 for Passthrough Agreements in the Redevelopment Agency Debt Service Fund Budget; 7 14.4 Approve an appropriation of$93,000 for Operating Transfers Out in the Redevelopment Capital Improvement budget and an offsetting decrease in the Redevelopment Agency Debt Service Fund budget; 14.5 Approve an appropriation of $83,000 for interest expenditures in the Debt Service Fund budget. 15 Service Agreement for the Old Town Holiday Outdoor Ice Skating Rink (at the request of the RDA/Old Town Steering Committee Members, Mayor Pro Tem Roberts and Council Member Edwards) RECOMMENDATION: 15.1 Approve the "Agreement for Special Services between the City of Temecula Redevelopment Agency and Studio 33 Productions Outdoor Ice Skating Rink and Rink Management" in the amount of$90,000 and authorize the Chairman to sign on behalf of the Agency; 15.2 Direct staff to quantify through measurement the number of guests/attendees that enjoy this service for data that can be considered for future year negotiations; 15.3 Direct staff to measure success of event through media impressions such as publicity, media coverage, and a general understanding of any increase in foot traffic/visitor traffic and the collaboration of other City sponsored events. RDA DEPARTMENTAL REPORT 16 Redevelopment Department Monthly Report RDA EXECUTIVE DIRECTORS REPORT RDA AGENCY MEMBERS REPORTS RDA ADJOURNMENT Next regular meeting: Tuesday, October 12, 2010, at 5:30 P.M., for a Closed Session, with regular session commencing at 7:00 PM., City Council Chambers, 43200 Business Park Drive, Temecula, California. 8 RECONVENE TEMECULA CITY COUNCIL DEPARTMENTAL REPORTS 17 Planning Department Monthly Report 18 Police Department Monthly Report 19 Public Works Department Monthly Report CITY MANAGER REPORT CITY ATTORNEY REPORT ADJOURNMENT Next regular meeting: Tuesday, October 12, 2010, at 5:30 PM, for a Closed Session, with regular session commencing at 7:00 PM, City Council Chambers, 43200 Business Park Drive, Temecula, California. 9 PRESENTATIONS The City of Temecula Certificate of Achievement The City Council of the City of Temecula commends the outstanding achievement of Cameron Clossick of Troop #148 We congratulate Cameron for his achievement on receiving the rank of Eagle Scout. We are proud to present Cameron with this Award, and we wish him success in his future accomplishments. IN WITNESS WHEREOF, I have hereunto affixed my hand and official seal this twenty-eighth day of September, 2010. Jeff Comerchero, Mayor Susan W. Jones, MMC City Clerk CONSENT CALENDAR Item No. 1 Item No. 2 ACTION MINUTES TEMECULA CITY COUNCIL A REGULAR MEETING CITY COUNCIL CHAMBERS 43200 BUSINESS PARK DRIVE SEPTEMBER 14, 2010 — 7:00 PM 6:00 P.M. - Closed Session of the City Council/Temecula Redevelopment Agency pursuant to Government Code Section: 1) Conference with City Attorney pursuant to Government Code Section 64966.9(a) with respect to one matter of pending litigation to which the City is a defendant. The title of the litigation is "in the Matter of the Application of SOUTHERN CALIFORNIA EDISON COMPANY (U338E) for a Permit to Construct Electrical Facilities With Voltages Between 50kV and 200k: Triton Substation Project. With respect to such matter, the City Council will also meet pursuant to Government Code Section 64966.9(c) to decide whether to initiate litigation. 2) Conference with City Attorney pursuant to Government Code Section 64966.9(b) with respect to one matter of potential litigation. With respect to such matter, the City Attorney has determined that a point has been reached where there is a significant exposure to litigation involving the City and City related entities based on existing facts and circumstances. With respect to such matter, the City Council will also meet pursuant to Government Code Section 64966.9(c) to decide whether to initiate litigation. Public Information concerning existing litigation between the City and various parties may be acquired by reviewing the public documents held by the City Clerk. At 6:00 P.M., Mayor Comerchero called the City Council meeting to order and recessed the meeting to Closed Session to consider the matters described on the Closed Session agenda. The City Council meeting convened at 7:00 P.M. CALL TO ORDER: Mayor Jeff Comerchero Prelude Music: Andrew Tang Invocation: Rabbi Yitzchok Hurwitz of Chabad of Temecula Valley Flag Salute: Council Member Washington ROLL CALL: Edwards, Naggar, Roberts, Washington, Comerchero PRESENTATIONS/PROCLAMATIONS Constitution Week Proclamation Greek Festival Month Proclamation PUBLIC COMMENTS The following individuals addressed the City Council: • Evan Borgeson — Temecula Valley High School Band and Color Guard Uniform Drive • Jeanene Dakin - Temecula Valley High School Band and Color Guard Uniform Drive • Mark Margolin — representing Golden Valley Music Society — Temecula Valley College and Vocational Invitational on 9/25/2010 at the Promenade Mall — Classical Music Series at the Temecula Theater starting 9/18/2010 - California Chamber Orchestra • Nori Shaughn — representing Azusa Pacific University — Temecula College and Vocational Invitational on 9/25/2010 at Promenade Mall • Wayne Hall — regarding public safety of gas lines • David Mathewson — requested staff to review the visual blight impacts of the installation of photovoltaic panels CITY COUNCIL REPORTS CONSENT CALENDAR Standard Ordinance and Resolution Adoption Procedure - Approved Staff Recommendation (5-0-0) — Council Member Washington made the motion; it was seconded by Council Member Roberts; and electronic vote reflected unanimous approval. RECOMMENDATION: 1.1 Motion to waive the reading of the text of all ordinances and resolutions included in the agenda. 2 Action Minutes - Approved Staff Recommendation (5-0-0) — Council Member Washington made the motion; it was seconded by Council Member Roberts; and electronic vote reflected unanimous approval. RECOMMENDATION: 2.1 Approve the action minutes of August 24, 2010. 3 List of Demands - Approved Staff Recommendation (5-0-0) — Council Member Washington made the motion; it was seconded by Council Member Roberts; and electronic vote reflected unanimous approval. RECOMMENDATION: 3.1 Adopt a resolution entitled: RESOLUTION NO. 10-65 A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF TEMECULA ALLOWING CERTAIN CLAIMS AND DEMANDS AS SET FORTH IN EXHIBIT A 4 City Treasurer's Report as of July 31, 2010 - Approved Staff Recommendation (5-0-0) — Council Member Washington made the motion; it was seconded by Council Member Roberts; and electronic vote reflected unanimous approval. RECOMMENDATION: 4.1 Approve and file the City Treasurer's Report as of July 31, 2010. 5 Residential Energy Efficiency Program -Approved Staff Recommendation (5-0-0) — Council Member Washington made the motion; it was seconded by Council Member Roberts; and electronic vote reflected unanimous approval. RECOMMENDATION: 5.1 Adopt a resolution entitled: RESOLUTION NO. 10-66 A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF TEMECULA APPROVING THE RESIDENTIAL ENERGY EFFICIENCY PROGRAM (REEP) 6 Award a Contract for Maintenance of Caltrans Landscape Improvements adjacent to the Civic Center and Parking Structure — Project No. PW06-07 - Approved Staff Recommendation (5-0-0) — Council Member Washington made the motion; it was seconded by Council Member Roberts; and electronic vote reflected unanimous approval. RECOMMENDATION: 6.1 Award a contract for Project No. PW06-07, Maintenance of Caltrans Landscape Improvements adjacent to the Civic Center and Parking Structure to TruGreen Landcare in the amount of $86,130; 6.2 Authorize the City Manager to approve change orders up to $8,613, which is 10% of the contract amount; 6.3 Confirm the findings that this maintenance work is exempt from Multiple Species Habitat Conservation Plan (MSHCP) fees. 7 Transportation Uniform Mitigation Fee (TUMF) Reimbursement Agreement for the French Valley Parkway/1-15 Overcrossing & Interchange Project -Approved Staff Recommendation (5-0-0) — Council Member Washington made the motion; it was seconded by Council Member Roberts; and electronic vote reflected unanimous approval. RECOMMENDATION: 7.1 Approve the attached TUMF Reimbursement Agreement between the Western Riverside Council of Governments (WRCOG) and the City of Temecula for the French Valley Parkway/1-15 Overcrossing & Interchange Project (06 -SW -TEM - 1070); 7.2 Authorize the City Manager to execute the agreement. 8 Authorize Temporary Partial Street Closures for the "Race for the Cure" event October 17, 2010, in the Promenade Mall area (Winchester Road, Margarita Road, and other related streets) - Approved Staff Recommendation (5-0-0) — Council Member Washington made the motion; it was seconded by Council Member Roberts; and electronic vote reflected unanimous approval. RECOMMENDATION: 8.1 Receive and file the following proposed action by the City Manager: Temporarily close portions of Winchester Road, Margarita Road, and other related streets for the: "2010 RACE FOR THE CURE EVENT" 9 Authorize Temporary Street Closures for the 2010 Temecula Fall Rod Run event (Old Town Front Street, between Moreno Road and Second Street, and other related streets) scheduled for the 8th and 9th of October, 2010 - Approved Staff Recommendation (4-0-0-1) — Council Member Washington made the motion; it was seconded by Council Member Roberts; and electronic vote reflected approval with the exception of Council Member Edwards who abstained on this time. RECOMMENDATION: 9.1 Receive and file the following proposed action by the City Manager: Temporarily close Old Town Front Street and other related streets for the: "2010 TEMECULA FALL ROD RUN EVENT" Due to the close proximity of her employer's facility, Council Member Edwards advised that the she would be abstaining with regard to this item. 10 Acceptance of Improvements and Notice of Completion for the Road and Storm Drain Repair at Rancho California Road — Project No. PW09-08 - Approved Staff Recommendation (5-0-0) — Council Member Washington made the motion; it was seconded by Council Member Roberts; and electronic vote reflected unanimous approval. RECOMMENDATION: 10.1 Accept the construction of the Road and Storm Drain Repair at Rancho California Road, Project No. PW 09-08, as complete; 10.2 Direct the City Clerk to file and record the Notice of Completion, release the Performance Bond, and accept a one (1) year Maintenance Bond in the amount of 10% of the contract amount; 10.3 Release the Materials and Labor Bond seven months after filing of the Notice of Completion if no liens have been filed. 11 Approve the Sponsorship Reauests and Fundina Aareements for the 2010 Komen Inland Empire Race for the Cure and the 2010 Temecula Fall Rod Run - Approved Staff Recommendation (4-0-0-1) — Council Member Washington made the motion; it was seconded by Council Member Roberts; and electronic vote reflected approval with the exception of Council Member Edwards who abstained on this item. RECOMMENDATION: 11.1 Approve the Event Sponsorship and Funding Agreement in the amount of $22,500 cash, city -support costs in the amount of approximately $18,435, and promotional services valued at $9,065 in-kind support for the 2010 Komen Inland Empire Race for the Cure®; 11.2 Approve the Event Sponsorship Agreement for actual city -support costs in the amount up to $59,562 for the 2010 Temecula Fall Rod Run and authorize the Mayor to execute the agreement. Due to the close proximity of her employer's facility, Council Member Edwards advised that the she would be abstaining with regard to this item. 12 Resolution of Support for the expansion of the San Dieao area Foreian Trade Zone (FTZ) into the southwesterly region of Riverside County (at the request of Mayor Comerchero) - Approved Staff Recommendation (5-0-0) — Council Member Washington made the motion; it was seconded by Council Member Roberts; and electronic vote reflected unanimous approval. RECOMMENDATION: 12.1 Adopt a resolution entitled: RESOLUTION NO. 10-67 A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF TEMECULA SUPPORTING THE EXPANSION OF THE SAN DIEGO FOREIGN TRADE ZONE 153 INTO THE SOUTHWESTERLY REGION OF RIVERSIDE COUNTY INCLUDING TEMECULA At 7:40 P.M., the City Council convened as the Temecula Community Services District and the Redevelopment Agency. At 7:51 P.M., the City Council resumed with regular business. CITY COUNCIL BUSINESS 16 Firestone Property Ad Hoc City Council Subcommittee - Approved Staff Recommendation (4-0-0-1) — Council Member Roberts made the motion; it was seconded by Council Member Washington to appoint Mayor Comerchero and Council Member Naggar to the Subcommittee; and electronic vote reflected approval with Council Member Edwards abstaining. RECOMMENDATION: 16.1 Establish the Firestone Property Ad Hoc Council Subcommittee to address and review the comprehensive conceptual development issues associated with housing, hospital university, and office/commercial associated with the property held by Mr. and Mrs. John Firestone west of Pujol Street and report back to the City Council; 16.2 Appoint two members to serve on the Firestone Property Ad Hoc City Council Subcommittee; 16.3 Terminate the existing Villages of Old Town Ad Hoc Subcommittee. Due to the close proximity of her employer's facility, Council Member Edwards advised that the she would be abstaining with regard to this item. Assistant Manager Adams provided the staff report as per agenda material. CITY MANAGER REPORT City Attorney Thorson stated that with regard to the Closed Session matters, there was action to report on the item relating to the Southern California Edison permit for the Triton Substation. It was noted that the City Council directed that the City continue its opposition to that project before the Public Utilities Commission and that the City file comments to the Administrative Law Judge's proposed decision to approve and that the City Council send a representative from the City Attorney's office, Mr. Richardson, and Council Member Washington to appear before the Public Utilities Commission to further express the City's opposition. There no other items to report under Closed Session. ADJOURNMENT At 7:58 P.M., the City Council meeting was formally adjourned to Tuesday, September 28, 2010, at 5:30 PM, for a Closed Session, with regular session commencing at 7:00 PM, City Council Chambers, 43200 Business Park Drive, Temecula, California. Jeff Comerchero, Mayor ATTEST: Susan W. Jones, MMC City Clerk [SEAL] Item No. 3 Approvals City Attorney Director of Finance City Manager CITY OF TEMECULA AGENDA REPORT TO: City Manager/City Council FROM: Genie Roberts, Director of Finance DATE: September 28, 2010 SUBJECT: List of Demands PREPARED BY: Pascale Brown, Accounting Manager Jada Yonker, Accounting Specialist RECOMMENDATION: That the City Council: 1. Adopt a resolution entitled: RESOLUTION NO. 10- 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: Resolution List of Demands RESOLUTION NO. 10- 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 $15,883,328.59. 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 28th day of September, 2010. Jeff Comerchero, Mayor ATTEST: Susan W. Jones, MMC City Clerk [SEAL] STATE OF CALIFORNIA ) COUNTY OF RIVERSIDE ) ss CITY OF TEMECULA ) I, Susan W. Jones, MMC, City Clerk of the City of Temecula, do hereby certify that the foregoing Resolution No. 10- was duly and regularly adopted by the City Council of the City of Temecula at a meeting thereof held on the 28th day of September, 2010, by the following vote: AYES: COUNCIL MEMBERS: NOES: COUNCIL MEMBERS: IG1 011�Ko1l1►NllNdiIAdi1:l4:&1 ABSTAIN: COUNCIL MEMBERS: Susan W. Jones, MMC City Clerk CITY OF TEMECULA LIST OF DEMANDS 09/02/2010 TOTAL CHECK RUN 09/09/2010 TOTAL CHECK RUN 09/16/2010 TOTAL CHECK RUN 09/02/2010 TOTAL PAYROLL RUN: 09/16/2010 TOTAL PAYROLL RUN: TOTAL LIST OF DEMANDS FOR 09/28/2010 COUNCIL MEETING: DISBURSEMENTS BY FUND: CHECKS: 11,034,776.07 2,866,036.92 1,070,527.15 482,228.65 429,759.80 $ 15,883,328.59 CITY OF TEMECULA LIST OF DEMANDS 001 GENERAL FUND $ 5,532,892.71 130 RECOVERY ACT JAG FUNDING 2,102.52 165 AFFORDABLE HOUSING 20,478.43 190 TEMECULA COMMUNITY SERVICES DISTRICT 469,163.82 192 TCSD SERVICE LEVEL B 77,566.14 194 TCSD SERVICE LEVEL D 2,027.18 196 TCSD SERVICE LEVEL "L" LAKE PARK MAINT. 9,949.20 197 TEMECULA LIBRARY FUND 21,903.44 210 CAPITAL IMPROVEMENT PROJECTS FUND 5,917,047.93 280 REDEVELOPMENT AGENCY - CIP PROJECT 68,650.17 300 INSURANCE FUND 18,694.61 320 INFORMATION SYSTEMS 66,590.11 330 SUPPORT SERVICES 6,939.82 340 FACILITIES 42,495.32 375 SUMMER YOUTH EMPLOYMENT PROGRAM 7,379.94 380 RDA DEBT SERVICE FUND 6,300.00 390 TCSD DEBT SERVICE 389,845.00 460 CFD 88-12 DEBT SERVICE FUND 1,957,912.25 472 CFD 01-2 HARVESTON A&B DEBT SERVICE 98,052.02 473 CFD 03-1 CROWNE HILL DEBT SERVICE FUND 55,706.56 474 AD03-4 JOHN WARNER ROAD DEBT SERVICE 8,889.12 475 CFD03-3 WOLF CREEK DEBT SERVICE FUND 123,970.44 476 CFD 03-6 HARVESTON 2 DEBT SERVICE FUND 30,658.03 477 CFD- RORIPAUGH 3,631.28 501 SERVICE LEVEL"C"ZONE 1 SADDLEWOOD 270.26 502 SERVICE LEVEL"C"ZONE 2 WINCHESTER CREEK 214.51 503 SERVICE LEVEL"C"ZONE 3 RANCHO HIGHLANDS 1,485.02 504 SERVICE LEVEL"C"ZONE 4 THE VINEYARDS 53.26 505 SERVICE LEVEL"C"ZONE 5 SIGNET SERIES 447.82 506 SERVICE LEVEL"C"ZONE 6 WOODCREST COUNTRY 86.40 507 SERVICE LEVEL"C"ZONE 7 RIDGEVIEW 134.76 508 SERVICE LEVEL"C"ZONE 8 VILLAGE GROVE 2,350.67 509 SERVICE LEVEL"C"ZONE 9 RANCHO SOLANA 25.56 510 SERVICE LEVEL"C"ZONE 10 MARTINIQUE 48.07 511 SERVICE LEVEL"C"ZONE 11 MEADOWVIEW 38.45 512 SERVICE LEVEL"C"ZONE 12 VINTAGE HILLS 858.91 513 SERVICE LEVEL"C"ZONE 13 PRESLEY DEVELOP. 3,101.93 514 SERVICE LEVEL"C"ZONE 14 MORRISON HOMES 67.41 515 SERVICE LEVEL"C"ZONE 15 BARCLAY ESTATES 63.88 516 SERVICE LEVEL"C"ZONE 16 TRADEWINDS 145.13 517 SERVICE LEVEL"C"ZONE 17 MONTE VISTA 28.81 518 SERVICE LEVEL"C"ZONE 18 TEMEKU HILLS 513.46 519 SERVICE LEVEL"C"ZONE 19 CHANTEMAR 949.25 520 SERVICE LEVEL"C"ZONE 20 CROWNE HILL 742.95 521 SERVICE LEVEL"C"ZONE 21 VAIL RANCH 5,384.81 522 SERVICE LEVEL"C"ZONE 22 SUTTON PLACE 47.45 523 SERVICE LEVEL"C"ZONE 23 PHEASENT RUN 129.18 524 SERVICE LEVEL"C"ZONE 24 HARVESTON 3,813.64 525 SERVICE LEVEL"C"ZONE 25 SERENA HILLS 174.60 526 SERVICE LEVEL"C"ZONE 26 GALLERYTRADITION 27.41 527 SERVICE LEVEL"C"ZONE 27 AVONDALE 52.41 528 SERVICE LEVEL"C"ZONE 28 WOLF CREEK 7,230.38 529 SERVICE LEVEL"C"ZONE 29 GALLERY PORTRAIT 132.90 700 CERBT CALIFORNIA BE RETIREE-GASB45 3,874.81 $ 14,971,340.14 CITY OF TEMECULA LIST OF DEMANDS 001 GENERAL FUND $ 515,846.91 165 AFFORDABLE HOUSING 21,936.21 190 TEMECULA COMMUNITY SERVICES DISTRICT 221,593.88 192 TCSD SERVICE LEVEL B 280.20 194 TCSD SERVICE LEVEL D 2,781.90 196 TCSD SERVICE LEVEL "L" LAKE PARK MAINT. 2,108.84 197 TEMECULA LIBRARY FUND 838.90 280 REDEVELOPMENT AGENCY - CIP PROJECT 13,200.23 300 INSURANCE FUND 2,889.25 320 INFORMATION SYSTEMS 49,096.50 330 SUPPORT SERVICES 11,533.08 340 FACILITIES 16,651.72 375 SUMMER YOUTH EMPLOYMENT PROGRAM 30,116.63 501 SERVICE LEVEL"C"ZONE 1 SADDLEWOOD 212.62 502 SERVICE LEVEL"C"ZONE 2 WINCHESTER CREEK 141.89 503 SERVICE LEVEL"C"ZONE 3 RANCHO HIGHLANDS 168.23 504 SERVICE LEVEL"C"ZONE 4 THE VINEYARDS 31.02 505 SERVICE LEVEL"C"ZONE 5 SIGNET SERIES 342.32 506 SERVICE LEVEL"C"ZONE 6 WOODCREST COUNTRY 61.63 507 SERVICE LEVEL"C"ZONE 7 RIDGEVIEW 88.22 508 SERVICE LEVEL"C"ZONE 8 VILLAGE GROVE 581.47 509 SERVICE LEVEL"C"ZONE 9 RANCHO SOLANA 4.76 510 SERVICE LEVEL"C"ZONE 10 MARTINIQUE 25.84 511 SERVICE LEVEL"C"ZONE 11 MEADOWVIEW 16.38 512 SERVICE LEVEL"C"ZONE 12 VINTAGE HILLS 387.42 513 SERVICE LEVEL"C"ZONE 13 PRESLEY DEVELOP. 82.83 514 SERVICE LEVEL"C"ZONE 14 MORRISON HOMES 48.14 515 SERVICE LEVEL"C"ZONE 15 BARCLAY ESTATES 41.18 516 SERVICE LEVEL"C"ZONE 16 TRADEWINDS 96.83 517 SERVICE LEVEL"C"ZONE 17 MONTE VISTA 7.97 518 SERVICE LEVEL"C"ZONE 18 TEMEKU HILLS 358.92 519 SERVICE LEVEL"C"ZONE 19 CHANTEMAR 192.40 520 SERVICE LEVEL"C"ZONE 20 CROWNE HILL 521.14 521 SERVICE LEVEL"C"ZONE 21 VAIL RANCH 880.57 522 SERVICE LEVEL"C"ZONE 22 SUTTON PLACE 20.95 523 SERVICE LEVEL"C"ZONE 23 PHEASENT RUN 23.05 524 SERVICE LEVEL"C"ZONE 24 HARVESTON 496.12 525 SERVICE LEVEL"C"ZONE 25 SERENA HILLS 159.48 526 SERVICE LEVEL"C"ZONE 26 GALLERYTRADITION 6.86 527 SERVICE LEVEL"C"ZONE 27 AVONDALE 23.21 528 SERVICE LEVEL"C"ZONE 28 WOLF CREEK 731.38 529 SERVICE LEVEL"C"ZONE 29 GALLERY PORTRAIT 13.57 700 CERBT CALIFORNIA BE RETIREE-GASB45 17,347.80 TOTAL BY FUND: 911,988.45 $ 15,883,328.59 apChkLst 09/02/2010 12:01:34PM Final Check List CITY OF TEMECULA Page: 1 Bank: union UNION BANK OF CALIFORNIA Check # Date Vendor Description Amount Paid Check Total 1537 08/26/2010 005460 U S BANK outstanding CFD 88-12 bonds pmt 6,726,165.52 6,726,165.52 1538 08/27/2010 005460 USBANK SPY/Secured Settlement#3 Pmt 317,276.17 317,276.17 1539 08/30/2010 000166 FIRSTAMERICAN TITLE F.V. ph II land acquisition 2,343,000.31 2,343,000.31 COMPANY 1540 09/02/2010 000642 TEMECULA CITY FLEXIBLE Child Care Reimbursement Payment 8,328.02 8,328.02 1541 09/02/2010 000246 PERS (EMPLOYEES' PERS ER Paid Member Contr Payment 129,702.84 129,702.84 RETIREMENT) 1542 09/02/2010 001065 NATIONWIDE RETIREMENT Nationwide Retirement Payment 14,594.56 14,594.56 SOLUTION 1543 09/02/2010 000283 INSTATAX (IRS) Federal Income Taxes Payment 91,601.17 91,601.17 1544 09/02/2010 000444 INSTATAX (EDD) State Disability Ins Payment 28,649.61 28,649.61 1545 09/02/2010 000245 PERS-HEALTH INSUR PERS Health Admin Cost Payment 77,276.12 77,276.12 PREMIUM 1546 09/02/2010 010349 CALIF DEPT OF CHILD Support Payment 553.84 553.84 SUPPORT 1547 09/02/2010 000389 NATIONWIDE RETIREMENT OBRA- Project Retirement Payment 4,783.36 4,783.36 SOLUTION 140637 09/02/2010 003552 AFLAC AFLAC Cancer Payment 3,376.10 3,376.10 140638 09/02/2010 008714 ALPHA CORP Streaming video swcs:info sys 9,960.00 9,960.00 140639 09/02/2010 012943 ALPHA MECHANICAL SERVICE HVAC maint:library 160.00 INC HVAC maint & repair: pbsp 120.00 HVAC Repair: Sta 73 325.44 605.44 140640 09/02/2010 004422 AMERICAN BATTERY Signal battery back up supplies:traffic 622.87 622.87 CORPORATION 140641 09/02/2010 000936 AMERICAN RED CROSS Red cross certificates: aquatic prgm 24.00 Training materials: aquatics pgrm 125.00 149.00 Page:1 apChkLst Final Check List Page: 2 09/02/2010 12:01:34PM CITY OF TEMECULA Bank: union UNION BANK OF CALIFORNIA Check # Date Vendor 140642 09/02/2010 002187 ANIMAL FRIENDS OF THE VALLEYS (Continued) Description Amount Paid Jul animal control services 13,000.00 140643 09/02/2010 003203 ARTISTIC EMBROIDERY MISC APPAREL & PROMO ITEMS CITY HALL 140644 09/02/2010 004205 BALLET FOLKLORICO TCSD Instructor Earnings 140645 09/02/2010 004262 BIO-TOX LABORATORIES Jul lab srvcs: Police Jul lab srvcs: Police Jul lab srvcs: Police 140646 09/02/2010 013761 BOWEN, KATHLEEN refund:dog house prgm 9550.201 140647 09/02/2010 006908 C C & COMPANY INC Entertainment: hot summer nights 9/3 140648 09/02/2010 004462 C D W GOVERNMENT INC Computer hard drives:Police Computer hard drives:Police Environmental monitoring sys:info sys 140649 09/02/2010 000154 C S M F O 11-15 CIP Budget appl fee Finance 140650 09/02/2010 003138 CAL MAT Asphalt:cityvide street repairs 140651 09/02/2010 004971 CANON FINANCIAL SERVICES, Aug copier lease: Fire INC 140652 09/02/2010 000137 CHEVRON AND TEXACO City vehicles fuel:City Mgr 140653 09/02/2010 005417 CINTAS FIRST AID & SAFETY Safety supplies: sports pgrm 140654 09/02/2010 004405 COMMUN ITY H EALTH Community Health Charities Payment CHARITIES 140655 09/02/2010 000442 COMPUTER ALERT SYSTEMS credit:billing adj/prkg structure credit:billing adj/Police storefront Jul -Sept alarm monitoring:citywide 140656 09/02/2010 012353 CONSTRUCTION TESTING Jul geotech & material testing:Civic 140657 09/02/2010 012006 CORNELL,ALLISON Concert@Theater 8/24/10 1,479.56 112.00 1,436.40 566.00 1,089.49 68.00 275.00 1,487.32 477.11 1,004.77 100.00 696.24 182.55 170.71 394.71 66.00 -165.00 -240.00 4,755.00 3,538.00 661.60 Check Total 13,000.00 1,479.56 112.00 3,091.89 68.00 275.00 2,969.20 100.00 696.24 182.55 170.71 394.71 66.00 4,350.00 3,538.00 661.60 Page2 apChkLst Final Check List Page: 3 09/02/2010 12:01:34PM CITY OF TEMECULA Bank: union UNION BANK OF CALIFORNIA (Continued) Check # Date Vendor Description Amount Paid Check Total 140658 09/02/2010 001264 COSTCO WHOLESALE Training & meeting supplies: MSYEP 165.77 Recognition supplies: MSYEP 643.06 808.83 140659 09/02/2010 013754 COWAN, LLOYD Performance: Hot Summer Nights 9/3/10 400.00 400.00 140660 09/02/2010 013016 CR STUDIO TCSD Instructor Earnings 140.00 TCSD Instructor Earnings 56.00 196.00 140661 09/02/2010 011870 CRIME SCENE STERI-CLEAN, Trauma Clean-up Swcs:Police 500.00 500.00 LLC 140662 09/02/2010 002981 DYNA MED Aquatic supplies: Aquatics Prgm 16.28 Aquatic supplies: Aquatics Prgm 325.54 341.82 140663 09/02/2010 005880 EDGE DEVELOPMENT INC. Release stop notice: Omni/Civic Cntr 11,652.95 11,652.95 140664 09/02/2010 011203 ENVIRONMENTAL CLEANING Jul 31-Aug 31 janitorial swcs:old town 500.00 500.00 140665 09/02/2010 001056 EXCEL LANDSCAPE Landscape repairs: s24 harveston slopes 170.00 Jul Idscp maint srvcs:citywide parks 50,935.88 Jul Idscp maint srvcs:citywide medians 14,269.70 65,375.58 140666 09/02/2010 012982 FELICETTI, THEODORE A. Performance: Hot Summer Nights 9/3/10 600.00 600.00 140667 09/02/2010 003347 FIRST BANKCARD CENTER 007282 AMAZON.COM, INC TT mounting ann:civic center 205.39 010434 CATERERS CAFE TT rfrshmnts:IS mtg 37.89 006952 PAYPAL TT Vensign Payfiow Pro Transaction 38.00 009527 GEOTRUST INC TT RapidSSL wildcard software IS 796.00 008567 GODADDY.COM INC. TT refund wildcard ssl software: IS -299.99 010773 SWEET LUMPY BBQ LLC SN rfrshmnts:WRCOG healthcare mtg 50.20 012898 NIELSEN COMPANY, THE AA demographic snapshot report 450.00 009720 STARBUCKS CORPORATION AA rfmhmnts:ldrshp forum mtg 24.00 013353 AMERICASPRINTER.COM AA mrktg items:Econ Dev 314.37 012915 LUCILLE'S BBQ SJ rfrshmnts:Council closed session 7/13 263.40 003964 OFFICE DEPOT BUSINESS SVS SJ office supplies:central swcs 309.68 DIV 000915 NATIONAL NOTARY SJ notary seminar: S.Pollack 9/8 515.20 ASSOCIATION 002652 PAT & OSCARS RESTAURANT SJ rfrshmnts:Council closed session 7/27 204.82 2,908.96 Pages apChkLst Final Check List Page: 4 09/02/2010 12:01:34PM CITY OF TEMECULA Bank: union UNION BANK OF CALIFORNIA (Continued) Check # Date Vendor Description Amount Paid Check Total 140668 09/02/2010 004882 FORTEL TRAFFIC, INC. Speed display signs:pw traffic 11,734.13 11,734.13 140669 09/02/2010 004074 FRANCHISE MGMT SERVICES Misc supplies: MSYEP 174.62 174.62 INC 140670 09/02/2010 002982 FRANCHISE TAX BOARD Support Payment Account # 562276013 50.00 50.00 140671 09/02/2010 011967 FULL VALUE ENTERTAINMENT Live @ the Merc 8/20/10 35.00 35.00 140672 09/02/2010 007866 G C S SUPPLIES INC toner cartridges:info sys 189.23 189.23 140673 09/02/2010 007804 GAZER, GEOFFREY PERFORMANCES: HOT SUMMER 250.00 250.00 NIGHTS 9/3 140674 09/02/2010 013552 GANDS PRODUCTIONS LLC Country @ the Merc 8/21/10 774.50 Country @ the Merc 8/28/10 396.00 1,170.50 140675 09/02/2010 009608 GOLDEN VALLEY MUSIC Classics @ the Merc Aug '10 686.00 686.00 SOCIETY 140676 09/02/2010 003792 GRAINGER Exhibit parts/supplies:children museum 229.46 Misc supplies: Theater 52.18 credit:misc supplies/Theater -68.52 213.12 140677 09/02/2010 013107 GRANT,GLENN Broadcasting:Hot Summer Nights10 1,850.00 1,850.00 140678 09/02/2010 010279 GRIFFITH AIR TOOL INC Equip repair & maint:PW Maint 224.84 224.84 140679 09/02/2010 003299 HAYES, BARNEY Entertainment: Hot Summer Nights 9/3 400.00 400.00 140680 09/02/2010 004811 HEWLETT PACKARD Laptop & pnnter:youth ct deputy 2,102.52 2,102.52 140681 09/02/2010 013762 HIKE, JACKI refund:sec dep:rm rental:crc 150.00 150.00 140682 09/02/2010 003198 HOME DEPOT, THE Hardware supplies:S.Hicks Snck Bar 266.19 266.19 140683 09/02/2010 000194 1 C M A RETIREMENT-PLAN I C M A Retirement Trust 457 Payment 6,164.48 6,164.48 303355 140684 09/02/2010 004406 IGOE & COMPANY INC Aug flex benefit plan pmt 220.00 220.00 Page:4 apChkLst Final Check List Page: 5 09/02/2010 12:01:34PM CITY OF TEMECULA Bank: union UNION BANK OF CALIFORNIA Check # Date Vendor 140685 09/02/2010 013695 INLAND EMPIRE SHRED IT 140686 09/02/2010 001186 IRWIN. JOHN 140687 09/02/2010 012883 JACOB'S HOUSE INC 140688 09/02/2010 013200 JAROTH INC 140689 09/02/2010 004546 KING, JAMES N. 140690 09/02/2010 000209 L & M FERTILIZER INC 140691 09/02/2010 001085 L N CURTIS & SONS 140692 09/02/2010 013717 LAA MUSIC, LLC 140693 09/02/2010 000482 LEIGHTON CONSULTING INC 140694 09/02/2010 003286 LIBRARYSYSTEMS& SERVICES 140695 09/02/2010 003726 LIFEASSISTINC 140696 09/02/2010 013763 MARTIN, LISA 140697 09/02/2010 011920 MASTER CONCEPTS LLC 140698 09/02/2010 011179 MC MILLIN REDHAWK LLC (Continued) Description Amount Paid Check Total doc shred svc: CRC 10.00 doc shred svc: City Hall 30.00 40.00 TCSD instructor earnings 92.40 TCSD instructor earnings 274.40 914.42 TCSD instructor earnings 568.40 935.20 Jacob's House Charity Payment 220.00 220.00 Sep pay phone:duck pond,libmry,crc 212.64 212.64 Entertainment:' 10 vol recogn 9/26 1,500.00 1,500.00 Misc parts & supplies:PW Maint 198.31 198.31 Fire rescue equip: Sta 73 317.23 317.23 Entertainment: hot summer nights 9/3 600.00 600.00 JU L GEOTECH SRVCS:WIN RD/HWY 79 45.50 3,325.00 PROJ 420.00 Jul geotech observe & testing:tcc expan 2,821.50 2,867.00 Software purch:library 1,400.00 1,400.00 Medical Supplies: Medics 12.25 Medical Supplies: Medics 725.98 Credit:medical supplies/Medics -136.80 Medical Supplies: Medics 305.64 Medical Supplies: Medics 7.35 914.42 refund various classes TCC 348.00 refund:creative beginnings 1120.204 56.00 refund:creative beginnings 1120.201 30.00 434.00 TCSD Instructor Earnings 997.50 TCSD Instructor Earnings 266.00 TCSD Instructor Earnings 997.50 TCSD Instructor Earnings 532.00 TCSD Instructor Earnings 532.00 3,325.00 TCSD Instructor Earnings 420.00 TCSD Instructor Earnings 455.00 TCSD Instructor Earnings 140.00 TCSD Instructor Earnings 385.00 1,400.00 Pages apChkLst Final Check List Page: 6 09/02/2010 12:01:34PM CITY OF TEMECULA Bank: union UNION BANK OF CALIFORNIA Check # Date Vendor 140703 140699 09/02/2010 013760 MEJIA, DANIEL 140700 09/02/2010 006571 MELODY'S AD WORKS INC. 140701 09/02/2010 003076 MET LIFE INSURANCE Temecula Police envelopes 140704 COMPANY (Continued) Description refund:overpmt permit fees:B10-1189 Sept mrktg & promo swcs:old town MetLife Dental Insurance Payment 140702 09/02/2010 012962 MILLER, MISTY TCSD Instructor Earnings 140703 09/02/2010 012580 MINUTEMAN PRESS Business Cards:Deputy Staat Business cards: Investigators Temecula Police envelopes 140704 09/02/2010 013004 MOBILE TRUCK SERVICE INC Cityvehicle repair &maint: PW Maint City vehicle repair & maint: PW Maint City vehicle repair & maint: PW Maint City vehicle repair & maint: PW Maint 140705 09/02/2010 009915 MOUNTAINVIEW COMMUNITY refund:sec dep:picnic rental:harveston CHURCH 140706 09/02/2010 010908 MR APPLIANCE OF Appliance maint & repair:pbsp WINCHESTER 140707 09/02/2010 005872 MUNICIPAL INFO SYS ASSN OF FY 10/11 membership dues:T.Thorson CAL 140708 09/02/2010 013375 MYERS-RUSSO, ERICA TCSD Instructor Earnings 140709 09/02/2010 013319 NEWTANGRAM LLC 140710 09/02/2010 002105 OLD TOWN TIRE&SERVICE TCSD Instructor Earnings TCSD Instructor Earnings TCSD Instructor Earnings TCSD Instructor Earnings FURNITURE & INSTALL: CIVIC CENTER FURNITURE & INSTALL: CIVIC CENTER FURNITURE & INSTALL: CIVIC CENTER City Vehicle Maint Svcs:PW Maint City Vehicle Maint Svcs:PW Maint City Vehicle Maint Svcs:PW Maint City Vehicle Maint Svcs:PW Maint City Vehicle Maint Svcs:PW Maint City Vehicle Maint Svcs:PW CIP City Vehicle Maint Svcs:PW CIP City Vehicle Maint Svcs:PW Traffic City Vehicle Maint Svcs:PW Traffic City Vehicle Maint Svcs:PW Land Dev Amount Paid 166.90 3,000.00 7,566.48 1,200.50 45.37 136.11 99.20 609.84 119.32 75.00 75.00 150.00 524.50 240.00 42.00 184.80 268.80 235.20 369.60 373,467.43 147,148.72 144,694.88 80.07 80.07 19.00 36.57 781.25 36.57 36.57 80.07 36.57 36.57 Check Total 166.90 3,000.00 7,566.48 1,200.50 280.68 879.16 150.00 524.50 240.00 1.100.40 665,311.03 1,223.31 Pages apChkLst Final Check List Page: 7 09/02/2010 12:01:34PM CITY OF TEMECULA Bank: union UNION BANK OF CALIFORNIA (Continued) Check # Date Vendor Description Amount Paid Check Total 140711 09/02/2010 002105 OLD TOWN TIRE & SERVICE City Vehicle Maint Svcs:TCSD 364.92 City Vehicle Maint Svcs:TCSD 47.50 412.42 140712 09/02/2010 002105 OLD TOWN TIRE & SERVICE City Vehicle Maint Svcs:Code Enf 231.62 231.62 140713 09/02/2010 001171 ORIENTAL TRADING COMPANY Misc supplies:Halloween event 1,204.68 INC Misc supplies:special events prgm 101.90 1,306.58 140714 09/02/2010 001958 PERS LONG TERM CARE PERS Long Term Care Payment 91.00 91.00 PROGRAM 140715 09/02/2010 000249 PETTY CASH Petty Cash Reimbursement 973.27 973.27 140716 09/02/2010 005820 PRE-PAID LEGAL SERVICES Prepaid Legal Services Payment 324.85 324.85 INC 140717 09/02/2010 013721 PROPET DISTRIBUTORS INC Pet waste bags:var park sites 2,763.95 2,763.95 140718 09/02/2010 000262 RANCHO CALIF WATER Aug varwater meters:30650 pauba rd 505.50 DISTRICT Aug var water meters:30650 pauba rd 14.58 Aug var water meters:TCSD svc lev C 9,107.58 Aug water meters:30875 rncho vista 470.26 Aug var water meters:TCSD-Fac 1,551.68 11,649.60 140719 09/02/2010 004584 REGENCY LIGHTING Credit: items returned/theater -14.72 Electncal su ppli es:th eater 14.72 Electncal supplies:library 226.09 Electncal supplies:mpsc 178.09 404.18 140720 09/02/2010 002412 RICHARDS WATSON & Jul 2010 legal services 115,075.52 115,075.52 GERSHON 140721 09/02/2010 001048 ROSAS CANTINA refreshments 9/11 Voorburg/Sister Cities 199.75 199.75 RESTAURANT 140722 09/02/2010 012251 ROTH, DONALD J. TCSD Instructor Earnings 504.00 TCSD Instructor Earnings 189.00 693.00 140723 09/02/2010 013764 RYAN, LORRI refund:Tiny Tots 1045.204 51.20 51.20 140724 09/02/2010 009196 SACRAMENTO THEATRICAL MISC LIGHTING SUPPLIES: THEATER 42.99 42.99 LIGHTING 140725 09/02/2010 007582 SAFEGUARD DENTAL & VISION SafeGuard Vision Plan Payment 907.93 907.93 Page:7 apChkLst 09/02/2010 12:01:34PM Final Check List CITY OF TEMECULA Page: 8 Bank: union UNION BANK OF CALIFORNIA (Continued) Check # Date Vendor Description Amount Paid Check Total 140726 09/02/2010 011511 SCUBA CENTER TEMECULA TCSD Instructor Earnings 588.00 TCSD Instructor Earnings 28.00 616.00 140727 09/02/2010 008529 SHERIFF'S CIVIL DIV- SUPPORT PAYMENT 718.22 718.22 CENTRAL 140728 09/02/2010 008529 SHERIFF'S CIVIL DIV- SUPPORT PAYMENT 200.00 200.00 CENTRAL 140729 09/02/2010 008529 SHERIFF'S CIVIL DIV- SUPPORT PAYMENT 100.00 100.00 CENTRAL 140730 09/02/2010 008529 SHERIFF'S CIVIL DIV- SUPPORT PAYMENT 100.00 100.00 CENTRAL 140731 09/02/2010 009213 SHERRY BERRY MUSIC Jazz @ the Merc 8/26/10 451.50 Jazz @ the Merc 8/19/10 199.50 651.00 140732 09/02/2010 000645 SMART & FINAL INC Misc supplies: MSYEP 400.72 400.72 PageE apChkLst Final Check List Page: 9 09/02/2010 12:01:34PM CITY OF TEMECULA Bank: union UNION BANK OF CALIFORNIA (Continued) Check# Date Vendor Description Amount Paid 140733 09/02/2010 000537 SOCALIFEDISON Aug 2-29-295-3510:32211 wolf vly 1,665.50 Aug 2-29-657-2332:45538 redwood 20.38 Aug 2-29-953-8447:31738 wolf vly PED 21.11 Aug 2-30-220-8749:45850 N Wolf Crk 380.07 Aug 2-31-282-0665:27407 diaz PED 23.11 Aug 2-29-953-8249:46497 wolf crk PED 21.11 Aug 2-29-953-8082:31523 wolf vly rd 25.54 Aug 2-31-031-2616:27991 diaz PED 21.42 Aug 2-29-807-1226:28077 diaz PED 21.64 Aug 2-29-807-1093:28079 diaz PED 23.11 Aug 2-31-419-2873:43000 Hwy 395 21.11 Aug 2-29-657-2787:41638 Winchester 20.38 Aug 2-29-224-0173:Fire Stns 2,915.96 Aug 2-27-371-8494:42189 Winchester 27.73 Aug 2-21-981-4720:30153 tem pkwy tpp 32.23 Aug 2-28-904-7706:32329 overland trl 149.74 Aug 2-30-520-4414:32781 tem pkwy 424.84 Aug 2-29-458-7548:32000 rncho cal 297.40 Aug 2-20-817-9929:PD:28410 OT fmt 328.59 Aug 2-31-536-3655:41904 main st 1,456.11 Aug 2-14-204-1615:30027 front st rdio 43.02 Aug 2-29-933-3831:43230 bus pk dr 2,713.82 Aug 2-31-536-3481:41902 main st 241.19 Aug 2-29-223-8607:42035 2nd st PED 567.48 Aug 2-31-404-6020:28771 OT front st 1,827.12 Aug 2-18-937-3152:41950 moreno rd 1,603.15 Aug 2-19-171-8568:41970 moreno rd 62.59 Aug 2-02-351-4946:Senior Ctr 2,594.52 Aug 2-31-536-3226:28690 mercedes 711.12 Aug 2-00-397-5042:City Hall 9,759.66 Aug 2-31-912-7494:28690 mercedes 602.57 Aug 2-25-393-4681:41951 momga rd 879.34 Aug 2-28-629-0507:30600 pauba rd 17,579.42 140734 09/02/2010 001212 SO CALIF GAS COMPANY Aug 091-024-9300-5:30875 rncho vista 485.02 Aug 133-040-7373-0:Maint Fac 25.27 Aug 129-582-9784-3:43230 bus pk dr 34.69 Aug 091-085-1632-0:TES pool 502.87 Aug 021-725-0775-4:Senior Ctr 69.34 Aug 026-671-2909-8:Comm Theater 28.48 Aug 101-525-1560-6:27415 enterprise 69.76 Aug 095-167-7907-2:30650 pauba rd 155.26 Aug 125-244-2108-3:1ibmry 44.20 Aug 181-383-8881-6:Museum 18.00 Aug 101-525-0950-0:Comm Ctr 65.64 Check Total 47,082.08 1,498.53 Page9 apChkLst Final Check List Page: 10 09/02/2010 12:01:34PM CITY OF TEMECULA Bank: union UNION BANK OF CALIFORNIA (Continued) Check # Date Vendor Description Amount Paid Check Total 140735 09/02/2010 000519 SOUTH COUNTY PEST Pest control services: fire stn 73 48.00 CONTROL INC Pest control services: fire stn 92 42.00 Pest control services: fire stn 84 80.00 Pest control services: OATC 48.00 Pest control swcs: Crowne Hill Pk 8/10 94.00 Aug pest control services: var parks 493.00 Jul pest control services: var parks 493.00 1,298.00 140736 09/02/2010 004163 SPORTS CHALET Recreation supplies: sports prgm 4,967.91 4,967.91 140740 09/02/2010 007762 STANDARD INSURANCE Mandatory Life Insurance Payment 9,448.56 9,448.56 COMPANY 140741 09/02/2010 012723 STANDARD INSURANCE Voluntary Supp Life Insurance Payment 677.90 677.90 COMPANY 140742 09/02/2010 000465 STRADLEY, MARY KATHLEEN TCSD Instructor Earnings 705.60 TCSD Instructor Earnings 302.40 TCSD Instructor Earnings 403.20 1,411.20 140743 09/02/2010 013766 STU LZ, MARNE refund:sec dep:picnic rental: RRSP 150.00 150.00 140744 09/02/2010 000305 TARGET BANK BUS CARD MISC FIT PROGRAM SUPPLIES 59.67 SRVCS Misc supplies:Haw.Community Room 33.98 MISC SUPPLIES:MPSC 58.79 Misc supplies:9/11 rememberance 194.22 346.66 140745 09/02/2010 001547 TEAMSTERS LOCAL 911 Union Dues Payment 5,132.00 5,132.00 140746 09/02/2010 010848 TEMECULA PLANTSCAPE Jul lease interior plantscape:library 200.00 Aug lease interior plantscape:library 200.00 400.00 140747 09/02/2010 011736 TEMECULA TROPHY INC Recognition plaque:G. Patterson 122.02 recognition awards: Lifeguard 102.77 224.79 140748 09/02/2010 010046 TEMECULAVALLEY FY 10/11 mrktg agnnnt pmt 40,000.00 40,000.00 CONVENTION & 140749 09/02/2010 005970 TEMECULA VALLEY PLAYERS Tckt Adv/Fiddler on the Roof:Thtr Aug'10 8,000.00 8,000.00 140750 09/02/2010 004274 TEMECULA VALLEY SECURITY Locksmith swcs: park sites 17.23 CENTR Locksmith swcs: park sites 135.00 152.23 140751 09/02/2010 009579 THOMAS, LEAH refund:sec dep:rm rental TCC 150.00 150.00 Page:10 apChkLst Final Check List Page: 11 09/02/2010 12:01:34PM CITY OF TEMECULA Bank: union UNION BANK OF CALIFORNIA (Continued) Check # Date Vendor Description Amount Paid Check Total 140752 09/02/2010 010276 TIME WARNER CABLE 8/26-9/25/10 high speed intern et: mpsc 44.95 44.95 140753 09/02/2010 013765 TOPACIO, MARIA refund:sec dep:rm rental:MPSC 150.00 150.00 140754 09/02/2010 000325 UNITED WAY UNITED WAY CHARITIES PAYMENT 62.00 62.00 140755 09/02/2010 004261 VERIZON Aug xxx-9196 gen usage TCC SAFE 172.30 Aug xxx-0714 gen usage:PD mall alarm 116.81 289.11 140756 09/02/2010 009031 VYLANI'S POLYNESIAN Performance: high hopes prgm 8/20 200.00 200.00 DANCERS 140757 09/02/2010 006248 WALKER, JESSICA TCSD Instructor Earnings 263.20 263.20 140758 09/02/2010 011915 WARD, JOHN ROBERT ee computer purchase prgm 1,506.91 1,506.91 140759 09/02/2010 001342 WAXIE SANITARY SUPPLY INC Custodial supplies:var park/facilities 1,169.30 1,169.30 140760 09/02/2010 013556 WESTERN AUDIOVISUAL audio/visual integration:civic center 174,219.37 174,219.37 140761 09/02/2010 006290 WOODCREST VEHICLE Veh repair & maint:police 1,505.88 1,505.88 CENTER 140762 09/02/2010 013767 WOODSIDE WOLF CREEK 77, refund:res adv energyfees:csd06-0058 924.00 924.00 INC 140763 09/02/2010 003776 ZOLL MEDICAL CORPORATION Paramedic equipment supplies 2,615.77 2,615.77 Grand total for UNION BANK OF CALIFORNIA: 11,034,776.07 Page 11 apChkLst Final Check List Page: 12 09/02/2010 12:01:34PM CITY OF TEMECULA 135 checks in this report. Grand Total All Checks: 11,034,776.07 Page 12 apChkLst 09/09/2010 3:36:02PM Final Check List CITY OF TEMECULA Page: 1 Bank: union UNION BANK OF CALIFORNIA Check # Date Vendor Description Amount Paid Check Total 140764 09/09/2010 001985 A E P (ASSOC OF ENVIRO Membership FY 10/11 D.West 140.00 140.00 PROF) 140765 09/09/2010 013685 A T O M ENGINEERING CONST. CONST: ROAD & STORM DRAIN 40,823.10 40,823.10 REPAIR 140766 09/09/2010 004973 ABACHERLI, LIN DI TCSD instructor earnings 760.00 760.00 140767 09/09/2010 013781 AN, HYUN LEE refund little learners 2000.202 192.00 192.00 140768 09/09/2010 012985 ANDERSON & HOWARD CABLING CIVIC CENTER 102,077.46 102,077.46 ELECTRIC INC 140769 09/09/2010 003203 ARTISTIC EMBROIDERY MISC PROMO ITEMS: RECREATION 988.82 988.82 PGRM 140770 09/09/2010 003215 BARCLAYS LAW PUBLISHERS Title 19 regulation docs: Fire Prev 128.00 128.00 140771 09/09/2010 013782 BELLEVILLE, KENNETH refund:prkg cite 76244 305.00 305.00 140772 09/09/2010 002377 BEST BUY COMPANY INC ee cmptr purchase prgm:L.Wytrykus 1,268.01 1,268.01 140773 09/09/2010 013469 CALTEC CORP prgs pmt #3:tcc expansion 85,944.42 85,944.42 140774 09/09/2010 001264 COSTCO WHOLESALE Misc supplies:ee recognition luncheon 822.41 MISC SUPPLIES: MSYEP MEETING 100.94 Training & meeting supplies: MSYEP 31.91 955.26 140775 09/09/2010 004192 DOWNS COMMERCIAL Fuel for City vehicles:TCSD 1,748.96 FUELING INC Fuel for City vehicles:PW Maint 1,586.54 Fuel for City vehicles:Pln/Code Enf 543.54 Fuel for City vehicles:B&S 382.97 Fuel for City vehicles:P W CI P 367.36 Fuel for City vehicles:PW Traffic 262.02 Fuel for City vehicles:PW Land Dev 178.12 5,069.51 140776 09/09/2010 011202 E M H SPORTS & FITNESS TCSD instructor earnings 1,475.25 TCSD instructor earnings 308.00 1,783.25 140777 09/09/2010 005880 EDGE DEVELOPMENT INC. PRGS PMT#21: CIVIC CENTER 1,381,323.89 1,381,323.89 140778 09/09/2010 011203 ENVIRONMENTAL CLEANING JANITORIAL SRVCS: PARKS 5,315.00 5,315.00 Page:1 apChkLst Final Check List Page: 2 09/09/2010 3:36:02PM CITY OF TEMECULA Bank: union UNION BANK OF CALIFORNIA Check # Date Vendor 140779 09/09/2010 001056 EXCEL LANDSCAPE 140780 09/09/2010 003347 FIRST BANKCARD CENTER CONSULTANT 013787 IRRIGATION ASSOCIATION 013783 011321 LABOR LAW CENTER INC 09/09/2010 006952 PAYPAL 112.50 005244 SOCIETY FOR HUMAN 59.95 RESOURCE MGM 33.23 005244 SOCIETY FOR HUMAN 200.00 200.00 RESOURCE MGM 150.00 004530 MOVIE EXPERIENCE, THE 25.00 006952 PAYPAL 227.80 009612 BYS RESTAURANTS, INC. 140781 09/09/2010 013768 FISHER, LOUIS RAYMOND 140782 09/09/2010 013778 FONDA, ERIN E. 140783 09/09/2010 013779 GARBANI, LAURA 140784 09/09/2010 005405 GILLILAND, ROBIN 140785 09/09/2010 003624 HOWELL, ANN MARIE 140786 09/09/2010 002701 HUB INT'L INSURANCE 25.00 25.00 SERVCSINC 140787 09/09/2010 013645 1 C E ENGINEERING 140788 09/09/2010 004984 INDEPENDENT ROOFING 330.94 H P Verisign Pay0ow Pro Transaction CONSULTANT 140789 09/09/2010 013783 KPM ENTERPRISES, INC. 140790 09/09/2010 012945 LABELLE- MARVIN INC 140791 09/09/2010 004412 LEANDER,KERRYD. (Continued) Description Amount Paid Jul Idscp maint swcs:City facs 8,885.54 Check Total 8,885.54 H P cert.ldscp tmg: R.Serven 500.00 GY labor law posters:H R 330.94 H P Verisign Pay0ow Pro Transaction 232.20 GY membership dues:D. Lanier 160.00 GY membership dues:B.Gutierrez 160.00 HP Day camp excursion 7/27 112.50 GR Verisign Pay0ow Pro Transaction 59.95 GY rfrshmnts:volunteer prgm 8/4 33.23 1,588.82 instructor: tennis tournament 8/28-29 200.00 200.00 refund:sec dep:picnic rental:Marg. 150.00 150.00 refund:prkg cite H869365 25.00 25.00 reimb tickets sister cities-voorburg 9/7 227.80 227.80 GRAPHIC DESIGN SRVCS:ECO DEV 326.25 326.25 Aug'10 special events premiums 669.28 669.28 CONST: RECONSTRUCT@JEDEDIAH 400,971.42 400,971.42 SMITH ROOF WATERPROOF/INSPECT: CIVIC 1,800.00 1,800.00 CENTER refund:spec event vendor 4450.201 25.00 25.00 Matenal testing swcs:slurry seal pq 18,660.00 Matenal Testing Services:PW CIP 6,515.00 25,175.00 1nstmctor:Ten nis Tournament 8/28-29 200.00 200.00 Page2 apChkLst Final Check List Page: 3 09/09/2010 3:36:02PM CITY OF TEMECULA Bank: union UNION BANK OF CALIFORNIA (Continued) Check # Date Vendor Description Amount Paid Check Total 140792 09/09/2010 000482 LEIGHTON CONSULTING INC Geotech swcs:butterfield rd improve 8,875.00 8,875.00 140793 09/09/2010 013780 LU BRESKY, AN DREW J refund:prkg cite 76162 33.00 33.00 140794 09/09/2010 004141 MAINTEX INC Cleaning & maint supplies:parks/crc 534.18 janitorial supplies:var park sites 102.23 636.41 140795 09/09/2010 013784 MEYERS, CARISSA refund:ceramic pottery wheel 3720.203 20.00 20.00 140796 09/09/2010 012580 MINUTEMAN PRESS Pnnting Services: Planning Dept 242.57 Business cards: J Hendershot 54.35 296.92 140797 09/09/2010 013724 MITCHELL CONSTRUCTION Res Impry Prgm:J.Garzon 2,500.00 2,500.00 140798 09/09/2010 001892 MOBILE MODULAR 8/21-9/19 modular bldg rental Stn 92 619.88 619.88 140799 09/09/2010 013777 MONASTERIO, TERESITA L refund:prkg cite 76755 330.00 330.00 140800 09/09/2010 001986 MUZAK-SOUTHERN Sep media broadcasting signal: FOC 103.66 CALIFORNIA Jul media broadcasting signal: FOC 103.66 Aug media broadcasting signal: FOC 103.66 310.98 140801 09/09/2010 000727 NATIONAL FIRE PROTECTION Nat'l Fire Codes sbscrs:2737192 fire 1,893.04 1,893.04 ASSN 140802 09/09/2010 013776 NGUYEN, CALVIN refund:prkg cite H894647 65.00 65.00 140803 09/09/2010 010244 NO LIMITS SILK SCREEN Adult softball awards:sports pgrm 4,589.94 4,589.94 140804 09/09/2010 002139 NORTH COUNTY TIMES Aug ads:var csd special events 1,030.00 1,030.00 140805 09/09/2010 002105 OLD TOWN TIRE & SERVICE City Vehicle Maint Svcs:TCSD 633.97 City Vehicle Maint Svcs:TCSD 36.57 670.54 140806 09/09/2010 007959 ONEIL SOFTWARE INC billing adjustment/sales tax 1,238.91 billing adjustment/sales tax -1,139.23 99.68 140807 09/09/2010 002099 PASCOE MANAGEMENT LLP Sep Old Town restroom lease 826.00 826.00 140808 09/09/2010 013381 PEREZ, AARON TROY TCSD Instructor Earnings 1,400.00 1,400.00 140809 09/09/2010 001999 PITNEY BOWES Oct-Dec postage mtr lease central swcs 271.60 271.60 Pages apChkLst Final Check List Page: 4 09/09/2010 3:36:02PM CITY OF TEMECULA Bank: union UNION BANK OF CALIFORNIA (Continued) Check # Date Vendor Description Amount Paid Check Total 140810 09/09/2010 007226 PIZZA HUT R efresh m ents: H igh Hopes Anniv. 9/17 266.86 266.86 140811 09/09/2010 010338 POOL & ELECTRICAL Var pool supplies:citywide 138.55 138.55 PRODUCTS INC 140812 09/09/2010 004029 R J M DESIGN GROUP INC JUL DSGN:REDHAWK PARKS 2,515.20 2,515.20 IMPROVEMENTS 140813 09/09/2010 011453 RANCHO CUCAMONGA, CITY CSMFO mtg 9/16 MJ/LT/JC/JY 84.00 84.00 OF 140814 09/09/2010 000907 RANCHO TEMECULA CAR Cityvehicle detailing swcs:City Mgr 10.50 10.50 WASH 140815 09/09/2010 004584 REGENCY LIGHTING Electncal supplies:libmry 301.46 Electncal supplies: various park sites 212.82 Electncal supplies: various park sites 175.98 electrical su pp lies:th eater 14.72 credit: items retumed/theater -14.72 690.26 140816 09/09/2010 003591 RENES COMMERCIAL Trash/debris clean up:City channels 7,300.00 MANAGEMENT Trash/debris clean up:City R-O-W's 2,815.00 10,115.00 140817 09/09/2010 002110 RENTAL SERVICE Rental of tools & maint:pw maint 14.64 14.64 CORPORATION 140818 09/09/2010 013759 RICE, KENNETH Entertainment: Hot Summer Nights 9/3 300.00 300.00 140819 09/09/2010 013138 RISCH, VICKI G. TCSD Instructor Earnings 109.20 109.20 140820 09/09/2010 000418 RIVERSIDE CO CLERK& Jun copy fees:Pechanga Pkwy 6.00 6.00 RECORDER 140821 09/09/2010 013646 ROYALLAN SLURRYSEAL, AUG PROF SRVCS:CITYINIDE SLURRY 379,368.49 INC. SEAL PRJT ret.w/h pmt:Citywide slurry seal -37,936.84 341,431.65 140822 09/09/2010 002226 RUSSO, MARYANNE TCSD Instructor Earnings 451.50 TCSD Instructor Earnings 308.00 759.50 140823 09/09/2010 013169 SCHINSKY, WILLIAM C. Aug exhibit id & cataloging:vail ranch 1,903.50 1,903.50 140824 09/09/2010 000645 SMART & FINAL INC Misc supplies:ee recognition luncheon 474.56 474.56 140825 09/09/2010 002718 SO CALIF CITY CLERKS ASSN gen.mtg 9/30 M. Ballreich/G. Flores 80.00 80.00 Page:4 apChkLst Final Check List Page: 5 09/09/2010 3:36:02PM CITY OF TEMECULA Bank: union UNION BANK OF CALIFORNIA (Continued) Check # Date Vendor Description Amount Paid Check Total 140826 09/09/2010 000374 SO CALIF EDISON traffic sgnl install: R.C./Yukon pw09-07 1,181.69 1,181.69 140827 09/09/2010 000537 SO CALIF EDISON July-Aug 2-05-791-8807:tcsd to-1/Is-3 19,639.37 Aug 2-27-805-3194:42051 main st 6,936.99 Aug 2-02-502-8077:43210 bus pk dr 2,737.65 Aug 2-00-397-5067:tcsd svc lev C 1,904.53 Aug 2-31-936-3511:46488 pechanga 42.44 31,260.98 140828 09/09/2010 000519 SOUTH COUNTY PEST Aug pest control swcs:Cityfac's 641.00 641.00 CONTROL INC 140829 09/09/2010 012188 STRONG FAMILIES TCSD Instructor Earnings 56.00 TCSD Instructor Earnings 35.00 TCSD Instructor Earnings 14.00 105.00 140830 09/09/2010 003840 STRONGS PAINTING Painting swcs:parking garage 2,700.00 2,700.00 140831 09/09/2010 011897 TAG/AMS INC Aug DOT random drug testing:HR 130.00 130.00 140832 09/09/2010 000305 TARGET BANK BUS CARD Misc supplies: Harveston 67.32 SRVCS MISC. SUPPLIES: C. MUSEUM 26.36 93.68 140833 09/09/2010 013786 TEM. VLY. NAT'L. LITTLE refund:snack bar dep:spdng 2010 200.00 200.00 LEAGUE 140834 09/09/2010 012265 TEMECULA ACE HARDWARE HARDWARE& SUPPLIES: STA92 41.42 41.42 C/O 140835 09/09/2010 000515 TEMECULA VALLEY CHAMBER 1 st qtr operating agmmt pmt 34,065.00 34,065.00 OF 140836 09/09/2010 013785 TEMECULA VALLEY GIRLS refund:snack bar dep:spdng 2010 200.00 200.00 140837 09/09/2010 005970 TEMECULA VALLEY PLAYERS Fiddler on the Roof tix sales Aug10 28,315.51 28,315.51 140838 09/09/2010 004274 TEMECULA VALLEY SECURITY Locksmith swcs: parking garage 8/4 138.39 CENTR Locksmith swcs: parking garage 8/12 92.00 Locksmith swcs: Harveston Pak 8/16 90.00 Locksmith swcs: parking garage 8/24 45.56 Locksmith swcs: parking garage 8/26 11.96 377.91 140839 09/09/2010 010276 TIME WARNER CABLE 9/4-10/3 high speed intemet:42081 main 58.10 58.10 140840 09/09/2010 013688 TORREYPINESBANK acct#4110170281 Edge PW06-07 153,480.43 153,480.43 Pages apChkLst Final Check List Page: 6 09/09/2010 3:36:02PM CITY OF TEMECULA Bank: union UNION BANK OF CALIFORNIA Check # Date Vendor 140841 09/09/2010 007766 UNDERGROUND SERVICE ALERT (Continued) Description Amount Paid Aug undrgrnd svcs alert tickets: PW 199.50 140842 09/09/2010 004261 VERIZON Aug xxx-5706 general usage:FOC Aug xxx-2016 gen usage:Reverse 911 Aug xxx-3526 general usage:fire alann Aug xxx-5696 gen usage:sports comp Aug xxx-2676 general usage 140843 09/09/2010 001342 WAXIE SANITARY SUPPLY INC Custodial supplies: crc Facility supplies:fre stn 73 Custodial supplies: var park sites 140844 09/09/2010 011630 WOLFF LANG CHRISTOPHER AUG DSGN SRVCS:OLD TINN GYM (WLC) JUL DSGN SRVCS:OLD TVM GYM 140845 09/09/2010 010193 WOOLSTENHULME, LUCIA TCSD Instructor Earnings 181.32 122.08 108.81 36.27 36.27 2,456.34 394.22 122.21 124,283.50 25,655.00 154.00 Check Total 199.50 484.75 2,972.77 149,938.50 154.00 140846 09/09/2010 013682 X-ACTTECHNOLOGY Deposit:Equip/Install Swcs:O.T.Wi-Fi 8,751.44 8,751.44 SOLUTIONS Grand total for UNION BANK OF CALIFORNIA: 2,866,036.92 Pages apChkLst Final Check List Page: 7 09/09/2010 3:36:02PM CITY OF TEMECULA 83 checks in this report. Grand Total All Checks: 2,866,036.92 Page:7 apChkLst 09/16/2010 8:40:49AM Final Check List CITY OF TEMECULA Page: 1 Bank: union UNION BANK OF CALIFORNIA Check # Date Vendor Description Amount Paid Check Total 1548 09/16/2010 000389 NATIONWIDE RETIREMENT OBRA- Project Retirement Payment 3,501.36 3,501.36 SOLUTION 1549 09/16/2010 000246 PERS (EMPLOYEES' PERS ER Paid Member Contr Payment 128,793.00 128,793.00 RETIREMENT) 1550 09/16/2010 000444 INSTATAX (EDD) State Disability Ins Payment 25,121.33 25,121.33 1551 09/16/2010 000283 INSTATAX (IRS) Federal Income Taxes Payment 79,459.77 79,459.77 1552 09/16/2010 001065 NATIONWIDE RETIREMENT Nationwide Retirement Payment 12,172.33 12,172.33 SOLUTION 1553 09/16/2010 010349 CALIF DEPT OF CHILD Support Payment 553.84 553.84 SUPPORT 1554 09/16/2010 005460 U S BANK 2001 COP Debt Swc Pmt 389,845.00 389,845.00 140847 09/16/2010 008552 ADKINS DESIGN CONSULTING 8/16-31 graphic dsgn svc:Theater 1,406.95 1,406.95 140848 09/16/2010 004802 ADLERHORST INTERNATIONAL Aug training: Casper PD K-9 141.67 141.67 INC 140849 09/16/2010 003814 BALLREICH, MICHAELA Ballreich, M:emp computer loan pgrm 2,000.00 2,000.00 140850 09/16/2010 011007 BARNETT, KIRK reimb: (4) helmet shields 178.35 178.35 140851 09/16/2010 013715 BIGHAM, JOHN A. Performance: Theater 9/17/10 2,000.00 2,000.00 140852 09/16/2010 013380 BIRTH, BREASTFEEDING & TCSD Instructor Earnings 70.00 70.00 BEYOND 140853 09/16/2010 009082 C B C TECHNICAL INC Misc Supplies: Theater 42.22 42.22 140854 09/16/2010 006908 C C & COMPANY INC supplies: Fthr/Dghtr Date Night 598.13 598.13 140855 09/16/2010 011383 CAL STATE SAN MARCOS AUG CONST REIMB: CSSM 35,699.04 billing adj: doc#111 w/h ck#140540 30.00 35,729.04 140856 09/16/2010 000484 CALIF ASSN FOR LOCAL 10/11 CALED mb: Adams, Aaron 570.00 570.00 ECONOMIC Page:1 apChkLst Final Check List Page: 2 09/16/2010 8:40:49AM CITY OF TEMECULA Bank: union UNION BANK OF CALIFORNIA (Continued) Check # Date Vendor Description Amount Paid Check Total 140857 09/16/2010 004248 CALIF DEPT OF Jul DUI & drug screenings:police 1,855.00 1,855.00 JUSTICE-ACCTING 140858 09/16/2010 000131 CARL WARREN & COMPANY Jul liability claims mgmt svc finance 4,117.44 4,117.44 INC 140859 09/16/2010 009640 CERTIFION CORPORATION Jul database subscr: police 150.00 150.00 140860 09/16/2010 004405 COMMUNITY HEALTH Community Health Chanties Payment 66.00 66.00 CHARITIES 140861 09/16/2010 000442 COMPUTERALERT SYSTEMS 1st gtralann svcs:PD mall/OT 240.00 alarm svc maint/repair: City Hall 161.89 credit:billing adj prkg structure 2nd -165.00 2nd qtr alarm svc: cityfacilities 4,755.00 4,991.89 140862 09/16/2010 000447 COMTRONIX repair/maint:PD motorcycle#379 100.00 100.00 140863 09/16/2010 002945 CONSOLIDATED ELECTRICAL electrical supplies: TCSD parks 271.88 271.88 DIST. 140864 09/16/2010 013379 COUSSOU, CELINE TCSD Instructor Earnings 112.00 TCSD Instructor Earnings 289.80 401.80 140865 09/16/2010 003962 DAVID N EAU LT ASSOCIATES AUG LDSCP DESIGN SVC: MARGARITA 64.60 64.60 INC RD 140866 09/16/2010 002990 DAVID TURCH & ASSOCIATES Aug legislative cnslt svc: CM 3,500.00 3,500.00 140867 09/16/2010 004192 DOWNS COMMERCIAL Fuel for Cityvehicles: Police 85.77 85.77 FUELING INC 140868 09/16/2010 004068 ECALDRE MANALILI-DE VILLA, TCSD Instructor Earnings 299.25 AILEEN TCSD Instructor Earnings 204.75 TCSD Instructor Earnings 267.75 TCSD Instructor Earnings 173.25 TCSD Instructor Earnings 378.00 TCSD Instructor Earnings 299.25 TCSD Instructor Earnings 126.00 1,748.25 140869 09/16/2010 011375 EDUCATIONAL INNOVATIONS misc supplies: Ch Museum 248.55 248.55 INC 140870 09/16/2010 004829 ELLISON WILSON ADVOCACY Sept advocacy cnslt: CM 3,500.00 3,500.00 LLC Page2 apChkLst Final Check List Page: 3 09/16/2010 8:40:49AM CITY OF TEMECULA Bank: union UNION BANK OF CALIFORNIA (Continued) Check # Date Vendor Description Amount Paid Check Total 140871 09/16/2010 011292 ENVIRONMENTAL SCIENCE JUL CNSLT SVCS: HOSPITAL EIR 5,935.52 5,935.52 ASSOC. 140872 09/16/2010 000164 ESGIL CORPORATION Aug plan check svcs: B&S 984.14 984.14 140873 09/16/2010 003665 EXCEL COMMERCIAL Aug long distance phone svcs 54.10 54.10 140874 09/16/2010 009953 FEDERAL CLEANING Sept janitorial svcs: pd mall office 625.00 625.00 CONTRACTORS 140875 09/16/2010 002982 FRANCHISE TAX BOARD SUPPORT PAYMENT 50.00 50.00 140876 09/16/2010 013552 GANDS PRODUCTIONS LLC sttlmnt: Country at the Merc 9/4 614.80 614.80 140877 09/16/2010 009608 GOLDEN VALLEY MUSIC Oct- Dec '10 Merc Sunday classics 5,400.00 5,400.00 SOCIETY 140878 09/16/2010 005664 GOSCH TOWING & RECOVERY Towing Win/Mgita: Police 200.00 Towing Promenade: Police 200.00 400.00 140879 09/16/2010 003792 GRAINGER MISC SUPPLIES: THEATER 16.10 16.10 140880 09/16/2010 005311 H2O CERTIFIED POOL WATER Aug water quality/maint:fountain 175.00 SPCL. Aug maint svc: CRCTTES pools 900.00 1,075.00 140881 09/16/2010 001135 HEALTHPOINTE MEDICAL Emp industrial care svcs: HR 35.00 GROUP INC Emp industrial care svcs: HR 60.00 95.00 140882 09/16/2010 000194 I C M A RETIREMENT-PLAN I C M A Retirement Trust 457 Payment 5,443.31 5,443.31 303355 140883 09/16/2010 001407 INTER VALLEY POOL SUPPLY santizing chemicals:city pools 654.51 654.51 INC 140884 09/16/2010 005454 ISLAMIC CENTER OF refund:sec dep:rm rental CRC 150.00 150.00 140885 09/16/2010 001091 KEYSER MARSTON Aug cnslt svcs:affordable housing 1,020.00 1,020.00 ASSOCIATES INC 140886 09/16/2010 013743 KINGS RIVER CASTING, INC facility maint/repair: Ch Museum 176.95 176.95 140887 09/16/2010 004062 KUSTOM SIGNALS INC equip repair/maint: police radar 313.21 313.21 Pages apChkLst Final Check List Page: 4 09/16/2010 8:40:49AM CITY OF TEMECULA Bank: union UNION BANK OF CALIFORNIA (Continued) Check # Date Vendor Description Amount Paid Check Total 140888 09/16/2010 003975 LAWRENCE, JEFF reimb: food FIT 5/10K run 9/12 51.84 51.84 140889 09/16/2010 004905 LIEBERT, CASSIDY& Aug HR legal svcs for TE060-01 371.00 371.00 WHITMORE 140890 09/16/2010 008610 M C R STAMPS Entertainment:high hopes pgrm 7/16 25.00 25.00 140891 09/16/2010 002784 MAILBOX, THE 1 yr subscr:tiny tots prgm 29.95 29.95 140892 09/16/2010 012580 MINUTEMAN PRESS Pnnting Swcs: Code Enforcement 111.61 111.61 140893 09/16/2010 009443 MUNYON, DENNIS G. Oct-Dec '10 lease pmt:o.t.prkg lot 2,375.00 2,375.00 140894 09/16/2010 005333 NATIONAL ASSOC NACOP cf 2 cap mbrs chino hills,ca 10/2 30.00 30.00 CITIZENS-PATROL 140895 09/16/2010 008820 NEIGHBORS NEWSPAPER Sep advertising:hot summer nights 250.00 250.00 140896 09/16/2010 002139 NORTH COUNTY TIMES Aug public notices: City Clerk/Pln 256.32 Aug advertising: Temecula Presents 973.26 1,229.58 140897 09/16/2010 006140 NORTH JEFFERSON BUSINESS Oct-Dec assn dues xx17:FV. Intrchg 415.13 PARK Oct-Dec assn dues xx20:F.V. Intrchg 564.02 979.15 140898 09/16/2010 010167 ODYSSEY POWER Equip repair & maint:info systems 955.18 CORPORATION Equip repair& maint:info systems 818.68 1,773.86 140899 09/16/2010 003964 OFFICE DEPOT BUSINESS SVS Misc office supplies:pd mall office 259.21 259.21 DIV 140900 09/16/2010 006721 OFFICEMAX INCORPORATED 5 drawer file cabinets: foc 2,062.89 2,062.89 140901 09/16/2010 002105 OLD TOWN TIRE & SERVICE City Vehicle Maint Svcs:TCSD 224.67 224.67 140902 09/16/2010 002105 OLD TOWN TIRE & SERVICE City Vehicle Maint Svcs:City Mgr 36.57 36.57 140903 09/16/2010 002734 P V P COMMUNICATIONS INC Misc motorcycle equip:police 457.25 457.25 140904 09/16/2010 004538 PALLEY EQUIPMENT Veh repair& maint:police mule 193.50 COMPANY EQUIP RENTAL: CODE ENFORCEMENT 136.80 Parts to repair Mule 217.90 548.20 Page:4 apChkLst Final Check List Page: 5 09/16/2010 8:40:49AM CITY OF TEMECULA Bank: union UNION BANK OF CALIFORNIA Check # Date Vendor 140905 09/16/2010 010338 POOL & ELECTRICAL PRODUCTS INC 140906 09/16/2010 000254 PRESS ENTERPRISE COMPANY INC 140907 09/16/2010 003155 PRICE CHOPPER INC 140908 09/16/2010 012904 PROACTIVE FIRE DESIGN 140909 09/16/2010 005075 PRUDENTIAL OVERALL SUPPLY 140910 09/16/2010 013302 PUBLIC GROUP LLC, THE 140911 09/16/2010 004529 140912 09/16/2010 002176 140913 09/16/2010 000262 140914 09/16/2010 011853 QUAI D TEM ECU LA HARLEY-DAVIDSON RANCHO CALIF BUS PK ASSOC RANCHO CALIF WATER DISTRICT RANCON COMMERCE CNTR (Continued) Description Amount Paid Fountain supplies:town square 84.00 Aug advertising: F.I.T. 5K/1 OK Aug advertising:human resources Recreation supplies:csd special events Aug plan check swcs:fire prevention AUG UNIFORM/FLR MAT/iWL RENTALS: CITY FAC Admin fee:motorcycle auction sale City veh repair & maint:Police Oct -Dec assn dues: Diaz Rd Oct -Dec assn dues:City Hall Oct -Dec assn dues: FOC Aug var water meters:28922 pujol st Aug var water meters:floating mtr Aug var water meters:Fire Stns Aug var water meters:TCSD-Fac Aug var water metem:tcsd & pw Aug var water meters:town sq img Aug var water meters:town sq fountain Aug water metem:tcsd svc lev C Aug var water meters:41000 main st Oct -Dec assn dues: Fire Stn 73 PH2,3&4 140915 09/16/2010 002110 RENTALSERVICE maint equip rental:pw maint CORPORATION maint equip rental:pw maint 140916 09/16/2010 000353 RIVERSIDE CO AUDITOR Jul10 parldng citation assessments 140917 09/16/2010 000406 RIVERSIDE CO SHERIFFS Jul '10 Booking Fees DEPT 140918 09/16/2010 010089 SECURITASSECURITYSRVCS Aug security swcs:Harveston Lake Park USA 472.50 439.18 129.06 2,606.66 1,247.54 248.50 612.34 1,159.32 1,273.98 1,051.03 87.61 168.22 617.33 1,121.94 2,334.61 294.20 180.98 52,597.44 1,866.85 546.32 25.36 22.76 5,032.50 7,316.80 875.00 Check Total 84.00 911.68 129.06 2,606.66 1,247.54 248.50 612.34 3,484.33 59,269.18 546.32 48.12 5,032.50 7,316.80 875.00 Pages apChkLst Final Check List Page: 6 09/16/2010 8:40:49AM CITY OF TEMECULA Bank: union UNION BANK OF CALIFORNIA Check # Date Vendor 140919 09/16/2010 008529 SH ERI FFS CIVIL DIV - CENTRAL 140920 09/16/2010 008529 SH ERI FFS CIVIL DIV - CENTRAL 140921 09/16/2010 008529 SH ERI FFS CIVIL DIV - CENTRAL 140922 09/16/2010 009213 SH ERRY BERRY MUS IC 140923 09/16/2010 013795 SHERWOOD, ELIZABETH 140924 09/16/2010 004534 SKYTERRA 140925 09/16/2010 000645 SMART & FINAL INC 140926 09/16/2010 000537 SO CALIF EDISON 140927 09/16/2010 000519 SOUTH COUNTY PEST CONTROL INC 140928 09/16/2010 012652 SOUTHERN CALIFORNIA 140929 09/16/2010 013790 STANDARD PACIFIC 140930 09/16/2010 001505 STEFFEW SUE (Continued) Description Amount Paid Check Total SUPPORT PAYMENT 724.74 724.74 reimb:offce supplies SUPPORT PAYMENT 200.00 115.59 200.00 SUPPORT PAYMENT 100.00 100.00 Jazz @ the Merc 9/2/10 231.00 231.00 refund:CPR/AED class 8250.203 32.00 32.00 Jul stn satellite phone svcs:EOC pgrm 147.12 147.12 RECREATION SUPPLIES: F.I.T. PRGM 249.45 249.45 Aug 2-29-974-7568:26953 ynez TCi 119.14 Aug 2-31-419-2659:26706 ynez TCi 88.35 Aug 2-31-031-2590:28301 rncho LS3 56.00 Aug 2-29-974-7899:26953 Ynez LS3 265.43 Sep 2-28-397-1315:Rdhk Median 0.73 Aug 2-30-608-9384:28582 harveston 754.21 Aug 2-26-887-0789:40233 vlg rd PED 2,326.00 Aug 2-29-657-2563:42902 butterfield 172.78 Aug 2-30-066-2889:30051 rncho vista 21.11 Aug 2-29-479-2981:31454 tem pkwy 102.94 Sep 2-01-202-7330:LS-1 All -nice 76,351.12 Aug 2-00-397-5059:Comm Svc Util 6,444.41 Aug 2-01-202-7603:arterial STILT 27,844.23 Aug 2-20-798-3248:42081 main st 2,749.82 Aug 2-28-171-2620:40820 wincester 1,484.31 Aug 2-10-331-2153:28816 pujol st 2,058.99 Aug 2-02-351-5281:CRC 8,276.93 129,116.50 Pest control swcs:code enf 8/18 84.00 84.00 Sep xxx-0141,0839,2593,9306 usage 507.21 507.21 refund:overcharged permit B10-1276 170.00 170.00 reimb:offce supplies 115.59 115.59 Pages apChkLst Final Check List Page: 7 09/16/2010 8:40:49AM CITY OF TEMECULA Bank: union UNION BANK OF CALIFORNIA Check # Date Vendor 140931 09/16/2010 006145 STENO SOLUTIONS 009194 TEMECULA VALLEY NEWS 140936 TRANSCRIPTION 140932 09/16/2010 000305 TARGET BANK BUS CARD 010276 TIME WARNER CABLE 140938 SRVCS 140933 09/16/2010 011736 TEMECULA TROPHY INC 140934 09/16/2010 010046 TEMECULAVALLEY CONVENTION & 140935 09/16/2010 009194 TEMECULA VALLEY NEWS 140936 09/16/2010 010276 TIME WARNER CABLE 140937 09/16/2010 010276 TIME WARNER CABLE 140938 09/16/2010 013792 TORRES, VENESSAVENUS 140939 09/16/2010 003031 TRAFFIC CONTROL SERVICE INC 140940 09/16/2010 005460 U S BANK 140941 09/16/2010 008517 UNITED SITE SERVICES OF CAINC 140942 09/16/2010 000325 UNITED WAY 140943 09/16/2010 012549 UPODIUM 140944 09/16/2010 011733 URIBE, RICHARD (Continued) Description Amount Paid Aug transcription srvcs:Police 745.92 MISC. SUPPLIES: C. MUSEUM Artist Hospitality:Theater MISC. FIT PROGRAM SUPPLIES tennis tournament awards: 8/28-29 good neighbor plaque 2005-2010 mayor's medallions:MSYEP prgm Jul '10 Bus. Impry District Asmnts Aug advertising: Temecula Presents 7/26-8/29 advertising: hot summer nights Sep high speed internet:43200 bus pk Sep high speed internet:32364 ovrnd td refund:sec dep:rm rental:TCC Misc traffic control supplies:PW Maint Misc traffic control supplies:PW Maint Misc traffic control supplies:PW Maint Misc traffic control supplies:PW Maint TRUSTEE ADMIN FEES: RDA 02/06 BONDS 6/17-7/14 fence rental main str bridge United Way Charities Payment Vehicle Maintenance: Sta 84 Station Maint Supplies: Sta 73 ee computer purchase prgm 37.56 43.48 191.97 138.11 48.94 763.43 91,556.51 931.40 2,225.00 241.48 44.95 150.00 761.69 269.27 353.44 268.88 6,300.00 26.65 62.00 47.27 302.98 1,318.25 Check Total 745.92 273.01 950.48 91,556.51 931.40 2,225.00 286.43 150.00 1,653.28 6,300.00 26.65 62.00 350.25 1,318.25 Page:7 apChkLst Final Check List Page: 8 09/16/2010 8:40:49AM CITY OF TEMECULA Bank: union UNION BANK OF CALIFORNIA Check # Date Vendor 140945 09/16/2010 004261 VERIZON 140946 09/16/2010 004789 VERIZON ONLINE 140947 09/16/2010 004848 VERIZON SELECT SERVICES INC 140948 09/16/2010 009101 VISION ONE INC 140949 09/16/2010 010283 W B PRODUCTIONS 140950 09/16/2010 000339 WEST PUBLISHING CORP 140951 09/16/2010 013791 WOOSLEY. RYAN (Continued) Description 39.95 Amount Paid Check Total Sep xxx-1941 gen usage:pta cd ttacsd 72.56 Aug long distance phone svcs Sep xxx-4200 general usage 952.34 3,187.40 Sep xxx-0682 gen usage:civic ctr camera 93.01 3,995.00 Sep xxx-8900 gen usage:TP Library 850.84 refund:cc charged in error BO6-1749 Sep xxx-6400 general usage 1,633.05 Aug xxx-1999 general usage 40.93 Sep xxx-7562 gen usage:irrig contrlr 38.80 Sep xxx-1341 gen usage:Theater 449.09 Sep xxx-3910 gen usage:1 st st img 39.95 Sep xxx-7530 gen usage:Library 426.73 Sep xxx-2372 gen usage:wtf crk pk irrig 36.27 Sep xxx-5180 gen usage:79S img ctr 39.95 Aug xxx-0049 gen usage: comerchero 36.27 4,709.79 Sep SW DSL:PD:Jones, C. 39.95 39.95 Aug long distance phone svcs 76.95 Aug long distance phone svcs 36.23 113.18 Aug Showare ticketing srvcs: theater 3,187.40 3,187.40 Timing srvcs F.I.T. 5/10K Run 9/12 3,995.00 3,995.00 Aug judicial updates: City Clerk 228.42 228.42 refund:cc charged in error BO6-1749 227.00 227.00 Grand total for UNION BANK OF CALIFORNIA: 1,070,527.15 PageE apChkLst Final Check List Page: 9 09/16/2010 8:40:49AM CITY OF TEMECULA 112 checks in this report. Grand Total All Checks: 1,070,527.15 Page9 Item No. 4 Approvals City Attorney Director of Finance City Manager CITY OF TEMECULA AGENDA REPORT TO: City Manager/City Council FROM: Genie Roberts, Director of Finance DATE: September 28, 2010 SUBJECT: Financial Statements for the Fiscal Year Ended June 30, 2010 PREPARED BY: Pascale Brown, Accounting Manager Rudy J. Graciano, Revenue Manager RECOMMENDATION: That the City Council: 1. Receive and file the Financial Statements for the Fiscal Year Ended June 30, 2010; 2. Approve a fiscal year 2009-10 budget reallocation of $1,387,137 for programs financed from Measure A and reimbursable to the General Fund - Public Works, and budget these programs directly from the Measure A fund and also make this change effective for fiscal year 2010-11 operating budget; 3. Approve a transfer of $150,000 from Police Department line item budget to Fire Department budget; 4. Approve a transfer of $20,000 from Planning Department line item budget to City Manager budget; 5. Approve an appropriation of $41,000 in AB 3229 COPS Fund line item Expenditure Budget, and an increase of $41,000 in AB 3229 COPS Fund Revenue Budget. BACKGROUND: The attached Financial Statements reflect the unaudited activity of the City for the fiscal year ended June 30, 2010. Please seethe attached Financial Statements for an analytical review of financial activity. The overall General Fund Revenue Estimates and Appropriations reflects a decrease of $1,387,137 as the result of reprogramming the Measure A related spending from the Public Works Department budget in the General Fund to the Measure A Fund. Historically, the Public Works Department budget included appropriation for expenditures which are reimbursable from the Measure A Fund. These expenditures will now be budgeted and expended directly from the Measure A Fund. The total General Fund budget appropriation will be reduced from $53,939,320 to $52,552,183. Two interdepartmental transfers are necessary to adjust the following budgets: 1) a transfer to the Fire Department budget is needed to cover additional suppression costs, as well as to cover budgeted Fire furlough savings that were anticipated but not realized because the State reversed its decision to furlough Firefighters this fiscal year; and, 2) a transfer to the City Manager Department budget to adjust for unbudgeted expenditures. The increase in AB 3229 COP fund revenues and appropriations is due to State allocation to the City at higher than anticipated levels. FISCAL IMPACT: General Fund Revenues and Expenditures budget were decreased $1,387,137 as a result of reallocating the reimbursable Public Works programs directly from the Measure A Fund. This action has no impact to fund balances in both the General Fund and Measure A Funds. The overall General Fund Budgeted Operating Revenues will be reduced from $53,953,388 to $52,566,251, and Operating Appropriations will be reduced from $53,939,320 to $52,552,183. At the end of fiscal year ending June 30, 2010, General Fund Operating revenues under expenditures were $749,295. General Fund Reserves include the following: 1) Reserves for Economic Uncertainty remained at $10.8 million; 2) Secondary Reserves were $6.8 million; and, 3) Reserves set aside for the potential prepayment of outstanding debt were approximately $11.1 million. Fiscal year ending June 2009-2010 budgeted fund balance versus actual increased in the Gas Tax Fund approximately $300,000 primarily due to less qualifying costs incurred by the Public Works Department reimbursable from gas tax revenues. Fiscal year ending June 2009-2010 budgeted fund balances versus actuals increased approximately $1.5 million in the State Transportation Fund, and approximately $4.2 in the Development Impact Fund, primarily due to various capital projects financed by these revenue sources being reprogrammed to fiscal year 2010-11. Fiscal year ending June 2009-2010 budgeted fund balance versus actual increased approximately $3.6 million primarily due to French Valley Parkway/Interstate 15 Interchange and pavement rehabilitation projects financed bythis revenue source being reprogrammed to fiscal year 2010-11, as well as contracts for right-of-way maintenance planned for award in fiscal year 2009-10 were delayed until fiscal year 2010-11. ATTACHMENTS: -Combining Balance Sheet as of June 30, 2010 -Statement of Revenues, Expenditures and Changes in Fund Balance for the Fiscal Year Ended June 30, 2010 -Combining Statement of Net Assets as of June 30, 2010 -Combining Statement of Revenues, Expenses and Changes In Net Assets for Fiscal Year Ended June 30, 2010 -Statement of Net Assets - Fiduciary Fund as of June 30, 2010 -Statement of Changes in Fiduciary Net Assets for the Fiscal Year Ended June 30, 2010 CITY OF TEMECULA Combining Balance Sheet as of June 30, 2010 and Statement of Revenues, Expenditures and Changes in Fund Balance for the Fiscal Year Ended June 30, 2010 and Combining Statement of Net Assets as of June 30, 2010 and Combining Statement of Revenues, Expenses and Changes In Net Assets for Fiscal Year Ended June 30, 2010 and Statement of Net Assets - Fiduciary Fund as of June 30, 2010 and Statement of Changes in Fiduciary Net Assets for the Fiscal Year Ended June 30, 2010 (Unaudited) .................................... Prepared by the Finance Department Assets: Cash and Investments Receivables Due from Other Funds Advances to Other Funds Deposits Inventory Total Assets Liabilities and Fund Balances: Liabilities: Due to Other Funds Other Current Liabilities Deferred Revenue Total Liabilities Fund Balances: Reserved Designated Undesignated Total Fund Balances Total Liabilities and Fund Balances C/TY OF TEMECULA Combining Balance Sheet As of June 30, 2010 Recovery General Gas Tax State Trans Dev Impact JAG CDBG Fund Fund Fund Fund Fund Fund $ 48,525,325 $ 164,149 $ 1,212,381 $ 4,359,079 $ - $ 3,210 8,501,377 157,893 267,466 15,256 10,883 270,856 86,536 - - - - - 1,617,336 - - - - - 1,325 - - - - - 3,058 - - - - - $ 58,734,957 $ 322,042 $ 1,479,847 $ 4,374,335 $ 10,883 $ 274,066 $ - $ - $ 4,610 $ - $ 6,456 $ 270,856 9,295,260 - - 17,659 4,427 3,210 4,095,263 - - - - - 13,390,523 - 4,610 17,659 10,883 274,066 13,049,280 - - - 6,284 - 32,295,154 322,042 1,475,237 4,356,676 - - - - - (6,284) - 45,344,434 322,042 1,475,237 4,356,676 - - $ 58,734,957 $ 322,042 $ 1,479,847 $ 4,374,335 $ 10,883 $ 274,066 NOTE: These Balances are Unaudited E Assets: Cash and Investments Receivables Due from Other Funds Advances to Other Funds Deposits Inventory Total Assets Liabilities and Fund Balances: Liabilities: Due to Other Funds Other Current Liabilities Deferred Revenue Total Liabilities Fund Balances: Reserved Designated Undesignated Total Fund Balances Total Liabilities and Fund Balances CITY OF TEMECULA Combining Balance Sheet As of June 30, 2010 AB 2766 AB 3229 Measure A CIP Debt Service Fund Fund Fund Fund Fund TOTAL $ 508,761 $ - $ 6,886,187 $ 15,294,609 $ 823,141 $ 77,776,842 32,876 72,719 474,450 1,270,260 1,175 11,075,211 - - - 1,106,171 - 1,192,707 - - - - - 1,617,336 - - - - - 1,325 3,058 $ 541,637 $ 72,719 $ 7,360,637 $ 17,671,040 $ 824,316 $ 91,666,479 $ - $ 72,719 $ - $ - $ 30,524 $ 385,165 - - - 6,020,155 - 15,340,711 4,095,263 - 72.719 - 6.020.155 30.524 19.821.139 - - 212,713 7,579,187 - 20,847,464 541,637 - 7,147,924 4,071,698 793,792 51,004,160 - - - - - (6.284) 541,637 7,360,637 11,650,885 793,792 71,845,340 $ 541,637 $ 72,719 $ 7,360,637 $ 17,671,040 $ 824,316 $ 91,666,479 NOTE: These Balances are Unaudited z CITY OF TEMECULA Statement of Revenues, Expenditures and Changes in Fund Balance - Budget and Actual General Fund for the Fiscal Year Ended June 30, 2010 REVENUES: Sales Tax - State Sales Tax - Triple Flip Developmental Services: Building & Safety Fire Land Development Planning Police Public Works- NPDES Advertising Business Licenses Franchise Fees Investment Interest GASB31 Fair Market Value on Investment Investment Interest RDA Loan Repayment Lease Income Miscellaneous Motor Vehicle In Lieu - State Motor Vehicle In Lieu - Triple Flip Operating Transfers In* Property Tax Property Tax Relief (Homeowner) Property Transfer Tax Reimbursements- Financing Reimbursements-CIP Reimbursements -RDA Reimbursements - Other Reimbursements -Tribal Gaming Mitigation Fun Sale of Property Transient Occupancy Tax Vehicle Code Fines TOTAL REVENUES Annual Percent Amended Total of Budget Activity Budget $ 17,414,778 $ 17,565,204 101% 4,607,650 4,607,650 100% 1,420,972 Fund 1,306,179 92% 451,145 553,782 123% 328,365 483,952 147% 486,428 461,635 95% 743,949 606,779 82% 1,655 5,229 316% 22,800 22,950 101% 319,000 301,931 95% 3,441,333 3,155,013 92% 963,498 862,899 90% (56,026) 238,633 238,633 100% 13,260 13,261 100% 21,000 30,878 147% 541,984 715,940 132% 5,969,039 5,969,038 100% 2,620,724 2,167,404 83% 5,027,680 5,203,042 103% 73,848 75,146 102% 364,165 458,581 126% 192,500 200,000 104% 2,446,604 2,246,083 92% 110,000 110,000 100% 159,079 131,599 83% 2,000,000 - 0% 117,000 116,591 100% 1,817,849 1,961,994 108% 651,313 614,175 94% $ 52,566,251 $ 50,129,542 95% NOTES - Revenues: * The budget and year to date activites have been adjusted for reprogramming directly from the Measure "A" fund. (1) The variance is primarily due to less parking citation revenue than anticipated and less OTS grant revenue, which is based on reimbursements directly related to eligible program expenditures. (2) The variance is due to the change in fair value of investments as they approach maturity and due to fluctuating interest rates. (3) The variance is primarily due to less qualifying costs incurred by Public Works reimbursed from Gas Tax revenues and Proposition 42. (4) Tribal gaming monies were not received during this fiscal year. 3 (1) (2) (3) (4) CITY OF TEMECOLA Statement of Revenues, Expenditures and Changes in Fund Balance - Budget and Actual General Fund for the Fiscal Year Ended June 30, 2010 Annual YTD Percent Amended YTD Activity & of Budget Activity Encumbrances Encumbrances Budget Expenditures: City Council $ 432,621 $ 415,839 $ 5,000 $ 420,839 97% Community Support 155,400 144,619 5,000 149,619 96% City Manager 1,264,194 1,284,075 - 1,284,075 102% (1) Economic Development 956,462 849,071 43,318 892,389 93% City Clerk 1,028,600 990,897 1,100 991,997 96% City Attorney 821,300 628,892 - 628,892 77% Finance 2,094,958 1,980,041 43,691 2,023,732 97% Human Resources 549,114 507,366 1,000 508,366 93% Planning 2,166,596 2,021,128 41,851 2,062,979 95% Building & Safety 2,312,952 2,177,462 400 2,177,862 94% Land Development 1,450,742 1,401,784 - 1,401,784 97% Public Works 4,630,982 4,089,849 - 4,089,849 88% (2) CIP Administration 2,446,604 2,296,222 2,000 2,298,222 94% Police 20,310,489 20,032,249 1,500 20,033,749 99% Fire 4,157,323 4,301,464 1,000 4,302,464 103% (3) Animal Control 171,000 156,000 - 156,000 91 Non -Departmental 7,602,846 7601879 7,601,879 100 Total Expenditures(Excluding Transfers) 52552183 50,878,837 145,860 51,024,697 97% Revenues Over/(Under) Expenditures 14,068 (749,295) Other Financing Sources (uses): Transfers Out (15,683,711) (3,128,338) Revenues Over/(Under) Expenditures and Other Financing Sources(uses) (15,669,643) (3,877,633) Beginning Fund Balance, July 1, 2009 49,222,067 49,222,067 Ending Fund Balance, June 30, 2010 $ 33,552,424 $ 45,344,434 NOTES - Expenditures: The budget and year to date activities have been adjusted for reprogramming directly from the Measure "A" fund. (1) The variance in City Manager budget is due to unbudgeted benefits expenditures during this fiscal year. (2) The variance in primarily due to less qualifying costs incurred by Public Works reimbursed from Gas Tax and Proposition 42 funds. (3) The variance in Fire department is due to Fire suppression costs were higher than anticipated. In addition, furlough savings originally budgeted in the amount $275,000 was not realized because the State reversed its decision to furlough Firefighters this fiscal year. CITY OF TEMECOLA Statement of Revenues, Expenditures and Changes in Fund Balance - Budget and Actual Gas Tax Fund for the Fiscal Year Ended June 30, 2010 Notes: (1) The variance is primarily due to less qualifying costs incurred by Public Works department reimbursed from Gas Tax revenues. 5 (1) Annual Amended Total Percent Budget Activity of Budget Revenues: Section 2105-2107 $ 1,666,847 $ 1,656,190 99% Investment Interest 896 Total Revenues 1,667,743 1,656,190 99% Other Financing Sources (uses): Transfers Out (1,667,743) (1,334,148) 80% Revenues Over/(Under) Other Financing Sources(i - 322,042 Beginning Fund Balance, July 1, 2009 Ending Fund Balance, June 30, 2010 $ $ 322,042 Notes: (1) The variance is primarily due to less qualifying costs incurred by Public Works department reimbursed from Gas Tax revenues. 5 (1) CITY OF TEMECULA Statement of Revenues, Expenditures and Changes in Fund Balance - Budget and Actual State Transportation Fund for the Fiscal Year Ended June 30, 2010 Other Financing Sources (uses): Transfers Out Revenues Over/(Under) Expenditures and Other Financing Sources (uses) Beginning Fund Balance, July 1, 2009 Ending Fund Balance, June 30, 2010 (2,389,658) (936,616) (1,458,996) 16,241 1,458,996 1,458,996 $ $ 1,475,237 Notes: (1) The Capital Projects Road and Storm Drain, Road Reconstruction at Jedediah Smith and Slurry Seal budgeted with this fund are scheduled to start construction in fiscal year 2010-11. 6 39% (1) Annual Amended Total Percent Budget Activity of Budget Revenues: Traffic Congestion Relief $ 909,919 $ 933,931 103% Investment Interest 20,743 18,926 91% Total Revenues 930,662 952,857 102% Other Financing Sources (uses): Transfers Out Revenues Over/(Under) Expenditures and Other Financing Sources (uses) Beginning Fund Balance, July 1, 2009 Ending Fund Balance, June 30, 2010 (2,389,658) (936,616) (1,458,996) 16,241 1,458,996 1,458,996 $ $ 1,475,237 Notes: (1) The Capital Projects Road and Storm Drain, Road Reconstruction at Jedediah Smith and Slurry Seal budgeted with this fund are scheduled to start construction in fiscal year 2010-11. 6 39% (1) CITY OF TEMECOLA Statement of Revenues, Expenditures and Changes in Fund Balance - Budget and Actual Development Impact Fund for the Fiscal Year Ended June 30, 2010 Revenues: Open Space Investment Interest Quimby Street Improvements Traffic Signals Parks Corporate Facilities Fire Protection Library Public Art Police Total Revenues Expenditures: Black Property Interest Black Property Payment Total Expenditures Revenues Over/(Under) Expenditures Other Financing Sources(uses): Transfers Out Revenues Over/(Under) Expenditures and Other Financings Sources (uses) Beginning Fund Balance, July 1, 2009 Ending Fund Balance, June 30, 2010 NOTES Annual Amended Total Percent Budget Activity of Budget $ 64,609 $ 93,224 144% (1) - 67,090 31,390 - 3,050,184 224,074 7% 433,185 31,690 7% 221,661 318,804 144% (1) 196,323 93,968 48% 118,426 50,978 31% 72,563 130,295 180% (1) 23,085 4,371 19% 103,656 57,842 56% 4,315,082 1,072,336 18% (2) 23,682 23,682 100% 314,635 314,635 100% 338,317 338,317 100% 3,976,765 734,019 11% (8,901,012) (1,499,147) 17% (3) (4,924,247) (765,128) 5,121,804 5,121,804 $ 197,557 $ 4,356,676 (1) The variance in DIF revenues is due to higher number of permits issued than anticipated for the Wolf Creek development. Certain DIF fees have been offset by credits for improvements pursuant to the Wolf Creek Development Agreement. (2) The variance in Development Impact Fee revenues is due to a continued overall decline in building activity and the timing of planned developments (3) The variance in expenditures is due to Capital Improvement Projects funded with DIF that have started but not yet completed during this quarter. CITY OF TEMECULA Statement of Revenues, Expenditures and Changes in Fund Balance - Budget and Actual Recovery Act JAG Funding for the Fiscal Year Ended June 30, 2010 Annual Amended YTD Total Percent Budget Activity Encumbrances Activity of Budget Revenues: Grant Revenue $ 119,338 $ 22,683 $ $ 22,683 19% (1) Total Revenues 119,338 22,683 22,683 19% Expenditures Operating Expenditures 119,338 22,683 6,284 28,967 24% (1) Total Expenditures 119,338 22,683 6,284 28,967 24% Revenues Over/(Under) Expenditures - - Beginning Fund Balance, July 1, 2009 Ending Fund Balance, June 30, 2010 $ $ Notes: (1) Police have recently been incurring qualifying operational costs for Mall Patrol and Youth Court JAG funded programs. 0 CITY OF TEMECULA 56,180 Statement of Revenues, Expenditures and Changes in Fund Balance - Budget and Actual Community Development Block Grant 100% for the Fiscal Year Ended June 30, 2010 56,180 56,180 Annual 100% Amended Total Percent Budget Activity of Budget Revenues: 38% Grant Revenue $ 2,236,509 $ 882,798 39% (1) Total Revenues 2,236,509 882,798 39% Expenditures Other Outside Services 56,180 56,180 100% Total Expenditures 56,180 56,180 100% Revenues Over/(Under) Expenditures 2,180,329 826,618 38% Other Financing Sources(uses): Transfers Out (2,180,329) (826,618) 38% (1) Revenues Over/(Under) and Other Financing Sources(uses) Beginning Fund Balance, July 1, 2009 Ending Fund Balance, June 30, 2010 $ $ NOTES: (1) Revenues are based on reimbursements directly related to current eligible project expenditures. The Temecula Community Center Expansion construction Bid was approved by City Council on March 23, 2010 and construction is expected to be complete by end of Fall 2010. 9 CITY OF TEMECULA Statement of Revenues, Expenditures and Changes in Fund Balance - Budget and Actual AB 2766 Fund for the Fiscal Year Ended June 30, 2010 Expenditures: Other Outside Services Total Expenditures Revenues Over/(Under) Expenditures Other Financing Sources (uses): Transfers Out Revenues Over/(Under) Expenditures and Other Financing Sources(uses) Beginning Fund Balance, July 1, 2009 Ending Fund Balance, June 30, 2010 118,545 122,487 (138,166) (10,000) (19,621) 112,487 429,150 429,150 $ 409,529 $ 541,637 7% L1� Notes: (1) The Capital Projects Santa Gertrudis Creek Pedestrian Bicycle Trail Extension is in design stage and the Temecula Park and Ride project have not yet started. 10 Annual Amended Total Percent Budget Activity of Budget Revenues: AB 2766 $ 118,545 $ 116,176 98% Investment Interest 6,311 Total Revenues 118,545 122,487 103% Expenditures: Other Outside Services Total Expenditures Revenues Over/(Under) Expenditures Other Financing Sources (uses): Transfers Out Revenues Over/(Under) Expenditures and Other Financing Sources(uses) Beginning Fund Balance, July 1, 2009 Ending Fund Balance, June 30, 2010 118,545 122,487 (138,166) (10,000) (19,621) 112,487 429,150 429,150 $ 409,529 $ 541,637 7% L1� Notes: (1) The Capital Projects Santa Gertrudis Creek Pedestrian Bicycle Trail Extension is in design stage and the Temecula Park and Ride project have not yet started. 10 CITY OF TEMECULA Statement of Revenues, Expenditures and Changes in Fund Balance - Budget and Actual AB 3229 COPS for the Fiscal Year Ended June 30, 2010 Annual Amended Total Percent Budget Activity of Budget Revenues: Investment Interest $ 43 $ 21 49% AB 3229 - COPS 107,215 147,719 138% Total Revenues 107,258 147,740 138% Other Financing Sources(uses): Transfers Out Revenues Over/(Under) Expenditures and Other Financing Sources (uses Beginning Fund Balance, July 1, 2009 Ending Fund Balance, June 30, 2010 (107,258) (147,740) 138% Notes: (1) Revenue allocation from State is based on the City's population. Amount received were higher than anticipated. 11 (1) (1) CITY OF TEMECULA Statement of Revenues, Expenditures and Changes in Fund Balance - Budget and Actual Measure "A" for the Fiscal Year Ended June 30. 2010 Other Financing Sources (uses): Transfers Out (5,364,199) (2,375,574) (2,375,574) 44% (3) Revenues Over/(Under) Expenditures and Other Financing Sources(uses) (4,634,336) (1,057,362) Beginning Fund Balance, July 1, 2009 8,417,999 8,417,999 Ending Fund Balance, June 30, 2010 $ 3,783,663 $ 7,360,637 Notes: (1) The variance in Measure "A" revenues is due to a continued statewide economic downturn. (2) The variance is primarily due to contracts planned for 2009-10 budget were delayed to fiscal year 2010-11. (3) The variance is primarily due the French Valley and Pavement Rehabilitation Capital Improvement Projects that are carry forward to fiscal year 2010-11. 12 Annual Amended YTD Total Percent Budget Activity Encumbrances Activity of Budget Revenues: Measure"A" $ 2,117,000 $ 1,814,527 $ - $ 1,814,527 86% (1) Investment Interest - 100,960 100,960 Total Revenues 2,117,000 1,915,487 - 3,830,973 90% Expenditures: Routine Street Maintenance 1,387,137 597,275 212,713 809,988 58% (2) Total Expenditures 1,387,137 597,275 212,713 809,988 58% Other Financing Sources (uses): Transfers Out (5,364,199) (2,375,574) (2,375,574) 44% (3) Revenues Over/(Under) Expenditures and Other Financing Sources(uses) (4,634,336) (1,057,362) Beginning Fund Balance, July 1, 2009 8,417,999 8,417,999 Ending Fund Balance, June 30, 2010 $ 3,783,663 $ 7,360,637 Notes: (1) The variance in Measure "A" revenues is due to a continued statewide economic downturn. (2) The variance is primarily due to contracts planned for 2009-10 budget were delayed to fiscal year 2010-11. (3) The variance is primarily due the French Valley and Pavement Rehabilitation Capital Improvement Projects that are carry forward to fiscal year 2010-11. 12 CITY OF TEMECULA Statement of Revenues, Expenditures and Changes in Fund Balance - Budget and Actual Capital Improvement Projects Fund for the Fiscal Year Ended June 30, 2010 EXPENDITURES: Annual Percent Amended YTD Total of 64 Budget Activity Encumbrances Activity Budget REVENUE: 108,677 49,833 22,985 72,818 Operating Transfers In $ 73,463,301 $ 31,337,623 $ - $ 31,337,623 43% Grants 11,897,171 3,185,008 - 3,185,008 27% Reimbursements 999,450 383,625 - 383,625 38% Reimbursements-TUMF 8,994,418 891,104 - 891,104 10% Investment interest 81% 165,570 165,570 712,551 TOTAL REVENUES 95,354,340 35,962,930 35,962,930 38% (1) EXPENDITURES: Citywide Adaptive Traffic Light Synchronization 165-501 618,000 64 - 64 0% Nicolas Valley Assessment District Liefer Road 165-504 108,677 49,833 22,985 72,818 67% Open Space Acquisition Phase II 165-509 261,500 261,500 - 261,500 100% Road & Storm Drain Repair g Rancho Cal 165-510 130,347 19,478 54,431 73,909 57% Road Reconstruction g Jedediah Smith Rd. 165-511 613,037 22,298 472,343 494,641 81% Slurry Seal g Paloma Del Sol & Temeku Hills 165-512 712,551 14,278 463,329 477,607 67% Old Town Police Substation 165-513 440,000 - - - 0% Temecula Police Station Tenant Improvement 165-514 100,000 - - - 0% Old Town Sound System Retrofit 165-515 101,000 15,000 85,775 100,775 100% Murrieta Creek Bridge/Overland Extension to Diaz 165-602 1,451,002 152,840 7,565 160,405 11% Abbott Corporation Roadway Improvements 165-620 750,000 - - - 0% Medians and Parkway City Wide 165-622 360,548 - - - 0% Closed Caption TV Install SR79S Pechanga 165-635 308,158 130,280 38 130,318 42% Pechanga Parkway Dual Right Tum Lanes 165-637 394,383 390,770 - 390,770 99% Winchester Rd/ SR 79 N Corridor Beautification 165-638 3,010,792 971,293 319,735 1,291,028 43% Old Town Infrastructure Projects - Civic Plaza 165-643 507,366 234,534 164,300 398,834 79% Old Town Infrastructure- Parking Structure/O/R 165-644 9,080,241 8,460,919 542,611 9,003,530 99% Old Town Infrastructure - Relocate/Grading/Demo. 165-645 302,845 277,357 8,587 285,944 94% Pavement Rehabilitation Program -Citywide 165-655 1,130,000 7,194 - 7,194 1% Pavement Rehabilitation - De Portola Road 165-656 998,111 868,170 - 868,170 87% Pavement Rehabilitation-STPL Project 165-657 4,067,358 3,360,787 695,652 4,056,439 100% Western Bypass Bridge Over Murrieta Creek 165-660 408,372 278,411 24,835 303,246 74% I-15/ 79S Interchange -Ultimate 165-662 2,451,326 1,348,540 824,681 2,173,221 89% Santiago Detention Basin 165-666 23,855 3,543 - 3,543 15% Pechanga Parkway Improvements 165-668 1,633,203 1,058,073 1,211 1,059,284 65% Signals -Butterfield Stage g Welton 165-669 220,218 192,836 - 192,836 88% NOTES: (1) The variance in revenues is primarily due to several Capital Improvement projects funded where expenditures eligible for reimbursement have not yet been expended or reimburse during this quarter. 13 CITY OF TEMECULA Statement of Revenues, Expenditures and Changes in Fund Balance - Budget and Actual Capital Improvement Projects Fund for the Fiscal Year Ended June 30, 2010 Expenditures: Flashing Beacons Signals- Meadows at McCabe Temecula Parkway Striping Modification I-15 Temecula Creek Crossing Access to Temecula Signal Meadows Parkway @ Pauba Signal Rancho California g Yukon Traffic Signal Equipment Installation Citywide Storm Drain Improvements French Valley Prkwy I-15 Phase I Butterfield Stage Rd. Extension French Valley Parkway I-15 Overcrossing Murrieta Creek Improvements Pedestrian Bicycle Bridge SantaGertrudis/CHS Santa Gertrudis Creek Pedestrian Trail Fire Station Roripaugh Ranch Main Street Bridge Over Murrieta Creek Erosion Control Margarita Long Canyon Temecula Park & Ride Old Town Civic Center -Phase II Murrieta Creek Multi -Purpose Trail Redhawk Park Improvements Reclaimed Water Irrigation Retrofit Neighborhood Park Security Lighting Margarita Rd Right of Way Enhancements Play Structure Retrofit at Various Parks Old Town Gymnasium Ronald Reagan Sports Channel Silt Desilting Roripaugh Rancho Open Space Trails Temecula Community Center Expansion Developer Reimbursement Serena Hllls Temecula Children's Museum Refurbish Total Expenditures Revenues Over/(Under) Expenditures Beginning Fund Balance, July 1, 2009 Ending Fund Balance, June 30, 2010 116,614,379 56,949,318 7,758,500 64,700,367 55% (1) (21,260,039) (20,986388) 32,637,273 32,637,273 $ 11,377,234 $ 11,650,885 NOTES: (1) The variance in expenditures is due to encumbrances that are recorded for the Old Town Civic Center and other major Capital Improvements Projects for the entire year. 14 Annual Percent Amended YTD Total of Budget Activity Encumbrances Activity Budget 165-670 40,000 17,599 1,315 18,914 47% 165-672 215,933 194,037 194,037 90% 165-676 197,173 7,762 7,248 15,010 8% 165-677 1,431 - - - 0% 165-678 232,500 13,218 5,932 19,150 8% 165-679 232,500 13,085 5,932 19,017 8% 165-712 336,098 253,507 - 253,507 75% 165-715 184,852 17,406 - 9,955 5% 165-719 4,131,230 84,273 24,250 108,523 3% 165-723 25,339,212 13,978,038 160,306 14,138,344 56% 165-726 6,811,662 621,415 793,264 1,414,679 21% 165-735 43,573 - - - 0% 165-738 1,287,109 98,905 16,782 115,687 9% 165-739 217,095 61,173 150,410 211,583 97% 165-741 605,998 21,686 300,819 322,505 53% 165-743 6,935,778 84,623 57,375 141,998 2% 165-746 213,967 4,032 10,080 14,112 7% 165-747 69,318 10,642 12,615 23,257 34% 165-751 34,568,658 21,575,336 835,140 22,410,476 65% 190-142 95,493 14,513 - 14,513 15% 190-144 1,248,110 305,063 698,409 1,003,472 80% 190-150 500,000 - - - 0% 190-151 40,000 24,538 - 24,538 61% 190-154 150,000 17,218 7,407 24,625 16% 190-179 114,996 112,859 - 112,859 98% 190-186 338,604 23,567 282,762 306,329 90% 190-187 484,958 162,759 204,793 367,552 76% 190-195 9,626 - - - 0% 190-197 1,332,211 719,762 466,132 1,185,894 89% 190-200 265,815 265,815 - 265,815 100% 190-675 187,590 128,489 29,451 157,940 84% 116,614,379 56,949,318 7,758,500 64,700,367 55% (1) (21,260,039) (20,986388) 32,637,273 32,637,273 $ 11,377,234 $ 11,650,885 NOTES: (1) The variance in expenditures is due to encumbrances that are recorded for the Old Town Civic Center and other major Capital Improvements Projects for the entire year. 14 CITY OF TEMECULA Certificates of Participation Debt Service Fund- 2008 Statement of Revenues, Expenditures and Changes in Fund Balance - Budget and Actual for the Fiscal Year Ended June 30, 2010 Revenues: Investment Interest Transfer In Total Revenues Expenditures: Trustee Fees Debt Service Principal Debt Service Interest Total Expenditures Revenues Over/(Under) Expenditures Other Financing Sources (Uses): Transfers Out Revenues Over/(Under) Expenditures and Other Financing Sources (Uses) Beginning Fund Balance, July 1, 2009 Ending Fund Balance, June 30, 2010 Annual Amended YTD Percent Budget Activity of Budget $ 6,562 $ 5,915 90% 1,540,387 1,540,387 100% 1,546,949 1,546,302 100% 3,675 3,675 100% 430,000 430,000 100% 1,145,098 1,145,098 100% 1,578,773 1,578,773 100% (31824) (324711) (30,660) (30,524) (62484) (62995) 856,787 856,787 $ 794,303 $ 793,792 15 CITY OF TEMECULA Internal Service Funds Combining Statement of Net Assets As of June 30, 2010 Information Support Insurance Vehicles Systems Services Facilities Fund Fund Fund Fund Fund Total ASSETS: Cash andinvestments $ 814,973 $ 939,586 $ 627,612 $ 382,064 $ 268,480 $3,032,715 Receivables 2,613 3,126 6,967 1,128 1,800 15,634 Prepaid assets 269,512 - - - - 269,512 Property, plant and equipment (net of accumulated depreciation) - 932,369 283,109 42,640 - 1,258,118 TOTAL ASSETS 1,087,098 1,875,081 917,688 425,832 270,280 4,575,979 LIABILITIES AND NET ASSETS: LIABILITIES: Current Liabilities 586,877 - 204,302 51,795 77,189 920,163 Capital Leases Payable - - - 67,346 - 67,346 TOTAL LIABILITIES 586,877 204,302 119,141 77,189 987,509 NET ASSETS: TOTAL NET ASSETS $ 500,221 $ 1,875,081 $ 713,386 $ 306,691 $ 193,091 $ 3,588,470 NOTE: These balances are unaudited. 16 CITY OF TEMECULA Combining Statement of Revenues, Expenses and Changes in Net Assets Internal Service Funds for the Fiscal Year Ended June 30, 2010 17 Information Support Insurance Vehicles Systems Services Facilities Fund Fund Fund Fund Fund Total REVENUES: Investment Interest $ 11,624 $ 11,915 $ 5,899 $ 4,219 $ 1,915 $ 35,572 Charges for Services 769,383 147,105 1,901,329 392,580 811,070 4,021,467 TOTAL REVENUES 781,007 159,020 1,907,228 396,799 812,985 4,057,039 EXPENSES: Salaries & Wages 56,625 - 1,180,876 229,732 405,609 1,872,842 Operating Expenses 1,122,208 8,265 703,381 99,630 378,381 2,311,865 Interest - - - 6,073 - 6,073 Depreciation 315,856 213,003 30,386 559,245 TOTAL EXPENSES 1,178,833 324,121 2,097,260 365,821 783,990 4,750,025 Revenues Over/(Under) Expenses (397,826) (165,101) (190,032) 30,978 28,995 (692,986) Net Assets, July 1, 2009 898,047 2,040,182 903,418 275,713 164,096 4,281,456 Net Assets, June 30, 2010 $ 500,221 $ 1,875,081 $ 713,386 $ 306,691 $ 193,091 $ 3,588,470 17 CITY OF TEMECULA CALIFORNIA EMPLOYEE RETIREE BENEFIT TRUST FUND Statement of Net Assets Fiduciary Fund As of June 30, 2010 CERBT Fund ASSETS: Cash and Investments $ 3,315,669 TOTAL ASSETS $ 3,315,669 LIABILITIES: Accounts Payable TOTAL LIABILITIES NET ASSETS: Held in Trust for Retiree Benefits TOTAL NET ASSETS $ 3,315,669 NOTE: These Balances are Unaudited IE CITY OF TEMECULA Statement of Changes in Fiduciary Net Assets CALIFORNIA EMPLOYEE RETIREE BENEFIT TRUST FUND Fiduciary Fund for the Fiscal Year Ended June 30, 2010 DEDUCTIONS CERBT Benefits Fund ADDITIONS 186,139 Contributions: 554,404 Employer $ 308,533 Investment Earnings 432,010 Total Contributions 740,543 DEDUCTIONS Benefits 186,139 Total Deductions 186,139 Total Additions 554,404 Net Assets, July 1, 2009 2,761,265 Net Assets, June 30, 2010 $ 3,315,669 19 Item No. 5 Approvals City Attorney Director of Finance City Manager CITY OF TEMECULA AGENDA REPORT TO: City Manager/City Council FROM: Genie Roberts, Director of Finance DATE: September 28, 2010 SUBJECT: Authorization to execute the Supplemental Agreement for the use of Community Development Block Grant Funds for Fiscal Year 2010-2011 PREPARED BY: David Bilby, Senior Debt Analyst RECOMMENDATION: Authorize the Mayor to execute the Supplemental Agreement for the use of Community Development Block Grant Funds for Fiscal Year 2010-2011. BACKGROUND: On January 26, 2010, the City Council recommended funding forfiscal year 2010-11 Community Development Block Grant (CDBG) projects. This recommendation was forwarded to the Riverside County Economic Development Agency (EDA) for review and processing with the U.S. Department of Housing and Urban Development (HUD). HUD provides CDBG funding for local projects which meet at least one of the following nationally established goals: The activity benefits fifty-one percent of low to moderate income individuals; or, 2. The activity aids in the prevention or elimination of slums or blight; or, 3. The activity meets an emergent community development need. The EDA processed the City's recommendation and, on September 15, 2010, submitted the attached Supplemental Agreement to the City for signature. The projects and levels of funding approved by the EDA are as follows: ORGANIZATION PROJECT AWARD AMOUNT City of Temecula Old Town Gymnasium $331,346 VNW (Vineyard of the New Wine) Circle of Care Food Program 9,333 Senior Citizen Service Center Emergency Food Purchase and Storage 9,333 (Temecula Emergency Assistance Program) Children of the Court Advocate Advocacy for Abused Children 7,275 Scholarship Program (CASA) Temecula/Murrieta Rescue Mission Emergency Food Project 9,333 Safe Alternatives For Everyone, Family Support Program 9,333 Temecula/Murrieta Police Activities League Assistance League of Temecula Valley Operation School Bell 9,333 TOTAL CDBG FUNDING $385,286 The EDA reduced the non-profit Public Service funding amount by $3,853 from the City's original funding request and as a result, the various non profits allocations were reduced on a pro -rata basis as reflected on the attached Schedule of Funding Allocations. The City's Public Facilities project funding amount was increased by $3,854 from its original request. The total CDBG funding forfiscal year 2010-11 is $385,286. The execution of the fiscal year 2010-11 Supplemental Agreement facilitates CDBG funding for these projects. FISCAL IMPACT: CDBG funds are budgeted in a special revenue fund forthe approved programs and projects for fiscal year 2010-11. ATTACHMENTS: -Schedule of Funding Allocations -Supplemental Agreement for the 2010-2011 Use of Community Development Block Grant Funds CITY OF TEMECULA COMMUNITY DEVELOPMENT BLOCK GRANT (CDBG) PROGRAM YEAR 2010-2011 SCHEDULE OF FUNDING ALLOCATIONS GRAND TOTAL FY FY 2010/2011 FY FY 2009/10 2010/2011 Funding 2010/2011 Funding Funding Recommenda Funding PUBLIC FACILITIES Award Request tion Revised Old Town Gymnasium $329,105 $327,492 $327,492 $331,346 PUBLIC SERVICES Alternatives to Domestic Violence (ADV) $0 $0 $0 $0 Outreach Program Services Assistance League of Temecula Valley 9,210 10,000 10,000 9,333 Operation School Bell Boys & Girls Club of Southwest County 6,445 30,000 0 0 The Learning Center CASA for Riverside County 6,445 20,000 7,793 7,275 Advocacy for Abused Children Musician's Workshop 0 0 0 0 PerformingArts and Music Access Neighborhood Healthcare 0 0 0 0 Diabetes Self -Management Program New Vision Children's Services 1,845 0 0 0 SW Center for Autism Spectrum Disorders Riverside Area Rape Crisis Center 4,605 5,000 0 0 Rape Prevention Education Safe Alternatives For Everyone, Inc. 9,210 25,000 10,000 9,333 Family Support Program Senior Citizen Service Center 9,210 10,000 10,000 9,333 Temecula Emergency Assistance Program Single Mothers United in Rewarding Fellowship 0 0 0 0 Single Moms in Balance Temecula Murrieta Rescue Mission 0 30,000 10,000 9,333 Emergency Food Program Valley Oaks Ranch 0 0 0 0 Equine Intervention Program VNW 9,210 12,000 10,000 9,333 Circle of Care Program Volunteer Center of Riverside County 0 0 0 0 211 Call Center YMCA 0 0 0 0 Swim Cam /Swim Lessons Total Public Services $56,180 $142,000 $57,793 $53,940 7 GRAND TOTAL 1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23 24 25 26 27 28 File No.: 3.TM.20-10, 3.TM.21-10, 3.TM.22-10, 3.TM.23-10, 0.70-10, 0.78-10, 0.79-10 SUPPLEMENTAL AGREEMENT FOR THE USE OF 2010-2011 COMMUNITY DEVELOPMENT BLOCK GRANT FUNDS The COUNTY OF RIVERSIDE of the State of California, herein called, "COUNTY," and the CITY OF TEMECULA, herein called "CITY," mutually agree as follows: 1. GENERAL. COUNTY and CITY have executed a Cooperation Agreement, dated July 2008, whereby CITY elected to participate with COUNTY, which has qualified as an "Urban County" for purposes of receiving Community Development Block Grant (CDBG) funds, and to assist and undertake essential community development and housing assistance activities pursuant to the Housing and Community Development Act of 1974, Title 1, as amended, Public Law 93-383 hereinafter referred to as "Act". Said Cooperation Agreement, dated July 2008, is incorporated herein by reference and made a part of this Agreement as if each and every provision was set forth herein. 2. PURPOSE. CITY promises and agrees to undertake and assist with the community development activities, within its jurisdiction, by utilizing the sum of $385,286, CDBG Entitlement Funds, as specifically identified in Exhibits A, B, C, D, E, F, and G are attached hereto and by this reference are incorporated herein, for the projects: A. 3.TM.20-10 Old Town Gymnasium, $331,346. B. 3.TM.21-10 Emergency Food Project, $9,333. C. 3.TM.22-10 Senior Emergency Food Program, $9,333. D. 3.TM.23-10 Circle of Care, $9,333. E. 0.70-10 Children of the Court Advocate Scholarship Program, $7,275. F. 0.78-10 Operation School Bell - Temecula, $9,333. G. 0.79-10 Family Violence Prevention Program, $9,333. Page 1 of 14 1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23 24 25 26 27 28 3. TERM OF AGREEMENT. The term of this Agreement for the projects shall be for a period of one (1) year from July 1, 2010 to June 30, 2011, and proceed consistent with the completion schedule set forth in Exhibits A, B, C, D, E, F, and G. In the event that the projects are not substantially completed by the time set forth in the completion schedule due to unforeseen or uncontrollable causes, the COUNTY may consider extending the schedule for the completion of the project. Times of performance for other activities may also be extended in writing by COUNTY. If substantial progress toward completion in conformance with the completion schedule, as determined by COUNTY, of the projects are not made during the term of the Supplemental Agreement, COUNTY may suspend or terminate this agreement by the procedures set forth in the Section titled "Termination", of this agreement and the entitlement funds associated with the projects may be reprogrammed by COUNTY after appropriate notice is given. 4. DISPOSITION OF FUNDS. A. COUNTY's Board of Supervisors shall determine the final disposition and distribution of all funds received by COUNTY under the Act consistent with the provisions of Paragraphs 2 and 3 of this Agreement. COUNTY, through its Economic Development Agency, shall: (1) Make payment of the grant funds to CITY as designated in Exhibits A, B, C, D, E, F, and G; and (2) It is the CITY's responsibility to monitor all project activities of Exhibits A, B, C, D, E, F, and G to ensure compliance with applicable federal regulations and the terms of this Agreement. B. CITY shall comply with timely drawdown of CDBG funds by expeditiously implementing and completing County -approved, CDBG-funded projects. CITY acknowledges that CITY's drawdown performance directly impacts the COUNTY's overall program drawdown rate. If the CITY's unobligated CDBG fund balance, as of January 15, 2011, exceeds two-times (200%) the CITY's 2010-2011 CDBG allocation, the COUNTY may take the necessary administrative actions to reduce the CITY's CDBG fund balance. Necessary actions include reprogramming the excess CDBG fund balance to other eligible activities as selected by Page 2 of 14 1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23 24 25 26 27 28 COUNTY. COUTY may authorize CITY in writing, prior to January 15, 2011, to exceed the CDBG fund balance requirement. C. CITY shall comply with timely drawdown of funds by submitting monthly requests for reimbursement or other County -approved reimbursement schedule. All disbursements of grant funds will be on a reimbursement basis and made within thirty (30) days after the CITY has submitted its letter identifying payments and documentation supporting expenditures. D. All authorized obligations incurred in the performance of the Agreement for projects eligible under the following regulations must be reported to COUNTY no later than by June 15, 2011: 1. Public Services [24 CFR 570.201 (e)] 2. Acquisition [24 CFR 570.201 (a)] 3. Clearance Activities [24 CFR 570.201 (d)] 4. Interim Assistance [24 CFR 570.201 (f)] 5. Code Enforcement [24 CFR 570.202 (c)] All other eligible activities under this Agreement must be implemented, completed, and obligations reported by the CITY no later than the completion schedules set forth in the Exhibits to this Agreement. The COUNTY will directly manage and monitor projects identified in Exhibits E, F, and G. These projects have been determined to be of Countywide benefit, receiving grant funding from multiple sources; therefore, these projects will be managed and monitored by the 5. COOPERATION WITH HOUSING ACTIVITIES. CITY shall cooperate with COUNTY in undertaking essential community development and housing assistance activities, specifically urban renewal and public assistance housing, and shall assist COUNTY in carrying out its Strategic Plan of the Consolidated Plan and other requirements of the Community Development Block Grant Program. Page 3 of 14 1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16' 17 18 19 20 21 22 23 24 25 26 27 28 6. LEAD AGENCY FOR COMPLIANCE WITH THE CALIFORNIA ENVIRONMENTAL QUALITY ACT (CEQA). Pursuant to Section 15051(d) of Title 14 of the California Administrative Code, CITY is designated as the lead agency for the projects that are the subject matter of this Agreement. 7. HOLD HARMLESS AND INDEMNIFICATION. In contemplation of the provisions of Section 895.2 of the California Government Code imposing certain tort liability jointly upon public entities solely by reason of such entities being parties to an agreement as defined by Section 895 of the Code, the Parties hereto, pursuant to the authorization contained in Section 895.4 and 895.6 of the Code, agree that each Party shall be liable for any damages including, but not limited to, claims, demands, losses, liabilities, costs and expenses including reasonable attorneys fees, resulting from the negligent or wrongful acts or omissions of their employees or agents in the performance of this Agreement, and each Party shall indemnify, defend and hold harmless the other Parties from such claims, demands, damages, losses or liabilities for their negligence 8. INSURANCE. Without limiting or diminishing the CITY'S obligation to indemnify or hold the .COUNTY harmless, CITY shall procure and maintain or cause to be maintained, at its sole cost and expense, the following insurance coverage's during the term of this Agreement. A. Workers' Compensation: If the CITY has employees as defined by the State of California, the CITY shall maintain statutory Workers' Compensation Insurance (Coverage A) as prescribed by the laws of the State of California. Policy shall include Employers' Liability (Coverage B) including Occupational Disease with limits not less than $1,000,000 per person per accident. The policy shall be endorsed to waive subrogation in favor of The County of Riverside, and, if applicable, to provide a Borrowed Servant/Alternate Employer Endorsement. Page 4 of 14 1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23 24 25 26 27 28 B. Commercial General Liability: Commercial General Liability insurance coverage, including but not limited to, premises liability, contractual liability, products and completed operations liability, personal and advertising injury, and cross liability coverage, covering claims which may arise from or out of CITY 'S performance of its obligations hereunder. Policy shall name the County of Riverside, its Agencies, Districts, Special Districts, and Departments, their respective directors, officers, Board of Supervisors, employees, elected or appointed officials, agents or representatives as Additional Insureds. Policy's limit of liability shall not be less than $1,000,000 per occurrence combined single limit. If such insurance contains a general aggregate limit, it shall apply separately to this agreement or be no less than two (2) times the occurrence limit. C. Vehicle Liability: If vehicles or mobile equipment are used in the performance of the obligations under this Agreement, then CITY shall maintain liability insurance for all owned, non -owned or hired vehicles so used in an amount not less than $1,000,000 per occurrence combined single limit. If such insurance contains a general aggregate limit, it shall apply separately to this agreement or be no less than two (2) times the occurrence limit. Policy shall name the County of Riverside, its Agencies, Districts, Special Districts, and Departments, their respective directors, officers, Board of Supervisors, employees, elected or appointed officials, agents or representatives as Additional Insureds. D. General Insurance Provisions - All lines: 1) Any insurance carrier providing insurance coverage hereunder shall be admitted to the State of California and have an A M BEST rating of not less than A: VIII (A:8) unless such requirements are waived, in writing, by the County Risk Manager. If the County's Risk Manager waives a requirement for a particular insurer such waiver is only valid for that specific insurer and only for one policy term. 2) The CITY'S insurance carrier(s) must declare its insurance self - Page 5 of 14 11 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23 24 25 26 27 28 insured retentions. If such self-insured retentions exceed $500,000 per occurrence such retentions shall have the prior written consent of the County Risk Manager before the commencement of operations under this Agreement. Upon notification of self insured retention unacceptable to the COUNTY, and at the election of the Country's Risk Manager, CITY 'S carriers shall either; 1) reduce or eliminate such self-insured retention as respects this Agreement with the COUNTY, or 2) procure a bond which guarantees payment of losses and related investigations, claims administration, and defense costs and expenses. 3) CITY shall cause CITY'S insurance carrier(s) to furnish the County of Riverside with either 1) a properly executed original Certificate(s) of Insurance and certified original copies of Endorsements effecting coverage as required herein, and 2) if requested to do so orally or in writing by the County Risk Manager, provide original Certified copies of policies including all Endorsements and all attachments thereto, showing such insurance is in full force and effect. Further, said Certificate(s) and policies of insurance shall contain the covenant of the insurance carrier(s) that thirty (30) days written notice shall be given to the County of Riverside prior to any material modification, cancellation, expiration or reduction in coverage of such insurance. In the event of a material modification, cancellation, expiration, or reduction in coverage, this Agreement shall terminate forthwith, unless the County of Riverside receives, prior to such effective date, another properly executed original Certificate of Insurance and original copies of endorsements or certified original policies, including all endorsements and attachments thereto evidencing coverage's set forth herein and the insurance required,herein is in full force and effect. CITY shall not commence operations until the COUNTY has been furnished original Certificate (s) of Insurance and certified original copies of endorsements and if requested, certified original policies of insurance including all endorsements and any and all other attachments as required in this Section. An individual authorized by the insurance carrier to do so on its behalf shall sign the original endorsements for each policy and the Certificate of Insurance. 4) It is understood and agreed to by the parties hereto that the CITY'S Page 6 of 14 I 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23 24 25 26 27 28 insurance shall be construed as primary insurance, and the COUNTY'S insurance and/or deductibles and/or self-insured retention's or self-insured programs shall not be construed as contributory. 5) If, during the term of this Agreement or any extension thereof, there is a material change in the scope of services; or, there is a material change in the equipment to be used in the performance of the scope of work which will add additional exposures (such as the use of aircraft, watercraft, cranes, etc.); or, the term of this Agreement, including any extensions thereof, exceeds five (5) years the COUNTY reserves the right to adjust the types of insurance required under this Agreement and the monetary limits of liability for the insurance coverage's currently required herein, if; in the County Risk Manager's reasonable judgment, the amount or type of insurance carried by the CITY has become inadequate. 6) CITY shall pass down the insurance obligations contained herein to all tiers of subcontractors working under this Agreement. 7) The insurance requirements contained in this Agreement may be met with a program(s) of self-insurance acceptable to the COUNTY. 8) CITY agrees to notify COUNTY of any claim by a third party or any incident or event that may give rise to a claim arising from the performance of this Agreement. 9. RECORDS AND INSPECTIONS. A. CITY shall establish and maintain records in accordance with 24 CFR Part 570, Part 85, OMB Circular A-87, and 24 CFR 91.105, as applicable, and as they relate to the acceptance and use of federal funds under this Agreement. B. CITY shall maintain a separate account for CDBG Entitlement funds received as set forth in Exhibits (A, B, C, and D). C. CITY shall, during the normal business hours, make available to COUNTY, the U.S. Department of Housing and Urban Development (HUD), or other authorized representative, for the examination and copying, all of its records and other materials with Page 7 of 14 1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23 24 25 26 27 M respect to matters covered by this Agreement. D. CITY shall not retain any program income as defined in Section 570.500 of Title 24 of the Federal Code of Regulations. Said program income shall be used only for the activities that are the subject of this Agreement. Further, all provisions of this Agreement shall apply to such activities. E. The CITY shall ensure that at least fifty-one percent (51%) of the persons benefiting from all CDBG-funded activities or projects designated as serving limited clientele [570.208(a)(2)(i)] are of low and moderate -income and meet the program income guidelines attached as Exhibits (A, B, C, and D). The CITY and City's Sub -recipients must provide the required income certification and direct benefit documentation. 10. COMPLIANCE WITH LAWS. CITY shall comply with all applicable federal, state, and local laws, regulations, and ordinances and any amendments thereto and the federal regulations and guidelines now or hereafter enacted pursuant to the Act. More particularly, CITY is to comply with those regulations found in Part 85 and Part 570 of Title 24 of the Code of Federal Regulations. CITY is to comply with OMB Circular A-87, or any subsequent replacement. CITY is to abide by the provisions of the Community Development Block Grant Manual, prepared by COUNTY and cited in the above-mentioned Cooperation Agreement. CITY will comply with Section 3 of the Housing & Urban Development Act of 1968, as amended, attached hereto as Exhibit "S". CITY will comply with the provisions of 24 CFR Part 570.200 0), attached as Exhibit "R," pertaining to inherently religious activities. 11. INDEPENDENT CONTRACTOR. CITY and its agents, servants, and employees shall act at all times in an independent capacity during the term of this Agreement, and shall not act as, shall not be, nor shall they in any manner be construed to be agents, officers, or employees of the COUNTY. 12. TERMINATION. A. CITY. CITY may not terminate this Agreement except upon express I written consent of COUNTY. Page 8 of 14 1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23 24 25 26 27 B. COUNTY. Notwithstanding the provisions of Paragraph 12a, COUNTY may suspend or terminate this Agreement upon a thirty (30) day written notice to CITY of action being taken and the reason for such action: (1) In the event CITY fails to perform the covenants herein contained at such times and in such manner as provided in this Agreement; and (2) In the event there is a conflict with any federal, state or local law, ordinance, regulation or rule rendering any of the provisions of this Agreement invalid or I untenable; or (3) In the event the funding from the Department of Housing and Urban Development referred to in Paragraphs 1 and 2 above is terminated or otherwise becomes unavailable. C. Upon suspension of this Agreement, CITY agrees to return any unencumbered funds which it has been provided by COUNTY. In accepting said funds, COUNTY does not waive any claim or cause of action it may have against CITY for breach of this Agreement. D. Reversion of Assets 1. Upon expiration of this Agreement, the CITY shall transfer to the COUNTY any CDBG funds on hand at the time of expiration of the Agreement as well as any accounts receivable held by CITY which are attributable to the use of CDBG funds awarded pursuant to this Agreement. 2. Any real property under the CITY'S control that was acquired or improved in whole or in part with CDBG funds (including CDBG funds provided to the SPONSOR in the form of a loan) in excess of $25,000 is either: (i) Used to meet one of the National Objectives in Sec. 570.208 until five years after expiration of this agreement, or for such longer period of time as determined to be appropriate by the COUNTY; or (ii) Not used in accordance with Section (i) above, in which Page 9 of 14 1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23 24 25 26 27 28 event the SPONSOR shall pay to the COUNTY an amount equal to the current market value of the property less any portion of the value attributable to expenditures of non-CDBG funds for the acquisition of, or improvement to, the property. 13. NONDISCRIMINATION. CITY shall abide by Sections 570.601 and 570.602 of Title 24 of the Federal Code of Regulations which requires that no person in the United States shall on the grounds of race, color, national origin, or sex, be excluded from participation in, be denied the benefits of, or be subjected to discrimination under any program or activity funded in whole or in part with Community Development funds. 14. PROHIBITION AGAINST CONFLICTS OF INTEREST A. CITY and its assigns, employees, agents, consultants, officers and elected and appointed officials shall become familiar with and shall comply with the CDBG regulations prohibiting conflicts of interest contained in 24 CFR 570.611, attached hereto as Exhibit "Cl" and by this reference incorporated herein. B. CITY and its assigns, employees, agents, consultants, officers, and elected and appointed officials shall become familiar with and shall comply with Section A-11 of the County's CDBG Policy manual, attached hereto as Exhibit "Cl" and by this reference incorporated herein. C. CITY understands and agrees that no waiver of exception can be granted to the prohibition against conflict of interest except upon written approval of HUD pursuant to 24 CFR 570.611 (d). Any request by CITY for an exception shall first be reviewed by COUNTY to determine whether such request is appropriate for submission to HUD. In determining whether such request is appropriate for submission to HUD, COUNTY will consider the factors listed in 24 CFR 570.611 (e). D. Prior to any funding under this Agreement, CITY shall provide COUNTY with a list of all employees, agents, consultants, officers and elected and appointed officials who are in a position to participate in a decision making process, exercise any functions or responsibilities, or gain inside information with respect to the CDBG activities funded under this Page 10 of 14 1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23 24 25 26 27 28 Agreement. CITY shall also promptly disclose to COUNTY any potential conflict, including even the appearance of conflict that may arise with respect to the CDBG activities funded under this Agreement. E. Any violation of this section shall be deemed a material breach of this Agreement, and the Agreement shall be immediately terminated by the COUNTY. 15. PROJECT ELIGIBILITY. As to CITY or its claimants, COUNTY shall bear no liability for any later determination by the United States Government, the Department of Housing and Urban Development or any other person or entity that CITY is or is not eligible under 24 CFR Part 570 to receive CDBG funds. 16. USE OF PROPERTY. Whenever federal CDBG funds or program income are used, in whole or in part, for the purchase of equipment or personal property, the property shall not be transferred from its originally funded use, by CITY or sub -recipient, for a period of five (5) years from the close-out date of the grant from which CDBG assistance was provided. The CITY shall maintain a current inventory for COUNTY monitoring and review. 17. EMPLOYMENT OPPORTUNITIES TO BE CAUSED BY PROJECT. CITY agrees to notify and to require any lessee or assignee to notify Riverside County Workforce Development Center of any and all job openings that are caused by this project. 18. PUBLICITY. Any publicity generated by CITY for the project funded pursuant to this Agreement, during the term of this Agreement, will make reference to the Contribution of the County of Riverside, the Economic Development Agency, and the Community Development Block Grant Program in making the project possible. 19. PROGRAM MONITORING AND EVALUATION. CITY and its sub -recipients shall be monitored and evaluated in terms of its effectiveness and timely compliance with the provisions of this Agreement and the effective and efficient achievement of the Program Objectives. Quarterly reports shall be due on the last day of the month immediately following the end of the quarter being reported. The quarterly written reports shall include, but shall not be limited to, the following data elements: Page 11 of 14 1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23 24 25 26 27 28 A. Title of program, listing of components, description of activities/operations. B. The projected goals, indicated numerically, and also the goals achieved (for each report period). In addition, identify by percentage and description, the progress achieved towards meeting the specified goals and identify any problems encountered in meeting goals. C. If the CDBG-funded Activity meets a National Objective under 24 CFR 570.208 (a)(2)(i), CITY will report the following: 1) Total number of direct beneficiaries (clientele served) with household incomes at: • Above 80% MHI • Between 50% and 80% MHI (Low -Income) • Between 30% and 50% MHI (Very Low -Income) • Less than 30% MHI (Extremely Low -Income) 2) Total number and percent (%) of the clientele served that have household incomes at or below 80% MHI 3) Racial ethnicity of clientele 4) Number of Female -Headed Households D. CITY and its sub -recipients shall report beneficiary statistics monthly to EDA on the pre -approved Direct Benefit Form and Self -Certification Form (certifying income, family size, and racial ethnicity) as required by HUD. Updated forms are to be provided to CITY by EDA should HUD implement changes during the term of this agreement. CITY and sub - recipients will collect and provide all necessary data required by HUD pertaining to the Specific Outcome Indicators as identified in the CPD Outcome Performance Measurement System. 20. SOURCE OF FUNDING. CITY acknowledges that the source of funding pursuant to this Agreement is Community Development Block Grant (CFDA 14.218). 21. ENTIRE AGREEMENT. It is expressly agreed that this Agreement together with Page 12 of 14 1 the cooperation Agreement between the parties, embodies the entire agreement of the parties in 2 relation to the subject matter thereof, and that no other Agreement or understanding, verbal or 3 otherwise, relative to this subject matter, exists between the parties at the time of execution. 4 22. MINISTERIAL ACTS. The Assistant County Executive Officer/EDA or 5 designee(s) are authorized to take such ministerial actions as may be necessary or appropriate to 6 implement the terms, provisions, and conditions of this Agreement as it may be amended from 7 time to time by COUNTY. 8 23. PRIOR AUTHORIZATION. CITY shall obtain COUNTY's written approval 9 from the Economic Development Agency prior to implementing the following "high risk" 10 activities funded with CDBG assistance: 11 A. Construction of public facilities (project plans and specifications); 12 B. Acquisition of real property; 13 C. Historic Preservation; 14 D. Relocation; and 15 F. Economic Development 16 23. MODIFICATION OF AGREEMENT. This Agreement may be modified or 17 amended only by a writing signed by the duly authorized and empowered representative of 18 COUNTY and CITY respectively. 19 20 21 22 23 SIGNATURES ON NEXT PAGE 24 25 26 27 28 11 Page 13 of 14 1 2 3 M 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23 24 1 25 26 27 28 IN WITNESS WHEREOF, the COUNTY and the CITY have executed this Agreement as of the date listed below. DATED: COUNTY OF RIVERSIDE By: Robert Field Assistant County Executive Officer/EDA LE CITY OF TEMECULA Mayor SH:JT:mmv Page 14 of 14 EXHIBIT A File No.: 3.TM.20-10 SUPPLEMENTAL AGREEMENT SCOPE OF WORK (NON-PUBLIC SERVICE) I. GENERAL INFORMATION CITY NAME: Citv of Temecula ADDRESS: P.O. Box 9033 Temecula,CA 92589 PROGRAM CONTACTS: David Bilby, Senior Debt Analyst PHONE: (951) 308-6342 FAX: (951) 694-6479 E-MAIL: PROJECTNAME: old Town Gymnasium PROJECT LOCATION: First Street. Temecula. CA 92590 LEVEL OF ENVIRONMENTAL CLEARANCE: CDBG ELIGIBILITY CODE: PROJECT FUNDING SUMMARY: $331,346 Project to be administered by County (EDA) on behalf of City: YESEI NO 0 11. SCOPE OF SERVICE A. Activities City will be responsible for administering a 2010-2011 Community Development Block Grant for the Old Town Gymnasium in a manner satisfactory to the County of Riverside and consistent with any standards required as a condition of providing these funds. Such program will include the following activities eligible under the Community Development Block Grant program: Activity #1 The project includes the design and construction of an that w " ' 8,000 square foot avmnasi'm. u -1 _L! _L - n-lude a full-sized basketball court, restrooms, storage and a siral' _L office. CD,BG funds will be used for the design and construction of the facility. Page 1 of 7 EXHIBIT A File No.: 3.TM.20-10 B. National Objective All activities funded with CDBG funds must comply with one of more of the CDBG program's National Objective Criteria as required under 24 CFR 570.200(a)(2). City certifies that the activity(ies) carried out under this Agreement will meet the following National Objective: National Objective Criteria: 570.208 (a) (2) (i) (B ) CFR Reference: Low Mod Limited Clientele Income Certification C. Levels of Accomplishment — Goals and Performance Measures The City agrees to implement and complete the following activity(ies): Activity #1 Design and construct an 8,300 square foot gymnasium. Activity #2 CPD OUTCOME PERFORMANCE MEASUREMENT Objectives (select one): ® Creating Suitable Living Environments ❑ Providing Decent Affordable Housing ❑ Creating Economic Opportunities Outcome (select one): ❑ Availability/Accessibility ❑ Affordability ® Sustainability (promoting livable or viable communities) D. City Capacity By executing this Supplemental Agreement, the City certifies that it has the appropriate number of trained and knowledgeable staff, adequate facilities, proper equipment, required licensing and permitting, and sufficient amount of financial resources necessary to implement and carry out the activities funded with CDBG funds. City will immediately notify County of any significant changes in organizational management, assigned staff, change in facilities, loss or change in matching funds, or any other event that could potentially impact the City or subrecipient's performance under this Agreement. Any changes in the above items are subject to the prior approval of the County. E. Performance Monitoring The County of Riverside will monitor the performance of the City and its subrecipients against goals and performance standards as stated above. Substandard performance as determined by the County will constitute noncompliance with this Agreement. If action to correct such substandard performance is not taken by the City within a reasonable period of time after being notified by the County, contract suspension or termination procedures will be initiated. Page 2 of 7 EXHIBIT A File No.: 3.TM.20-10 F. Program Budget It is expressly agreed and understood that the total amount to be paid by the County under this Agreement shall not exceed $331,346 Drawdowns for the payment of eligible expenses shall be made against the line item budgets specified in this Section and in accordance with performance. Payments may be contingent upon certification of the Subrecipient's financial management system in accordance with the standards specified in 24 CFR 84.21. The County may require a more detailed budget breakdown than the one contained herein, and the City shall provide such supplementary budget information in a timely fashion in the form and content prescribed by the County. Any amendments to the budget must be approved in writing by both the County and City. Page 3 of 7 EXHIBIT A File No.: 3.TM.20-10 G. Total Amount of Non- CDBG TOTAL: $1,920,418 III. ADMINISTRATIVE REQUIREMENTS A. Accounting Standards The City agrees to comply with 24 CFR 84 or 85 as applicable and agrees to adhere to the accounting principles and procedures required therein, utilize adequate internal controls, and maintain necessary source documentation for all costs incurred. B. Cost Principles The City shall administer its program in conformance with OMB Circulars A-122, "Cost Principles for Non -Profit Organizations," A-21, "Cost Principles for Educational Institutions," or OMB Circular A-87, "Cost Principles for State, Local and Indian Tribal Governments as applicable. These principles shall be applied for all costs incurred whether charged on a direct or indirect basis. C. Documentation and Record Keeping 1. Records to be Maintained The Subrecipient shall maintain all records required by the Federal regulations specified in 24 CFR 570.506, that are pertinent to the activities to be funded under this Agreement. Such records shall include but not be limited to: i Records providing a full description of each activity undertaken; ii. Records demonstrating that each activity undertaken meets one of the National Objectives of the CDBG program; iii. Records required to determine the eligibility of activities; iv. Records required to document the acquisition, improvement, use or disposition of real property acquired or improved with CDBG assistance; Page 4 of 7 EXHIBIT A File No.: 3.TM.20-10 V. Records documenting compliance with the fair housing and equal opportunity components of the CDBG program; vi. Financial records as required by 24 CFR 570.502, and 24 CFR 84.21-28; and vii. Other records necessary to document compliance with Subpart K of 24 CFR Part 570. 2. Records Retention The City shall retain all financial records, supporting documents, statistical records, and all other records pertinent to the Agreement for a period of five (5) years. The retention period begins on the date of the submission of the County's annual performance and evaluation report to HUD in which the activities assisted under the Agreement are reported on for the final time. Notwithstanding the above, if there is litigation, claims, audits, negotiations or other actions that involve any of the records cited and that have started before the expiration of the five-year period, then such records must be retained until completion of the actions and resolution of all issues, or the expiration of the five-year period, whichever occurs later. 3. Client Data The City shall maintain client data demonstrating client eligibility for services provided. Such data shall include, but not be limited to, client name, address, income level or other basis for determining eligibility, and description of service provided. Such information shall be made available to County monitors or their designees for review upon request. 4. Disclosure The City understands that client information collected under this contract is private and the use or disclosure of such information, when not directly connected with the administration of the County's or City's responsibilities with respect to services provided under this contract, is prohibited by applicable federal and State law unless written consent is obtained from such person receiving service and, in the case of a minor, that of a responsible parent/guardian. 5. Close-outs The City's obligation to the County shall not end until all close-out requirements are completed. Activities during this close-out period shall include, but are not limited to: making final payments, disposing of program assets (including the return of all unused materials, equipment, unspent cash advances, program income balances, and accounts receivable to the County), and determining the custodianship of records. Not withstanding the foregoing, the terms of this Agreement shall remain in effect during any period that the City has control over CDBG funds, including program income. 6. Audits & Inspections All City records with respect to any matters covered by this Agreement shall be made available to the County, HUD, and the Controller General of the United States or any of their authorized representatives, at any time during normal business hours, as often as deemed necessary, to audit, examine, and make excerpts or transcripts of all relevant data. Any deficiencies noted in audit reports must be fully cleared by the City within 30 days after receipt by the City. Failure of the City to comply with the above audit requirements will constitute a violation of this contract and may result in the withholding of future payments. The City hereby agrees to have an annual Page 5 of 7 EXHIBIT A File No.: 3.TM.20-10 agency audit conducted in accordance with current County policy concerning subrecipient audits and OMB Circular A-133. Page 6 of 7 EXHIBIT A File No.: 3.TM.20-10 IV. PROJECT IMPLEMENTATION AND SCHEDULE Unless pre -approved by County, City will perform and complete the activities described in Section II in conformance with the schedule of tasks and milestones listed below: Tasks / Milestone Start Date Completion Date Attend Mandatory Cooperating City Training Implement Project Activities Execute Supplemental Agreement & Notice to Incur Cost Tasks / Milestone Submit Quarterly Performance Reports to County County Monitoring of City Program/Performance Specific Project Activities City Submits Reimbursement Requests Monthly Submittal ❑ Other Schedule CDBG-funded Project Complete City Submits Monthly Direct Benefit Reports July 2010 Upon Notification from EDA August 2010 Start Date July 2010 September 2010 Completion Date October 15, 2010. January 15, 2011 April 15, 2011 July 31, 2011 To be determined by Program Manager To be determined by Program Manager Upon Notification by EDA V. SPECIAL CONDITIONS /PERFORMANCE REQUIREMENTS [This Section of the Agreement can be used by County to include any special conditions specific to the particular activity or CITY. — this may include limiting project activities to certain geographic areas, specific activities, specific costs, or specific timeframes] Page 7 of 7 SUPPLEMENTAL AGREEMENT SCOPE OF WORK (PUBLIC SERVICE) I. GENERAL INFORMATION CPTYNAME: City of Temecula ADDRESS: P.O. Box 9033 Temecula, CA 92589 CITY PROGRAM CONTACTS: David Bilby, Senior Debt Analyst SUBRECIPIENT NAME: City of Temecula ADDRESS: P.O. Box 9033, Temecula, CA 92589 PROGRAM CONTACT: David Bilby, Senior Debt Analyst PHONE: (951) 308-6342 E-MAIL: EXHIBIT B File No.: 3.TM.21-10 FAX: (951) 694-6479 PROJECT NAME: Emergency Food Project PROJECT LOCATION: 31300 Rancho Community way. Temecula. CA 92589 LEVEL OF ENVIRONMENTAL CLEARANCE: EXEMPT 124 CFR 58.34 (a)(4)] CDBG ELIGIBILITY CODE: 24 CFR 570.201(e) Public Services PROJECT FUNDING SUMMARY: $9,333 Project to be administered by County (EDA) on behalf of CITY: YES ❑ NO ❑ II. SCOPE OF SERVICE A. Activities City will be responsible for administering a 2010-2011 Community Development Block Grant for the Emergency Food Project in a manner satisfactory to the County of Riverside and consistent with any standards required as a condition of providing these funds. Such program will include the following activities eligible under the Community Development Block Grant program: Activity#1 The Temecula/Murrieta Rescue Mission provides bi weekly food boxes to low-income and homeless clients residinr in the Temecula/Murrieta area. CDBG funds will be used for the purchase of food. Page 1 of 6 EXHIBIT B File No.: 3.TM.21-10 B. National Objective All activities funded with CDBG funds must comply with one of more of the CDBG program's National Objective Criteria as required under 24 CFR 570.200(a)(2). CITY certifies that the activity (ies) carried out under this Agreement will meet the following National Objective: National Objective Criteria: 570.208 (a) (2) (i) (B ) CFRReference: Low Mod Limited Clientele Income Certification C. Levels of Accomplishment — Goals and Performance Measures The City agrees to provide the following levels of program services: Activity Units Total Total per Month Units/ Year Unduplicated Persons Activity #I Activity #2 1,200 Unit of Service is defined as: [NOTE_ CDBG Program Managers, in consultation with the CITY, will determine the most appropriate performance measures for this activity. — e.g., meals served, counseling session completed, children participating, clients served, neighborhood. clean-up days held, etc.] CPD OUTCOME PERFORMANCE MEASUREMENT Objectives (select one): ® Creating Suitable Living Environments ❑ Providing Decent Affordable Housing ❑ Creating Economic Opportunities Outcome (select one): ® Availability/Accessibility ❑ Affordability ❑ Sustainability (promoting livable or viable communities) D. City Capacity By executing this Supplemental Agreement, the City certifies that it and its subrecipients have the appropriate number of trained and knowledgeable staff, adequate facilities, proper equipment, required licensing and permitting, and sufficient amount of financial resources necessary to implement and carry out the activities funded with CDBG funds. City will immediately notify County of any significant changes in organizational management, assigned staff, change in facilities, loss or change in matching funds, or any other event that could potentially impact City's performance under this Agreement. Any changes in the above items are subject to the prior approval of the County. E. Performance Monitoring The County of Riverside will monitor the performance of the City and its subrecipients against goals and performance standards as stated above. Substandard performance as determined by the County will constitute noncompliance with this Agreement. If action to correct such substandard performance is not taken by the City within a reasonable period of time after being notified by the County, contract suspension or termination procedures will be initiated. Page 2 of 6 EXHIBIT B File No.: 3.TM.21-10 F. Program Budget It is expressly agreed and understood that the total amount to be paid by the County under this Agreement shall not exceed $9,333. Drawdowns for the payment of eligible expenses shall be made against the line item budgets specified in this Section and in accordance with performance. Payments may be contingent upon certification of the Subrecipient's financial management system in accordance with the standards specified in 24 CFR 84.21. The County may require a more detailed budget breakdown than the one contained herein, and the City shall provide such supplementary budget information in a timely fashion in the form and content prescribed by the County. Any amendments to the budget must be approved in writing by both the County and City. Line Item Amount Notes All indirect costs must be pre -approved by the County. City must submit an Indirect Cost Allocation Plan to County, in a form specified by County, demonstrating the appropriate share of general and administrative costs. Page 3 of 6 Total Direct Program Expenses Salaries Fringe Office Space (Program Only) Utilities Communications Reproduction/Printing Supplies and Materials Mileage Eb Equipment (Program Only) Auditig R z Transportation Other (Specify) Food `, ... Total Indirect Programs Ex enses p Indirect Costs (Specify)* � E0 E TY y; E,E TOTAL CDBG BUDGET All indirect costs must be pre -approved by the County. City must submit an Indirect Cost Allocation Plan to County, in a form specified by County, demonstrating the appropriate share of general and administrative costs. Page 3 of 6 EXHIBIT B File No.: 3.TM.21-10 TOTAL:36$ 2,562 III. ADMINISTRATIVE REQUIREMENTS A. Accounting Standards The City agrees to comply with 24 CFR 84 or 85 as applicable and agrees to adhere to the accounting principles and procedures required therein, utilize adequate internal controls, and maintain necessary source documentation for all costs incurred. B. Cost Principles The City shall administer its program in conformance with OMB Circulars A-122, "Cost Principles for Non -Profit Organizations," A-21, "Cost Principles for Educational Institutions, or OMB Circular A-87, "Cost Principles for State, Local and Indian Tribal Governments as applicable. These principles shall be applied for all costs incurred whether charged on a direct or indirect basis. C. Documentation and Record Keeping 1. Records to be Maintained The City and its subrecipients will maintain all records required by the Federal regulations specified in 24 CFR 570.506, that are pertinent to the activities to be funded under this Agreement. Such records shall include but not be limited to: i Records providing a full description of each activity undertaken; ii. Records demonstrating that each activity undertaken meets one of the National Objectives of the CDBG program; iii. Records required to determine the eligibility of activities; iv. Records required to document the acquisition, improvement, use or disposition of real property acquired or improved with CDBG assistance; V. Records documenting compliance with the fair housing and equal opportunity components of the CDBG program; vi. Financial records as required by 24 CFR 570.502, and 24 CFR 84.21-28; and vii. Other records necessary to document compliance with Subpart K of 24 CFR Part 570. Page 4 of 6 File No.: 3.TM.21-10 2. Records Retention The City shall retain all financial records, supporting documents, statistical records, and all other records pertinent to the Agreement for a period of five (5) years. The retention period begins on the date of the submission of the County's annual performance and evaluation report to HUD in which the activities assisted under the Agreement are reported on for the final time. Notwithstanding the above, if there is litigation, claims, audits, negotiations or other actions that involve any of the records cited and that have started before the expiration of the five-year period, then such records must be retained until completion of the actions and resolution of all issues, or the expiration of the five-year period, whichever occurs. later. 3. Client Data The City shall maintain client data demonstrating client eligibility for services provided. Such data shall include, but not be limited to, client name, address, income level or other basis for determining eligibility, and description of service provided. Such information shall be made available to County monitors or their designees for review upon request. 4. Disclosure The City understands that client information collected under this contract is private and the use or disclosure of such information, when not directly connected with the administration of the County's or City's responsibilities with respect to services provided under this contract, is prohibited by applicable federal and State law unless written consent is obtained from such person receiving service and, in the case of a minor, that of a responsible parent/guardian. 5. Close-outs The City's obligation to the County shall not end until all close-out requirements are completed. Activities during this close-out period shall include, but are not limited to: making final payments, disposing of program assets (including the return of all unused materials, equipment, unspent cash advances, program income balances, and accounts receivable to the County), and determining the custodianship of records. Not withstanding the foregoing, the terms of this Agreement shall remain in effect during any period that the City has control over CDBG funds, including program income. 6. Audits & Inspections All City records with respect to any matters covered by this Agreement shall be made available to the County, HUD, and the Controller General of the United States or any of their authorized representatives, at any time during normal business hours, as often as deemed necessary, to audit, examine, and make excerpts or transcripts of all relevant data. Any deficiencies noted in audit reports must be fully cleared by the City within 30 days after receipt by the City. Failure of the City to comply with the above audit requirements will constitute a violation of this contract and may result in the withholding of future payments. The City hereby agrees to have an annual agency audit conducted in accordance with current County policy concerning subrecipient audits and OMB Circular A-133. Page 5 of 6 EXHIBIT B File No.: 3.TM.21-10 IV. PROJECT IMPLEMENTATION AND SCHEDULE Unless pre -approved by County, CITY will perform and complete the activities described in Section II in conformance with the schedule of tasks and milestones listed below: Tasks / Milestone Start Date Completion Date Attend Mandatory Cooperating July 2010 July 2010 City Training Execute Subrecipient Agreements July 1, 2010 --- (EDA must approve) Implement Program Activities July 1, 2010 TBD Execute Supplemental Agreement August 2010 September 2010 & Notice to Incur Cost City Submit Quarterly October 15, 2010 Performance Reports to County January 15, 2011 April 15, 2011 July 31, 2011 County Monitoring of City TBD TBD Performance City submit Monthly September 2010 July 2011 Direct Benefit Reports City Submits Reimbursement Requests Monthly Submittal ❑ September 2010 June 13, 2011 Other Schedule ❑ CDBG Program Services Complete TBD V. SPECIAL CONDITIONS /PERFORMANCE REQUIREMENTS [This Section of the Agreement can be used by County to include any special conditions specific to the particular activity or CITY. — this may include limiting project activities to certain geographic areas, specific activities, specific costs, or specific time frames] Page 6 of 6 EXHIBIT C File No.: 3.TM.22-10 SUPPLEMENTAL AGREEMENT SCOPE OF WORK (PUBLIC SERVICE) I. GENERAL INFORMATION CITYNAME: City of Temecula ADDRESS: P.O. Box 9033 Temecula, CA 92589 CITY PROGRAM CONTACTS: David Bilbv. Senior Debt Analvst SUBRECIPIENT NAME: City of Temecula ADDRESS: P.O. Box 9033. Temecula. CA 92589 PROGRAM CONTACT: David Bilby, Senior Debt Analyst PHONE: (951) 308-6342 FAX: (951) 694-6479 E-MAIL: PROJECT NAME: Senior Emergency Food Program PROJECT LOCATION: 41538 Eastman Suite C, Murrieta, CA 92562 LEVEL OF ENVIRONMENTAL CLEARANCE: EXEMPT 124 CFR 58.34 (a)(4)] CDBG ELIGIBILITY CODE: 24 CFR 570.201 (e) Public Services PROJECT FUNDING SUMMARY: $9,333 Project to be administered by County (EDA) on behalf of CITY: YES ❑ NO ❑ II. SCOPE OF SERVICE A. Activities City will be responsible for administering a 201.0-20.11 Community Development Block Grant for the Senior Emergency Food Program in a manner satisfactory to the County of Riverside and consistent with any standards required as a condition of providing these funds. Such program will include the following activities eligible under the Community Development Block Grant program: Activity #I The Senior Service Center provides basic needs to low income seniors of the Temecula -Murrieta area, such as emergency food, utility assistance, and other essential needs. CDBG funds will be used for consumable supplies. Page 1 of 6 EXHIBIT C File No.: 3.TM.22-10 B. National Objective All activities funded with CDBG funds must comply with one of more of the CDBG program's National Objective Criteria as required under 24 CFR 570.200(a)(2). CITY certifies that the activity (ies) carried out under this Agreement will meet the following National Objective: National Objective Criteria: 570.208 (a) (2) (i) (A ) CFRReference: Low Mod Limited Clientele Presumed C. Levels of Accomplishment — Goals and Performance Measures The City agrees to provide the following levels of program services: Activity Units Total Total per Month Units/Year Unduplicated Persons Activity #1 Activity #2 o] Unit of Service is defined as: DOTE: CDBG Program .Managers, in consultation with the CITY, will determine the most appropriate performance measures for this activity. — e.g., meals served, counseling session completed, children participating, clients served, neighborhood. clean-up days held, etc.] CPD OUTCOME PERFORMANCE MEASUREMENT Objectives (select one): ® Creating Suitable Living Environments ❑ Providing Decent Affordable Housing ❑ Creating Economic Opportunities Outcome (select one): ® Availability/Accessibility ❑ Affordability ❑ Sustainability (promoting livable or viable communities) D. City Capacity By executing this Supplemental Agreement, the City certifies that it and its subrecipients have the appropriate number of trained and knowledgeable staff, adequate facilities, proper equipment, required licensing and permitting, and sufficient amount of financial resources necessary to implement and carry out the activities funded with CDBG funds. City will immediately notify County of any significant changes in organizational management, assigned staff, change in facilities, loss or change in matching funds, or any other event that could potentially impact City's performance under this Agreement. Any changes in the above items are subject to the prior approval of the County. E. Performance Monitoring The County of Riverside will monitor the performance of the City and its subrecipients against goals and performance standards as stated above. Substandard performance as determined by the County will constitute noncompliance with this Agreement. If action to correct such substandard performance is not taken by the City within a reasonable period of time after being notified by the County, contract suspension or termination procedures will be initiated. Page 2 of 6 EXHIBIT C File No.: 3.TM.22-10 F. Program Budget It is expressly agreed and understood that the total amount to be paid by the County under this Agreement shall not exceed $9,333. Drawdowns for the payment of eligible expenses shall be made against the line item budgets specified in this Section and in accordance with performance. Payments may be contingent upon certification of the Subrecipient's financial management system in accordance with the standards specified in 24 CFR 84.21. The County may require a more detailed budget breakdown than the one contained herein, and the City shall provide such supplementary budget information in a timely fashion in the form and content prescribed by the County. Any amendments to the budget must be approved in writing by both the County and City. Line Item Amount Notes Total Direct Program Expenses Salaries Fringe Office Space (Program Only) Utilities Communications Reproduction/Printing Supplies and Materials Mileage Equipment (Program Only) Audit Transportation Other (Specify) Total Indirect Program Expenses Indirect Costs (Specify)* TOTAL CDBG BUDGET All indirect costs must be pre -approved by the County. City must submit an Indirect Cost Allocation Plan to County, in a form specified by County, demonstrating the appropriate share of general and administrative costs. Page 3 of 6 EXHIBIT C File No.: 3.TM.22-10 TOTAL:3$ 2,741 III. ADMINISTRATIVE REQUIREMENTS A. Accounting Standards The City agrees to comply with 24 CFR 84 or 85 as applicable and agrees to adhere to the accounting principles and procedures required therein, utilize adequate internal controls, and maintain necessary source documentation for all costs incurred. B. Cost Principles The City shall administer its program in conformance with OMB Circulars A-122, "Cost Principles for Non -Profit Organizations," A-21, "Cost Principles for Educational Institutions," or OMB Circular A-87, "Cost Principles for State, Local and Indian Tribal Governments as applicable. These principles shall be applied for all costs incurred whether charged on a direct or indirect basis. C. Documentation and Record Keeping 1. Records to be Maintained The City and its subrecipients will maintain all records required by the Federal regulations specified in 24 CFR 570.506, that are pertinent to the activities to be funded under this Agreement. Such records shall include but not be limited to: i Records providing a full description of each activity undertaken; ii. Records demonstrating that each activity undertaken meets one of the National Objectives of the CDBG program; iii. Records required to determine the eligibility of activities; iv. Records required to document the acquisition, improvement, use or disposition of real property acquired or improved with CDBG assistance; V. Records documenting compliance with the fair housing and equal opportunity components of the CDBG program; vi. Financial records as required by 24 CFR 570.502, and 24 CFR 84.21-28; and vii. Other records necessary to document compliance with Subpart K of 24 CFR Part 570. Page 4of6 EXHIBIT C File No.: 3.TM.22-10 2. Records Retention The City shall retain all financial records, supporting documents, statistical records, and all other records pertinent to the Agreement for a period of five (5) years. The retention period begins on the date of the submission of the County's annual performance and evaluation report to HUD in which the activities assisted under the Agreement are reported on for the final time. Notwithstanding the above, if there is litigation, claims, audits, negotiations or other actions that involve any of the records cited and that have started before the expiration of the five-year period, then such records must be retained until completion of the actions and resolution of all issues, or the expiration of the five-year period, whichever occurs later. 3. Client Data The City shall maintain client data demonstrating client eligibility for services provided. Such data shall include, but not be limited to, client name, address, income level or other basis for determining eligibility, and description of service provided. Such information shall be made available to County monitors or their designees for review upon request. 4. Disclosure The City understands that client information collected under this contract is private and the use or disclosure of such information, when not directly connected with the administration of the County's or City's responsibilities with respect to services provided under this contract, is prohibited by applicable federal and State law unless written consent is obtained from such person receiving service and, in the case of a minor, that of a responsible parent/guardian. 5. Close-outs The City's obligation to the County shall not end until all close-out requirements are completed. Activities during this close-out period shall include, but are not limited to: making final payments, disposing of program assets (including the return of all unused materials, equipment, unspent cash advances, program income balances, and accounts receivable to the County), and determining the custodianship of records. Not withstanding the foregoing, the terms of this Agreement shall remain in effect during any period that the City has control over CDBG funds, including program income. 6. Audits & Inspections All City records with respect to any matters covered by this Agreement shall be made available to the County, HUD, and the Controller General of the United States or any of their authorized representatives, at any time during normal business hours, as often as deemed necessary, to audit, examine, and make excerpts or transcripts of all relevant data. Any deficiencies noted in audit reports must be fully cleared by the City within 30 days after receipt by the City. Failure of the City to comply with the above audit requirements will constitute a violation of this contract and may result in the withholding of future payments. The City hereby agrees to have an annual agency audit conducted in accordance with current County policy concerning subrecipient audits and OMB Circular A-133. Page 5of6 EXHIBIT C File No.: 3.TM.22-10 IV. PROJECT IMPLEMENTATION AND SCHEDULE Unless pre -approved by County, CITY will perform and complete the activities described in Section II in conformance with the schedule of tasks and milestones listed below: Tasks / Milestone Start Date Completion Date Attend Mandatory Cooperating July 2010 July 2010 City Training Execute Subrecipient Agreements (EDA must approve) Implement Program Activities Execute Supplemental Agreement & Notice to Incur Cost City Submit Quarterly Performance Reports to County County Monitoring of City Performance City submit Monthly Direct Benefit Reports City Submits Reimbursement Requests Monthly Submittal ❑ Other Schedule ❑ CDBG Program Services Complete July 1, 2010 July 1, 2010 August 2010 September 2010 September 2010 TBD September 2010 October 15, 2010 January 15, 2011 April 15, 201.1. July 31, 2011 July 2011 June 13,2011. V. SPECIAL CONDITIONS /PERFORMANCE REQUIREMENTS [This Section of the Agreement can be used by County to include any special conditions specific to the particular activity or CITY. — this may include limiting project activities to certain geographic areas, specific activities, specific costs, or specific time frames] Page 6of6 EXHIBIT D File No.: 3.TM.23-10 SUPPLEMENTAL AGREEMENT SCOPE OF WORK (PUBLIC SERVICE) I. GENERAL INFORMATION CITY NAME: City of Temecula ADDRESS: P.O. Box 9033 Temecula, CA 92589 CITY PROGRAM CONTACTS: David Bilbv. Senior Debt Analvst SUBRECIPIENT NAME: Citv of Temecula ADDRESS: P.O. Box 9033, Temecula, CA 92589 PROGRAM CONTACT: David Bilby, Senior Debt Analyst PHONE: (951) 308-6342 FAX: (951) 694-6479 E-MAIL: PROJECT NAME: -Circle of Care PROJECT LOCATION: 27711 Diaz Road, Temecula. CA 92590 LEVEL OF ENVIRONMENTAL CLEARANCE: EXEMPT 124 CFR 58.34 (a)(4)] CDBG ELIGIBILITY CODE: 24 CFR 570.201 (e) Public Services PROJECT FUNDING SUMMARY: $9,333 Project to be administered by County (EDA) on behalf of CITY: YES ❑ NO ❑ II. SCOPE OF SERVICE A. Activities City will be responsible for administering a 2010-2011 Community Development Block Grant for the Circle of Care in a manner satisfactory to the County of Riverside and consistent with any standards required as a condition of providing these funds. Such program will include the following activities eligible under the Community Development Block Grant program: Activity #I The program distributes food to exigible families at various sites throughout the SW part of the court. C�Jt3G funds will be used to oul'chase food. B. National Objective Page 1 of 6 EXHIBIT D File No.: 3.TM.23-10 All activities funded with CDBG funds must comply with one of more of the CDBG program's National Objective Criteria as required under 24 CFR 570.200(a)(2). CITY certifies that the activity (ies) carried out under this Agreement will meet the following National Objective: National Objective Criteria: 570.208 (a) (2) (i) (B ) CFRReference: Low Mod Limited Clientele Income Certification C. Levels of Accomplishment — Goals and Performance Measures The City agrees to provide the following levels of program services: Activity Units Total Total per Month Units/Year Unduplicated Persons Activity #1 Activity #2 350 Unit of Service is defined as: [NOTE: CDBG Program Managers, in consultation with the CITY, will determine the most appropriate performance measures for this activity. — e.g., meals served, counseling session completed, children participating, clients served, neighborhood clean-up days l:zel.d, etc.] CPD OUTCOME PERFORMANCE MEASUREMENT Objectives (select one): ® Creating Suitable Living Environments ❑ Providing Decent Affordable Housing ❑ Creating Economic Opportunities Outcome (select one): ® Availability/Accessibility ❑ Affordability ❑ Sustainability (promoting livable or viable communities) D. City Capacity By executing this Supplemental Agreement, the City certifies that it and its subrecipients have the appropriate number of trained and knowledgeable staff, adequate facilities, proper equipment, required licensing and permitting, and sufficient amount of financial resources necessary to implement and carry out the activities funded with CDBG funds. City will immediately notify County of any significant changes in organizational management, assigned staff, change in facilities, loss or change in matching funds, or any other event that could potentially impact City's performance under this Agreement. Any changes in the above items are subject to the prior approval of the County. E. Performance Monitoring The County of Riverside will monitor the performance of the City and its subrecipients against goals and performance standards as stated above. Substandard performance as determined by the County will constitute noncompliance with this Agreement. If action to correct such substandard performance is not taken by the City within a reasonable period of time after being notified by the County, contract suspension or termination procedures will be initiated. Page 2 of 6 EXHIBIT D File No.: 3.TM.23-10 F. Program Budget It is expressly agreed and understood that the total amount to be paid by the County under this Agreement shall not exceed $9.333. Drawdowns for the payment of eligible expenses shall be made against the line item budgets specified in this Section and in accordance with performance. Payments may be contingent upon certification of the Subrecipient's financial management system in accordance with the standards specified in 24 CFR 84.21. The County may require a more detailed budget breakdown than the one contained herein, and the City shall provide such supplementary budget information in a timely fashion in the form and content prescribed by the County. Any amendments to the budget must be approved in writing by both the County and City. Line Item Amount Notes All indirect costs must be pre -approved by the County. City must submit an Indirect Cost Allocation Plan to County, in a form specified by County, demonstrating the appropriate share of general and administrative costs. Page 3 of 6 Total Direct Program Expenses Salaries E Fringe Office Space (Program Only) Utilities , Communications Reproduction/Printing Supplies and Materials Mileage g Equipment (Program Only) Audit Transportation Other (Specify) Food � Total Indirect Program �., 1;, Expenses,,,. Indirect Costs (Specify)* E �v TOTAL CDBG BUDGET All indirect costs must be pre -approved by the County. City must submit an Indirect Cost Allocation Plan to County, in a form specified by County, demonstrating the appropriate share of general and administrative costs. Page 3 of 6 EXHIBIT D File No.: 3.TM.23-10 G. Total Amount of Non- CDBG Leveraging TOTAL: $247.500 III. ADMINISTRATIVE REQUIREMENTS A. Accounting Standards The City agrees to comply with 24 CFR 84 or 85 as applicable and agrees to adhere to the accounting principles and procedures required therein, utilize adequate internal controls, and maintain necessary source documentation for all costs incurred. B. Cost Principles The City shall administer its program in conformance with OMB Circulars A-122, "Cost Principles for Non -Profit Organizations," A-21, "Cost Principles for Educational Institutions," or OMB Circular A-87, "Cost Principles for State, Local and Indian Tribal Governments as applicable. These principles shall be applied for all costs incurred whether charged on a direct or indirect basis. C. Documentation and Record Keeping Records to be Maintained The City and its subrecipients will maintain all records required by the Federal regulations specified in 24 CFR 570.506, that are pertinent to the activities to be funded under this Agreement. Such records shall include but not be limited to: i Records providing a full description of each activity undertaken; ii. Records demonstrating that each activity undertaken meets one of the National Objectives of the CDBG program; iii. Records required to determine the eligibility of activities; iv. Records required to document the acquisition, improvement, use or disposition of real property acquired or improved with CDBG assistance; V. Records documenting compliance with the fair housing and equal opportunity components of the CDBG program; vi. Financial records as required by 24 CFR 570.502, and 24 CFR 84.21-28; and vii. Other records necessary to document compliance with Subpart K of 24 CFR Part 570. Page 4 of 6 EXHIBIT D File No.: 3.TM.23-10 2. Records Retention The City shall retain all financial records, supporting documents, statistical records, and all other records pertinent to the Agreement for a period of five (5) years. The retention period begins on the date of the submission of the County's annual performance and evaluation report to HUD in which the activities assisted under the Agreement are reported on for the final time. Notwithstanding the above, if there is litigation, claims, audits, negotiations or other actions that involve any of the records cited and that have started before the expiration of the five-year period, then such records must be retained until completion of the actions and resolution of all issues, or the expiration of the five-year period, whichever occurs later. 3. Client Data The City shall maintain client data demonstrating client eligibility for services provided. Such data shall include, but not be limited to, client name, address, income level or other basis for determining eligibility, and description of service provided. Such information shall be made available to County monitors or their designees for review upon request. 4. Disclosure The City understands that client information collected under this contract is private and the use or disclosure of such information, when not directly connected with the administration of the County's or City's responsibilities with respect to services provided under this contract, is prohibited by applicable federal and State law unless written consent is obtained from such person receiving service and, in the case of a minor, that of a responsible parent/guardian. 5. Close-outs The City's obligation to the County shall not end until all close-out requirements are completed. Activities during this close-out period shall include, but are not limited to: making final payments, disposing of program assets (including the return of all unused materials, equipment, unspent cash advances, program income balances, and accounts receivable to the County), and determining the custodianship of records. Not withstanding the foregoing, the terms of this Agreement shall remain in effect during any period that the City has control over CDBG funds, including program income. 6. Audits & Inspections All City records with respect to any matters covered by this Agreement shall be made available to the County, HUD, and the Controller General of the United States or any of their authorized representatives, at any time during normal business hours, as often as deemed necessary, to audit, examine, and make excerpts or transcripts of all relevant data. Any deficiencies noted in audit reports must be fully cleared by the City within 30 days after receipt by the City. Failure of the City to comply with the above audit requirements will constitute a violation of this contract and may result in the withholding of future payments. The City hereby agrees to have an annual agency audit conducted in accordance with current County policy concerning subrecipient audits and OMB Circular A-133. Page 5of6 EXHIBIT D File No.: 3.TM.23-10 IV. PROJECT IMPLEMENTATION AND SCHEDULE Unless pre -approved by County, CITY will perform and complete the activities described in Section II in conformance with the schedule of tasks and milestones listed below: Tasks / Milestone Start Date Completion Date Attend Mandatory Cooperating July 2010 July 2010 City Training Execute Subrecipient Agreements July 1, 2010 --- (EDA must approve) Implement Program Activities July 1, 2010 TBD Execute Supplemental Agreement August 2010 September 2010 & Notice to Incur Cost City Submit Quarterly October 15, 2010 Performance Reports to County January 15, 2011. April 15, 2011 July 31, 2011 County Monitoring of City TBD TBD Performance City submit Monthly September 2010 July 2011 Direct Benefit Reports City Submits Reimbursement Requests Monthly Submittal ❑ September 201.0 June 13, 201.1 Other Schedule ❑ CDBG Program Services Complete TBD V. SPECIAL CONDITIONS /PERFORMANCE REQUIREMENTS [This Section of the Agreement can be used by County to include any special conditions specific to the particular activity or CITY. — this may include limiting project activities to certain geographic areas, specific activities, specific costs, or specific time frames] Page 6 of 6 File No.: 0.70-10 EXHIBIT E SPONSOR'S AGREEMENT SCOPE OF WORK (PUBLIC SERVICE) L GENERAL INFORMATION SPONSOR NAME: CASA for Riverside County, Inc. ADDRESS: 44-199 Monroe St. (P.O. Box 3008 Indio, CA 92202) Indio, CA 92201 PROGRAM CONTACTS: Deborah Sutton, Executive Director PHONE: (760) 863-7424 FAX: (760) 863-7431 E-MAIL: PROJECT NAME: Children of the Court Advocate Scholarship Program PROJECT LOCATION: 44-199 Monroe St., Indio, CA 92201 LEVEL OF ENVIRONMENTAL CLEARANCE: EXEMPT [24 CFR 58.34 (a)(4)] CDBG ELIGIBILITY CODE: 24 CFR 570.201(e) Public Services PROJECT FUNDING SUMMARY: $38,275 1sT District $5,000 4th District $10,000 2nd District $6,000 5th District $5,000 3`d District $5,000 Temecula $7,275 II. SCOPE OF SERVICE A. Activities Sponsor will be responsible for administering a 2010-2011 Community Development Block Grant for the Children of the Court Advocate Scholarship Program in a manner satisfactory to the County of Riverside and consistent with any standards required as a condition of providing these funds. Such program will include the following activities eligible under the Community Development Block Grant program: Activity #1 The program provides trained volunteers to independently investigate an abused child's circumstances, report findings to the Juvenile Courts, monitor the delivery of services, and advocate on the child's behalf throughout the process. CDBG funds will provide 75 Advocate "Scholarships"for abused children that will be paired with a volunteer to follow the child's case until permanently resolved. Page 1 of 1 File No.: 0.78-10 EXHIBIT F SPONSOR'S AGREEMENT SCOPE OF WORK (PUBLIC SERVICE) L GENERAL INFORMATION SPONSOR NAME: Assistance League of Temecula Valley ADDRESS: 28720 Via Montezuma CA 92590 PROGRAM CONTACTS: Electra Demos, President PHONE: (951) 694-8018 E-MAIL: FAX: (951) 694-8298 PROJECT NAME: Oneration School Bell - Temecula PROJECT LOCATION: 28720 Via Montezuma, Temecula, CA 92590 LEVEL OF ENVIRONMENTAL CLEARANCE: EXEMPT [24 CFR 58.34 (a)(4)] CDBG ELIGIBILITY CODE: 24 CFR 570.201(e) Public Services PROJECT FUNDING SUMMARY: $23,250 3`d District $5,000 Murrieta $8,917 Temecula $9,333 II. SCOPE OF SERVICE A. Activities Sponsor will be responsible for administering a 2010-2011 Community Development Block Grant for the Operation School Bell - Temecula in a manner satisfactory to the County of Riverside and consistent with any standards required as a condition of providing these funds. Such program will include the following activities eligible under the Community Development Block Grant program: Activity #1 The Operation School Bell Program provides clothes and school supplies to children from low- income families. CDBG funds will provide "scholarships" to eligible children. Page 1 of 1 File No.: 0.79-10 EXHIBIT G SPONSOR'S AGREEMENT SCOPE OF WORK (PUBLIC SERVICE) L GENERAL INFORMATION SPONSOR NAME: Safe Alternatives for Everyone ADDRESS: 28910 Pujol Street Temecula, CA 92590 PROGRAM CONTACTS: June Earley, Director of Client Services PHONE: (951) 587-3900 E-MAIL: FAX: (951) 587-3902 PROJECT NAME: Family Violence Prevention Program PROJECT LOCATION: 28910 Pujol St., Temecula CA 92590 LEVEL OF ENVIRONMENTAL CLEARANCE: EXEMPT [24 CFR 58.34 (a)(4)] CDBG ELIGIBILITY CODE: 24 CFR 570.201(e) Public Services PROJECT FUNDING SUMMARY: $23,250 3`d District $5,000 Temecula $9,333 Murrieta $8,917 II. SCOPE OF SERVICE A. Activities Sponsor will be responsible for administering a 2010-2011 Community Development Block Grant for the Family Violence Prevention Program in a manner satisfactory to the County of Riverside and consistent with any standards required as a condition of providing these funds. Such program will include the following activities eligible under the Community Development Block Grant program: Activity #1 The Safe Alternative For Everyone (SAFE) program provides services to victims of domestic violence. CDBG funds will be used for salaries benefits (direct cost) for staff. Page 1 of 1 Item No. 6 Approvals City Attorney Director of Finance City Manager CITY OF TEMECULA AGENDA REPORT TO: City Manager/City Council FROM: Andre O'Harra, Chief of Police DATE: September 28, 2010 SUBJECT: Edward Byrne Memorial Justice Assistance Grant Funding PREPARED BY: Heidi Schrader, Senior Management Analyst RECOMMENDATION: That the City Council: Increase estimated General Fund Grant Revenue by $23,055; 2. Appropriate $23,055 from General Fund Grant Revenue to the Police Department. BACKGROUND: On July 27, 2010 the City Council approved the grant application for the 2010 Justice Assistance Grant (JAG). This grant allows local governments to support abroad range of activities to prevent and control crime. On September 1, 2010 the City received notification that the Office of Justice Assistance had approved the grant application and awarded the City the grant in the amount of $23,055. The 2010 JAG grant provides funds to purchase law enforcement technology in order to streamline operations. This technology will be used by Temecula's Special Enforcement Team and Traffic Division. It is anticipated that purchase of this equipment will increase the efforts of our Officers as it relates to graffiti and traffic enforcement. FISCAL IMPACT: General Fund grant revenues will be increased by $23,055 and will offset the appropriation of $23,055 in the Police Department budget for JAG Small Tools and Equipment. Item No. 7 Approvals City Attorney Director of Finance City Manager CITY OF TEMECULA AGENDA REPORT TO: City Manager/City Council FROM: Andre O'Harra, Chief of Police DATE: September 28, 2010 SUBJECT: Purchase of Four Honda Police Motorcycles PREPARED BY: Heidi Schrader, Senior Management Analyst RECOMMENDATION: That the City Council approve the purchase of four Honda Police Motorcycles for a total amount of $79,264. BACKGROUND: The Temecula Police Department is committed to obtaining the best technology in order to ensure Officer safety and to enhance enforcement. In fiscal year 2008 the Temecula Police Department performed a one year evaluation of brand new Harley Davidson, BMW and Honda Police Motorcycles. The motorcycles were rated based on ease of handling, acceleration, comfort, safety, and the cost of repairs and maintenance. Based on those criteria, the Honda Police Motorcycle came out as the preferred model. In fiscal year 2009 the Temecula Police Department began migrating to the Honda motorcycle by replacing one Harley Davidson that had reached the end of its useful life with a Honda. Four Police motorcycles have reached their limit of usefulness as Police vehicles and are due to be replaced this fiscal year. On August 12, 2010 a Request for Proposal was posted on the City website and notification was e-mailed to local Honda dealers. The City received two qualified responses. Both bids included a trade in option for the four Harley Davidson motorcycles. They included: Vendor Location Base Cost Trade In Amount Final Cost Callaway Motorsports Riverside $107,264 $28,000 $79,264 Huntington Beach Honda Huntington Beach $107,053 $22,000 $85,053 Based on the final bid price, qualifications, and vendor proximity it is recommended the bikes be purchased from Callaway Motorsports. FISCAL IMPACT: Adequate funds exist within the 2010-11 Police Department budget to make this purchase for $79,264. ATTACHMENTS: Callaway Motorsports Proposal to Provide Four (4) Honda Police Motorcycles. City of Temecula 43200 Business Park Dr Temecula, CA 92590 Proposal to Provide Four (4) Honda Police Motorcycles August 18, 2010 As per Section V, Paragraph E, Sub Paragraph i, items 1 thru 8 our reply is as follows: 1. Callaway Motorsports has been in business since 1984 providing such services as outlined in the RFP 2. Contact name shall be Jeremy Howe, Sales Manager, Callaway Motorsports 951-683-8839 3. For references you may contact: The City of Riverside Sgt. David Ruddy 951-353-7999 The City of Temecula Sgt. Mark Liggett 951-775-1180 The City of Banning Joe Feola 951-830-9937 The City of Indio Toyasha Black 760-931-4185 Riverside Sheriff's Department Indio Station 760-863-8990 4. Subcontracting for this RFP will be to: a. Woodcrest Vehicle Center, Jack Kelley, 951-222-2270 b. Blake's Custom Paint, Blake Weaver, 714-863-4134 5. Callaway Motorsports possesses a CA Motor Vehicle Dealer License #20013 and fulfills all requirements of said license. 6. N/A 7. Callaway Motorsports has not had any accidents in recent years and is currently in compliance with all CAL OSHA laws and requirements 8. N/A Sub Paragraph ii: Callaway Motorsports expects to complete 4 Honda Motorcycles as outlined in the RFQ within 60 days from receipt of the Original Purchase Order from the City of Temecula. Often work is completed within 30-45 days. Sub Paragraph iii: See attached Exhibit A for Pricing. Any questions please don't hesitate to contact me directly. Sincerely, Jeremy Howe Sales Manager 44 1575 University Ave. Riverside, CA 92507 1:�4 (951) 683-8839 Fax (951) 784-4715 1:�4 Temecula Police Department Scope of Specifications for 2010/2011 Honda Police Motorcycles EXHIBIT A Pricing Form All proposed motorcycles must meet the following detailed specifications at a minimum. The City is looking for a fully turnkey motorcycle with all items and accessories loaded prior to delivery. SHOULD THE MOTORCYCLE YOU ARE BIDDING DEVIATE IN ANY WAY FROM ANY OF THE SPECIFICATIONS, PLEASE NOTE THIS IN YOUR PROPOSAL. There is a section at the end to provide the substituted specification and the associated cost. The City will only pay for items exactly as quoted in the attached format. Item Item Description/Price should include listed equipment AND Bid Price Vendor Providing # installation cost 4 units Installation 1 Honda STI300PA6 Model Police Bike $13,999 ea ($55,996.00) 2 Sound Off Signal Generation 4 LED Lights with CA Title 13 AS SPEC'D YES Lenses Front Facing by Windshield - 1 Red facing forward (flashing) - 1 Blue facing forward (flashing) - 1 Red dash mounted ghost (steady) - 1 Headlight Wig Wag - 2 Stainless Steel Mounting bolts for front facing lights - 2 Aluminum Mounting Brackets for Front Facing Lights - 2 Aluminum Mounting wedges for front side cowl lights - 1 Red mounted on dash to warn of rear lights being on Side Mounted - 1 Blue on side of left front cowl @ 45 degree angle - 1 Red on side of right front cowl @ 45 degree angle - 1 Red/Blue Dual Surface Mount on right of Radio Box - 1 Red/Blue Dual Surface Mount on left of Radio Box Rear of Bike - I Red flashing mounted on left side rear facing radio,box tower - I Blue flashing mounted on right side rear facing radio box tower - 2 Blue bullet or LED style pursuit marker lights - 1 Red/Blue DGS mounted above License Plate frame 3 Siren — 1 Compact Electronic PA Speaker, with Wail, Yelp and AS SPEC'D YES Airhorn integrated (SA4209-6B) (Sound Off) 1 Siren Mount (1300-spk) 1 Unitrol power supply for siren (UM80K) 1 ST 13 Wiring Harness (1300 -Harness) 4 Chrome front and small rear guards AS SPEC'D YES 5 Hondaline heated handgrips with Hondaline Accessory harness for AS SPEC'D YES handgrips and Hondaline 12 volt accessory plug 6 Note pad holder AS SPEC'D YES Page 1 of 3 Temecula Police Department Scope of Specifications for 2010/2011 Honda Police Motorcycles Item Item Description/Price should include listed equipment AND Bid Price Vendor Providing # installation cost 4 units Installation 8 Pro 3 holder AS SPEC'D YES 9 Battery upgrade kit with Odyssey Battery Charger AS SPEC'D YES 10 Left Side Mount (Barrel forward, Stock rear) Shotgun rack AS SPEC'D YES 11 Painting — Black paint on faring and saddle bags with black gas tank AS SPEC'D YES with white stripe — no pin stripe_ 12 Radio Installation — install Temecula Police Department furnished AS SPEC'D YES radio. Vendor shall provide the following — PVORI-STA-U8/L Motor kit; PVPBRKT Radio head brackets; PVPTT2 Push to talk; 2 Dash mounted speakers with on/off switch; 12v 2.8amp Auxiliary radio battery; 6 amp uni-directional diode. 13 Emergency Lights wired to Temecula Police Department AS SPEC'D YES specifications and color combination as follows: Position 1 — Rear Facing Lights Position 2 — All lights Position 3 — Yelp momentary Position 4 — Wail on/off Position 5 — Open Switch on/off Airhom is on stock horn button 14 Preemption Emitter, Opticom, Tomar or equivalent. AS SPEC'D YES 15 Heli -Bar Handlebar risers AS SPEC'D YES 16 Garmin Zumo 660 GPS Device — 010-00727-00 AS SPEC'D YES Motorcycle Mount w/integrated power cable — 010-11270-03 17 12VDC Power Port (right side to allow corded LIDAR use AS SPEC'D YES Total of Line Items 2 thru 17 as specified by department $10,626.28ea. ($42,505.12) 18 Tax and License (including processing fees if applicable) $2,190.53ea. ($8,762.12) SubTotal Out The Door Purchase Cost $26,815.81 ea. ($107,263.24) 19 Do you offer any trade in options for our four current Harley- 4 UNITS @ Davidson Motorcycles? Amount? $7,000 EA ($28,000) 20 Any other discounts or options? Total Out The Door Purchase Cost $19,815.8lea ($79,263.24) (OPTIONAL) Extended Service Plan (please describe any you provide as well as the cost) None Motorcycle Buy Back Guarantee Amount (if provided) and Conditions Required for Buyback: None Earliest date you can provide four Motorcycles with Police Equipment: 45-60 days from receipt of City of Temecula Original Purchase Order Page 2 of 3 I Temecula Police Department Scope of Specifications for ZUIU%LUll riouda Ponce Motorcycles List all municipal Police Departments you have provided Police Motorcycles to (use additional sheets if required) City of Riverside City of Indio City of Perris Cory of Corona City of San Bernardino County of Riverside City of Glendale City of Banning City of Rialto County of San Bernardino This quote represents the delivery price for four HONDA POLICE MOTORCYCLE- ST 1300 Police unit from our firm and is good for 60 days. It is understood that the City will only pay for items as described in this quotation. Any deviations from specified equipment or installation that is not listed in this quote will not be accepted. SIGNED40— DATE 0��'/ le TITLE,S�2 COMPANY NAME Page 3 of 3 Item No. 8 Approvals City Attorney Director of Finance City Manager CITY OF TEMECULA AGENDA REPORT TO: City Manager/City Council FROM: Greg Butler, Director of Public Works/City Engineer DATE: September 28, 2010 SUBJECT: Amendment to the City's Proposition 1 B Spending Plan, Budget Transfer, and Contract Change Order to Facilitate the Santiago Road Rehabilitation and Restriping PREPARED BY: Amer Attar, Principal Engineer Jon Salazar, Associate Engineer RECOMMENDATION: That the City Council: Approve an amendment to the City's Proposition 1 B Spending Plan for FY 2008-09 to include Santiago Road as part of the Jedediah Smith Road Reconstruction Project; 2. Approve a transfer of $180,000.00 from the Citywide Slurry Seal Project, Roripaugh Estates Area (PW09-06) to the Jedediah Smith Road Reconstruction Project (PW09- 10) to cover the cost of the added work Contract Change Order and anticipated additional administration costs; 3. Approve CCO No. 4 in the amount of $158,785.00 adding the Santiago Road rehabilitation and restriping to the Jedediah Smith Road Reconstruction Project, Project No. PW09-10. BACKGROUND: In 2006, California voters approved Proposition 1B (Prop 1B — Transportation Bond/Local Streets & Roads), which authorized the sale of over $2 Billion in bonds for the rehabilitation and reconstruction of local streets and roads. The State authorized the release of Prop 1 B funds to local agencies in two installments; in Fiscal Years 2007-08 and 2008-09. The City received its first installment ($1.57 million) of Prop 1B bond funds in mid -2008. The second installment ($1.45 million) was received in June 2009. In order to receive these funds, the City was required to submit a Spending Plan with a list of projects to the California Department of Finance (DOF). The City's Prop 1B Spending Plans for Fiscal Years 2007-08 and 2008-09 were approved by the City Council on February 28, 2008 and December 16, 2008, respectively. These funds are being used to repair and maintain a variety of city-wide roadways that would not have been included in the City's annual maintenance and rehabilitation program due to funding limitations. The Jedediah Smith Road Reconstruction Project is one of the projects identified within the City's FY 2008-09 Spending Plan. Due to the current slowdown in the economy, recent construction bids have been lower than the cost estimates used to prepare the City's FY 2008-09 Spending Plan. As a result, it is anticipated that funds will be available from savings associated with the Citywide Slurry Seal Project to complete additional roadway work in accordance with the Prop 1 B guidelines. In order to fully utilize the remainder of these funds, staff is recommending that the City Council approve an administrative amendment to the City's Prop 1 B Spending Plan for Fiscal Year 2008-09 to add Santiago Road and include its rehabilitation as part of the Jedediah Smith Road Reconstruction Project. Although various streets and roads in the City have been identified as requiring some form of maintenance and/or rehabilitation, it has been determined that the best use of the Prop 1 B funding allocated to the City is to expand the scope of the Jedediah Smith Road Project to include Santiago Road. Contract Change Order No. 4 to the Jedediah Smith project and will cover the required work to rehabilitate Santiago Road from the east end of the bridge over I-15 to Ynez Road. The work will consist of the removal of the existing roadway striping, the rehabilitation of the roadway using a combination of the Asphalt Rubber Aggregate Membrane (ARAM) method and slurry seal, adjustment to grade of existing manholes and water valves, and application of new roadway striping. The existing roadway configuration will be modified to provide parallel parking areas on Santiago Road. The City requested a proposal from the contractor to do this work, and a cost of $158,785.00 was submitted. This cost includes the necessary traffic control to accomplish the work described. In addition to the cost of the change order, it is anticipated that an additional $21,215.00 will be necessary to cover the additional administration costs associated with this expanded scope of work. FISCAL IMPACT: The Jedediah Smith Road Reconstruction project is included in the City's FY2010-2014 Capital Improvement Program (CIP) and is funded with Prop 1B — Transportation Bond/Local Streets & Roads (Spending Plan for FY 2008-09). A budget transfer of $180,000.00 from the Citywide Slurry Seal project (Acct. No. 210.165.512.5804) to the Jedediah Smith Road project ($158,785.00 to Acct No. 210.165.511.5804 and $21,215.00 to Acct No. 210.165.511.5801) is required to fully fund the work covered by Change Order No. 4, as well as anticipated additional administration costs associated with this work. ATTACHMENTS 1. Contract Change Order (CCO) No. 4 2. Project Description 3. Project Location CITY OF TEMECULA CONTRACT CHANGE ORDER NO. 04 CONTRACT NO. PW09-10 Page 1 of 2 PROJECT: Road Reconstruction at Jedediah Smith Road TO CONTRACTOR: ICE Engineering NOTE: This change order is not effective until approved by the City Manager. CHANGE ORDER REQUESTED BY: Engineer 4.1 DESCRIPTION OF WORK: Additional pavement rehabilitation work on Santiago Road between Ynez Road and the 1-15 freeway. Work to include the removal of existing striping, grinding (-0.2' depth) of two (2) 13' wide travel lanes of the existing pavement, placement of 3/8" Asphalt Rubber Aggregate Membrane (ARAM), followed by placement of 0.1' (min.) of Asphalt Rubber Hot Mix (ARHM) in the grind areas, adjustment to grade of existing manholes and water valves, slurry sealing the entire road limits (approx 61' width by 1,900' length), application of new roadway striping per the approved striping plan, and the necessary traffic control measures. Method of Payment Agreed Lump Sum Price (Prime Contractor - including mark ups) .............................. $158,785.00 Agreed price: Net Cost of Extra Work............................................................................................... $158,785.00 Total Item 4.1............................................................................................................... $158,785.00 The agreed lump sum price constitutes full compensation, including mark-ups for the work described above and no additional compensation will be allowed therefor. Adjustment to working days: +30 Working Days CCO 4 — TOTAL INCREASE .............................................$ 158,785.00 CAProgram FilesW eevia. ComUo cum ent ConverterkempA978915. do IN III V961aI=ILVA lxfl11w9 Original Contract Amount ..................... This Change ........................................ Previously Approved Changes ............ Total Adjusted Contract Amount...... Adjustment to Working Days ............... Prepared by: Submitted by: Approved: (as authorized by City Manager) City of Temecula — Jon Salazar Associate Engineer City of Temecula — Amer Attar, P.E. Principal Engineer CONTRACT CHANGE ORDER NO. 04 CONTRACT NO. PW09-10 Page 2 of 2 City of Temecula — Greg Butler, P.E. Director of Public Works/City Engineer Date Date: Date: $ 429,402.50 $ 158,785.00 $ 36,922.10 $ 625,109.60 ............ +30 days We the undersigned contractor have given careful consideration to the change proposed and hereby agree: If this proposal is approved, that we will provide all equipment, furnish all materials, except as may otherwise be noted above; and, perform all services necessaryforthe work specified above, and will accept as full payment the prices listed above. Accepted: Date: By: Name: nature Printed Contractor: ICE Engineering Title: If the contractor does not sign acceptance of this order, his attention is directed to the requirements of the specifications as to proceeding with the ordered work and filing a written protest within the time therein specified. CAProgram FilesW eevia. ComUo cum ent ConverterkempA978915. do ROAD RECONSTRUCTION AT JEDEDIAH SMITH ROAD, CABRILLO AVENUE, AND VALLEJO AVENUE Circulation Project Project Description: Project will rebuild 28 feet of roadway width on Jedediah Smith Road between Temecula Parkway and Cabrillo Avenue, on Cabrillo Avenue between Jedediah Smith Road, and Vallejo Avenue between Cabrillo Avenue and Ynez Road. Project will include environmental processing, design, and reconstruction of the road segment. Benefit: Project will improve the quality and extend the service life of Jedediah Smith Road, Cabrillo Avenue, and Vallejo Avenue. Project Status: This project is estimated to be complete by the end of fiscal year 2011. Department: Public Works—Account No. 210.165.511 Priority: Project Cost: Actuals Future Total to Date 2010-11 2011.12 2012-13 2013-14 2014-15 Years Project Cost Administration $ 1,841 $ 92,000 $ 93,841 Construction $ 1,841 $410,000 1 $ $ $ $ $ $ 410,000 Construction Engineering $ 17,311 $ 17,311 Totals $ 1,841 $519,311 $ - $ - $ - $ - $ - $ 521,152 Source of Funds: Actuals Future Total to Date 2010-11 2011-12 2012-13 2013-14 2014-15 Years Proiect Cost Proposition 1B (Streets and Roads) $ 1,841 $519,311 $ 521,152 Total Funding: $ 1,841 $519,311 1 $ $ $ $ $ $ 521,152 Future Operation & Maintenance Costs: 2010-11 2011.12 2012-13 2013-14 2014-15 N/A N/A N/A N/A N/A 73 ROAD RECONSTRUCTION AT JEDEDIAH SMITH ROAD, CABRILLO AVENUE, AND VALLEJO AVENUE ti Circulation Project Location CHANGE ORDER WORK AREA 72 Item No. 9 Approvals City Attorney Director of Finance City Manager CITY OF TEMECULA AGENDA REPORT TO: City Manager/City Council FROM: Greg Butler, Director of Public Works/City Engineer DATE: September 28, 2010 SUBJECT: Expanded Parking Plan - Santiago Road PREPARED BY: Jerry Gonzalez, Associate Engineer - Traffic RECOMMENDATION: That the City Council Adopt a resolution entitled: RESOLUTION NO. 10- A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF TEMECULA ESTABLISHING A PARKING RESTRICTION ON THE NORTH SIDE OF SANTIAGO ROAD FROM YNEZ ROAD TO 350 FEET WEST OF "C" STREET, MONDAY THROUGH FRIDAY, EXCEPT HOLIDAYS AS SHOWN IN EXHIBIT "A" BACKGROUND: In the past, numerous requests have been received to consider implementing temporary on -street parking for special events and/or passenger loading/unloading during school peak periods on Santiago Road. These requests were generated by St. Catherine of Alexandria Catholic Church, Hillcrest Academy, and other educational and daycare facilities located along Santiago Road. Consistently, the requests were denied because the existing lane configuration and bike lane width is not adequate to accommodate on -street parking on a temporary basis and the substandard lane width creates potential conflicts between vehicles and bicyclists. More importantly, allowing temporary parking in a striped bicycle lane is a direct violation of the California Vehicle Code and could encourage motorists to disregard other regulatory traffic control devices. Recently, a request was received from Hillcrest Academy to consider the feasibility of providing on -street parking on Santiago Road, to accommodate student loading and unloading adjacent to their facility. Several striping alternatives were evaluated and Staff developed an alternative that provides on -street parking on both sides of Santiago Road while maintaining one travel lane and bike lane in each direction. The proposed striping alternative does not affect the current or future capacity of the roadway, which remains at Level of Service "A", and compliments the future Limited Secondary roadway section proposed for Santiago Road between Ynez Road and Margarita Road. Prior to implementing any striping modifications, staff will coordinate minor roadway maintenance by repairing any failing areas of pavement and slurry sealing this segment of the roadway. In order to encourage motorists to load and unload passengers on the south side adjacent to the schools and day care facilities, Staff recommends the implementation of a parking restriction, Monday through Friday, on the north side of Santiago Road between Ynez Road and 350 feet west of "C" Street. The proposed parking restriction will also mitigate potential conflicts between vehicles and pedestrians crossing Santiago Road. On -street parking will be allowed on the north side of Santiago Road on weekends and holidays when additional parking is needed for special events. There are no restrictions proposed for the south side of Santiago Road. At their meeting of June 24, 2010, the Public/Traffic Safety Commission recommended (3-0-2) that the City Council adopt a resolution establishing a parking restriction on the north side of Santiago Road, Monday through Friday, except Holidays and directed Staff to implement the proposed striping modification upon the City Council's approval of the parking restriction. FISCAL IMPACT: Adequate funds are available in the Traffic Division's Fiscal Year 2010-2011 operating budget to install striping modifications and appropriate signing. ATTACHMENTS: 1. Resolution No. 2010- _ 2. Exhibit "A" - Proposed Parking Restriction. 3. Exhibit "B" — Public/Traffic Safety Commission Agenda and Minutes —June 24, 2010. RESOLUTION NO. 10- A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF TEMECULA ESTABLISHING A NO PARKING RESTRICTION ON THE NORTH SIDE OF SANTIAGO ROAD FROM YNEZ ROAD TO 350 FEET WEST OF "C" STREET, MONDAY THROUGH FRIDAY, EXCEPT HOLIDAYS AS SHOWN IN EXHIBIT "A" THE CITY COUNCIL OF THE CITY OF TEMECULA DOES HEREBY RESOLVE AS FOLLOWS: Section 1. The City Council finds, determines and declares that: A. The California Vehicle Code provides local jurisdictions the authority to establish regulations prohibiting the stopping, standing or parking of vehicles on certain streets by ordinance or resolution. B. The City Council desires to prohibit the stopping, standing or parking of vehicles on certain streets during certain days of the week. C. Pursuant to Section 10.16.160, of the Temecula Municipal Code, "Parking Prohibited or Time Limited on Certain Streets", authorizes the City Council to establish parking prohibitions by resolution on City streets. Section 2. The City Council hereby establishes a no parking restriction on the north side of Santiago Road from Ynez Road to 350 feet west of "C" Street on Monday through Friday, except City designated Holidays, as further shown on Exhibit A, attached hereto and incorporated herein by this reference. The City Council authorizes the City Engineer to maintain by appropriate signing and/or markings certain no stopping zones, no parking zones, and restricted parking areas. PASSED, APPROVED, AND ADOPTED by the City Council of the City of Temecula this 28th day of September, 2010. Jeff Comerchero, Mayor ATTEST: Susan W. Jones, MMC City Clerk [SEAL] STATE OF CALIFORNIA ) COUNTY OF RIVERSIDE ) ss CITY OF TEMECULA ) I, Susan W. Jones, MMC, City Clerk of the City of Temecula, do hereby certify that the foregoing Resolution No. - was duly and regularly adopted by the City Council of the City of Temecula at a meeting thereof held on the day of by the following vote: AYES: COUNCIL MEMBERS: 1►to] x.�Ko1l1►NJlNd/IAd/l.1J:4:& 1 ABSENT: COUNCIL MEMBERS: ABSTAIN: COUNCIL MEMBERS: Susan W. Jones, MMC City Clerk 9: \/ ® |m # [ R� ®° _ \3 0Wo D _ `® G _ 0 $ CL AGENDA REPORT TO: Public/Traffic Safety Commission FROM: Greg Butler, Director of Public Works/City Engineer DATE: June 24, 2010 SUBJECT: Item 2 Traffic Conditions on Santiago Road - "C" Street to Ynez Road Prepared By: Jerry Gonzalez, Associate Engineer—Traffic RECOMMENDATION: That the Public/Traffic Safety Commission: Recommend the City Council adopt a Resolution establishing a limited parking restriction on the north side of Santiago Road from "C" Street to Ynez Road, Monday through Friday, Except Holidays, and 2. Direct Staff to implement the proposed striping modification on Santiago Road from "C" Street to Ynez Road, provided City Council approves the limited parking restriction. BACKGROUND: Staff received a request from the Hillcrest Academy to review the feasibility of providing on - street parking on Santiago Road, to accommodate student loading and unloading. The public has been notified of the Public/Traffic Safety Commission's consideration of this issue through the agenda notification process. Santiago Road from Old Town Front Street to Ynez Road is designated on the City's Circulation Plan as an eighty-eight (88) foot Secondary Arterial with a sixty-four (64) foot wide pavement section, which provides two (2) travel lanes in each direction and a Class 2 Bike Lane (striped) on both sides of the street. Santiago Road from Ynez Road to Margarita Road is designated as an eighty-eight (88) foot Limited Secondary Arterial with a forty-six (46) foot wide pavement section, which provides one (1) travel lane in each direction, a painted median, a Class 2 Bike Lane (striped) on each side of the street, and a pedestrian parkway. Currently, Santiago Road from Old Town Front Street to "C" Street is forty (40) feet wide, and widens to sixty-four (64) feet between "C" Street and Ynez Road. The Average Daily Traffic (ADT) on Santiago Road is approximately 5,700 between Old Town Front Street and Ynez Road. The speed limit is posted at 35 MPH on Santiago Road. In the past, the City has received numerous requests to consider implementing temporary on - street parking to accommodate special events and/or passenger loading/unloading during peak periods. The requests have been generated from St. Catherine of Alexandria Catholic Church, Hillcrest Academy, and other educational and daycare facilities located along Santiago Road. Staff has consistently denied these requests due to potential conflicts, such as conflicts between vehicles and bicyclists, moving and parked vehicles, and pedestrians and vehicles. All these conflicts create a potential liability for the City. Moreover, allowing temporary parking in a bicycle lane is in direct violation of the California Vehicle Code and may encourage motorists to disregard other regulatory traffic control devices. An evaluation of traffic conditions was performed on Santiago Road between Old Town Front Street and Ynez Road, which included a review of the roadway geometrics, accident history, and existing and projected traffic volumes. The accident history for the twenty-four (24) month period from April 1, 2008 to March 31, 2010, indicates there were three (3) reported collisions on Santiago Road between Old Town Front Street and Ynez Road. This favorable record indicates that motorists are exercising due care when travelling on Santiago Road between "C' Street and Ynez Road. A review of the existing roadway section indicates the following striping is "in place" on Santiago Road from "C Street to Ynez Road. • 12 foot wide, center two-way left -turn lane • 2- 5 foot wide Class 2 Bike Lanes • 16 foot wide westbound through lane • 26 foot wide eastbound through lane As shown, the existing lane configuration and bike lane width is not adequate to accommodate on -street parking, even on a temporary basis. A minimum of 12 feet is necessary to accommodate on -street parking and a Class 2 Bike Lane. The segment west of "C" Street is striped as follows: • 2-5 foot wide Class 2 Bike Lanes • 2-15 foot wide through lanes with double yellow centerline Again, the existing lane configuration and bike lane width is not adequate to accommodate on - street parking, even on a temporary basis. In order to accommodate on -street parking in this segment, the bike lane would need to be eliminated. An analysis of traffic volumes (existing and projected) and roadway capacity was performed on Santiago Road. As previously mentioned, the existing traffic volume on Santiago Road is 5,700 ADT. Based on the existing number of travel lanes and volumes, the roadway segment between Old Town Front Street and Ynez Road currently operates at Level of Service (LOS) "A". At General Plan Build -Out (2025), with 2 travel lanes in each direction, Santiago Road is expected to carry 7,000 ADT and operate at LOS "A". In order to determine the feasibility of providing on -street parking without eliminating the bike lane and more importantly affecting the capacity of the roadway, Staff evaluated several striping scenarios and developed an alternative that maintains one travel lane and Class 2 bike lane in each direction, provides on -street parking between "C Street and Ynez Road, and does not affect the current or future capacity of the roadway, which will remain at LOS "A". The proposed striping also compliments the future Limited Secondary roadway section proposed for Santiago Road between Ynez Road and Margarita Road, which will have one travel lane in each direction with a center turn lane. Along with the proposed striping change, Staff is recommending the implementation of a limited on -street parking restriction on the north side of Santiago Road from "C" Street to Ynez Road. The proposed prohibition will restrict parking Monday through Friday requiring motorists to load and unload passengers on the south side of Santiago Road, adjacent to the schools and day care facilities, thereby reducing potential conflicts between vehicles and pedestrians crossing Santiago Road. Effectively, the north side parking restriction does allow for on -street parking on weekends and holidays when additional parking is needed for special events. There are no restrictions proposed for the south side of Santiago Road. Staff recommends approval of the striping concept and parking restriction on the north side of Santiago Road from "C Street to Ynez Road. Should the Commission support staff's recommendation, prior to implementing any striping modifications, staff will coordinate minor roadway maintenance by repairing any failing areas of pavement and work to include the segment of Santiago Road from the freeway bridge to Ynez Road in an upcoming slurry seal project. FISCAL IMPACT: Minor cost associated with removing existing striping and then striping the new roadway configuration. Adequate funds are available in the FY10-11 Traffic Division operating budget to implement such a change. Attachment: 1. Exhibit "A"— Location Map 2. Exhibit "B" — Proposed Striping Modification Plan (Available for Review at Meeting) ACTION MINUTES OF TEMECULA PUBLIC/TRAFFIC SAFETY COMMISSION CITY HALL COUNCIL CHAMBERS 43200 BUSINESS PARK DRIVE TEMECULA, CALIFORNIA THURSDAY, JUNE 24, 2010 6:OO PM CALL TO ORDER:_ Chairperson Youmans FLAG SALUTE: Commissioner Hagel ROLL CALL: Arbogast, Hannum, Hagel, Ramos, Youmans ABSENT: Arbogast and Ramos PRESENTATIONS: Certificate of Recognition — Mark Severn - 24 Hour Fitness PUBLIC COMMENTS: COMMISSION REPORTS: COMMISSION CONSENT CALENDAR 1. Action Minutes of May 27, 2010 — to be continued to the meeting of July 22, 2010. RECOMMENDATION: 1.1 Approve the Action Minutes of May 27, 2010. COMMISSION BUSINESS 2. Traffic Conditions on Santiago Road — "C" Street to Ynez Road - Approved staff recommendation — (3-0-2) — Commissioner Hannum made the motion; it was seconded by Commissioner Hagel; and voice vote of those present reflected approval with Commissioners Arbogast and Ramos who were absent. RECOMMENDATION: 2.1 Recommend the City Council adopt a Resolution establishing a limited parking restriction on the north side of Santiago Road from "C' Street to Ynez Road, Monday through Friday, except Holidays; 2.2 Direct Staff to implement the proposed striping modification on Santiago Road from "C" Street to Ynez Road, provided City Council approves the limited parking _ _ restriction: TEMECULA COMMUNITY SERVICES DISTRICT Item No. 10 ACTION MINUTES of SEPTEMBER 14, 2010 City Council Chambers, 43200 Business Park Drive, Temecula, California TEMECULA COMMUNITY SERVICES DISTRICT MEETING The Temecula Community Services District Meeting convened at 7:40 P.M. CALL TO ORDER: President Chuck Washington ROLL CALL: DIRECTORS: Comerchero, Edwards, Naggar, Roberts, Washington CSD PUBLIC COMMENTS There were no public comments. CSD CONSENT CALENDAR 13 Action Minutes - Approved Staff Recommendation (5-0-0) — Director Edwards made the motion; it was seconded by Director Comerchero and electronic vote reflected unanimous approval. RECOMMENDATION: 13.1 Approve the action minutes of August 24, 2010. CSD BUSINESS 14 Old Town Temecula Community Theater Recap and Temecula Presents 2010-2011 Season Preview— received and filed RECOMMENDATION: 14.1 Receive and file the report recapping the activity during the 2009-2010 season at the Old Town Temecula Community Theater and previewing the upcoming Temecula Presents 2010-2011 season. By way of a PowerPoint presentation, Theater Manager Beers presented the theater recap as well as the season preview. CSD Action Minutes\091410 CSD DIRECTOR OF COMMUNITY SERVICES REPORT CSD GENERAL MANAGERS REPORT CSD BOARD OF DIRECTORS REPORTS CSD ADJOURNMENT At 7:50 P.M., the Temecula Community Services District meeting was formally adjourned to Tuesday, September 28, 2010, at 5:30 PM., for a Closed Session, with regular session commencing at 7:00 P.M., in the City Council Chambers, 43200 Business Park Drive, Temecula, California. Chuck Washington, President ATTEST: Susan W. Jones, MMC City Clerk/District Secretary [SEAL] CSD Action Minutes\091410 Item No. I I Approvals City Attorney Director of Finance City Manager TEMECULA COMMUNITY SERVICES DISTRICT AGENDA REPORT TO: General Manager/Board of Directors FROM: Genie Roberts, Director of Finance DATE: September 28, 2010 SUBJECT: Financial Statements for the Fiscal Year Ended June 30, 2010 PREPARED BY: Pascale Brown, Accounting Manager Rudy J. Graciano, Revenue Manager RECOMMENDATION: 1. That the Board of Directors receive and file the Financial Statements for the Fiscal Year Ended June 30, 2010. DISCUSSION: The attached financial statements reflect the unaudited activity of the Community Services District for the fiscal year ended June 30, 2010. Please see the attached financial statements for an analytical review of financial activity. FISCAL IMPACT: None. ATTACHMENTS: -Combining Balance Sheet as of June 30, 2010 -Statement of Revenues, Expenditures and Changes in Fund Balance — Budget and Actual for the fiscal year ended June 30, 2010. TEMECULA COMMUNITY SERVICES DISTRICT ................................ Combining Balance Sheet as June 30, 2010 and Statements of Revenues, Expenditures and Changes in Fund Balance — Budget and Actual for the Fiscal Year Ended June 30, 2010 (Unaudited) Prepared by the Finance Department Temecula Community Services District Combining Balance Sheet As of June 30, 2010 LIABILITIES AND FUND BALANCES: LIABILITIES: Parks & Service Service Service Other Current Liabilities Recreation Level B Level C Level D ASSETS: 987,974 203 214,763 Cash and Investments $ 2,216,564 $ 54,964 $ 843,308 $ 2,880,088 Receivables 125,024 14,125 58,413 141,305 Deposit 4,000 - - - TOTAL ASSETS $ 2,345,588 $ 69,089 $ 901,721 $ 3,021,393 LIABILITIES AND FUND BALANCES: LIABILITIES: Other Current Liabilities $ 987,974 $ 203 $ 214,763 $ 2,961,051 987,974 203 214,763 2,961,051 FUND BALANCES: Reserved 82,723 Designated 1,274,891 68,886 686,958 60,342 TOTAL FUND BALANCES 1,357,614 68,886 686,958 60,342 TOTAL LIABILITIES and FUND BALANCES $ 2,345,588 $ 69,089 $ 901,721 $ 3,021,393 Please note that these balances are unaudited. 1 Temecula Community Services District Combining Balance Sheet As of June 30, 2010 Summer 2001 Service Service Youth Debt Level R Level L Library Program Service Total ASSETS: Cash and Investments $ 9,899 $ 229,418 $ 1,131,810 $ - $ 2,967 $ 7,369,018 Receivables 146 18,075 4,251 45,408 10 406,757 Deposit - - - - - 4,000 TOTAL ASSETS $ 10,045 $ 247,493 $ 1,136,061 $ 45,408 $ 2,977 $ 7,779,775 LIABILITIES AND FUND BALANCES: LIABILITIES: Other Current Liabilities $ - $ 19,185 $ 203,736 $ 27,446 $ - $ 4,414,358 - 19,185 203,736 27,446 - 4,414,358 FUND BALANCES: Reserved - 9,320 2,977 95,020 Designated 10,045 228,308 923,005 17,962 - 3,270,397 TOTAL FUND BALANCES 10,045 228,308 932,325 17,962 2,977 3,365,417 TOTAL LIABILITIES and FUND BALANCES $ 10,045 $ 247,493 $ 1,136,061 $ 45,408 $ 2,977 $ 7,779,775 Please note that these balances are unaudited. N Temecula Community Services District Citywide Operations Statement of Revenues, Expenditures and Changes in Fund Balance- Budget and Actual for the Fiscal Year Ended June 30, 2010 REVENUES: Special Tax TCSD Admin Fee Credlt"REST" Recreation Programs Investment Interest Transfer In Reimbursements and Lease Income Development Services TOTAL REVENUES EXPENDITURES: Parks, Medians and Arterial Street Lighting Seniors Community Recreation Center (CRC) Recreation Programs Temecula Community Center (TCC) Museum Aquatics Sports Children's Museum Community Theater Cultural Arts Old Town Maintenance TOTAL EXPENDITURES Revenues Over/(Under) Expenditures Transfers Out Revenues Over/(Under) Expenditures and Transfers Beginning Fund Balance, July 1, 2009 Ending Fund Balance, June 30, 2010 Notes: Annual Percent Amended YTD Total Total Budget Activity Encumbrances Activity Activity $ 3,718,996 $ 3,726,130 $ - $ 3,726,130 5,285,884 5,285,884 - 5,285,884 1,804,552 1,838,492 - 1,838,492 5,063 8,424 - 8,424 264,000 264,000 - 264,000 96,368 98,307 98,307 38,864 13,336 13,336 11,213,727 11,234,573 11,234,573 6,343,539 6,174,313 2,653 6,176,966 290,687 262,961 - 262,961 519,576 462,845 - 462,845 916,631 819,927 58,044 877,971 285,619 263,106 - 263,106 258,303 237,675 867 238,542 630,812 594,958 - 594,958 316,724 309,908 614 310,522 348,452 319,961 - 319,961 1,085,403 1,045,324 16,200 1,061,524 101,109 77,019 3,345 80,364 144,436 101,628 1,000 102,628 11,241,291 10,669,625 82,723 10,752,348 (27,564) 564,948 (481,441) (481,441) (509,005) 83,507 1,274,107 1,274,107 $ 765,102 $ 1,357,614 (1) The variance is due to a continued overall decline in development services and the timing of planned development. (2) The variance in Old Town Maintenance is due to less than anticipated maintenance services during this fiscal year. 100% 100% 102% 166% 100% 102% 34%(1) 100% 97% 90% 89% 96% 92% 92% 94% 98% 92% 98% 79% 71%(2) 96% Temecula Community Services District Service Level B - Residential Street Lights Statement of Revenues, Expenditures and Changes in Fund Balance- Budget and Actual for the Fiscal Year Ended June 30, 2010 REVENUES: Assessments TCSD Admin Credit/REST Street Lighting Fees Investment Interest TOTAL REVENUES EXPENDITURES: Salaries & Wages Street Lighting Operating Expenditures TOTAL EXPENDITURES Revenues Over/(Under) Expenditures Beginning Fund Balance, July 1, 2009 Ending Fund Balance, June 30, 2010 Annual Amended Total Percent Budget Activity of Budget $ 641,435 $ 656,625 102% 317,057 317,057 100% 216 216 100% 29 265 958,737 974,163 102% 7,702 7,616 99% 914,140 912,839 100% 20,860 20,006 96% 942,702 940,461 100% 16,035 33,702 35,184 35,184 $ 51,219 $ 68,886 4 Temecula Community Services District Service Level C - Perimeter Landscaping and Slope Maintenance Statement of Revenues, Expenditures and Changes in Fund Balance- Budget and Actual for the Fiscal Year Ended June 30, 2010 REVENUES: Assessments Tree Trimming And Removal Investment Interest TOTALREVENUES EXPENDITURES: Salaries and Wages Landscape Maintenance Operating Expenditures TOTAL EXPENDITURES Revenues Over/(Under) Expenditures Transfers Out Revenues Over/(Under) Expenditures and Transfers Beginning Fund Balance, July 1, 2009 Ending Fund Balance, June 30, 2010 Annual Amended Total Percent Budget Activity of Budget $ 1,582,337 $ 1,609,177 102% 1,500 446 30%(1) 4,844 7,636 158% 1,588,681 1,617,259 102% 189,741 189,619 100% 833,008 781,806 94% 491,099 399,180 81% (2) 1,513,848 1,370,605 91% 74,833 246,654 (264,600) (264,600) (189,767) (17,946) 704,904 704,904 $ 515,137 $ 686,958 Notes: (1) The variance is due to decreasing tree trimming activities during this fiscal year. (2) The variance in operating expenditures is due to less anticipated slope maintenance repairs during this fiscal year. s Temecula Community Services District Service Level D - Refuse Collection, Recycling and Street Sweeping Statement of Revenues, Expenditures and Changes in Fund Balance- Budget and Actual for the Fiscal Year Ended June 30, 2010 REVENUES: Assessments Grants Recycling Program Investment Interest TOTALREVENUES EXPENDITURES: Salaries and Wages Refuse Hauling Operating Expenditures TOTAL EXPENDITURES Revenues Over/(Under) Expenditures Beginning Fund Balance, July 1, 2009 Ending Fund Balance, June 30, 2010 Annual Amended Total Percent Budget Activity of Budget $ 6,000,012 $ 5,815,269 97% 26,240 - 1) 5,000 5,350 107% 3,435 11,693 340% 6,034,687 5,832,312 97% 71,458 71,484 100% 5,911,862 5,911,638 100% 65,090 38,480 59% (2) 6,048,410 6,021,602 100% (13,723) (189,290) 249,632 249,632 $ 235,909 $ 60,342 Notes: (1) The variance is due to State of California budget reduction, this grant will be reprogrammed to fiscal year 2010-11. (2) The variance is due to the $26,240 amount budgeted for Grant recycling not received so funds were not expended. s Temecula Community Services District Service Level R - Streets and Roads Statement of Revenues, Expenditures and Changes in Fund Balance- Budget and Actual for the Fiscal Year Ended June 30, 2010 REVENUES: Assessments Investment Interest TOTALREVENUES EXPENDITURES: Emergency Street Maintenance Property Tax Admin Fees TOTAL EXPENDITURES Revenues Over/(Under) Expenditures Annual Amended Total Percent Budget Activity of Budget $ 3,687 $ 3,371 91% 381 264 69% 4,068 3,635 89% 37,000 32,803 89% 100 35 35% 37,100 32,838 89% (33,032) (29,203) Beginning Fund Balance, July 1, 2009 39,248 39,248 Ending Fund Balance, June 30, 2010 $ 6,216 $ 10,045 Temecula Community Services District Service Level L - Lake Park Maintenance Statement of Revenues, Expenditures and Changes in Fund Balance- Budget and Actual for the Fiscal Year Ended June 30, 2010 REVENUES: Assessments Harveston Lake Boat Fees Investment Interest TOTALREVENUES EXPENDITURES: Salaries & Wages Operating Expenditures TOTAL EXPENDITURES Revenues Over/(Under) Expenditures Beginning Fund Balance, July 1, 2009 Ending Fund Balance, June 30, 2010 Annual Amended Total Percent Budget Activity of Budget $ 221,151 $ 236,809 107% 2,600 3,843 148% 2,349 2,600 111% 226,100 243,252 108% 56,670 56,540 100% 194,900 194,983 100% 251,570 251,523 100% (25,470) (8,271) 236,579 236,579 $ 211,109 $ 228,308 8 Temecula Community Services District Temecula Library Statement of Revenues, Expenditures and Changes in Fund Balance- Budget and Actual for the Fiscal Year Ended June 30, 2010 REVENUES: Library Services Investment interest TOTAL REVENUES EXPENDITURES: Salaries & Wages County Contract Operating Expenditures TOTAL EXPENDITURES Revenues Over/(Under) Expenditures Beginning Fund Balance, July 1, 2009 Ending Fund Balance, June 30, 2010 Annual Amended YTD Budget Activity $ 148,750 $ 153,006 20,855 18,858 169,605 171,864 Total Percent Encumbrances Activity of Budget $ - $ 153,006 103% - 18,858 90% 171,864 101% 13,303 12,704 - 12,704 95% 190,050 180,000 - 180,000 95% 555,168 455,895 9,320 465,215 84% 758.521 648.599 9.320 657.919 87% (588,916) (476,735) 1,409,060 1,409,060 $ 820,144 $ 932,325 s Temecula Community Services District Mayor Summer Youth Program Statement of Revenues, Expenditures and Changes in Fund Balance- Budget and Actual for the Fiscal Year Ended June 30, 2010 Annual Percent Amended Total Of Budget Activity Budget REVENUES Federal Grant $ 378,273 $ 333,647 88%(1) Investment Interest - 23 TOTAL REVENUES 378,273 333,670 88% EXPENDITURES: Salaries & Wages 349,790 318,732 91% Operating Expenditures 48,483 17,029 35% TOTAL EXPENDITURES 398,273 335,761 84% Revenues Over/(Under) Expenditures (20,000) (2,091) Beginning Fund Balance, July 1, 2009 20,053 20,053 Ending Fund Balance, June 30, 2010 $ 53 $ 17,962 Notes: (1) Revenues are based on qualifying expenditures incurred which are reimbursable from the Summer Youth Grant. 10 Temecula Community Services District Debt Service Fund Statement of Revenues, Expenditures and Changes in Fund Balance- Budget and Actual for the Fiscal Year Ended June 30, 2010 REVENUES Investment Interest Transfer In TOTALREVENUES EXPENDITURES: Debt Service - Principal Debt Service - Interest Operating Expenditures TOTAL EXPENDITURES Revenues Over/(Under) Expenditures Beginning Fund Balance, July 1, 2009 Ending Fund Balance, June 30, 2010 Annual Percent Amended Total Of Budget Activity Budget $ 215 $ 147 68% 481,441 481,441 100% 481,656 481,588 100% 275,000 275,000 100% 215,190 215,190 100% 3,850 3,850 100% 494,040 494,040 100% (12,384) 15,429 (12,452) 15,429 $ 3,045 $ 2,977 11 TCSD DEPARTMENTAL REPORT Item No. 12 Approvals City Attorney Director of Finance City Manager TEMECULA COMMUNITY SERVICES DISTRICT AGENDA REPORT TO: General Manager/Board of Directors FROM: Herman D. Parker, Director of Community Services DATE: September 28, 2010 SUBJECT: Monthly Departmental Report PREPARED BY: Gail Zigler, Administrative Assistant Phase 1 of the Redhawk Park Improvement project is currently underway. Improvements to the park will include construction of a restroom, parking lot improvements, and a half -court basketball court at Redhawk Community Park, as well as a permanent dog park. Completion is anticipated in December 2010. The Escallier House and Barn have been relocated as part of the Temecula Community Center (TCC) expansion project. A bid opening was held on March 4, 2010. The project calls for refurbishment of the Escallier House and Barn which will be the future home of the Temecula Community Pantry. A construction contract was awarded in March of 2010. The project is currently under construction and staff anticipates the project will be completed by the end of the year. A conceptual design for the Old Town Gymnasium project was completed and approved by the Community Services Commission and City Council. The new gymnasium project will include the construction of a regulation size basketball court, restroom facilities, seating for spectators and an office. The project is currently in design development. During the month of September, the Community Services Department hosted the 9/11 Remembrance, the 2nd Annual College Fair Vocational and Educational, and the Annual Volunteer Recognition event. Staff continues to carry out the many classes, activities and events outlined in the Summer/Fall Guide to Leisure Activities. Within the Cultural Arts Division the Old Town Temecula Community Theater released their 2010-2011 Season of Temecula Presents which includes their dance series, blues series, and orchestra series, as well as the regular Jazz, Country, Classics and Rock series at the Merc. The Temecula Public Library continues to have the highest circulation of book materials in the Riverside County system. In February 2010 Temecula Public Library had 44% of the total circulation of the 13 libraries in the mid -south zone for Riverside County. The combined circulation for the Temecula Public Library and the Grace Mellman Library had 54% of the total for the zone. The TCSD Maintenance Division plays an integral role in assisting with the many citywide special events held each month. In addition, the Maintenance Division continues to oversee the maintenance and rehabilitation of all City parks and facilities. REDEVELOPMENT AGENCY Item No. 13 ACTION MINUTES of SEPTEMBER 14, 2010 City Council Chambers, 43200 Business Park Drive, Temecula, California TEMECULA REDEVELOPMENT AGENCY MEETING The Temecula Redevelopment Agency Meeting convened at 7:51 P.M. CALL TO ORDER: Chair Person Mike Naggar ROLL CALL: AGENCY MEMBERS: Comerchero, Edwards, Washington, Roberts, Naggar RDA PUBLIC COMMENTS There were no public comments. RDA CONSENT CALENDAR 15 Action Minutes - Approved Staff Recommendation (5-0-0) Agency Member Comerchero made the motion; it was seconded by Agency Member Edwards and electronic vote reflected unanimous approval. RECOMMENDATION: 15.1 Approve the action minutes of August 24, 2010. RDA EXECUTIVE DIRECTORS REPORT RDA AGENCY MEMBERS REPORTS RDA ADJOURNMENT At 7:51 P.M., the Temecula Redevelopment Agency meeting was formally adjourned to Tuesday, September 28, 2010, at 5:30 P.M., for a Closed Session, with regular session commencing at 7:00 P.M., in the City Council Chambers, 43200 Business Park Drive, Temecula. California. Michael S. Naggar, Chair Person ATTEST: Susan W. Jones, MMC City Clerk/Agency Secretary [SEAL] RDA Action Minutes\091410 1 Item No. 14 Approvals City Attorney Director of Finance City Manager TEMECULA REDEVELOPMENT AGENCY AGENDA REPORT TO: City Manager/City Council FROM: Genie Roberts, Director of Finance DATE: September 28, 2010 SUBJECT: Financial Statements for the Fiscal Year Ended June 30, 2010 PREPARED BY: Rudy J. Graciano, Revenue Manager RECOMMENDATION: That the Agency Members: 1. Receive and file the Financial Statements for the Fiscal Year Ended June 30, 2010. 2. Approve an increase of $568,000 for Tax Increment revenues in the Debt Service Fund budget. 3. Approve an appropriation of $665,000 for Passthrough Agreements in the Redevelopment Agency Debt Service Fund Budget. 4. Approve an appropriation of $93,000 for Operating Transfers Out in the Redevelopment Capital Improvement budget and an offsetting decrease in the Redevelopment Agency Debt Service Fund budget. 5. Approve an appropriation of $83,000 for interest expenditures in the Debt Service Fund budget. BACKGROUND: The attached financial statements reflect the unaudited activity of the Redevelopment Agency for the fiscal year ended June 30, 2010. Please seethe attached financial statements for an analytical review of financial activity. The additional increases for property tax increment and passthrough agreement payments are based upon final reconciliation of tax increment activity by the County. Since Temecula's property tax increment received was higher than expected, also increased to the related passthrough payment obligations to other agencies. The offsetting transfers between the RDA Capital Projects Fund and the RDA Debt Service Fund to the Capital Improvement Fund is to adjust for remaining bond proceeds compared to remaining budgets in the Old Town infrastructure projects. The overall Old Town infrastructure project budgets remain unchanged. The additional increase of interest expenditures in the RDA Debt Service Fund is to budget for fiscal year 2009-10 interest expenditures for the 6`h Street loan due to be repaid to the City's General Fund. FISCAL IMPACT: Fiscal year ended June 2009-2010 budgeted fund balance versus actual increased in the RDA Affordable Housing Fund approximately $3.8 million primarily as a result of the timing of expenditures on housing projects. Fiscal year ended June 2009-2010 budgeted fund balance versus actual increased in the RDA CIP Fund are approximately $1.1 million primarily as a result of the timing of expenditures of the auto mail sign and CSUSM tenant improvement projects, as well as contractual savings due to deferring the Jefferson Corridor study to FY 2010-11. Fiscal year ended June 2009-2010 budgeted fund balance versus actual increased in the RDA Debt Service Fund by approximately $475,000 primarily as a result of the timing of the Old Town Infrastructure projects which are financed by bond proceeds. ATTACHMENTS: -Combining Balance Sheet as of June 30, 2010 -Statement of Revenues, Expenditures and Changes in Fund Balance — Budget and Actual for the fiscal year ended June 30, 2010. TEMECULA REDEVELOPMENT AGENCY ................................ Combining Balance Sheet as of June 30, 2010 and Statements of Revenues, Expenditures and Changes in Fund Balance — Budget and Actual for the Nine Months Ended June 30, 2010 (Unaudited) Prepared by the Finance Department ASSETS: Cash and Investments Receivables Advances to Other Funds-SERAF Land Held for Resale TOTAL ASSETS LIABILITIES and FUND BALANCE, Liabilities: Other Current Liabilities Due to Other Funds Advances from Other Funds-SERAF Deferred Revenue Total Liabilities Fund Balances: Reserved Unreserved Total Fund Balances TOTAL LIABILITIES anc FUND BALANCE Temecula Redevelopment Agency Combining Balance Sheet As of June 30, 2010 Affordable Housing CIP Fund Fund $ 13,730,281 15, 822, 384 4,354,450 6,616,177 $ 40,523,292 $ 1,745,626 417,888 98,484 $ 2,261,998 $ 83,166 $ 101,224 - 4,354,450 15, 400, 969 416,513 15,484,135 4,872,187 Debt Service Total $ 4,564,284 $ 20,040,191 53,516 16, 293, 788 - 4,354,450 - 6,714,661 $ 4,617,800 $ 47,403,090 $ 72,000 $ 256,390 1,798,956 1,798,956 - 4,354,450 15, 817, 482 1,870,956 22,227,278 25,039,157 849,697 2,746,844 28,635,698 - (3,459,886) - (3,459,886) 25,039,157 (2,610,189) (1) 2,746,844 25,175,812 $ 40,523,292 $ 2,261,998 $ 4,617,800 $ 47,403,090 NOTES: (1) The deficit Fund Balance is due to the 09-10 Supplemental Educational Revenue Augmentation Fund (SE RAF) Obligation per state law AB4x26. Funds are being borrowed from the RDA Affordable Housing Fund to meet the required obligation therefore, this "borrowing" creates a negative fund balance in this fund. Please note that these balances are unaudited. I] Temecula Redevelopment Agency Statement of Revenues, Expenditures and Changes in Fund Balance - Budget and Actual Redevelopment Agency Affordable Housing For the Twelve Months Ended June 30, 2010 NOTES: (1) Investment Interest was higher than expected due to higher cash balances as a result of timing of payments for Affordable Housing projects. (2) The variance in forgivable loans is higher due to more than expected residential rehabilitation loans refinanced during this fiscal year. (3) Unanticipated cash received from the US Treasury pursuant to Federal Recovery Act. Monies will be used to partially reimburse the City for future debt service costs related to 2010 bond issuance. (4) The variance is due to less grading maintenance as only minor sediment and erosion control measures are needed to protect the property and adjacent properties from water run-off. Annual Percent Amended YTD Total of Budget Activity Encumbrances Activity Budget REVENUES: Property Tax Increment $ 3,994,600 $ 4,146,788 $ - $ 4,146,788 104% Investment Interest 100,518 131,052 - 131,052 130%(1) Rental Income 143,000 143,000 - 143,000 100% Sale of Property 314,635 314,635 - 314,635 100% Loan Interest/Forgivable loans 34,652 43,955 - 43,955 127% (2) Reimbursements - 133,922 - 133,922 (3) Bond Proceeds 13,794,030 13,755,000 - 13,755,000 100% TOTAL REVENUES 18,381,435 18,668,352 - 18,668,352 102% EXPENDITURES: CAPITAL PROJECTS: Affordable Housing- Temecula Gardens 165-811 305,000 305,000 - 305,000 100% Affordable Housing- Old Town Mixed Use 165-812 8,514,028 5,075,390 3,438,595 8,513,985 100% Residential Rehabilitation Programs 165-813 76,211 73,712 - 73,712 97% Affordable Housing- Warehouse@Creekside 165-814 6,000,000 6,000,000 - 6,000,000 100% NW RDA Property Grading NPDES Compliance 165-839 84,968 39,680 - 39,680 47%(4) 14,980,207 11,493,782 3,438,595 14,932,377 OPERATING EXPENDITURES: Salaries and Benefits 579,946 579,792 - 579,792 100% Operating and Administrative Expenditures 912,189 858,297 20,446 878,743 96% TOTAL EXPENDITURES 1,492,135 1,438,089 20,446 1,458,535 98% Revenues Over/(Under) Expenditures 1,909,093 5,736,481 Beginning Fund Balance, July 1, 2009 19,302,676 19,302,676 Ending Fund Balance, June 30, 2010 $ 21,211,769 $ 25,039,157 NOTES: (1) Investment Interest was higher than expected due to higher cash balances as a result of timing of payments for Affordable Housing projects. (2) The variance in forgivable loans is higher due to more than expected residential rehabilitation loans refinanced during this fiscal year. (3) Unanticipated cash received from the US Treasury pursuant to Federal Recovery Act. Monies will be used to partially reimburse the City for future debt service costs related to 2010 bond issuance. (4) The variance is due to less grading maintenance as only minor sediment and erosion control measures are needed to protect the property and adjacent properties from water run-off. Temecula Redevelopment Agency Statement of Revenues, Expenditures and Changes in Fund Balance - Budget and Actual Redevelopment Agency - CIP For the Twelve Months Ended June 30, 2010 REVENUES: Investment interest Transfer In Miscellaneous Income TOTAL REVENUES EXPENDITURES: CAPITAL PROJECTS: Auto Mall Sign 280-842 OPERATING EXPENDITURES: Salaries and Wages Operating and Administrative Expenditures Tenant Improvement -CSUSM SERAF Obligation Old Town Plan Implementation TOTAL EXPENDITURES: Revenues Over/(Under) Expenditures Other Financing Sources (Uses): Transfers Out Revenues Over/(Under) Expenditures and Other Financing Sources (Uses Beginning Fund Balance, July 1, 2009 Ending Fund Balance, June 30, 2010 Annual Amended YTD Budget Activity Percent Total of Encumbrances Activity Budget $ 43,939 $ 38,297 $ - $ 38,297 87% 1,773,000 1,773,000 - $ 1,773,000 100% 5,600 11,288 11,288 202% (1) 1,822, 539 1,822,585 1,822,585 100% 875,000 416,513 458,487 875,000 100% (2) 276,220 232,659 - 232,659 84% 632,953 278,274 49,427 327,701 52% (3) 2,315,000 1,973,217 341,783 2,315,000 100% 4,354,450 4,354,450 - 4,354,450 100% 310,450 295,167 295,167 95% 8,764,073 7,550,280 849,697 8,399,977 96% (6,941,534) (5,727,695) (6,474,115) (6,566,426) (13,415,649) (12,294,121) 9,683,932 9,683,932 $ (3,731,717) (4) $ (2,610,189) (4) NOTES: (1) The variance is due to increased sponsorship contributions for various Old Town events. (2) This item is for the Auto Mall sign which was process this year; The first installment was paid in April 2010 and the remaining balance is scheduled to be paid in fiscal year 20102011. (3) Savings primarily due to Abbott OPA not being paid for in FY09/10, pending Abbott's submittal of employment data which requires City verification as well as savings in contractual service accounts due to deferring the Jefferson Corridor study. (4) The deficit Fund Balance is due to the 09-10 Supplemental Educational Revenue Augmentation Fund (SERAF) Obligation per state law AB4x26. Funds are being borrowed from the RDA Affordable Housing Fund to meet the required obligation therefore, this "borrowing" creates a negative Fund Balance in this fund. Temecula Redevelopment Agency Statement of Revenues, Expenditures and Changes in Fund Balance - Budget and Actual Redevelopment Agency - Debt Service For the Twelve Months Ended June 30, 2010 REVENUES: Property Tax Increment Investment Interest TOTALREVENUES OPERATING EXPENDITURES: Trustees Admin Fees Property Tax Admin Fees Pass -Through Agreements Debt Service - Principal Debt Service - Interest TOTAL EXPENDITURES: Revenues Over/(Under) Expenditures Other Financing Sources (Uses): Transfers Out Revenues Over/(Under) Expenditures and Other Financing Sources (Uses Beginning Fund Balance, July 1, 2009 Ending Fund Balance, June 30, 2010 Annual 12,800 Percent Amended Total of Budget Activity Budget $ 15,978,400 $ 16,547,318 104% 55,568 53,260 96% 16,033,968 16, 600,578 104% 15,975 12,800 80% 189,858 189,858 100% 11,012,000 11,676,392 106% (1) 710,000 710,000 100% 3,051,121 3,133,371 103% (2) 14,978,954 15, 722,421 105% 1,055,014 878,157 (5,383,608) (4,730,980) (4,328,594) (3,852,823) 6,599,667 6,599,667 $ 2,271,073 $ 2,746,844 NOTES: (1) Tax increment percentage for passthrough payments made for negotiated agreements were higher than budgeted. (2) The variance is due to FY09-10 interest expenditures for 6th Street loan to be repaid to the City's General Fund. 4 Item No. 15 Approvals City Attorney Director of Finance City Manager TEMECULA REDEVELOPMENT AGENCY AGENDA REPORT TO: Executive Director/Agency Members FROM: Aaron Adams, Assistant City Manager DATE: September 28, 2010 SUBJECT: Service Agreement for the Old Town Holiday Outdoor Ice Skating Rink - at the request of the RDA/Old Town Steering Committee Members Mayor Pro Tem Roberts and Council Member Edwards PREPARED BY: Gloria Wolnick, Economic Development Specialist II RECOMMENDATION: That the Agency Members: 1. Approve the "Agreement for Special Services between the City of Temecula Redevelopment Agency and Studio 33 Productions Outdoor Ice Skating Rink and Rink Management" in the amount of $90,000 and authorize the Chairman to sign on behalf of the Agency. 2. Direct staff to quantify through measurement the number of guests/attendees that enjoy this service for data that can be considered for future year negotiations. 3. Direct staff to measure success of event through media impressions such as publicity, media coverage, and a general understanding of any increase in foot traffic/visitor traffic and the collaboration of other City sponsored events. PURPOSE: The purpose of the project is to bring an outdoor ice rink to Old Town Temecula as a 2010 holiday season special event. The professional services required to operate the ice rink include turnkey installation, operation/management, and removal. BACKGROUND: The 2009 outdoor ice skating rink proved to be a dramatic enhancement to the holiday -season ambience in Old Town Temecula. It started a new and fun holiday tradition for the community. Like New York's Rockefeller Center, Old Town Temecula became the place to be during the holiday season. The venue attracted between 9,000 — 10,000 residents and visitors to the area which helped support the businesses in the adjacent commercial areas. There was a significant increase in foot traffic with many visitors seeing Temecula for the first time. The ice rink and related activities received excellent media coverage due to a strong and effective marketing and promotional program. Promotional avenues included the City and other websites, Temecula's cable station, FIOS television, weekly email blasts, posters, coloring contest with schedules and local newspapers. There were 20,000 color ice skating/event flyers distributed to Temecula schools. Additional flyers were distributed at City facilities, Temecula Valley Chamber of Commerce, Temecula Valley Convention & Visitors Bureau, and by Old Town merchants. Social media was utilized which included Twitter daily, YouTube, Facebook invite/feeds and MySpace video. The Temecula Valley Chamber of Commerce also promoted the ice rink through its e - newsletter, community calendar, and website. One of the local radio stations held ticket giveaways which helped promote the ice rink and holiday events. Proposed 2010 Old Town Temecula Seasonal Outdoor Ice Skating Rink The RDA/Old Town Steering Committee (Mayor Pro Tem Roberts and Council Member Edwards) and staff met to discuss the proposed ice rink project on May 13, 2010. The RDA/Old Town Steering Committee has recommended approval of $90,000 to operate a "turn -kepi' seasonal ice rink operation. The 2010 seasonal outdoor ice skating rinkwill have the same arrangement that the Temecula City Council approved last year with the ice rink operator/vendor with two proposed changes, operation of a larger ice rink and it will remain open for twice the amount of time. With this proposal, the City will spend less per day of operation than last year and will receive a larger rink. 2009 Outdoor Seasonal Ice Rink 2010 Outdoor Seasonal Ice Rink Cost $60,000 11.530 soft costs $71,530 Total Total cost including soft costs $ 90,000 Value $121,040 Value $234,000 Cost Savings $ 49,510 Cost Savings $144,000 Rink Size 40'x 60'(2400 sq. ft.) Rink Size 50'x 70'(3500 sq. ft.) No. of Days 17 No. of Days 36-38 Hours of Operation 8 — 10 hours/day Hours of Operation 12 hours/day Average Daily Cost $4,200 Average Daily Cost $2,400 Approximate Skater Capacity 75 — 80' Approximate Skater Capacity 125 — 135' Sold Out Sessions 80% Sold Out Sessions TBD: Expect Similar Results 'The higher number would be for mostly beginner skaters. The rink size will increase from a 40'x 60' skating surface to 50'x 70' skating surface — allowing an additional four feet around the rink. This will require a road closure at the "Y" area on Main Street for four weeks. Mercedes Street will remain open during the rink operating hours. Last year the ice rink was opened for 17 days. The 2010 rink will be open to the general public for up to 38 days with recreational ice-skating from Friday, November 26, 2010 through Friday, December 31, 2010. Optional extension dates of operation will include January 1 and 2, 2011. The scope of work shall include complete turnkey operations, which will include equipment, installation/removal and operation of a 50' x 70' ice-skating rink, and necessary services, as a holiday -season special event for the City of Temecula. This agreement will include all soft costs associated with the ice rink such as security, per diem, additional lighting, restroom facilities for public and staff use, lodging and fencing. Proposed hours of operation shall be established between 10:00 am and 11:00 pm. A special schedule is proposed for New Year's Eve with operating hours from 10:00 am to 1:00 am of January 1, 2011. The proposed New Year's Eve celebration will include an evening filled with fun activities for children and families from 5:00 pm — 9:00 pm. There will be headline entertainment which will run from 9:00 pm — midnight. Competitive Requirements The City conducted a competitive Request for Proposal process in October 2008 with three firms submitting proposals. After the review of the proposals, it was determined that Studio 33 had successful seasonal ice rink experience with nearby cities and Studio 33 also provided the "best value" based on the needs of the City. In addition, Studio 33 provided an exceptional performance in executing the 2009/10 Old Town Temecula holiday ice rink agreement. Budgeted Amount The City budgeted $90,000 for this event from the Temecula Redevelopment Agency budget. Given the wide difference between the amount proposed to provide ice rink services versus the amount approved in the budget, the City utilized its ability to "negotiate" the costwith the proponent (Studio 33) that was previously deemed to provide the "best value" forthe City (without affecting the quality of services). FISCAL IMPACT: The $90,000 contract cost for the ice rink and associated expenses will be funded through the Temecula Redevelopment Agency FY 2010/11 Operating Budget in the Old Town Implementation Plan Line Item. ATTACHMENTS: Agreement Agency/Studio 33 Agreement Conceptual Site Plan AGREEMENT FOR SPECIAL SERVICES BETWEEN CITY OF TEMECULA REDEVELOPMENT AGENCY AND STUDIO 33 PRODUCTIONS OUTDOOR ICE SKATING RINK AND RINK MANAGEMENT THIS AGREEMENT is made and effective as of September 28, 2010, between the Redevelopment Agency of the City of Temecula, a public body corporate and politic (hereinafter referred to as "City"), and Brian Jackson dba Studio 33 Productions, a sole proprietor (hereinafter referred to as "Contractor"). In consideration of the mutual covenants and conditions set forth herein, the parties agree as follows: 1. TERM A. This Agreement shall commence on September 28, 2010, and shall remain and continue in effect until tasks described herein are completed, but in no event later than January 8, 2011, unless sooner terminated pursuant to the provisions of this Agreement. B. The City may, upon mutual agreement, extend the contract for two (2) additional terms to either January 8, 2012 or January 8, 2013, or both. In no event shall the contract be extended beyond January 8, 2013. 2. SERVICES A. Contractor shall provide for the turnkey equipment and delivery, installation and removal with turnkey management and operation of an ice-skating rink, as a holiday -season special event for Old Town Temecula to be open to the general public for recreational ice- skating and shall perform the services and tasks and provide the equipment described and set forth in Exhibit A, attached hereto and incorporated herein as though set forth in full ("Ice Rink"). B. City shall supply or provide the following for the Ice Rink: i. Two (2) continuous sources of water (hose bib) adjacent to the ice rink area; ii. An area for placement of refrigeration system, generator, skate trailer, and Motorhome as close to ice rink as possible. iii. Telephone line at rink site for purposes of public safety reporting and communication, including 911 to Temecula Police Dept. as necessary. iv. Identified parking in close proximity to the rink for Contractor's and supplier's personnel. v. Grounds keeping in the ice rink area (includes landscape maintenance, trash receptacles and removal of trash. vi. Provide marketing and public relations in support of the event; all graphics and signing, in the discretion of the City. 11086-0001\1177833x2 vii. Coordination of all permits and licenses required for installation and operation of the equipment and event, when required. Contractor acknowledges and agrees that this agreement does not guarantee the issuance of permits or conditions to permits acceptable to the Contractor and that City of Temecula will exercise its lawful authority and issue, conditionally issue or deny the required permits in accordance with law. 3. CONTRACTOR PERFORMANCE; CITY SUPPLIED EQUIPMENT AND SERVICES Contractor shall at all time faithfully, competently and to the best of his or her ability, experience, and talent, perform all tasks and provide the equipment described herein. Contractor shall employ, at a minimum, generally accepted standards and practices utilized by persons engaged in providing similar services and equipment as are required of Contractor hereunder in meeting its obligations under this Agreement. 4. PAYMENT A. The City agrees to pay Contractor in accordance with the payment rates and terms and the schedule of payment as set forth in Exhibit B, Payment Rates and Schedule, attached hereto and incorporated herein by this reference as though set forth in full, based upon actual time spent on the above tasks. Any terms in Exhibit B, other than the payment rates and schedule of payment, are null and void. This amount shall not exceed ninety thousand and 00/100 dollars ($90,000.00) annually unless additional payment is approved as provided in this Agreement. B. Contractor shall not be compensated for any services rendered in connection with its performance of this Agreement which are in addition to those set forth herein, unless such additional services are authorized in advance and in writing by the City Manager. Contractor shall be compensated for any additional services in the amounts and in the manner as agreed to by City Manager and Contractor at the time City's written authorization is given to Contractor for the performance of said services. C. Contractor may charge a fee for persons to use the ice rink, rent skates and other equipment to patrons, and may sell concessions as described in Exhibit A. The fees to be charged for admission to the ice rink and the rental of skates other equipment shall be approved in writing by the City Manager prior to the opening of the ice rink. All revenues from these activities, excepted for City Concession described in Exhibit A, shall be retained by the Contractor or, as determined by Contractor, its subcontractors. I 41&y»kify[0LEel ;ai=17Ptllki/e�0[0L[+12-101[7=1 =1Ptl=1ki11STA 1101014Ke7e1W 11= A. In the event the City elects to terminate this Agreement, for any reason other than Contractor's breach of the Agreement, on or before November 12, 2010, City shall pay to Contractor the sum of forty-five thousand and 00/100 dollars ($45,000.00) to which amount shall be in full satisfaction of City's obligations due and payable to Contractor on the day notification is tendered. B. In the event the City elects to terminate this Agreement, for any reason other than Contractor's breach of the Agreement, between November 13, 2010 and on or before November 20 , 2010, City shall pay to Contractor the sum of ninety thousand 00/100 dollars -2- 11086-0001\1177833x2 ($90, 000.00) which amount shall be in full satisfaction of City's obligations due and payable to Contractor on the day notification is tendered. 6. DEFAULT OF CONTRACTOR A. The Contractor's failure to comply with the provisions of this Agreement shall constitute a default. If such failure by the Contractor in the performance of work hereunder arises out of inclement weather, acts of God, or where safety or security concerns are reasonably determined to exist by Contractor, or causes beyond the Contractor's control, and without fault or negligence of the Contractor, other than financial inability to perform, it shall not be considered a default. B. If the City Manager or his delegate determines that the Contractor is in default in the performance of any of the terms or conditions of this Agreement, it shall serve the Contractor with written notice of the default. Contractor shall have ten (10) days after service upon it of said notice in which to cure the default by rendering a satisfactory performance. In the event that the Contractor fails to cure its default within such period of time, the City shall have the right, notwithstanding any other provision of this Agreement, to terminate this Agreement without further notice and without prejudice to any other remedy to which it may be entitled at law, in equity or under this Agreement. C. The City may at any time suspend this Agreement, or any portion hereof, for Contractor's breach of the Agreement, if it determines that the breach constitutes a threat to the public health or safety. In such event, the City shall serve upon the Contractor written notice of this default and the immediate suspension of the contract. Upon receipt of said notice, the Contractor shall immediately cease all work under this Agreement, unless the notice provides otherwise. 7. OWNERSHIP OF DOCUMENTS Contractor shall maintain complete and accurate records with respect to sales, costs, expenses, receipts and other such information required by City that relate to the performance of services under this Agreement. Contractor shall maintain adequate records of services provided in sufficient detail to permit an evaluation of services. All such records shall be maintained in accordance with generally accepted accounting principles and shall be clearly identified and readily accessible. Contractor shall provide free access to the representatives of City or its designees at reasonable times to such books and records, shall give City the right to examine and audit said books and records, shall permit City to make transcripts there from as necessary, and shall allow inspection of all work, data, documents, proceedings and activities related to this Agreement. Such records, together with supporting documents, shall be maintained for a period of three (3) years after receipt of final payment. 8. INDEMNIFICATION The Contractor agrees to defend, indemnify, protect and hold harmless the City of Temecula, Temecula Community Services District, and/or Redevelopment Agency of the City of Temecula, its officers, officials, employees and volunteers ("Indemnified Parties") from and against any and all claims, demands, losses, defense costs or expenses, including attorney fees and expert witness fees, or liability of any kind or nature which Indemnified Parties may sustain or incur or which may be imposed upon them for injury to or death of persons, or damage to property arising out of Contractor's negligent or wrongful acts or omissions arising out of or in any way -3- 11086-0001\1177833x2 related to the performance or non-performance of this Agreement, excepting only liability arising out of the negligence of the Indemnified Parties. 9. INSURANCE REQUIREMENTS Contractor shall procure and maintain for the duration of the contract insurance against claims for injuries to persons or damages to property, which may arise from or in connection with the performance of the work hereunder by the Contractor, its agents, representatives, or employees. a. Minimum Scope of Insurance. Coverage shall be at least as broad as: 1) Insurance Services Office Commercial General Liability form No. CG 00 01 11 85 or 88. 2) Insurance Services Office Business Auto Coverage form CA 00 01 06 92 covering Automobile Liability, code 1 (any auto). If the Contractor owns no automobiles, a non -owned auto endorsement to the General Liability policy described above is acceptable. 3) Worker's Compensation insurance as required by the State of California and Employer's Liability Insurance. If the Contractor has no employees while performing under this Agreement, worker's compensation insurance is not required, but Contractor shall execute a declaration that it has no employees. b. Minimum Limits of Insurance. Contractor shall maintain limits no less than: 1) General Liability: two million ($2,000,000) per occurrence for bodily injury, personal injury and property damage. If Commercial General Liability Insurance or other form with a general aggregate limit is used, either the general aggregate limit shall apply separately to this project/location or the general aggregate limit shall be twice the required occurrence limit. 2) Automobile Liability: One million ($1,000,000) per accident for bodily injury and property damage. 3) Worker's Compensation as required by the State of California; Employer's Liability: One million dollars ($1,000,000) per accident for bodily injury or disease. C. Deductibles and Self -Insured Retentions. Deductibles or self-insured retentions shall not exceed twenty five thousand dollars ($25,000.00). d. Other Insurance Provisions. The general liability and automobile liability policies are to contain, or be endorsed to contain, the following provisions: 1) The Indemnified Parties (as defined in Section 8) shall be covered as insured's, as respects: liability arising out of activities performed by or on behalf of the Contractor; products and completed operations of the Contractor; premises owned, occupied or used by the Contractor; or automobiles owned, leased, hired or borrowed by the Contractor. The coverage shall contain no special limitations on the scope of protection afforded to the Indemnified Parties. -4- 11086-0001\1177833x2 2) For any claims related to this project, the Contractor's insurance coverage shall be primary insurance as respects the Indemnified Parties. Any insurance or self-insured maintained by the Indemnified Parties shall be excess of the Contractor's insurance and shall not contribute with it. 3) Any failure to comply with reporting or other provisions of the policies including breaches of warranties shall not affect coverage provided to the Indemnified Parties. 4) The Contractor's insurance shall apply separately to each insured against whom claim is made or suit is brought, except with respect to the limits of the insurer's liability. 5) Each insurance policy required by this agreement shall be endorsed to state: should the policy be canceled before the expiration date the issuing insurer will endeavor to mail thirty (30) days' prior written notice to the City. 6) If insurance coverage is canceled or, reduced in coverage or in limits the Contractor shall within two (2) business days of notice from insurer phone, fax, and/or notify the City via certified mail, return receipt requested of the changes to or cancellation of the policy. e. Acceptability of Insurers. Insurance is to be placed with insurers with a current A.M. Best rating of A -:VII or better, unless otherwise acceptable to the City. Self insurance shall not be considered to comply with these insurance requirements. f. Verification of Coverage. Contractor shall furnish the City with original endorsements effecting coverage required by this clause. The endorsements are to be signed by a person authorized by that insurer to bind coverage on its behalf. The endorsements are to be on forms provided by the City. All endorsements are to be received and approved by the City before work commences. As an alternative to the City's forms, the Contractor's insurer may provide complete, certified copies of all required insurance policies, including endorsements affecting the coverage required by these specifications. 10. INDEPENDENT CONTRACTOR A. Contractor is and shall at all times remain as to the City a wholly independent contractor. The personnel performing the services under this Agreement on behalf of Contractor shall at all times be under Contractor's exclusive direction and control. Neither City nor any of its officers, employees, agents, or volunteers shall have control over the conduct of Contractor or any of Contractor's officers, employees, or agents except as set forth in this Agreement. Contractor shall not at any time or in any manner represent that it or any of its officers, employees or agents are in any manner officers, employees or agents of the City. Contractor shall not incur or have the power to incur any debt, obligation or liability whatever against City, or bind City in any manner. B. No employee benefits shall be available to Contractor in connection with the performance of this Agreement. Except for the fees paid to Contractor as provided in the Agreement, City shall not pay salaries, wages, or other compensation to Contractor for performing services hereunder for City. City shall not be liable for compensation or indemnification to Contractor for injury or sickness arising out of performing services hereunder. 11. LEGAL RESPONSIBILITIES -5- 11086-0001\1177833x2 The Contractor shall keep itself informed of all local, State and Federal ordinances, laws and regulations which in any manner affect those employed by it or in any way affect the performance of its service pursuant to this Agreement. The Contractor shall at all times observe and comply with all such ordinances, laws and regulations. The City, and its officers and employees, shall not be liable at law or in equity occasioned by failure of the Contractor to comply with this section. 12. RELEASE OF INFORMATION A. All information gained by Contractor in performance of this Agreement shall be considered confidential and shall not be released by Contractor without City's prior written authorization. Contractor, its officers, employees, agents or subcontractors, shall not without written authorization from the City Manager or unless requested by the City Attorney, voluntarily provide declarations, letters of support, testimony at depositions, response to interrogatories or other information concerning the work performed under this Agreement or relating to any project or property located within the City. Response to a subpoena or court order shall not be considered "voluntary" provided Contractor gives City notice of such court order or subpoena. B. Contractor shall promptly notify City should Contractor, its officers, employees, agents or subcontractors be served with any summons, complaint, subpoena, notice of deposition, request for documents, interrogatories, request for admissions or other discovery request, court order or subpoena from any party regarding this Agreement and the work performed there under or with respect to any project or property located within the City. City retains the right, but has no obligation, to represent Contractor and/or be present at any deposition, hearing or similar proceeding. Contractor agrees to cooperate fully with City and to provide City with the opportunity to review any response to discovery requests provided by Contractor. However, City's right to review any such response does not imply or mean the right by City to control, direct, or rewrite said response. 13. NOTICES Any notices which either party may desire to give to the other party under this Agreement must be in writing and may be given either by (i) personal service, (ii) delivery by a reputable document delivery service, such as but not limited to, Federal Express, that provides a receipt showing date and time of delivery, or (iii) mailing in the United States Mail, certified mail, postage prepaid, return receipt requested, addressed to the address of the party as set forth below or at any other address as that party may later designate by Notice. Notice shall be effective upon delivery to the addresses specified below or on the third business day following deposit with the document delivery service or United States Mail as provided above. Mailing Address: Redevelopment Agency of the City of Temecula Attn: Executive Director P.O. Box 9033 Temecula, CA 92589-9033 Use this Address for a Delivery Service: Redevelopment Agency of the or Hand -Deliveries ONLY Redevelopment Agency of the City of Temecula Attn: Executive Director 43200 Business Park Dr. -6- 11086-0001\1177833x2 Temecula. CA 92590 The City intends to relocate to a new City Hall on or about November 2010. Please call 951- 694-6444 to determine if the City has relocated. After the City has relocated, please use the following address for a delivery service or hand -deliveries ONLY: Redevelopment Agency of the City of Temecula Attn: Executive Director 41000 Main Street Temecula. CA 92590 To Contractor: Studio 33 Productions Attn: Brian Jackson, Owner 264 Pennsylvania Ave. Colton, CA 92324 14. ASSIGNMENT The Contractor shall not assign the performance of this Agreement, nor any part thereof, nor any monies due hereunder, without prior written consent of the City. The Contractor may retain sub -contractors to assist it in performing work under this Agreement. 15. LICENSES At all times during the term of this Agreement, Contractor shall have in full force and effect, all licenses required of it by law for the performance of the services described in this Agreement. 16. GOVERNING LAW The City and Contractor understand and agree that the laws of the State of California shall govern the rights, obligations, duties and liabilities of the parties to this Agreement and also govern the interpretation of this Agreement. Any litigation concerning this Agreement shall take place in the municipal, superior, or federal district court with geographic jurisdiction over the City of Temecula. In the event such litigation is filed by one party against the other to enforce its rights under this Agreement, the prevailing party, as determined by the Court's judgment, shall be entitled to reasonable attorney fees and litigation expenses for the relief granted. 17. PROHIBITED INTEREST No officer, or employee of the City of Temecula who has participated in the negotiation or development of this Agreement shall have any financial interest, direct or indirect, in this Agreement, the proceeds thereof, the Contractor, or Contractor's sub -contractors for this work, during his/her tenure or for one year thereafter. The contractor hereby warrants and represents to the City that no officer or employee of the City of Temecula has any such interest, whether contractual, non -contractual, financial or otherwise, in this transaction, or in the business of the Contractor or Contractor's sub -contractors on this project. Contractor further agrees to notify the City in the event any such interest is discovered whether or not such interest is prohibited by law or this Agreement. 18. ENTIRE AGREEMENT -7- 11086-0001\1177833x2 This Agreement contains the entire understanding between the parties relating to the obligations of the parties described in this Agreement. All prior or contemporaneous agreements, understandings, representations and statements, oral or written, are merged into this Agreement and shall be of no further force or effect. Each party is entering into this Agreement based solely upon the representations set forth herein and upon each party's own independent investigation of any and all facts such party deems material. 19. AUTHORITY TO EXECUTE THIS AGREEMENT The person or persons executing this Agreement on behalf of Contractor warrants and represents that he or she has the authority to execute this Agreement on behalf of the Contractor and has the authority to bind Contractor to the performance of its obligations hereunder. -8- 11086-0001\1177833x2 IN WITNESS WHEREOF, the parties hereto have caused this Agreement to be executed the day and year first above written. Redevelopment Agency of the City of Studio 33 Productions Temecula By: Michael S. Naggar, RDA Chairperson ATTEST: By: Susan W. Jones, MMC City Clerk/Agency Secretary APPROVED AS TO FORM: By: Peter M. Thorson Agency Counsel 11086-0001\1177833x2 By: Brian Jackson, Owner CONTRACTOR Studio 33 Productions Brian Jackson 264 Pennsylvania Ave. Colton, CA 92324 Phone Number: 909.783.1628 Fax Number: 909.783.6075 -9- FSM Initials: -10- 11086-0001\1177833x2 Date: EXHIBIT A Tasks to be Performed 1. General Requirements: Contractor shall provide for the turnkey equipment delivery/installation/removal with turnkey management and operation of an ice-skating rink, as a holiday -season special event for the City of Temecula. To be open to the general public for recreational ice-skating and figure skating exhibitions from November 26, 2010 through December 31, 2010. Optional extension dates of operation: January 1 and 2, 2011. 2. Equipment: All lighting, sound reinforcement, staging, video or special effects equipment shall be provided by Contractor is set forth this exhibit. 3. Personnel: The installation and removal phase of your rink will be led by Mr. Brian Jackson, who is considered to be one of the leading expects in show and effects technology in the industry, with over 33 years experience of proven abilities and expertise. Mr. George Ramiro will assist him. Both of these gentlemen are involved in Studio 33's California installations, which are some of the most challenging installations, and in areas with great concerns for noise and minimizing impact to the location or to the environment. 4. The On-site Manager who will coordinate all of the management and the day-to-day operation will be Ms. Meagin Ramiro, with sophomore experience in this location of ice and event production and show management. Recently Ms. Ramiro led a team with new and innovative equipment used on a Youth Circus. Much of the equipment is easily cross -matched to Temecula's ice rink event. 5. Subcontractors: Bietek Productions: supplier of freezer plates, manifold, and refrigeration compressor. Pending Sub Contractors: Diamond Power: electrical generators; Diamond: portable toilets; Securitas: security and Downs Energy: fuel. Contractor shall be responsible for all payments to subcontractors. Schedule: A. Installation window: November 21 through November 25, 2010 B. Open to the Public: November 26, 2010 thru December 31, 2010 C. Optional additional dates of operation at Contractor discretion: January 1, and 2, 2011 D. Removal Window: January 1 thru 8, 2011 Hours of operation (Subject to Change upon mutual consent of City and Contractor): A. Days of week: Monday through Sunday including holidays B. Hours of Operation shall be established between 10:00 am and 11:00 pm but no longer than 11:00 pm. -11- 11086-0001\1177833x2 C. Special hours for New Year's Eve: 10:00 am on December 31, 2010 - 1:00 am of January 1, 2011 8. Contractor shall provide and maintain the following: A. Design, and build Sub -structure for Ice rink B. Air -Cooled Refrigeration Systems/Pumps/Hoses/Expansion Tank C. Generator to Power Above Refrigeration D. Contractorwill provide fuel for generator during rink operations E. Insulation and vapor barriers leveling of site F. Modular Railing Systems (Clear Plexiglas facing towards rink; room to display signage upon approval by City of Temecula) G. Ice Rink Maintenance Equipment: Mini-Zamboni Electric Re -surfacer used daily or as needed H. Rink Freezer Plate System (50' x 70'; capacity 120 -skaters) I. Rental Ice Skates (200 -pair approximate with various sizes), Sharpened, Ready -to -Skate, Sharpening services on site as needed during run of event J. Skate Change Area with Benches and Rubber Floor Covering (24'x40' approximate) K. Skate trailer or modular unit for ticket sales, storing and distribution of skates and office. Ginger Bread House for ticket sales included L. Cash register equipment M. All tools, equipment and supplies for set-up, strike and maintenance. All Professional Supervision and General Labor for Set -Up and Strike. N. Refrigeration Technician On -Call 24 Hours During Entire Term O. General Set-up and Finish -out Metal -Frame Covering over Rink Wall Header. Clear Plexiglas sides with smooth inside finish of Rink Perimeter. Optional Green Turf Carpet to Finish Rink Perimeter/Edge (Black skirting covers substructure) P. Sound/public address for announcements and playback of holiday music. Q. Rink Manager during entire term. Trained and experienced in liability protection. R. All equipment and amenities installed and ready for test of equipment and facilities, twenty four (24) hours in advance of opening, November 26, 2010 -12- 11086-0001\1177833x2 S. Operation of public skate sessions. Hours of operation to be at Contractor's discretion. Proposed times 10:00 am until 11:00 pm approximately. T. Text for Liability -Related Signage and Written Waiver Release Forms; Liability - Limitation Instructions. U. General Training for Rink/Event Manager Regarding Rink Operation V. Professional Support Services/Consultation for Event Planning and Execution 9. Contractor shall provide professional, on-site management (experienced in customer service, liability -prevention, and public safety); staffing to include cashier(s), ticket sales, skate rental attendant(s), safety monitor(s), and maintenance personal to be on-site during entire term of the event, including but not limited to: A. Employee uniforms or identifiable vests. B. Public safety announcements and basic holiday music. C. Cash register equipment D. Coordination of group sales and special events. E. Sound / Public address for announcements and playback of holiday music. F. All revenues associated with the ice rink venue will be distributed to Studio 33 and its vendors. 10. Concessions: Contractor will be the exclusive vendor for only bottled water and prepackaged snacks (i.e. chips, candy bars, granola bars, snack bars, cookies, etc.), made available to customers. City may have vendors offering other drink and food items (i.e. coffee, hot chocolate, hot cider, kettle corn, & holiday goodies, etc.). -13- 11086-0001\1177833x2 EXHIBIT B PAYMENT RATES AND SCHEDULE Payment Rates For Part A: Equipment Rental ; Installation/Removal $182,000.00 Each Season For Part B: Turnkey Management & Day -to -Day Operations $ 52,000.00 Each Season Including: On -Site Security, Per Diem, Lighting, Restroom Facilities for Public & Staff Use and Fencing (if needed) Total Before Discount = $234,000.00 Each Season Total with Discount = $90,000.00 - 2010 Season Only Gate proceeds going to Contractor and its Vendors Payment Schedule • A $45,000.00 deposit (50% of total fee) due one business day following execution of the Agreement by both parties. • A $45,000.00 progress payment (50% of the total fee) due upon the complete installation of the rink equipment. -14- 11086-0001\1177833x2 2010 Ice Rink Opening November 26, 2010 Temecula Civic Center Mercedes Street f GRP 0 w Ice Rink 50'X 70' m Motorhome Town Square • RestrooMs � L,7 Street Closed to Vehicles S dkod t � I � 0 12.5 25 50 75 100 4 S • fit Feet > oareeen....x 2010 m,d Skate Trailer Ticket Sales Vendor dkod t � I � 0 12.5 25 50 75 100 4 S • fit Feet > oareeen....x 2010 m,d ACORD CERTIFICATE OF LIABILITY INSURANCE PRODUCER 864.836.4197 FAX 864 PRISM, Inc. Pest Office Box 1777 Greenville, SC 29602 INSURED Studio 33 ---- -- 264 North Pennsylvania Avenue Colton, CA 92324 INSURERS AFFORDING COVERAGE NAIC INSURER& St. Paul Fire &Marine Tncuranrorm. -c oo, CI, ...vvV HAUL 0=" I55UtU.1 O 1 HE INSURED NAMED ABOVE FOR THE POLICY PERIOD INDICATED. NOTWITHSTANDING ANY REOUfREMENT, TERM OR CONDITION OF ANY CONTRACTOR OTHER DOCUMENT WITH RESPECT TO WHICH THIS CERTIFICATE MAY BE ISSUED OR MAY PERTAIN. THE INSURANCE AFFORDED BY THE POLICIES DESCRIBED HEREIN IS SUBJECT TO ALL THE TERMS. EXCLUSIONS AND CONDITIONS OF SUCH POLICIES. AGGREGATE LIMITS SHOWN MAY HAVE BEEN REDUCED BY PAID CLAIMS. SRADO'L,i --- --- -'- . R INSRD TYPE OF INSURANCE LILY EFFE nVE ICY EXP TIONS POLICY NUMBER ATE(MWDD t DATE MM/DDIYYYY LIMITS ' ! GENERAL UABIUTY CK06128207` 04/01/2010 04/01/2011'9 EACH OCCURRENCE S 1,000,000 j X COMMERCIAL GENERAL LIABILITY I �E77�4T§E-r6RENTEO--. -----� I—. I ! CLAIMS MAGE X OCCUR ! PREMISES�a=wren ) ; $ 50,00 _� A r 7 MED EXP (Any. parson) j$ 5,00 ' i 1 ! PERSONAL & ADV INJURY µ $ _ 1,000100C I GENERAL AGGREGATE Is 2,000,00C -- L--_ j jGEN'L AGGREGATE IIMiTAPPLES PER:; — 'POLICY X P""i ,LOC I �PROOVCTS- COMWOP AGG:S_ I, OOO, QQQ i JEC AUTOMOBILE LlAeam CK06128207' 04/01/2010 04/01/2011 _ R : ANYAUTO OMBINED SINGLE LIMIT : (Ea amdent) S 1,000,000 i ALL OWNED AUTOS I SCHEDULED AUTOS A I BODILY INJURY I S 1 (Perin w) X ;HIRED AUTOS I X iNONOWNED AUTOSnewiaenp t BODILY INJURY S _r 3( Hired Phys Damage 6EDUCT:10% OF LOSS PER; PROPERTY DAMAGE VEHICLE, SUB7 TO $1,000 MIN/$7,500 MAX Pera claen0 5 GARAGE LIABILITY AUTO ONLY-EAACCIDENT !S ANY AUTO j -- - ~-- —'-... HERTHAN -EA ACC $ UTO ONLY: AGS' S .EXCESS I UMBRELLA LIABILITY GL061058461 04/01/2010 04/01/2011 EACH OCCURRENCE !S 1,00010010 X OCCUR-__ CLAIMS MADE AGGREGATE •— i § 1,QQQ,D00 AS --------- µ DEDUCTIBLE IS X ' RETENTION $ 10,000, ----- ---- --'-- -5 WORKERS COMPENSATION SF)AI U- AND EMPLOYERS'LIABILITY YIN. ==u VC — iANYPROPRIETORfPARTNERIEXECU7IVE I E.L. EACH ACCIDENT �S OFFICERIMEMBER EXCLUDED? ID i (Maeda" in NH) tt yyeess,, dosaiba under j - EA EMPLOYEES E.L. DISEASE I .—._..—...__ !SPECNL PROVISIONSbatmv iEl. DISEASE -POLICY LIMIT oT ER '�n� Aland Marine CK06128207 04/01/2010 04/01/2011 $11,000 Property of Others; :.. j A , RC; "Special" Form; $1,000 Deductible )ESCRIPTION OF OPERATIONS f LOCATIONS I VEHICLES / EXCLUSIONSADDED BY ENDORSEMENT I SPECIAL PROVISIONS he Certificate Holder is included as an Additional Insured on the above referenced General Liability nd Automobile Liability policies, but only as respects to claims arising Out of the negligence of the amed Insured. t!M(. V CI.Ln 4 Iviv T� SHOULD ANY OF THE ABOVE DESCRIBED POLICIES BE CANCELLED BEFORE THE EXPIRATION City Of Temecula C/ DATE THEREOF, THE ISSUING INSURER WILL ENDEAVOR TO MAIL 30 DAYSWRITTEN City of Temecula Redevelopment Agency NOTICE TO THE CERTIFICATE HOLDER NAMED TO THE LEFT, BUT FAILURE TODD SO SHALL Attn: Kathl Syers IMPOSE NO OBLIGATION OR LIABILITY OF ANY KIND UPON THE INSURER, ITS AGENTS OR 43200 Business Park Drive REPRESENTATIVES. Post Office BOX 9033 AUTHORIZED REPRESENTATIVE Temecula, CA 92589-9033 W. Neil Huff ORD 29 (2000101) FAX: 951.694.6499 01988.2009 ACOI The ACORD name and logo are registered marks of ACORD rights J RDA DEPARTMENTAL REPORT Item No. 16 Approvals City Attorney Director of Finance City Manager TEMECULA REDEVELOPMENT AGENCY AGENDA REPORT TO: Executive Director/Agency Members FROM: Patrick Richardson, Director of Planning and Redevelopment DATE: September 28, 2010 SUBJECT: Redevelopment Departmental Monthly Report RECOMMENDATION: Receive and file. REDEVELOPMENT Temecula Vallev Convention and Visitors Bureau Lease of Commercial Sgace in the Old Town Parking Garage - The Agency and the Temecula Valley Convention and Visitors Bureau have executed an Office Lease for commercial space in the Old Town Parking Garage. The Convention and Visitor's Bureau is currently in the process of working with the architect of the Civic Center project to design the tenant improvements. These improvements are estimated to be complete January 1, 2010 per the Civic Center project manager. Town Square Market Place - As part of the Civic Center Master Plan, the City has created a development opportunity for approximately 52,000 square feet of commercial and office space surrounding the Town Square along the reconfigured Main Street. The Agency issued a Request for Interest to select a preferred development partner. On August 26, 2008, the City Council entered into an Exclusive Negotiating Agreement (ENA) with Pelican Properties to develop the project. Pelican has participated in several meetings with Old Town stakeholders and adjacent property owners. They have worked closely with Staff on site planning issues. On January 22, 2009 the Executive Director granted a three-month extension to the Exclusive Negotiating Agreement which expires on May 26, 2009. Due to the state of the economy Staff recommended the Agency extend the ENA an additional six months. On May 26, 2009 Agency Board approved a six (6) month extension to the ENA. Agency Staff met with the Agency sub- committee in February 2010 and received direction to take an extension of one year with the possibility of an additional one year administrative extension which the Agency approved on March 9, 2010. Agency Staff and Pelican Properties have been in continuous contact as we make progress towards a first draft of the Development Agreement. Auto Mall Sign - The Agency and Auto Dealers Association have entered into a Loan Agreement for a loan from the Agency to the Auto Dealers Association in the amount of $875,000 for a state of the art high definition marquee sign. Part of the agreement stipulates that the City will have 10 percent of the time between sunrise and 11:00 p.m. daily to use the sign to promote City interests. The sign will be located on the currently vacant parcel south of Rancho Ford. The old sign will be removed. Per the Loan Agreement the Auto Mall sign shall be constructed on or before October 13, 2010. A building permit for the Auto Mall sign was issued on August 4, 2010. Construction is anticipated to start immediately followed the issuance of building permits. Facade Improvement Program - The Fagade Improvement Program provides funding assistance to Old Town business and property owners to provide exterior improvements to their buildings and property. Funding in the amount of $80,000 is available during FY 2010-2011. As of July 1, 2010 the Agency began accepting applications for the program. The following Fagade improvements are in process or recently completed: • Emporium Center — Fagade Renovation (in process) • Temecula Stampede — Exterior repairs and paint (in process) HOUSING R.C. Hobbs Exclusive Negotiating Agreement — The R.C. Hobbs Company approached the Agency regarding the possible development of mixed income affordable housing on vacant Agency owned property located at 28640 Pujol Street. Considering Hobbs' background and recent Staff experience working with the organization, Staff felt that Hobbs would be a quality partner on an affordable housing development at the aforementioned location. Hobbs requested that the Agency and Hobbs enter into an ENA with a one-year term with a potential six month extension by written approval of the Executive Director. The Agency approved the ENA at its February 9, 2010 meeting. An appraisal for the subject property was commissioned by the Agency and completed on June 24, 2010. Diaz Road Exclusive Negotiation Agreement - The Agency issued a Request for Interest to select a preferred development partner for the 30 -acre site located on Diaz Road. Seven firms responded. The Agency negotiated a Purchase and Sale Agreement and Escrow Instructions ("PSA") for the sale of approximately 20 acres to Clearwater Development for the development of a water park. The Agency Board approved the PSA on September 22, 2009. Major terms of the PSA are a purchase price of $6.7 million with a $1 million "holdback" to mitigate existing soils conditions. Since the Agency and Clearwater Development entered into the PSA Clearwater was granted an extension to the escrow of 6 months. At the October 27, 2009 Agency Board meeting the extension was approved. The Agency Board at its April 27, 2010 meeting approved an additional extension to the PSA which will extend the closing date to October 29, 2010. First Time Homebuyers Program - On July 22, 2008, the City Council approved an amendment to increase the loan amount for down payment assistance from $24,000 to $65,000. This down payment assistance allows qualifying households to purchase homes in the $200,000-$300,000 price range. As of July 1, 2010, the Agency began accepting applications for FY 2010-2011. There is currently one application in process for this program. Summerhouse - The Agency negotiated an Owner Participation Agreement ("OPK) with Summerhouse Housing Partners L.P for the purchase and development of the Summerhouse community. The Agency Board approved the OPA on September 22, 2009. The OPA terms require the development of 70 affordable units at very -low income, 20 units at moderate income, and 20 units at senior affordable income, for a total of 110 affordable units. The terms of this agreement place affordability restrictions on the property for 55 years. Immediately following the close of escrow, Summerhouse Housing Partners L.P. began clean- up and restoration of the site. A Development Plan has been approved by the City and construction of the partially completed units is underway. The 20 units in the first phase of the project will be complete by January 1, 2011. On August 24 the first construction progress payment was disbursed to BRIDGE Housing for construction work completed on the 20 units that are part of Phase I. Residential Improvement Program - The program budget for FY 2010/2011 is $200,000. The Agency began taking applications for the program July 1, 2010. There are currently 32 applications being processed for this program. 9]01V_1:MIA101 Allk I REPORTS Item No. 17 Approvals City Attorney Director of Finance City Manager CITY OF TEMECULA AGENDA REPORT TO: City Manager/City Council FROM: Patrick Richardson, Director of Planning and Redevelopment DATE: September 28, 2010 SUBJECT: Monthly Report The following are the recent highlights for the Planning Division of the Community Development Department for the month of August, 2010. CURRENT PLANNING ACTIVITIES New Cases The Division received 60 new applications for administrative, other minor cases, and home occupations including 7 applications for public hearings during the month of August. Special Projects & Long Range Planning Activities The Long Range Planning Division commits work efforts toward larger scale and longer time frame projects for both private and public purposes. These activities can range from a relatively simple ordinance or environmental review to a new specific plan or a general plan amendment. Some of the major special projects and long range planning activities currently in progress are described in the paragraphs below: Temecula Regional Hospital — This project was approved by the City Council on January 22, 2008. On December 30, 2009 the applicant submitted an application for a one year extension of time and Council approved this extension on January 26, 2010, extending the approval until January 22, 2011. The applicant submitted a Major Modification application on June 18, 2010, to reduce the number of hospital beds in the first phase from 178 beds to 140 beds and to change the construction of the building from concrete to framed construction. A draft addendum to the EIR was received from our consultant, ESA, on August 13, 2010. Comments on the addendum to the EI R were provided to ESA on August 31, 2010 and staff is awaiting the submittal of a revised addendum. Staff provided comments on the proposed site plan and building revisions to the applicant on July 19, 2010 and received revised plans on August 27, 2010. Staff is currently reviewing the revised site plan and architectural concept plans. (FISK) SCE Triton Substation — The CPUC has granted the City's request for "Party" status in the approval process. Having Party status will ensure that the City will get noticed of all actions involving this case/project, and gives the City the right (versus the privilege) to file comments and participate in the process. In addition to Party Status, staff provided a comment letter on the Draft Mitigated Negative Declaration for the proposed Triton Substation to be located at the southeast corner of Nicolas Road and Calle Medusa in the Nicolas Valley Rural Preservation Area. Based on substantial inadequacies in the Draft MND, the City requested that the California Public Utilities Commission suspend further consideration of the project and prepare a Draft Environmental Impact Report that fully discloses the potential impacts of the Project and fully complies with all other CEQA requirements. Specifically, the City has contended that Site Alternative B (located further to the west along Nicolas Road) is a superior site and would significantly reduce aesthetic impacts to the Nicolas Valley. The PUC determined that an EIR was not required pursuant to CEQA and released a Final Mitigated Negative Declaration in March 2010; there is no public comment period for this review. City staff reviewed this final CEQA document and believes it is still inadequate in addressing the City's concerns. On April 20, 2010, the City Attorney transmitted a letter to the CPUC Administrative Law Judge (ALJ) requesting a pre -hearing conference to allow the City to further present its position that the Final MND/IS is flawed and legally unsupportable. On August 3, 2010, the City Attorney was informed bythe Administrative Law Judge that the City's request for a pre -hearing conference to explain our concerns has been denied. On August 23, 2010, the ALJ issued a proposed decision to grant SCE's request to construct the substation. A CPUC hearing will be scheduled within 30 days of the proposed decision, no later than September 23, 2010. Councilman Washington has agreed to attend the hearing and provide testimony. (KITZEROW/PETERS) The Green House Gas (GHG) Emissions Inventory — The Green TAC selected 2007 as the base year for GHG emissions inventory analysis. Two inventories were prepared: 1) a municipal operations inventory and, 2) a communitywide inventory. The next steps are to select a target emission reduction and identify implementation measures that will achieve the selected target. The Green TAC established a test target of 15 percent below the 2007 base year. Staff is currently reviewing potential reduction measures to see if a 15 percent reduction in GHG emissions below baseline is feasible. (WEST) Energy Efficiency Loan Program — Staff is developing a residential energy efficiency loan program funded through the Energy Efficiency and Conservation Block Grant. The Residential Energy Efficiency Program will make low interest loans available to low and moderate income homeowners to make energy efficient improvements. The Program allows for specific types of energy efficiency improvements based on the year of construction, which coincides with the changes to Energy Codes of the California Building Standards. The type of improvements allowed include but are not limited to: HVAC replacements, window replacements, additional attic insulation, and attic fans. The Residential Energy Efficiency Program will work in conjunction with the Redevelopment Agency Residential Improvement Program, which offers forgivable loans for general interior and exterior home improvements. This items is scheduled for the September 14, 2010 City Council meeting. (WEST) Santa Margarita Area Annexation — On June 24, 2010, LAFCO voted unanimously to approve the Santa Margarita Area Annexation (No. 2); however mandated an additional requirement. It was LAFCO's determination that a portion of the City of Temecula's existing Sphere of Influence (an area that was not a part of the Santa Margarita Area Annexation No. 2 boundaries but south and east of it) be reduced to accommodate Granite Construction's request that their proposed Surface Mine Liberty Quarry application not be within the City's existing Sphere of Influence. Although this particular area has been within the City's Sphere of Influence area since 1991 due to its dramatic view shed to the City of Temecula (which has not changed), LAFCO determined that itwas important to accommodate the neighbor's request so that their property or proposed project is not plotted, or partially plotted, within the City's Sphere of Influence. Therefore, as a condition of approval of the Santa Margarita Area Annexation No. 2, a separate LAFCO application to modifythe City's existing Sphere of Influence was required by LAFCO. On July 13, 2010, City Council authorized staff to submit to LAFCO the required application to modifythe City's existing Sphere of Influence and that application was thereafter submitted to LAFCO. Since then, a request for a waiver of fees to submit a Reconsideration Application overturning LAFCO's approval of the Annexation was submitted but later withdrawn by one of the LAFCO Commissioners, Phil Williams. Another request for a waiver of fees and a Reconsideration Application was formally submitted by a land owner within the annexation area opposing the approved annexation based on his belief that the City will turn the Santa Margarita Ecological into a "park with trails, camping, and more public use and access". Staff has determined his understanding is unfounded and there could be no findings made to overturn the approved annexation based on the Cortese - Knox -Hertzberg Local Reorganization Act. First, the Pre -Zoning Ordinance (adopted and approved by the City Council and by LAFCO as part of the Annexation), expressly prohibits private and public parks and recreational facilities, as well as camping, and other such uses within the Santa Margarita Ecological Reserve. Second, the landowner, land manager and spokesperson of the Santa Margarita Ecological Reserve, San Diego State University, has clearly expressed that the programs for education, outreach and research will continue in the same manner as they have for over half a century within its natural open space habitat. LAFCO's Reconsideration hearing is scheduled for September 23, 2010. (RICHARDSON/LOWREY) Liberty Quarry Draft Environmental Impact Report — The County of Riverside has released the Draft Environmental Impact Report for Granite Construction's Liberty Quarry Surface Mining Permit, Change of Zone, and Noise Ordinance Exception. The project is a 75 -year land use permit for a rock quarry and associated aggregate processing facilities, hot mix asphalt plant, ready mix concrete plant, concrete and asphalt recycling facility, administration and employee buildings, a maintenance facility with diesel, gas and propane tanks, water tanks, natural gas fuel engines for electric power generation, water and gas lines, settling ponds, truck scales, and truck and equipment parking areas within a 414 acre -site located approximately % mile from the City's southwest boundary within the County of Riverside. The public review and comment period was extended 60 days beyond the original commenting deadline. The City reviewed the Draft Environmental Impact Report and provided comments to the County of Riverside on November 23, 2009. The City is awaiting a response to comments and/or revised and re -circulated EIR from the County. (RICHARDSON/LOWREY) Jefferson Corridor Specific Plan — Staff is studying the Jefferson Corridor to create a Specific Plan for the area. The boundaries of the Jefferson Corridor are preliminarily defined to include all properties north of Rancho California Road, east of Diaz, south of the Murrieta City boundary and west of Interstate 1-15. In June, approximately 15 representatives of the Urban Land Institute (ULI) together with City Staff conducted a tour of the Jefferson Corridor. The ULI Technical Advisory Panel consists of design, architectural, engineering, retail, and planning experts and will provide the City an outside expert review of the Jefferson Corridor with land use recommendations. The ULI Technical Advisory Panel held a one day planning summit in the Council Chambers from 7:30-5:00 p.m. on June 23'' and shared theirfindings and recommendations with City staff. Staff believes this effort on the part of ULI will provide valuable information from outstanding and diverse professionals to the City as we embark on our own planning effort for the Jefferson Corridor. Staff is currently collecting data on the project area to assemble baseline information. (RICHARDSON/WEST/LOWREY/INNES) SCAG 2012 Regional Transportation Plan — The update to the Southern California Association of Governments (SCAG) 2012 Regional Transportation Plan (RTP) is underway. The RTP will include a Sustainable Communities Strategy (SCS), which is a new component to the RTP as a result of the passage of SB 375. Staff will be working with the abovementioned agencies throughout the update process and has provided land use, employment and population data to SCAG and the County of Riverside Center for Demographic Research to establish Base Year Conditions and General Plan Based Growth Forecast/Distribution and land use for years 2020 and 2035. Staff is awaiting a response from SCAG staff regarding the land use data provided. SCAG and WRCOG will use this data to develop the Sustainable Community Strategy (SCS) that achieves the greenhouse gas reductions targets as established by AB 32. The Regional Transportation Plan, including the SCS is scheduled to be adopted by SCAG by November 2012. (WEST) WRCOG Non -Motorized Transportation Plan — Staff is working with Western Riverside Council of Governments on a multi -jurisdictional backbone network of bike and pedestrian routes which will link transit and regional points of interest to local bicycle and multi -use trails. A draft plan was completed and presented to the WROCG Planning Directors on July 8, 2010. A model resolution is being prepared for WRCOG member agencies to adopt the WRCOG Non -Motorized Transportation Plan. (WEST) Planning Agenda Report 8/1/2010 through 8/31/2010 1. Recently Approved APN # • PA10-0239 Hatch Chile Festival 922043006 ERIC JONES A Major Temporary Use Permit application to allow a chili cook -off event featuring live music to be conducted on September 11, 2010, at 28690 Old Town Front Street (Butterfield Square Parking Lot). Submitted Date Approved Date Aug 6 2010 Aug 25 2010 APN # • PA09-0137 Palomar Hotel Minor CUP 922024009 ERIC JONES A Minor Conditional Use Permit for the Temecula House of Wine to be housed within the future expanded Palomar Hotel located at 28522 Old Town Front Street. The wine garden will be located in the first floor courtyard along Front Street (Related applications: PA08-0134 - Palomar Hotel Expansion & PA08-0138 - Public Convenience or Necessity) Submitted Date Approved Date Apr 6 2009 Aug 4 2010 APN # • PA10-0242 Wahoo's 2010 Concert Series 921810026 CHERYL KITZEROW/MATT PETERS A Major Temporary Use Permit at Wahoos Tacos for a concert to include autograph signings, live music and prize giveaways on August 28, 2010 from 6 p.m. to 9 p.m. Submitted Date Approved Date Aug 10 2010 Aug 27 2010 APN # • PA08-0138 House of WinePC&N 922024009 ERIC JONES A Public Convenience or Necessity Application for the Temecula House of Wine located at 28522 Old Town Front Street. Proposed location is the recently submitted Palomar Hotel expansion, PA08-0134 Submitted Date Approved Date Jun 17 2008 Aug 4 2010 APN # • PA10-0176 Paseo del Sol Arroyo 955480010 CHERYL KITZEROW/MATT PETERS A Home Product Review Application for Lennar Homes to construct 73 homes in the Paseo Del Sol Specific Plan, Tract 24188 at the corner of Meadows Parkway and Pauba Road. The homes will consist of three plan types ranging in size from 2,129 to 2,860 square feet. Submitted Date Approved Date Jun 9 2010 Aug 12 2010 APN # • PA10-0161 Paseo del Sol KB 24188-2 955480010 CHERYL KITZEROW/MATT PETERS A Home Product Review application for KB Homes to construct 118 single-family homes in Tract 24188-2 of Paseo del Sol, generally located north of Leena Way, South of Pauba Road, West of Butterfield Stage Road and East of Meadows Parkway Submitted Date Approved Date 1 of 6 Planning Agenda Report 8/1/2010 through 8/31/2010 May 21 2010 Aug 19 2010 2 of Planning Agenda Report 8/1/2010 through 8/31/2010 2. Scheduled for Hearing APN # • PA08-0241 Islamic Center DP 957140012 ERIC JONES A Commercial Development Plan for a two story 24,943 square foot religious facility located at APN 957-140-012, totaling 4.32 acres. The project will be constructed in two phases. (Related: Planning Application PA08-0242, Conditional Use Permit - PA09-0154, Minor Exception for height) Submitted Date DRC Meeting Date Hearing Planned Oct 14 2008 TBD APN # • PA08-0242 Islamic Center CUP 957140012 ERIC JONES A Conditional Use Permit to allow a 24,943 square foot religious facility to operate within a VL zone located on parcels 957-140-007 & 957-140-011. (Related Planning Application PA08-0241, Development Plan) Submitted Date DRC Meeting Date Hearing Planned Oct 14 2008 TBD APN # • PA09-0061 Jehovah Witness Hall DP/CUP 957120019 ERIC JONES A Development Plan with Conditional Use Permit to construct and operate a 8,264 square foot religious facility on 3.15 acres within VL zoning, generally located on the northeast corner of Calle Girasol and Aussie Avenue, at 31640 Calle Girasol (APN 957-120-019) (Related Pre -App case: PR08-0052) Submitted Date DRC Meeting Date Directors Hearing Feb 23 2009 6/26/2008 Sep 9 2010 APN # • PA08-0125 Temecula Village PDO -5 Amend1 944370008 CHERYL KITZEROW/MATT PETERS A Zoning Amendment to modify PDO -5 (Temecula Village) to permit Grocery Stores up to 15,000 square feet with a Conditional Use Permit (currently allowed up to 10,000 SF w/CUP). Other changes include reducing landscape buffer/setback along Rancho California Road from 25 to 20 feet and miscellaneous clean-up/references to previous approvals. Temecula Village is located along the south side of Rancho California Road, east of Moraga Road. (Associated projects PA08-0122 and PA08-0123 - Fresh and Easy DP/CUP) Pending City Council hearing (date to be determined). Submitted Date DRC Meeting Date Planning Commision Jun 4 2008 6/26/2008 Oct 15 2008 APN # • PA10-0073 Harveston Emery 2 916410001 CHERYL KITZEROW/MATT PETERS A Development Plan application for a 64 unit single-family cluster product review at Harveston's Emery Place II (Danbury) (TR 34698), generally located near the northwest corner of Date Street and Lakeview Road. Submitted Date DRC Meeting Date Planning Commision Mar 9 2010 Sep 15 2010 APN # • PA08-0075 Temecula Moving & Auto CUP 922100040 ERIC JONES A Conditional Use Permit for the operation of a U -Haul Truck Rental Facility located at the southwest corner of Old Town Front Street and Santiago Road at 28781 Old Town Front Street (APN 922-100-019). Submitted Date DRC Meeting Date Directors Hearing 3 of Planning Agenda Report 8/1/2010 through 8/31/2010 Mar 19 2008 4/24/2008 Sep 16 2010 4 of Planning Agenda Report 8/1/2010 through 8/31/2010 3. New Submittals Pending DRC Meeting APN # • PA10-0210 Lyndie Lane Zone Change 921310018 ERIC JONES A Zoning Amendment Application to change the zoning of a parcel located at 42210 Lyndie Lane from High Density Residential to Community Commercial. The site's current General Plan designation is Community Commercial (APN: 921-310-018). (Corresponding Application: PA10-0211 - Minor Modification) Submitted Date Anticipated DRC Meeting Date Hearing Planned Jul 13 2010 TBD APN # • PA10-0235 Harveston Emery1 MHC 916661018 CHERYL KITZEROW/MATT PETERS A Model Home Complex for Emery Place 1 at Harveston located at the northeast corner of Ynez Road and Waverly Place. Submitted Date Anticipated DRC Meeting Date Hearing Planned Aug 5 2010 TBD APN # • PA10-0036 Fall Rod Run 2010 922026008 CHRISTINE DAMKO A Special Event Permit for the Fall Rod Run to take place on October 8th and 9th in Old Town. Front St. will be closed for the event. Submitted Date Anticipated DRC Meeting Date Hearing Planned Feb 11 2010 TBD APN # • PA10-0246 SOS Hills Rally 945050006 CHRISTINE DAMKO A Special Event Permit for SOS Hills to organize a "No Quarry" rally on September 26th from 1:00pm to 4:00pm. The event will start at Temecula Valley High School and end at the CRC. A marching band will lead the rally. Submitted Date Anticipated DRC Meeting Date Hearing Planned Aug 17 2010 TBD APN # • PA10-0249 Intl Film and Music Festival 921270054 CHRISTINE DAMKO A Major Temporary Use Permit for the Temecula Valley International Film and Music Festival to take place within the Tower Plaza Shopping Center on Sept. 15-19 from 9 00a to 11:00pm. No formal street closures required. Submitted Date Anticipated DRC Meeting Date Hearing Planned Aug 19 2010 TBD APN # • PA10-0251 Front St. Plaza DP (Dalton) 922046010 CHERYL KITZEROW/MATT PETERS A Development Plan application for the Front Street Plaza, a four story, 48,737 square foot mixed use development consisting of retail/restaurant, office, and residential uses at the southwest corner of Old Town Front and 3rd Street (APN 922-064-011). Submitted Date Anticipated DRC Meeting Date Hearing Planned Aug 20 2010 9/16/2010 TBD APN # • PA10-0255 Zydeco Music Festival MTUP 910310010 5 of ERIC JONES Planning Agenda Report 8/1/2010 through 8/31/2010 A Major Temporary Use Permit to allow the Zydeco Music, Food, and Cultural Festival to be conducted on September 19th at 27464 Jefferson Avenue (APN: 910-310-010) Submitted Date Anticipated DRC Meeting Date Hearing Planned Aug 25 2010 TBD APN # • PA10-0256 Off Road Nights 922073024 CHRISTINE DAMKO A Special Event Permit for "Off Road Nights", an event for off road racing vehicles to be displayed at the south parking lot in Old Town (Stampede parking lot) along with kids activities such as a jolly jumper. This event will take place the third Wednesday of every month from September 15th to December 15th, 4:00pm to 9:00pm. Submitted Date Anticipated DRC Meeting Date Hearing Planned Aug 30 2010 TBD APN # • PA10-0257 T -Mobile Redhawk Med 960020042 ERIC JONES An Antenna Facility Application to allow cellular facility to be installed within the cupola of an existing structure that will be raised 4 feet at 44274 George Cushman Court (APN: 960-020-042) Submitted Date Anticipated DRC Meeting Date Hearing Planned Aug 31 2010 TBD APN # • PA10-0258 Reliance Church MTUP 945110002 ERIC JONES A Major Temporary Use Permit to allow Reliance Church to conduct a Harvest Festival on October 31, 2010 between 5 and 9 p.m. at 31217 Pauba Road. Submitted Date Anticipated DRC Meeting Date Hearing Planned Sep 1 2010 TBD APN # • PA10-0263 99 Cents Only Major Mod 920080003 CHERYL KITZEROW/MATT PETERS A Major Modification to an existing building for a 99 Cents Only store located at 40355 Winchester Road (a portion of the former Ralph's store in Winchester Meadows Shopping Center). The exterior facade modifications include changes to the storefront facade, construction of a covered loading dock, a gated trash enclosure and new exit ramp system. Related Case PR10-0027 Submitted Date Anticipated DRC Meeting Date Hearing Planned Sep 7 2010 10/7/2010 TBD APN # • PA10-0234 Penske Truck Leasing 909310012 STUART FISK A Minor Conditional Use Permit to operate a Penske Truck leasing facilitiy from an existing building located at 42188 Winchester Road (formerly Rebel Rents) generally located on the south side of Winchester Road, approximately 1,700 feet west of Diaz Road. Submitted Date Anticipated DRC Meeting Date Hearing Planned Aug 5 2010 TBD Item No. 18 Approvals City Attorney Director of Finance City Manager CITY OF TEMECULA AGENDA REPORT TO: City Manager/City Council FROM: Andre O'Harra, Chief of Police DATE: September 28, 2010 SUBJECT: Police Department Monthly Report The following report reflects the activity of the Temecula Police Department for the month of August 2010. PATROL SERVICES Overall calls for police service.................................................................................................. 2848 "Priority One" calls for service....................................................................................................... 51 Average response time for "Priority One" calls.............................................................4.99 Minutes VOLUNTEERS 5 Volunteer administration hours................................................................................................... 263 SpecialEvents............................................................................................................................ 251 Community Action Patrol (CAP) hours....................................................................................... 966 Reserve officer hours (patrol)......................................................................................................... 0 Traininghours............................................................................................................................. 753 TotalVolunteer hours................................................................................................................ 1989 CRIME PREVENTION Crime prevention workshops /Neighborhood watch meetings conducted ..................................... 8 Residential/Business security surveys conducted.......................................................................... 0 Businessesvisited.......................................................................................................................... 5 Residences/Businesses visited for past crime follow-up................................................................ 5 StationTour..................................................................................................................................... 0 Planning Review Projects/Temp Outdoor Use Permits................................................................ 11 OLD TOWN STOREFRONT Total customers served............................................................................................................... 362 Setsof fingerprints taken.............................................................................................................. 53 Policereports filed........................................................................................................................ 11 Citationssigned off..................................................................................................................... 155 CarSeat Inspections....................................................................................................................... 3 Totalreceipts..................................................................................................................... $5,568.00 SPECIAL ENFORCEMENT TEAM (SET TEAM) On sight felony arrests......................................................... On sight misdemeanor arrests ............................................. Felony arrest warrants served ............................................. Misdemeanor arrest warrants served .................................. Follow-up investigations....................................................... Parole/Probation Searches ................................................. Pedestrian Checks............................................................... Traffic StopsA/ehicle Checks .............................................. Crime Free Housing Checks ............................................... TRAFFIC Citations issued for hazardous violations ............................ Grant funded D.U.I. checkpoints/warrant sweep conducted Other Grant funded operations ............................................ D.U.I. Arrests........................................................................ Non -hazardous citations...................................................... Stop Light Abuse/Intersection Program (S.L.A.P.) citations Neighborhood Enforcement Team (N.E.T.) citations .......... Parking citations................................................................... SchoolZone......................................................................... Seatbelts.............................................................................. CellPhone Cites.................................................................. Injury collisions..................................................................... INVESTIGATIONS Beginning Caseload............................................................. Total Cases Assigned......................................................... Total Cases Closed............................................................. Search Warrants Served .................................................... Arrest.................................................................................... PROMENADE MALL TEAM Calls for service........................................................................ Felony arrest/filings.................................................................. Misdemeanor arrest/filings....................................................... Traffic Citations........................................................................ Fingerprints/Livescans............................................................. Totalreceipts............................................................................ SCHOOL RESOURCE OFFICERS Felony arrests.......................................................................... Misdemeanor arrests............................................................... Reports..................................................................................... Youth counseled...................................................................... Meetings................................................................................... YOUTH ACCOUNTABILITY TEAM Schoolvisits............................................................................. Homevisits............................................................................... Presentations (Jail Tour, Univ. Tech Institute Tour) ................ DrugTests................................................................................ Operations................................................................................ .............................................. 114 ................................................ 45 ................................................ 48 .................................................. 9 .................................................. 7 .................................................. 1 .................................................. 2 .............................................. 143 ............................................. 120 ................................................ 74 ................................................ 34 ................................................ 27 .................................................. 2 ................................................ 12 .................................................. 0 Item No. 19 Approvals City Attorney Director of Finance City Manager CITY OF TEMECULA AGENDA REPORT TO: City Manager/City Council FROM: Greg Butler, Director of Public Works/City Engineer DATE: September 28, 2010 SUBJECT: Public Works Department Monthly Report RECOMMENDATION: Receive and file the attached Department of Public Works Monthly Activity Reports for the month of August, 2010. 11LI VL I 11/ l TO: Greg Butler, Director of Public Works FROM: Rodney Tidwell, Maintenance Supervisor s; DATE: September 9, 2010 1989 SUBJECT: Monthly Activity Report - August, 2010 The following activities were performed by Public Works Department, Street Maintenance Division in-house personnel for the month of August, 2010: I. SIGNS A. Total signs replaced 47 B. Total signs installed 13 C. Total signs repaired 121 D. Banners Replaced 75 II. TREES A. Total trees trimmed for sight distance and street sweeping concerns 101 III. ASPHALT REPAIRS A. - Total square feet of A. C. repairs 1,152 B. Total Tons 31.5 IV. CATCH BASINS A. Total catch basins cleaned 246 B. Down Spouts 1 C. Under sidewalks 0 V. RIGHT-OF-WAY WEED ABATEMENT A. Total square footage for right-of-way abatement 100 VL. GRAFFITI REMOVAL A. Total locations 152 B. Total S.F. 2,840 VII. STENCILING A. 381 New and repainted legends B. 245 L.F. of new and repainted red curb and striping C. 0 Bull Nose - D. 56 Thermal Plastic R WAINTAIN MOACTRH Also, City Maintenance staff responded to 86 service order requests ranging from weed abatement, tree trimming, sign repair, A.C. failures, litter removal, and catch basin cleanings. This is compared to 98 service order requests for the month ofIulY,, 2010. The Maintenance Crew has also put in 72.5 hours of overtime which includes standby time, special events and response to street emergencies. The total cost for Street Maintenance performed by Contractors for the month of August 2010 was $10.115.00 compared to $2,750.0 for the month ofuJ ly, 2010. Account No. 5402 Account No. 5401 Account No. 999-5402 Electronic Copies: Amer Attar, Principal Engineer Mayra De LaTorre, Senior Engineer Jerry Gonzalez, Associate Engineer $ 2,815.00 $ 7,300.00 $ -0- Capital Improvements Land Development Traffic Division RNM INTAINWOACTRPT MAINTENANCE WORK COMPLETED FISCAL YEAR 2010-2011 Date Submitted 0"eplo Slbmided By: GREG BUTLER Prepared By. RODNEYTIDWELL s .CONTRACTORS ,,,,, ,,,, - R AUGUST,: S,EP._EMBER OCTOBER;,,. NOVEMBER. ,; D,ECEMBER 1ST HALF;i3OTALS , ,YEAR-TO:DATE Asphalt Square Feet - 0 0 0 0 Concrete Square Feet 0 0 0 0 Drainage Channels 0 8 8 8 TOTAL COSTS $0.00 $7,300.00 $7,300.00 $7.300.00 CONTRACT STRIPING Striping Linear Feet 0 0 0 0 Sandblasting Linear Feet 0 0 0 0 TOTAL COSTS $0.00 $0.00 $0.00 $0.00 TREE CONTRACTORS Trees Trimmed 55 0 55 55 Trees Removed 0 0 0 0 TOTAL COSTS $2,750.00 $0.00 $2750.00 $2,750.00 R.O.W. SPRAYING SO. FT. 0 0 0 0 TOTAL COSTS $0.00 $0.00 $0.06 $0.00 CITY MAINTENANCE CREW Banners 92 75 167 167 Signs Replaced 91 47 138 138 Signs Installed 6 13 19 19 Signs Repaired 141 121 262 262 Catch Basins Cleaned 215 246 461 461 Trees Trimmed 105 101 206 206 R.O.W. Weed Abatement 1,380 100 1,480 1,480 New & Repainted Legends 306 381 687 687 After Hours Call Outs 145 72.5 217.5 217.5 Service Order Requests 98 86 184 184 Graffiti Removal - Sa Ft 2 779 2,840 5.619 5.619 TOTAL COSTS $2,760.00 $7,300.00 $100500- 1005000 R: WAINTAINWOACRTPIIULY THRU DEC DEPARTMENT OF PUBLIC WORKS MONTHLY ACTIVITY REPORT STREET MAINTENANCE FISCAL YEAR 2010 - 2011 tiST QliART�R Date Submitted: September 9, 2010 Submitted By: Greg Butler Prepared By: Rodney Tidwell R:WAI NTAI N\MOACRPTW U LY.AUG.SEPT. WORK WORK 'WORK TOTAL COST `. :TOTAL COST COMPLETED COST FOR JULY ` COMPLETED COST FOR AUG. COMPLETED COST FOR SEPT. FOR THIS :FOR LAST :SCOPE OF WORK JULY -10 110 - AUG.'10 110 SEPT '10 110 FISCAL YEAR FISCAL YEAR ASPHALT AC Square Footage: 809 $2,402.73 1,152 $3,421.44 $5,824.17 $220,978.22 Tons: 20 32 $0.00 SIDEWALK CURB & GUTTER REPAIR Square Footage: 0 $0.00 0 $0.00 $0.00 $0.00 PCC Yards: 0 $0.00 0 $0.00 $0.00 $23,765.00 STRIPING LINEAR FEET: 98 $6.86 245 $17.15 $24.01 $131,365.09 IN-HOUSE PAINTING LEGENDS: 306 $2,446.00 437 $3,496.00 $5,944.00 $28,408.00 SIGNS REPLACED Material: 91 $4,550.00 47 $2,350.00 $6,900.00 $32,500.00 Labor: $2,401.49 $1,240.00 $3,641.82 $17,153.50 SIGNS INSTALLED Material: 6 $300.00 13 $650.00 $950.00 $4,750.00 Labor: $158.34 $343.07 $501.41 $2,506.66 SIGNS REPAIRED Material: 141 $3,720.99 121 $3,193.19 $6,914.18 Labor: GRAFFITI Square Footage: 2,779 2,840 DRAINAGE CHANNELS CLEANED Basins: 215 $5,673.85 246 $6,491.94 $12,165.79 $109,070.57 Channels: 0 $0.00 $0.00 $103,237.78 IN-HOUSE TREES TRIMMED: 105 $2,770.95 101 $2,665.39 $5,436.34 $11,453.26 SERVICE ORDER REQUESTS: 98 86 AFTER HOURS CALL OUTS: 145 $5,740.55 73 $2,870.27 $8,610.82 $48,438.36 R.O.W. WEED ABATEMENT: 1,360 $46.92 100 $3.40 $50.32 $2,939.96 $736,586.40 TOTALS $30,220.68 $26,742.18 $56,962.86 R:WAI NTAI N\MOACRPTW U LY.AUG.SEPT. STREET MAINTENANCE CONTRACTORS The following contractors have performed the following projects for the month of August, 2010 Date: 08.30.10 # 12-10 CITYWIDE CHANNEL MAINTENANCE TOTAL COST $ 7,300.00 Date: 08.30.10 # 13-10 CITYWIDE DEBRIS CLEAN-UP ALONG CITY'S R.O.W. TOTAL COST $2,81S.00 Date: TOTAL COST Date: # TOTAL COST CONTRACTOR: Date: # TOTAL COST Date: TOTAL COST CONTRACTOR: Date: TOTAL COST Date: TOTAL COST TOTAL COST ACCOUNT #5401 $ 7,300.00 TOTAL COST ACCOUNT #5402 $ 2,815.00 TOTAL COST ACCOUNT #99-5402 -0- RAMAINTAIMMOACTRPT CITY OF TEMECULA DEPARTMENT OF PUBLIC WORKS ROADS DIVISION ASPHALT (POTHOLES) REPAIRS MONTH OF AUGUST, 2010 �... �.c.= _ ice. 08/05/10 �=�-�,M„-:,:.: ..�,_.c__�..,,.-�...r• o=°�'�'�—a"5-n-_-.,.. �'.�wS�, CALLE MEDUSA AT CHAUNCEY WAY POTHOLE .. 1 ;; z SOLANA AT SKYWOOD POTHOLE 2 W/B WINCHESTER AT 1-15 FWY POTHOLE 6 08/06/10 NICOLAS ROAD POTHOLE 10 08/12/10 RANCHO VISTA AT VIA EL GRECO R & R 64 RANCHO VISTA AT VIA EL GRECO R & R 102 RANCHO VISTA AT VIA EL GRECO AC OIL 40 5 LA SERENA AT MARGARITA POTHOLE 6 08/13/10 NICOLAS ROAD POTHOLE 2 08/19/10 MARGARITA AT LA SERENA R & R 372 10 08/24/10 ELINDA AT CALLE HALCON R & R 140 NICOLAS ROAD POTHOLES 10 4 08/25/10 YNEZ AT COUNTY CENTER DRIVE R & R 180. SANTA CECILIA R & R 40 6 08/26/10 REDHAWK AT VIA RIO TEMECULA R & R 40 2 08/31/10 OLD TOWN FRONT STREET AT 1' CARE R & R 124 4.5 MARGARITA ROAD POTHOLES 13 TOTAL S.F. OF REPAIRS 1.152 TOTAL TONS 31.5 R1MAINPJW CWLTOWSPHA T.RPR CITY OF TEMECULA DEPARTMENT OF PUBLIC WORKS ROADS DIVISION CATCH BASIN MAINTENANCE MONTH OF AUGUST, 2010 IM I IT NO - 08/02/10 CITYWIDE HOT SPOTS WE _£ CLEANED & CHECKED 27 CATCH BASINS 08/03/10 CALLE FIESTA CLEANED & CHECKED 1 DOWNSPOUT 08/04/10 MUIRFIELD CHANNEL CLEANED & CHECKED 1 CHANNEL 08/09/10 CITYWIDE HOT SPOTS CLEANED & CHECKED 20 CATCH BASINS 08/11/10 AREA #3 CLEANED & CHECKED 41 CATCH BASINS 08/16/10 CITYWIDE "HOT SPOTS" CLEANED & CHECKED 12 CATCH BASINS 08/17/10 RANCHO CALIFORNIA ROAD E/B & W/B CLEANED & CHECKED 22 CATCH BASINS 08/18/10 RANCHO CALIFORNIA ROAD E/B & W/B CLEANED & CHECKED 39 CATCH BASINS 08/19/10 AREA #4 CLEANED & CHECKED 40 CATCH BASINS 08/23/10 CB - HOT SPOTS CLEANED & CHECKED 23 CATCH BASINS 08/30/10 CB - HOT SPOTS CLEANED & CHECKED 22 CATCH BASINS TOTAL CATCH BASINS CLEANED & CHECKED 246 TOTAL DOWNSPOUTS CLEANED & CHECKED 1 TOTAL CHANNELS CLEANED & CHECKED 1 CITY OF TEMECULA DEPARTMENT OF PUBLIC WORKS ROADS DIVISION GRAFFITI REMOVAL MONTH OF AUGUST, 2010 08/02/10 I MEW, E30413 CUPENO LANE REMOVED 1 S.F. OF'GRAFFITI RAINBOW CANYON BRIDGE REMOVED 140 S.F. OF GRAFFITI PECHANGA PARKWAY AT LOMA LINDA REMOVED 2 S.F. OF GRAFFITI WOLF CREEK AT JUNIPER REMOVED 2 S.F. OF GRAFFITI PECHANGA AT WOLF CREEK REMOVED 1 S.F. OF GRAFFITI 44173 BUTTERFIELD STAGE REMOVED 2 S.F. OF GRAFFITI BUTTERFIELD STAGE ROAD AT CHANNEL REMOVED 1 S.F. OF GRAFFITI ANZA ROAD AT SHARON STREET REMOVED 4 S.F. OF GRAFFITI PEPPERCORN AT VIA PLATA REMOVED 4 S.F. OF GRAFFITI REDHAWK AT VIA SALTO REMOVED 4 S.F. OF GRAFFITI VAIL RANCH AT JOHNSTON REMOVED 1 S.F. OF GRAFFITI CAMINO PIEDRA ROJO AT PAROWN REMOVED 3 S.F. OF GRAFFITI WELTON AT BUTTERFIELD STAGE ROAD REMOVED 1 S.F. OF GRAFFITI RANCHO CALIFORNIA ROAD AT CALLE TAJO REMOVED 84 S.F. OF GRAFFITI RANCHO VISTA AT MIRA LOMA REMOVED 8 S.F. OF GRAFFITI CAMINO CAMPOS VERDE AT CERVANTES REMOVED 1 S.F. OF GRAFFITI WINCHESTER AT PROMENADE WAY SOUTH REMOVED 1 S.F. OF GRAFFITI WINCHESTER AT PROMENADE WAY NORTH REMOVED 2 S.F. OF GRAFFITI MARGARITA AT MORAGA REMOVED 1 S.F. OF GRAFFITI MARGARITA AT STONEWOOD REMOVED 1 S.F. OF GRAFFITI RANCHO CALIFORNIA ROAD AT VIA LAS COLINAS REMOVED 2 S.F. OF GRAFFITI YNEZ AT SANTA GERTRUDIS CREEK REMOVED 1 S.F. OF GRAFFITI WINCHESTER AT SANTA GERTRUDIS CREEK REMOVED 8 S.F. OF GRAFFITI NICOLAS AT RANCHO TEMECULA REMOVED 2 S.F. OF GRAFFITI 08/03/10 LONG VALLEY AT YUKON REMOVED 4 S.F. OF GRAFFITI LONG VALLEY AT ROANOAKE REMOVED 2 S.F. OF GRAFFITI SOLANAAT SKYWOOD REMOVED 6 S.F. OF GRAFFITI R:Vd MTAMWKCWLM\GRAFFITI\ Rig- R RM 08/03/10 MARGARITA AT MORAGA ma REMOVED 6 S.F. OF GRAFFITI MARGARITA AT AVENIDA CIMA DEL SOL REMOVED 2 S.F. OF GRAFFITI RANCHO CALIFORNIA ROAD AT MEADOWS PARKWAY REMOVED 6 S.F. OF GRAFFITI FABER AT TOPEKA REMOVED 6 S.F. OF GRAFFITI 31538 ROYAL OAKS REMOVED 2 S.F. OF GRAFFITI SPYGLASS HILL LANE AT SEMINAL REMOVED 2 S.F. OF GRAFFITI YUKON AT LONG VALLEY REMOVED 4 S.F. OF GRAFFITI RANCHO CALIFORNIA ROAD AT VIA LAS COLINAS REMOVED 4 S.F. OF GRAFFITI PUJOL AT RANCHO WEST APARTMENTS REMOVED 2 S.F. OF GRAFFITI DENDY AT DIAZ REMOVED 2 S.F. OF GRAFFITI 08/04/10 31452 ROYAL OAKS REMOVED 4 S.F. OF GRAFFITI MUIRFIELD CHANNEL REMOVED 350 S.F. OF GRAFFITI 08/05/10 42086 HUMBER REMOVED 2 S.F. OF GRAFFITI TEMEKU AT ROYAL BIRKDALE REMOVED 78 S.F. OF GRAFFITI 08/06/10 CARLETON AT GEORGETOWN REMOVED 1 S.F. OF GRAFFITI MARGARITA AT LA SERENA REMOVED 1 S.F. OF GRAFFITI MARGARITA AT GEORGETOWN REMOVED 1 S.F. OF GRAFFITI MARGARITA AT MORAGA REMOVED 1 S.F. OF GRAFFITI MARGARITA AT SANTIAGO REMOVED 4 S.F. OF GRAFFITI 08/09/10 VIA CUESTA AL SOL REMOVED 5 S.F. OF GRAFFITI AVENIDA DE MISSIONS REMOVED 8 S.F. OF GRAFFITI REDHAWK PARKWAY AT NIGHTHAWK REMOVED 2 S.F. OF GRAFFITI PASEO PARALLON AT CAMINO PALENCIA REMOVED 1 S.F. OF GRAFFITI 31012 PASEO FARALLON REMOVED 2 S.F. OF GRAFFITI VIA SALTIO AT SAN JOSE REMOVED 1 S.F. OF GRAFFITI REDHAWK PARKWAY AT WOLF VALLEY REMOVED 4 S.F. OF GRAFFITI REDHAWK PARKWAY AT WOLF VALLEY REMOVED 1 S.F. OF GRAFFITI REDHAWK PARKWAY AT CALLESITO VALLARTA REMOVED 1 S.F. OF GRAFFITI REDHAWK PARKWAY AT PEPPERCORN REMOVED 1 S.F. OF GRAFFITI ANZA AT PEPPERCORN REMOVED 1 S.F. OF GRAFFITI NIGHTHAWK AT MONTECITO REMOVED 4 S.F. OF GRAFFITI RANCHO CALIFORNIA ROAD AT VINTAGE HILLS REMOVED 24 S.F. OF GRAFFITI R:\MNM[AIMWRC W LTD\GRAMTE 08/09/10 No - MIRA LOMA AT EDISON PLANT REMOVED 44 S.F. OF GRAFFITI TARGET CENTER CHANNEL REMOVED 110 S.F. OF GRAFFITI VINTAGE HILLS AT CALLE RESACA REMOVED 2 S.F. OF GRAFFITI SANTA GERTRUDIS CREEK AT MARGARITA REMOVED 4 S.F. OF GRAFFITI MORAGA AT RANCHO CALIFORNIA ROAD REMOVED 1 S.F. OF GRAFFITI RANCHO CALIFORNIA ROAD AT JEFFERSON REMOVED 2 S.F. OF GRAFFITI RANCHO CALIFORNIA ROAD AT I-15 FWY REMOVED 3 S.F. OF GRAFFITI 08/10/10 VAIL RANCH PARKWAY AT VALENTINO WAY REMOVED 1 S.F. OF GRAFFITI 08/11/10 MAIN STREET BRIDGE REMOVED 20 S.F. OF GRAFFITI SANTIAGO AT YNEZ REMOVED 3 S.F. OF GRAFFITI 08/12/10 JEFFERSON AT WINCHESTER REMOVED 3 S.F. OF GRAFFITI NO. GENERAL KEARNY AT SIERRA MADRE REMOVED 2 S.F. OF GRAFFITI 08/16/10 42220 LONG VALLEY REMOVED 4 S.F. OF GRAFFITI TARGET CENTER REMOVED 50 S.F. OF GRAFFITI SANTIAGO BRIDGE REMOVED 20 S.F. OF GRAFFITI 29775 SANTIAGO REMOVED 30 S.F. OF GRAFFITI YNEZ COURT AT YNEZ REMOVED 85 S.F. OF GRAFFITI SANTA GERTRUDIS CREEK AT MARGARITA REMOVED 3 S.F. OF GRAFFITI SANTA GERTRUDIS CREEK AT NO. GENERAL KEARNY REMOVED 75 S.F. OF GRAFFITI AMARITA WAY AT CALLE ESPIRITO REMOVED 1 S.F. OF GRAFFITI VIA ALORA AT AMERITA WAY REMOVED 4 S.F. OF GRAFFITI PALOMA ELEMENTARY SCHOOL REMOVED 20 S.F. OF GRAFFITI PAUBA AT VIA RAMI REMOVED 3 S.F. OF GRAFFITI CAMINO NUNEZ REMOVED 75 S.F. OF GRAFFITI MAIN STREET BRIDGE REMOVED 130 S.F. OF GRAFFITI 1ST AT PUMP STATION REMOVED 110 S.F. OF GRAFFITI LOMA LINDA AT PECHANGA REMOVED 50 S.F. OF GRAFFITI WOLF CREEK AT ALTA VISTA REMOVED 2 S.F. OF GRAFFITI PASEO GALLANTE REMOVED 20 S.F. OF GRAFFITI REDHAWK "LOOP" REMOVED 4 S.F. OF GRAFFITI BUTTERFIELD STAGE BRIDGE REMOVED 8 S.F. OF GRAFFITI CAMINO CASANA AT VIA VASQUEZ REMOVED 8 S.F. OF GRAFFITI RAMAINTAIMWKC LTMGR FFIU 08/16/10 RANCHO VISTA AT BUTTERFIELD STAGE ROAD REMOVED x 6 S.F. OF GRAFFITI PAUBA AT CAMINO MERANO REMOVED 45 S.F. OF GRAFFITI 08/18/10 42304 CORTE VILLOSA REMOVED 15 S.F. OF GRAFFITI 41375 WINCHESTER REMOVED 2 S.F. OF GRAFFITI KAHWEA AT CALLE MEDUSA REMOVED 1 S.F. OF GRAFFITI 08/20/10 RUSTIC GLEN AT WINCHESTER REMOVED 12 S.F. OF GRAFFITI SANTA GERTRUDIS CREEK AT WINCHESTER REMOVED 12 S.F. OF GRAFFITI 40435 WINCHESTER REMOVED 2 S.F. OF GRAFFITI WOLF CREEK REMOVED 2 S.F. OF GRAFFITI REDHAWK PARKWAY REMOVED 22 S.F. OF GRAFFITI PEPPERCORN REMOVED 30 S.F. OF GRAFFITI DEER HOLLOW REMOVED 6 S.F. OF GRAFFITI ROMANCE REMOVED 14 S.F. OF GRAFFITI ANZA REMOVED 6 S.F. OF GRAFFITI 08/23/10 DEER HOLLOW AT SHARON REMOVED 6 S.F. OF GRAFFITI WOLF CREEK AT REDWOOD REMOVED 1 S.F. OF GRAFFITI WOLF STORE ROAD REMOVED 1 S.F. OF GRAFFITI REDHAWK PARKWAY AT VAIL RANCH REMOVED 1 S.F. OF GRAFFITI REDHAWK PARKWAY AT VIA CORDOBA REMOVED 8 S.F. OF GRAFFITI REDHAWK PARKWAY AT WOLF VALLEY ROAD REMOVED 6 S.F. OF GRAFFITI MIRA LOMA CHANNEL REMOVED 200 S.F. OF GRAFFITI 08/28/10 PROMENADE CHARDONNAY AT HEITZ REMOVED 1 S.F. OF GRAFFITI NICOLAS AT JOSEPH REMOVED 2 S.F. OF GRAFFITI MORAGA ROAD AT WINCHESTER REMOVED 6 S.F. OF GRAFFITI YUKON AT LONG VALLEY REMOVED 3 S.F. OF GRAFFITI TEMECULA PARKWAY AT CAMINO DEL SOL REMOVED 2 S.F. OF GRAFFITI TEMECULA PARKWAY AT CAMINO BROZAS REMOVED 2 S.F. OF GRAFFITI PROMENADE CHARDONNAY AT PLACER BELAIR REMOVED 2 S.F. OF GRAFFITI CHEMIN CLINET AT BUTTERFIELD STAGE ROAD REMOVED 2 S.F. OF GRAFFITI PROMENADE CHARDONNAY AT 41313 REMOVED 1 S.F. OF GRAFFITI PROMENADE CHARDONNAY AT CERCLE BEAUREGARD REMOVED 2 S.F. OF GRAFFITI 41300 PROMENADE CHARDONNAY HILLS REMOVED 2 S.F. OF GRAFFITI . A z i. y� /y fy]ry�+� 3 J.r�Cv.tESJ[.Ek` ;' .. :.. 'k ....ivy ..^... ..---=,.. ._......a.vro REHR :' ERR—}__"ME �yKklyyy. Jy V111g lr�Y �'- 08/28/10 PROMENADE CHARDONNAY HILLS AT CHEMIN LA TACHE REMOVED 2 S.F. OF GRAFFITI PROMENADE CHARDONNAY HILLS ATA CHEMIN DOMAINE REMOVED 4 S.F. OF GRAFFITI 08/30/10 TARGET CENTER REMOVED 240 S.F. OF GRAFFITI TOWER PLAZA REMOVED 2 S.F. OF GRAFFITI SANTA GERTRUDIS CREEK AT WINCHESTER REMOVED 4 S.F. OF GRAFFITI SANTA GERTRUDIS AT NICOLAS REMOVED 10 S.F. OF GRAFFITI 1-15 FWY AT TEMECULA PARKWAY REMOVED 8 S.F. OF GRAFFITI CALLE MEDUSA AT CALLE KATERINE REMOVED 120 S.F. OF GRAFFITI VIA LA VIDA BETWEEN MARGARITA & SOLANA REMOVED 50 S.F. OF GRAFFITI STANFORD AT CHANTEMAR REMOVED 4 S.F. OF GRAFFITI CAMPOS VERDE AT NO. GENERAL KEARNY REMOVED 6 S.F. OF GRAFFITI HUMBER AT LONG VALLEY REMOVED 50 S.F. OF GRAFFITI CROWNE HILL AT WOLFE STREET REMOVED 8 S.F. OF GRAFFITI REDHAWK / VAIL RANCH CIRCLE REMOVED 1 S.F. OF GRAFFITI SHARON AT ROMANCE REMOVED 1 S.F. OF GRAFFITI SHARON AT DRYMAN REMOVED 2 S.F. OF GRAFFITI ANZA ROAD AT PEPPERCORN REMOVED 20 S.F. OF GRAFFITI PEPPERCORN AT DEER HOLLOW REMOVED 10 S.F. OF GRAFFITI PEPPERCORN AT DEER HOLLOW REMOVED 3 S.F. OF GRAFFITI 08/31/10 REDHAWK AT VIA CORDOBA REMOVED 4 S.F. OF GRAFFITI REDHAWK AT VIA SALTIO REMOVED 1 S.F. OF GRAFFITI REDHAWK PARKWAY REMOVED 5 S.F. OF GRAFFITI VAIL RANCH AT REDHAWK PARKWAY REMOVED 8 S.F. OF GRAFFITI VAIL RANCH AT REDHAWK PARKWAY REMOVED 3 S.F. OF GRAFFITI VAIL RANCH AT REDHAWK PARKWAY REMOVED 12 S.F. OF GRAFFITI REDHAWK AT OVERLAND TRAIL REMOVED 6 S.F. OF GRAFFITI REDHAWK AT OVERLAND TRAIL REMOVED 4 S.F. OF GRAFFITI TOTAL S.F. GRAFFITI REMOVED 2.840 TOTAL LOCATIONS 152 CITY OF TEMECULA 2010 GRAFFITI REMOVAL 51000 49000 47000 45000 43000 41000 37000 35000 33000 31000 29000 27000 25000 23000 21000 19000 17000 15000 13000 11000 9000 7000 5000 3000 1000 JAN FEB MAR APRIL MAY JUNE JULY AUG SEPT OCT NOV DEC SQ FT R:N1AINlE CEGRAFFlTT ,a.Ch.10 d. CITY OF TEMECULA DEPARTMENT OF PUBLIC WORKS ROADS DIVISION RIGHT-OF-WAY TREE TRINIM NG MONTH OF AUGUST, 2010 08/02/10 mNO NEW BERGAMO TRIMMED 5 R.O.W. TREES 08/03/10 41716 MONTEREY PLACE TRIMMED 1 R.O.W. TREES 40550 CALLE FIESTA TRIMMED 1 R.O.W. TREES 08/04/10 NICOLAS AT CALLE MEDUSA TRIMMED 4 R.O.W. TREES JOSEPH ROAD TRIMMED 5 R.O.W. TREES 08/05/10 NO. GENERAL KEARNY AT NICOLAS TRIMMED 6 R.O.W. TREES 41948 HUMBER TRIMMED 2 R.O.W. TREES 30310 CHURCHILL COURT TRIMMED 2 R.O.W. TREES VIA LA VIDA AT VIA RENATE TRIMMED 1 R.O.W. TREES 08/06/10 PIO PICO AT YNEZ TRIMMED 2 R.O.W. TREES 08/09/10 MARGARITA AT PASEO BRILLANTE TRIMMED 2 R.O.W. TREES 08/11/10 41739ZINFANDEL TRIMMED 1 R.O.W. TREES 08/12/10 PAUBA AT LA PRIMAVERA TRIMMED 4 R.O.W. TREES MARGARITA AT PIO PICO TRIMMED 1 R.O.W. TREES REDHAWK BRIDGE DECK TRIMMED 10 R.O.W. TREES PECHANGA PARKWAY BRIDGE DECK TRIMMED 9 R.O.W. TREES RAINBOW CANYON TRIMMED 4 R.O.W. TREES 08/17/10 CHENIN BLANC AT SAUVIGNON TRIMMED 2 R.O.W. TREES 30138 CORTE CANTERA TRIMMED 1 R.O.W. TREES 30138 CORTE CANTERA AT CALLE ARANDA TRIMMED 1 R.O.W. TREES CALLE FUEGO AT SOLANA TRIMMED 1 R.O.W. TREES VIA LA VIDA AT SOLANA TRIMMED 1 R.O.W. TREES 31022 CORTE DE LAOS SANTOS TRIMMED 1 R.O.W. TREES VALLEJO AT CABRILLO TRIMMED 1 R.O.W. TREES 08/18/10 CROWNE HILL AT ROYAL CREST TRIMMED 1 R.O.W. TREES 08/20/10 40435 MARGARITA TRIMMED 1 R.O.W. TREES 32891 DUPONT TRIMMED 1 R.O.W. TREES 42248 CAMELOT TRIMMED 1 R.O.W. TREES 08/20/10 CAMELOT AT CROWNE HILL TRIMMED ._.Ell 2 R.O.W. TREES 08/23/10 OVERLAND TRAIL TRIMMED 3 R.O.W. TREES FULLER AT WINCHESTER TRIMMED 1 R.O.W. TREES 08/24/10 WINCHESTER AT MARGARITA TRIMMED 1 R.O.W. TREES 08/25/10 RANCHO CALIFORNIA ROAD AT HUMBER TRIMMED 4 R.O.W. TREES 08/26/10 ROVATO STREET AT SERENO TRIMMED 3 R.O.W. TREES 24888 PLYMOUTH TRIMMED 1 R.O.W. TREES 31977 CALLE SOLEDAD TRIMMED 1 R.O.W. TREES 44557 BOGUTA WAY TRIMMED 1 R.O.W. TREES 08/30/10 32453 GUEVARA TRIMMED 1 R.O.W. TREES SUNNY MEADOWS AT CAPRI TRIMMED 1 R.O.W. TREES YNEZ AT LA PAZ TRIMMED 1 R.O.W. TREES 08/31/10 43160 CALLE CAMELLIA TRIMMED 1 R.O.W. TREES LA SERENA AT VIA HALCON TRIMMED 1 R.O.W. TREES AVENIDA DE MISSIONS TRIMMED 7 R.O.W. TREES MARGARITA AT RANCHO CALIFORNIA ROAD TRIMMED 1 R.O.W. TREES TOTAL R.O.W. TREES TRIMMED 101 R;\MAMTAIM W RKC0 W LTD\TREES CITY OF TEMECULA DEPARTMENT OF PUBLIC WORKS ROADS DIVISION RIGHT-OF-WAY WEED ABATEMENT MONTH OF AUGUST, 2010 IMMUNE 08/06/10 NO. GENERAL KEARNY AT NICOLAS 100 S.F. R.O.W. WEEDS ABATED TOTAL S.F. R.O.W. WEEDS ABATED 100 CITY OF TEMECULA DEPARTMENT OF PUBLIC WORKS ROADS DIVISION SERVICE ORDER REQUEST LOG MONTH OF AUGUST, 2010 Dz�TL R1C'D = T.00An- ON':, REQIIEST DA1Q .: COMPLI TED 07/30/10 32488 BERGAMO COURT TREE 08/02/10 MARGARITA AT MORAGA GRAFFITI 08/02/10 PASEO BRILLANTE AT MARGARITA GRAFFITI 08/02/10 STONEWOOD AT MARGARITA GRAFFITI 08/02/10 08/01/10 PECHANGA PARKWAY AT TEMECULA PARKWAY STRIPING 08/04/10 08/02/10 LONG VALLEY AT YUKON GRAFFITI 08/03/10 42550 VERDADERO PLACE POTHOLE 08/03/10 HARVESTON WAY AT MARGARITA ROAD SIGN REPAIR 08/03/10 42251 FABER COURT GRAFFITI 08/02/10 MARGARITA AT MORAGA GRAFFITI 08/02/10 MARGARITA AT AVENIDA CIMA DEL SOL GRAFFITI 08/03/10 RANCHO CALIFORNIA ROAD AT MEADOWS GRAFFITI 08/03/10 08/03/10 SPYGLASS AT SEMINOLE GRAFFITI 08/03/10 RANCHO CALIFORNIA ROAD AT HOPE WAY SHOPPING CARTS 08/03/10 RANCHO CALIFORNIA ROAD AT MORAGA SHOPPING CARTS 08/03/10 08/04/10 31452 ROYAL OAKS GRAFFITI 08/04/10 41826 CARLETON WAY DEBRIS 08/04/10 WINCHESTER ATYNEZ ASPHALT REPAIR 08/05/10 MARGARITA AT STONEWOOD DEBRIS 08/06/10 TEMEKU AT ROYAL BIRKDALE GRAFFITI 08/05/10 TEMEKU AT ROYAL BIRKDALE GRAFFITI 08/05/10 MONTEREY AT ROYAL BIRKDALE GRAFFITI 08/05/10 08/05/10 WINCHESTER ATYNEZ ASPHALT REPAIR 08/05/10 RANCHO CALIFORNIA ROAD AT DIAZ CATCH BASIN 08/05/10 08/06/10 STANFORD DRIVE SLURRY ISSUE 08/06/10 MARGARITA AT STONEWOOD SHOPPING CARTS 08/06/10 MARGARITA AT RAMSEY DEBRIS 08/06/10 R WTADAW COWLTD\SORS\ 08/06/10 1 45521 CLASSIC WAY CATCH BASIN 08/06/10 42450 COSMIC DRIVE TREE 08/10/10 08/09/10 42104 VIA CUESTA AL SOL GRAFFITI 08/09/10 VINTAGE HILLS AT CALLE RESACA GRAFFITI 08/09/109 42450 MORAGA ROAD SIGN REPAIR 08/09/10 PECHANGA PARKWAY AT WOLF VALLEY SINKHOLE 08/10/10 30500 SHENANDOAH COURT TREE 08/10/10 44598 BRICE CIRCLE SIGN REPAIR 08/10/10 08/10/10 30800 E. LOMA LINDA DEBRIS 08/10/10 08/11/10 RANCHO WAYAT DIAZ MANHOLE 08/11/10 42152 DEODAR LANE DRAINAGE ISSUE 08/11/10 43410 VIA BARROZO DEBRIS 08/11/10 08/12/10 STATION #92 CELL PHONE IN CATCH BASIN 08/13/10 08/13/10 29741 CAMINO DEL SOL CATCH BASIN 08/17/10 08/16/10 NICOLAS AT VILLA VENECIA TREE 08/16/10 PALOMA SCHOOL AT PAUBA GRAFFITI 08/16/10 CAMINO NUNEZ AT CORTE ZAMORA GRAFFITI 08/16/10 PASEO PARALLON GRAFFITI 08/16/10 LOMA LINDA AT PECHANGA GRAFFITI 08/16/10 31002 CORTE DE LOS SANTOS TREE 08/17/10 44005 NORTHGATE CATCH BASIN 08/17/10 BUTTERFIELD STAGE AT BRENTWOOD GRAFFITI 08/17/10 08/17/10 30138 CORTE CANTERA TREE 08/17/10 32053 LIVE OAK DRIVE CATCH BASIN 08/17/10 MODENA AT JEREZ LANE SIDEWALK / TREE 08/18/10 08/18/10 PUJOL AT SANTIAGO TENNIS SHOES / POWER LINES 08/19/10 08/20/10 WOLF STORE ROAD GRAFFITI 08/23/10 HUMBER AT RANCHO CALIFORNIA ROAD GRAFFITI 08/23/10 45630 RAINBOW CANYON TREE 08/23/10 08/23/10 40299 ATMORE DEBRIS 08/24/10 RANCHO CALIFORNIA ROAD AT BUSINESS PARK POTHOLE 08/24/10 43687 ALCOBA DRIVE SIDEWALK REPAIR 08/25/10 30255 ROUGE CIRCLE TREE 08/24/10 08/24/10 27505 STANFORD DRIVE TREE 08/24/10 08/24/10 NICOLAS ROAD ASPHALT REPAIRS 08/25/10 NICOLAS AT JOSEPH GRAFFITI 08/28/10 08/25/10 ROVATO STREET TREE TRIM 08/26/10 32337 CALLE RESACA TREE 08/25/10 30602 HOLLY BERRY LANE TREE 08/25/10 31141 CALLE ARAGON CONCRETE REPAIR 08/26/10 08/26/10 44557 BOGUTA WAY TREE 08/26/10 28488 PLYMOUTH WAY TREE 08/26/10 31977 CORTE SOLEDAD TREE 08/26/10 CHARDONNAY HILL COMMUNITY GRAFFITI 08/26/10 LA SERENA AT VETERAN'S PARK TREE 08/26/10 32744 CASTANA DRIVE DEBRIS 08/30/10 08/27/10 YNEZ AT LA PAZ TREE 08/30/10 LA SERENA AT VIA PUERTA TREE 08/30/10 VIA LA VIDA AT SYCAMORE APARTMENTS TREE 08/30/10 LONG VALLEY AT HUMBER GRAFFITI 08/30/10 08/30/10 CALLE MEDUSA AT CALLE KATERINE GRAFFITI 08/30/10 VIA LA VIDA AT SOLANA GRAFFITI 08/30/10 VIA LA VIDA AT VIA RENATE GRAFFITI 08/30/10 REDHAWK PARKWAY GRAFFITI 08/30/10 DEER HOLLOW AT PEPPERCORN GRAFFITI 08/30/10 CALLE CHAPOS AT WALCOTT DEBRIS 08/31/10 REDHAWK AT VAIL RANCH PARKWAY GRAFFITI 08/31/10 REDHAWK PARKWAY AT OVERLAND GRAFFITI 08/31/10 REDHAWK PARKWAY AT REDHAWK GRAFFITI 08/31/10 TOTAL SERVICE ORDER REQUESTS 86 R'WA[ A[N\ R COWLTMSORS\ CITY OF TEMECULA DEPARTMENT OF PUBLIC WORKS ROADS DIVISION SIGNS MONTH OF AUGUST, 2010 K:WA W TAIM W KC W LTD\SIGNS\ a 08/02/10 CAMPANULA AT MEADOWS REPAIR R4-7 2 BUTTERFIELD STAGE ROAD AT DE PORTOLA REPAIR W3-3 ADELANTE AT ALCOBA REPLACED R1-1 NO. GENERAL KEARNY AT LA COLIMA REPLACED R2-40 NICOLAS AT CALLE MEDUSA REPAIR R2-45 08/05/10 CALLE MEDUSA AT CHAUNCEY REPLACED R1-1 08/06/10 RANCHO CALIFORNIA ROAD AT YNEZ REPAIR R4-7 RANCHO CALIFORNIA ROAD AT HOPE REPAIR R4-7 08/09/10 MARGARITA AT HONORS REPAIR R4-7 CALLE MEDUSA AT LA SERENA REPAIR R1-1 SO. GENERAL KEARNY AT LA SERENA REPAIR R-26 08/10/10 NO. GENERAL KEARNY AT NICOLAS REPAIR 2 R-26 CALLE MEDUSA AT ENFIELD REPAIR R1-1 CALLE MEDUSA AT CHALDON REPAIR R1-1 PECHANGA AT WOLF VALLEY REPAIR R4-7 CALLE MEDUSA AT CHAUNCEY REPAIR R1-1 BRICE CIRCLE AT CALLE CANTO REPAIR SNS CAMINO RUBANO AT TEHACHAPI REPAIR - 3 R1-1 TEMECULA PARKWAY AT PECHANGA NEW INSTALL 2 395's RAINBOW CANYON AT PECHANGA NEW INSTALL 2 395's OLD TOWN FRONT STREET AT 79 SO. NEW INSTALL 2 395's OLD TOWN FRONT AT MAIN STREET NEW INSTALL (2)395-S 79 SO. AT OLD TOWN FRONT NEW INSTALL R61-34 OLD TOWN FRONT AT 5T" REPAIR R1-1 MARGARITA ATPAUBA REPAIR W3-3 JEFFERSON AT RANCHO CALIFORNIA ROAD NEW INSTALL 395 K:WA W TAIM W KC W LTD\SIGNS\ 33.UGfTlfki USA'1R.iIN 08/11/10 RAINBOW CANYON REPLACED CITY LIMIT SIGN CALLE MEDUSA AT CHALDON REPAIR W1-1 LA SERENA AT MEADOWS REPAIR R4-7 MEADOWS AT CATERA REPAIR R4-7 RIVERTON AT CALLE MEDUSA REPAIR R1-1 08/12/10 WINDSOR AT CALLE MEDUSA REPAIR R1-1 OLD TOWN FRONT STREET ATMORENO NEW INSTALL 395 08/13/10 CALLE ARAGON AT AVENIDA DE LA REINA REPAIR R1-1 RANCHO CALIFORNIA ROAD AT MEADOWS REPAIR R4-7 SEMENA AT CAMPANULA WAY REPLACED R4-7 08/16/10 RANCHO VISTA AT MIRA LOMA REPAIR Rt -1, R4-7 LA SERENA AT CALLE MEDUSA REPAIR R18-2 LA SERENA AT WINDSOR REPAIR R1-1 08/17/10 MEADOWS AT ROYAL OAK REPAIR R1-1 & R4-7 JEFFERSON AT WINCHESTER N/B & S/B NEW INSTALL (2) 395's BUTTERFIELD STAGE AT BRENTWOOD REPAIR SNS DE PORTOLA AT MEADOWS REMOVE Ri-1 DE PORTOLA AT MEADOWS REPAIR R26-81 MEADOWS AT CAMPANULA REPLACE TYPE K MEADOWS AT EMPEZAR REPLACE R26-81 MEADOWS AT DE PORTOLA REPLACE R4-7 VIA JUMILLA AT CORTE ILLORA REPAIR R1-1 MEADOWS AT CORTE CARA REPAIR R-26 08/18/10 DE PORTOLA AT BUTTERFIELD REPAIR R-26 CROWNE HILL AT FOX REPAIR R-26 BUTTERFIELD STAGE ROAD AT JEREZ REPAIR R4-7 VIA SABINO AT DE PORTOLA REPAIR R1-1 VERMONT AT MEADE REPAIR SNS VERMONTATLEE REPAIR SNS CASTLE AT CROWNE HILL REPAIR W14-1 08/19/10 MARGARITA AT WINCHESTER REPAIR R2-40 STONEFIELD AT GATESHEAD REPLACED R1-1 STONEFIELD AT HARWICK LANE REPLACED R1-1 & SNS WYANDOTE STREET AT SAGE REPAIR SNS R:�ATMW CWLMSIGW R:N TAA CvtPLMD IGW IN - 08/19/10 WYANDOTE AT FABER REPAIR SNS WYANDOTE AT MONROY CIRCLE REPAIR SNS CROWNE HILL AT PAOLI REPLACED R1-1 CROWNE HILL AT TOPEKA REPLACED R1-1 CROWNE HILL AT ESSER COURT REPLACED R1-1 CROWNE HILL AT HILL STREET REPLACED R1-1 CROWNE HILL REPLACED (8) OMI -3 RANCHO WAY AT DIAZ REPAIR R26-1 RANCHO WAY AT DIAZ REPLACED (2) R26 -A RETERA AT MEADOWS REPLACED R1-1 ROYAL OAKS AT MEADOWS REPLACED R1-1 PARDUCCI AT PROMENADE CHARDONNAY HILLS REPAIR R1-1 BURGESS AT CULBERTSON REPAIR SNS AHERN AT PROMENADE BORDEAUX REPAIR R1-1 BRITTON CIRCLE AT HEITZ REPAIR R1-1 HEITZ AT PROMENADE CHARDONNAY HILLS REPAIR R1-1 DURNEY AT VINTAGE CIRCLE REPLACED R1-1 LUZON AT WALCOTT REPAIR R1-1 LA SERENA AT WALCOTT REPAIR R1-1 LA SERENA AT CALLE MEDUSA REPAIR R26 - COMBO CHANTILLY CIRCLE AT KLARER REPAIR R1-1 WALCOTT AT KLARER REPAIR R1-1 CALLE KATERINE AT KLARER REPAIR R1-1 EVEREST AT CALLE MEDUSA REPAIR R1-1 08/18/10 CALLE MEDUSA AT MONIQUE REPLACED W11-8 41735 WINCHESTER REPAIR W14-2 08/20/10 CASTLE COURT REPAIR SNS CASTLE COURT AT SUVA REPAIR SNS CASTLE COURT AT FIJI REPAIR SNS CASTLE COURT AT CROWNE HILL REPAIR SNS WOLF STREET AT CROWNE HILL REPAIR SNS CAMELOT AT DRENNON REPAIR SNS & R1-7 VANOWEN AT REDHAWK REPAIR R4-7 EASTRIDGE AT REDHAWK REPAIR W1-7 R:N TAA CvtPLMD IGW R:UMMTAI CM TD\ IGNS\ 08/20/10 VAIL RANCH AT CAMINO RUBANO REPAIR W 1-7 & OMI -3 CAMELOTATSPARKS REPAIR SNS DUPONTATSPARKS REPAIR SNS ADENERATSWOBODA COURT REPAIR SNS CAMELOT AT SWOBODA COURT REPAIR SNS 08/23/10 REDHAWKAREA REPAIR (4)R4-7 PASEO PARALLON AT VIA SERON REPAIR SNS REDHAWK PARKWAY REPLACED OMI -3 VIA INDUSTRIA AT ROICK ROAD REPLACED W14-1 08/24/10 WINCHESTER AT JEFFERSON REPAIR R4 -7s (2) 08/25/10 YUKON AT RANCHO CALIFORNIA ROAD REPAIR SNS MARGARITA AT RANCHO CALIFORNIA ROAD REPAIR R4-7 (2) MARGARITA AT WINCHESTER REPAIR R245 JEFFERSON AT WINCHESTER REPLACED (10) DELINEATORS REDHAWK AT OVERLAND TRAIL REPLACED 3 DELINEATORS OLD TOWN FRONT AT TEMECULA PARKWAY REPLACED 2DELINEATORS 08/28/10 MARGARITA AT TEMECULA PARKWAY REPAIR R4-7 CLUBHOUSE AT BARDMOOR REPAIR SNS JEFFERSON AT DEL RIO REPAIR R3-2 OLD TOWN FRONT STREET "PARK -N -RIDE" REPAIR R-26 08/30/10 BRASSANO AT GABBIANO REPAIR SNS REDHAWK PARKWAY REPLACED R1-1 & R1-4 MEADOWS AT CAPRI REPAIR S1-1 END OF DE PORTOLA REPAIR W14-1 YNEZATLAPAZ REPAIR R1-1 08/31/10 REDHAWK AT VIA PUEBLO REPLACED R-26 REDHAWK AT OVERLAND TRAIL REPAIR R4-7 TOTAL SIGNS REPLACED 46+1 =47 TOTAL SIGNS INSTALLED 13 + 0 =13 TOTAL SIGNS REPAIRED 120+1=121 R:UMMTAI CM TD\ IGNS\ CITY OF TEMECULA DEPARTMENT OF PUBLIC WORKS ROADS DIVISION STENCILS / STRIPING MONTH OF AUGUST, 2010 Ng Mo a0M i MIN id' r-s„ ..,..x.a, -------------- 08/02/10 08/02/10 OLD TOWN PARKING STALLS REPAINTED 150 LEGENDS 08/03/10 TEMECULA PARKWAY AT 1-15 FWY REPAINTED 14 LEGENDS 08/04/10 WINCHESTERAREA REPAINTED 29LEGENDS !, 08/05/10 WINCHESTER AT JEFFERSON REPAINTED 10 LEGENDS 08/09/10 SCHOOL LEGENDS / CITYWIDE REPAINTED 16 LEGENDS 08/10/10 SCHOOL LEGENDS / CITYWIDE REPAINTED 11 LEGENDS 08/11/10 SCHOOL LEGENDS REPAINTED 5 LEGENDS 08/12/10 LA SERENA AT MARGARITA THERMOPLASTIC 7 LEGENDS HARVESTON AT HARVESTON SCHOOL THERMOPLASTIC PAUBA AT MEADOWS THERMOPLASTIC 08/16/10 AREA#2 REPAINT 37LEGENDS 08/17/10 DATE AT YNEZ THERMOPLASTIC 6 LEGENDS 08/18/10 DATE AT YNEZ THERMOPLASTIC 44 LEGENDS 08/20/10 FIRE STATION #12 REPAINT 245 SQ. FT. RED CURB 08/23/10 YNEZ AT DATE THERMOPLASTIC 2 LEGENDS MARGARITA AT HARVESTON THERMOPLASTIC 4 LEGENDS 08/24/10 AREA #2 REPAINT 35 LEGENDS 08/25/10 AREA#2 REPAINT 31 LEGENDS 08/30/10 AREA#2 REPAINT 25LEGENDS TOTAL NEW & REPAINTED LEGENDS 381 NEW & REPAINTED RED CURB & STRIPING L.F. 245 TOTAL THERMOPLASTIC 56 CITY OF TEMECULA PAGE 1 OF 9 CAPITAL IMPROVEMENTS PROJECTS - MONTHLY WORK PROGRESS SHEET 9/16/2010 %TIME PROJECT PRIORITY PROJECT NAME, DESCRIPTION, PROJECT COMPLETE CONTRACT CURRENT STATUS & PROGRESS NO CONTRACTOR & CONTRACT $'s ENGINEER (Est. comp./ PAID ($) bid date) PROJECTS UNDER CON RUCTION Roripaugh Ranch Fire Station The majority of work was completed by April of 2006. The remaining work will be Contractor: Tovey Shultz Construction, Inc. completed when the mainline utilities are installed, which the City is undertaking - ContractAmount: $3,298,000 estimated start in September of 2010. Afire engine/truck venting system PW03-01 I Approved Change Orders: $237,795 DavidMcBride 97%(1210) 93% (requested/added on 2/06) will be installed when the Contractor re -mobilizes, this cost is Account No. 210-165-741 also included in the approved change order total. Temporary power, initially established in 2003 by the developer, had to re-established in May of 2010. City Property at Diaz Road and Dandy Parkway This project provided for the rough grading of the vacant City property at Diaz Road and (Northwest RDA Property) - Rough Grading Dandy Parkway. Al work was completed on March 28, 2007. Site restoration, including Contractor: Skanska hydroseeding, was completed in December of 2008. A notice of completion was approved PW06-03 I Final Contract Cost $5,948,799.71 David McBride Complete 100% by the City Council at the 1/13/09 meeting. Ongoing maintenance expenses will be incurred for NPDES measures until such time the property is developed. Minor BMP improvements were completed in April of 2010. Old Town Infrastructure Project -Town Square and This project involves construction of the Town Square and street improvements on Mercedes & Main Street Mercedes & Main Streets. The project was awarded on March 18, 2008. Work as started Contractor: LH Engineering Contract Amt: for final flatwork (pavers) and asphalt paving and scheduled for completion by September PW06-07 $3,458,495.00 24th. (1C & 1 E) Approved Change Orders) $336,297 David McBride 99%(9110) 97% Account Nos.: 210-165-636 210-165-643 Old Town Infrastructure Projects The structure was opened to the public on March 1, 2010. Punch list and close out work - Parking Structure & Office/Retail Frontage will be ongoing for two to three months. In addition a long term (5 year) maintenance PW06-07Contractor: David contract for landscaping in the Caltrans right of way will be consider for award on 9/14/10. PCL Construction MC Bill 100%(5110) 100 (1 D) Contract Amount:$15,797,010.00 McAteer teer Approved Change Orders: $775,436.81) Account No. 210-165-644 Ronald Reagan Sports Park Channel Silt Removal & This project includes restoring the Best Management Practices (BMP) of the Stormwater Desiltation Pond William Pollution Prevention Plan (SWPPP), the Water Quality Management Plan (WQMP) and PWOS-13 Contractor: Sean Malek Becerra) Avlin 99% 59% the requirements of RWQCB by des the basin located near the Sports Park. 401 Engineering Contract Amount: $182,900 Otiviar Certification, Streambed Alteration Agreement, and Nationwide Permits have been g Account No. 210-190-187-58XX acquired. Efforts to close out the contract are on-going. Old Town Civic Center This project will construct the Old Town Civic Center. City Council awarded the contract to Edge Development, Inc. on 09/09/08. Edge began work on 4/8/09. Work is ongoing on PWO6-07 Contractor: EdeDevelopment o,500 David 90% finish electrical, casework, and exterior flatwork. The majority of the systems furniture Ph2 I ContractAmou$31,55531,55 $ McBride l Bill (10/22/10) 86 � installation has been completed. Approved Change Orders: $1,152,460.85 McAteer Account No. 210-165-751-58XX CITY OF TEMECULA PAGE 2 OF 9 CAPITAL IMPROVEMENTS PROJECTS - MONTHLY WORK PROGRESS SHEET 9/16/2010 %TIME PROJECT PRIORITY PROJECT NAME, DESCRIPTION, PROJECT COMPLETE CONTRACT CURRENT STATUS & PROGRESS NO CONTRACTOR & CONTRACT $'s ENGINEER (Est. comp./ PAID ($) bid date) Temecula Community Center Expansion - Phase 2, Phase 2 of this project will renovate the Escallier House and Barn. Bids were opened on Renovation of Historical Buildings William March 4, 2010. A recommendation to award a contract was approved at the City Council PW06-05 III tracor: Cont Becerra) David 69% 57% at the 03/23/10 meeting. Notice to proceed is effective 05/03/10 for Phase 2. Utilities, Contract Amount: Account No. 210-190-197 McBride rough framing, electrical, and mechanical are complete. Construction of the fireplace is on -going. Redhawk Park Improvements This project will add amenities, which include ADA accessible parking, a restroom, a half - Contractor: IAC Engineering, Inc. Kendra court basketball court, and permanent dog park at Redhawk Community Park. As part of PWO6-O6 Contract Amount: $787,094.92 Hannah- 20%(1112010) 0% this project, a seatwall will be installed at Sunset Park. The Notice To Proceed was Account No. 210-190-144-58XX Meistrell1 Avlin Odviar issued on 12/21/09. Construction activities began in January 2010. Completion is anticipated in November 2010. Winchester Road / State Route 79 North - North This federally funded project will design and construct landscaping and irrigation Corridor Beautification enhancements to the existing raised medians along Winchester Road between Ynez Contractor: Belaire-West Landscape, Inc. Chris Whitel Road and the easterly City limits. The contractor is currently installing the trees and plants PW06-15 $920,027.00 Amer Attar 96% 77/ throughout medians 1 through 6. Also, installing the controller, basket strainer, flow senor ApproCon ved Change 1:$2,5 Approved Change Order 1: $2,500.00 Approved Change Order 2: $160,000.00 September 20th. and water meter. Completion is anticipated the week of Se P P P Account No. 210-165-638 Citywide Slurry Seal Project FY 2009-2010 This project will slurry seal local streets within the Roripaugh Hills Estates, Campos PW 09-O6 Contractor: Roy Allan Slurry Seal, Inc. Chris White 1 93/ 97/ Verdes tract and Nicolas Valle Areas. Proposition 1 B funds will be used to fund this Y p Contract Amount: $421,208.55 Amer Attar project. The contractor has completed the slurring and striping of the project. Account Number: 210-165-512-58xx Road and Storm Drain Repair at Rancho California Storm drain pipes have been determined to be essentially sound. The approach from this Road point will take the form of debris removal, surface preparation, and installation of concrete PW09-08 I Projectwill construct concrete paving on the invert of Jon Salazarl 0% 0% paving in the pipe invert to extend the life of the pipe; no roadway repair is anticipated. approximately feet aging triple corrugated Amer Attar Construction is complete as of 8/23/10 - Notice of Completion on City Council agenda for metal pipes underder Rancho California Road, east of Hope Drive, to prolong its life. 9/14/10. Citywide Storm Drain Improvements- Rancho Project consists of installing two catch basins and approx. 100' of RCP drainage pipe California Rd at Vincent Moraga Dr across Rancho California Road at Vincent Moraga Drive, as well as relocation of an PW09-09 I Design and construct storm drain improvements to Jon Salazarl 0% 0% existing RCWD waterline. Bid opening was held 6/29/10, ATOM Engineering is apparent correct Flooding problems during storm events at this Amer Attar low bidder. Pre -construction meeting was held on 7/28/10; construction is anticipated to location. start the week of 9/13/10. Road Reconstruction at Jedediah Smith Road Project will rehabilitate roadway surface using the Asphalt Rubberized Aggregate Project will rebuild 28 feet (width) of roadway on Membrane (ARAM) method on Jedediah Smith Road between Temecula Parkway and PW09-10 I Jedediah Smith Road between Temecula Parkway Jon Salazarl 0% 0% Cabrillo Ave; on Cabrillo Ave between Jedediah Smith Road and Vallejo Ave; and on and Cabrillo Ave. Amer Attar Vallejo Ave between Cabrillo Ave and Ynez Road. Construction began the week of 7/26/10. Roadway striping was done on 8/27/10 - project is complete. Citywide Slurry Seal Project FY 2009-2010 This Project is the annual slurry seal project that will slurry seal local streets in Temeku Contractor: American Asphalt South, Inc. Chris White 1 Hills and a portion of Chardonnay Hills. The City Council awarded the contract to PW 10-01 1 Contract Amount: $248,331.68Amer Attar 0% 0% American Asphalt South on 08-10-2010. Apre-con is set for September 15, 2010 with a Account Number: 001-164-601-54xx Notice to Proceed on September 27, 2010. Citywide Concrete Repairs FY 2009-2010 This project will consist of various concrete repairs throughout the City. The Contractor is PW 10-02 1 Contractor: Mamco, Inc. Chris White 1 93% 0% currently in his last week of work on the project. ContractAmount: 170,170.70 Amer Attar Account Number: 001-164-601 CITY OF TEMECULA PAGE 3 OF 9 CAPITAL IMPROVEMENTS PROJECTS - MONTHLY WORK PROGRESS SHEET 9/16/2010 %TIME PROJECT PRIORITY PROJECT NAME, DESCRIPTION, PROJECT COMPLETE CONTRACT CURRENT STATUS & PROGRESS NO CONTRACTOR & CONTRACT $'s ENGINEER (Est. comp./ PAID ($) bid date) Closed Circuit Television (CCTV) Installation on This Project will install fiber optic cable in existing conduits and 4 television cameras at Temecula Parkway Jerry four intersections to monitor traffic flow on Temecula Parkway between Pechanga PW 07-07 1 Contractor:Steiny and Company Gonzalez/Chri 0% 0% Parkway and Butterfield Stage Road. The City Council awarded the contract to Steiny and Contract Amount: $102,208.00 s White Company on 08-10-2010. A pre -con will be scheduled once the contract is executed. Account Number: 210-165-635 PROJECTS BEING DESIGNED BY CONSULTANTS Pechanga Parkway Storm Drain Improvements- This project includes construction of new wetlands for the Wolf Valley Creek Channel Environmental Mitigation Improvements -Stage 1. The wetlands will be created through construction of new Iandscapelrrigation systems. The site is located along the north bank of Temecula Creek PW99- 1 Consultants: Community Works Design Amer Attar 98% 98% (within flood-plain/way areas). The environmental regulatory agencies have approved this 11 EM Contract Amount: $29,840 new mitigation area. Mylars are ready for signature. A site visit with the DFG took place on 03/16/10. Another site visit, this time with Army Corps and Regional Water Board was Account No. 210-165-668-58XX conducted on April 23rd. Water table level tests showed no sign of water within 18' depth. Resource agencies are being consulted as to the next step. Murrieta Creek Bridge and Overland Drive Extension The project includes the extension of Overland Drive from Commerce Center Drive to Diaz from Commerce Center to Diaz Rd Road with a bridge over Murrieta Creek. Coordination with RCFC & WCD, U.S. Army PW00-26 I Consultant: Project Design Consultants Chris White / 100% 100% Corps of Engineers and the state environmental regulatory agencies is required. the Contract Amount: $466,940 Amer Attar design is complete and the City has the mylars and the electronic files of the plans. Account No. 210-165-602-58XX Main Street Bridge Over Murrieta Creek This project will replace the existing Main Street Bridge over Murrieta Creek. Design (Replacement) consultant Simon Wong Engineering (SWE) and the City are continuing to pursue Consultant: Simon Wong Engineering environmental permitting and coordination issues associated with pursuing the bridge Contract amount: $317,719 Amendment No. 1: Contract extension Jon Salazar/ 93% (Phases I replacement as a project separate from the Army Corps of Engineer's Murrieta Creek PW03-05 I tertermm Amendment No 2: Contract term extension Amer Attar 97% (2/10 ) &II -97% ) Improvement project. Environmental technical reports required for NEPA clearance were p p j p q Amendment No. 3: $322,305 (Phase 3) resubmitted to Caltrans for final review on 8/27/10. Permit applications to resource Amendment No. 4: $24,063 (RCWD waterline) agencies have been submitted and are under review. Account No. 210-165-743-58XX Pedestrian/Bicycle Bridge Over Santa Gertrudis This project includes the construction of an approx. 150' long ped/bike bridge over Santa Creek Gertrudis Creek near Chaparral H.S. This is a federally funded project, which will involve a Consultant: Nolte Associates Jon Salazar/ NEPA document. Environmental clearance (Categorical Exclusion) was obtained from PW05-11 I ContractAmount: $132,807 Amer Attar 99% (2/10) 91% Caltrans on 5/20/10. Request for Authorization (RFA) to Proceed with Construction Account No. 210-165-738-58XX package submitted to Caltrans on 06/24/10; approval contingent on obtaining resource agency permits. Permit applications to resource agencies are under review. Western Bypass Bridge Over Murrieta Creek This project involves the design, environmental clearance, and construction of a new Consultant: TYLIN International bridge over Murrieta Creek at the westerly terminus of Western Bypass and an extension Contract Amt: $378,776.20 William of Pujol Street to the new structure. Once constructed, this will serve as the southerly PW06-04 I Amendment 2 Amt: $244,824.80 Becerra/ Avlin 80% 90% connection of the Western Bypass Corridor. The Mitigated Negative Declaration was Account No. 210-165-660-SBXX Otiviar adopted. Applications to the various environmental P PP agencies have been submitted. Review of the 100% Plans and Specs are on-going. CITY OF TEMECULA PAGE 4 OF 9 CAPITAL IMPROVEMENTS PROJECTS - MONTHLY WORK PROGRESS SHEET 9/16/2010 %TIME PROJECT PRIORITY PROJECT NAME, DESCRIPTION, PROJECT COMPLETE CONTRACT CURRENT STATUS & PROGRESS NO CONTRACTOR & CONTRACT $'s ENGINEER (Est. comp./ PAID ($) bid date) Temecula Park and Ride (79 South) This project will design and construct a park and ride facility on Temecula Parkway (formerly 79 South) at La Paz. The consultant submitted 90% Plans ans Specifications. They are being reviewed by staff. PW06-09 Design Development AAE, Inc. Amer Attar 100% 85% Contract amount $109,085 Amendment#1 $20,500 Account No. 210-165-747 French Valley Parkway / Interstate 15 Over -Crossing A southbound off -Ramp to Jefferson, an auxiliary lane, and widening the bridge over and Interchange Improvements- Phase 1 (PS&E) Santa Gertrudis Creek at the Winchester southbound off -ramp are the components of Consultant: Moffatt & Nichol Phase 1. City continued the design work. Status is as follows: Amend. No. 1: $ 507,881.00 Amend. No. 4: $ 632,058.00 > 95% PS&E - Being prepared for submittal to Caltrans October 2010. Amend. No. 8: $1,087,300.00 > Right of Way Establishing limits of dedication. CCO No. 6: $59,217.49 William > Declaration of Units - Caltrans Approved Metric Exception for this phase. pp p PW07-04 I Amend. No. 11: $569,760.00 Becerraf Avlin Odviarl 65%(06111) 65% > Utilities -Pothole of existing utilities within APE are complete. Relocation Claim Letter Notes: Amer Attar was sent to all utility companies and discussions regarding relocations have begun. > Amend. Nos. 1, 4, 8, & 11 amend original agreement under PW02-11. > CCO No. 6 changes original agreement under PW02-11. > Amendment and CCO amounts represent portion appropriated for PW07-04. Old Town Gymnasium This projects involves the design of the approximately 9,000 square foot gymnasium Consultant: WLC Architects adjacent the Boys & Girls Club on Pujol Street. The land is to be utilized as staging area Contract Amount: $307,390.00 Kendra for the Murrieta Creek Improvements project and it will need to be acquired from Riverside PW07- OSCSD 11 Account No. 210-190-186 Hannah- rell l 70% (1v10) 65% County Flood Control (RCFC) for the current design. A time line was established by Avlin ain Odviar TCSD for the design and environmental work. The TCSD Board of Directors approved the Conceptual Master Plan on May 11, 2010. Consultant is working on design and environmental work. Santa Gertrudis Creek Pedestrian/Bicycle Trail The project will provide a Class I bicycle trail that connects the existing Santa Gertrudis Extension and Interconnect Kendra Creek Pedestrian/Bicycle Trail at Ynez Road to the Murrieta Creek Multi -Purpose Trail at Alignment Study, Design & Environmental Clearance Hannah- Diaz Road. The alignment study has been completed. Extension of time for the Bicycle PW08-04 11 Consultant: Hall & Foreman, Inc. Meistrell1 70% (1212010) 48% Transportation Account funds was approved on 05/01/09. The consultant is working on Contract Amount: $246,865.00 Aylin Odviaro 90 /o plans, specifications and estimate. Account No. 210-165-739-58XX Nicolas Valley- Assessment District (Liefer Road) Kendra This project will study assessment district feasibility and formation, including completing Consultant: David Evans &Associates (DEA) Hannah- the street and minor storm drain improvements on the unimproved portions of certain PW08-06 11 Contract Amount: $120,900.00 Meistrell1 99% (0712010) 91% streets within Nicolas Valley (Liefer Road) area. Consultant is finalizing 100% plans for Avlin Odviar 1 signature. Account No. 210-165-502-58XX Amer Attar Roripaugh Ranch Street Improvements- Phase I Ph I includes the design & construction of Butterfield Stage Road (BSR) from Murrieta Hot Construction of Butterfield Stage Road/MHSR Springs Road (MHSR) to Calle Chapos, a portion of MHSR, Calle Chapos, South Loop Rd Consultant: David Evans &Associates (DEA) Mayne De La and making the Fire Station functional. David Evans and Associates' (DEA) and Hirsh & PW09-02 I Contract Amount: $304,125 Torre/Amer0% 0% Inc. (HAI) were awarded contracts to complete the design. Final (100%) plans Account No. 210-165-723-SBXX AttararAssociates, were returned to DEA for corrections. Staff is working on the Bid Docs. The Cit Attorney 9 Y Y is to review the impacts of the FDIC's new involvement. CITY OF TEMECULA PAGE 5 OF 9 CAPITAL IMPROVEMENTS PROJECTS - MONTHLY WORK PROGRESS SHEET 9/16/2010 %TIME PROJECT PROJECT NAME, DESCRIPTION, PROJECT COMPLETE NO PRIORITY CONTRACTOR & CONTRACT $'s ENGINEER (Est. comp./ CONTRACT CURRENT STATUS & PROGRESS PAID ($) bid date) Traffic Signal Installation - Citywide Kendra This project will install traffic signals at two intersections; Meadows Parkway at Pauba Meadows Parkway at Pauba Road and Rancho Hannah- 100% Road and Rancho California Road at Yukon Road. The consultant has completed the PW09-07 I California Road at Yukon Road75% Meistrell l (0712010) design. Authorization to solicit construction bids was received from City Council on Consultant: Willdan Engineering Avlin Odviar 08/10/10. Edison is currently working on the design for the electrical connection. Contract Amt: $26,610 I-15 / SR -79S Ultimate Interchange 60% PS&E - Under Caltrans review. Consultant: RBF PW04-08 I Contract Amt: $2,032,600 Avlin Odviar 70%(0612011) 70% EWA 01 Amt: $142,973 Amend 01 Amt: 182,000 (contingency) EWA 02 Amt: $111,900 Pavement Rehabilitation - Nicolas Road William This project will rehabilitate Nicolas Road from Joseph to Calle Girasol. Proposals were PW10-05C I Pavement Rehabilitation of Nicolas Road from BecemalAvlin 5% 0 solicited from on-call consultants. Consultant was selected and 30% design initiated. Joseph to Calle Girasol Odviar Hall & Foreman $29,915 Pavement Rehabilitation William This project will rehabilitate portions of Winchester, Rancho California, Ynez and PW10-05 Pavement Rehabilitation of portions of Winchester BecemalAvlin 0 0 Margarita Roads. Soliciting proposals via RFP 170 for design services. RFP closed on Rd, Rancho California Rd, Ynez Rd, Margarita Rd Odviar 8/19/10. Review of the proposals is on-going. and Rancho Vista Rd PROJECTS IN THE PLANNING STAGE French Valley Parkway / Interstate 15 Over -Crossing Project Report - Approved January 2010. and Interchange Improvements (PA & ED) Environmental Document - Approved January 2010. Consultant: Moffatt & Nichol New Connection Report - Approved April 2010. Agreement Amount: $1,091,693.00 Freeway Agreements - Approved/signed by City of Temecula 07/13/2010. Submitted to Amend. No. 202,652.40* 2 Amend. No. 2: 21,630.00 Caltrans for final execution. CCO No. 1: 25,000.00 CCO No. 2: 8,000.00 Phase 11 PS&E - RFP advertised. Proposals received 08/26/10 are under review by the CCO No. 3: 18,008.00 Selection Committee. CCO No. 4: 11,320.00 CCO No. 5: 37,645.00 William PW02-11 I CCO No. 6: See PW07-04 Becerral Avlin g5% (08110) 95% Amend. No. 3: 283,982.52 Odviarl Amer Amend. No. 4: See PW07-04 Attar Amend. No. 5: 169,000.00 Amend. No. 6: 110,917.00 Amend. No. 7: 14,573.36 Amend. No. 8 See PW07-04 Amend. No. 9 100,000.00 Amend No. 10 414,774.00 Amend No. 11 See PW07-04 Notes: > Amend. No. 1 also applies to PW07-04. See PW07 -04 for add'I apportionment. CITY OF TEMECULA PAGE 6 OF 9 CAPITAL IMPROVEMENTS PROJECTS - MONTHLY WORK PROGRESS SHEET 9/16/2010 %TIME PROJECT PRIORITY PROJECT NAME, DESCRIPTION, PROJECT COMPLETE CONTRACT CURRENT STATUS & PROGRESS NO CONTRACTOR & CONTRACT $'s ENGINEER (Est. comp./ PAID ($) bid date) PROJECTS WAITING IN THE WINGS Re -Stripe Route 79 South to 8lanes from Pechanga This project will provide four lanes in each direction on Temecula Parkway (formerly State Parkway to I-15 Kendra Route 79 South) from 1-15 to Pechanga Parkway. This project is on hold until the 1-15 / SR PW07-08 I Consultant: JMD Hannah- 60% (0612010) 50% -79S Ultimate Interchange, Project No. PW04-08 is complete. Amount: $29,210.00 Mn Oci l l Avlin tiviar Account No. 210-165-676-58XX Temecula Creek Crossing - Access to Highway 79 The project consists of performing an alignment study to set a specific horizontal and South (Temecula Parkway) vertical alignment for an extension of Avenida de Missions southerly to gain vehicular Bridge Alignment Study- Avenida de Missions over Kendra access to Loma Linda Road, including a bridge crossing over Temecula Creek. Final PW08-03 11 Temecula Creek Nolte Associates, Inc. Hannah- Meistrelll Av 100% 100 % engineering report is complete. Project is Pending allocation of funds for design. Contract Amount: $87,923.00 Otiviar Account No. 210-165-677-58XX Multi -Trails System- Margarita Road Under Crossing This project will construct a trail for bicycles and pedestrians along Santa Gertrudis Creek Consultant: LAN Engineering under Margarita Road. Data regarding existing utilities are being incorporated into the PW04-13 I Contract Amount: $114,426.00 William 100% 100% design. RCFC has provided an Encroachment Permit. Plans & Specs are complete. This Becerra project cannot be constructed until adequate funds are identified. An application was submitted for State Bicycle Transportation Account (BTA) funds on 12/1/06. Auxiliary Lanes on 1-15 in Temecula A feasibility study will be conducted to determine if auxiliary lanes can be added between on and off -ramps on 1-15 in Temecula to improve the freeway operation. An RFP to PW06-17 I Amer Attar conduct the study was published on the City's website on 02/14/07. Proposals were received on 03/16/07. The City reviewed the proposals and selected a consultant. Due to funding constraints, this project is being delayed indefinitely. RIGHT OF WAY RELATED PROJECTS French Valley Parkway/ 1-15 Overcrossing and The review appraisal is complete. Caltrans has approved the appraisals. The City Council Interchange, Project Report (PR) William reviewed this matter in Closed Session on June 9, 2009. Negotiations with two property PW02-11 I Becerral Amer NIA NIA owners have begun. The City Council approved the Purchase & Sale Agreement with Attar Basics Etc. at its 06/22/10 meeting. Escrow for this acquisition has closed. Negotiations with the other property owner are on-going. Butterfield Stage Road - Roripaugh CFD The developer will perform his MOU commitments and obtain the required RNV. He was Project Description: Right -of -Way issues associated directed to first focus on the RNV issues related to properties within Ph 1 of the project. He with the construction of specific improvements (BSR, Mayne De La was given City Attorney -approved release forms that the property owners must sign CFD 03-02 MHSR, fire station, etc.) Tome/Amer releasing the developer from all obligations. To date, the developer hasn't obtained any Contractor: N/A; Contract: N/AAttar signed release form. The FDIC has taken over the bank, Amtrust. Any funds to be disbursed will have to be approved by the FDIC. It is unclear if the Developer is going to have any future involvement. Discussions with the City Attorney are on-going. CITY OF TEMECULA PAGE 7 OF 9 CAPITAL IMPROVEMENTS PROJECTS - MONTHLY WORK PROGRESS SHEET 9/16/2010 %TIME PROJECT PRIORITY PROJECT NAME, DESCRIPTION, PROJECT COMPLETE CONTRACT CURRENT STATUS & PROGRESS NO CONTRACTOR & CONTRACT $'s ENGINEER (Est. comp./ PAID ($) bid date) Pechanga Parkway, Mitigation Land Purchase & Sale Agreement was sent to the property Owner. He has not accepted the City's offer. City Council has adopted the Resolution of Necessity at the 11/25/08 meeting. The City is working on the legal documents to gain possession of the property. The California Department of Fish & Game (DFG) is now involved due to impacts to properties PW 99-11 Amer Attar that has Conservation Easements on them. They will have to sign off on this acquisition. A site visit with the DFG took place on 03/16/10. Another site visit, this time with Army Corps and Regional Water Board was conducted on April 23rd. Water table level tests revealed that there is no water within 18' depth. The resource agencies are being consulted as to the next step. Riverside County Flood Control Parcels -Old Town Final Purchase and Sale agreements/legals for portions of Museum, Theater and vacant property parcels are in process. Army Corp is reviewing revised legal descriptions. Beryl 1st/Front Street parcel agreement/legal description is under review. RCFC will be revising YasAmerAfter Amer Am the purchasing documents in accordance with the field staking. A Temporary Construction Easement was approved by the RDA on 08/10/2010 to facilitate construction of the Main Street Bridge project. Murrieta Creek Bridge and Overland Drive Extension To initiate this right of way work, seven title reports were ordered. The City received all legals and plats from the consultant. Staff met with the appraiser to go over what needs to PW00-26 Amer Attar be acquired. Property staking was done. Staff reviewed the draft appraisal reports and met with the appraiser. The reports are been finalized based on the City's comments and the staking. Western Bypass Bridge Over Murrieta Creek Will Becerra) City accepted the Offer of Dedication that was not accepted by County on Parcel Map PM PW06-04 I Beryl 8248, which was recorded on 2/15/1977. Title Reports for the required parcels were Yasinoskyl ordered. Legals/plats have been received and we are proceeding with appraisals. Amer Attar PW07-I PW07- Old Town Gymnasium Kendra Hanna- Description and Plat was prepared by consultant. It is under City review. Obtain property from Riverside County Flood Control Ito Meistrelll facilitate the construction of the gymnasium. Amer Attar SPECIAL AND MISCELLANEOUS PROJECTS Roripaugh Ranch CFD Staff reviewed the submitted Reimbursement Request for the two bridges. Comments were provided to Ashby USA representatives. Meetings were held with the developer CFD 03-02 Annie Bostre- NIA seeking these reimbursements to finalize the numbers. The City Attorney was provided Lel Amer Attar the information. All outstanding liens have been paid. The City Attorney is to review the impacts associated with the FDIC's new involvement.. CFD 01-02 Harveston CFD Amer Attar NIA No activities during the last period CFD 03-06 Harveston CFD Amer Attar NIA NIA No activities during the last period. CFD 03-01 Crown Hill CFD Amer Attar NIA NIA No activities during the last period. CITY OF TEMECULA PAGE 8 OF 9 CAPITAL IMPROVEMENTS PROJECTS - MONTHLY WORK PROGRESS SHEET 9/16/2010 %TIME PROJECT PRIORITY PROJECT NAME, DESCRIPTION, PROJECT COMPLETE CONTRACT CURRENT STATUS & PROGRESS NO CONTRACTOR & CONTRACT $'s ENGINEER (Est. comp./ PAID ($) bid date) Wolf Creek CFD Standard Pacific continues to obtain the required soundwall waivers. As of 09-08-09, 23 waivers have been received by the City. These waivers have been recorded. With respect to properties in foreclosure, Caltrans advised the the developer is to write letters to the CFD 03-03 Amer Attar NIA NIA banks asking them to sign the waivers and that if developer does not hear from them within a reasonable time, they can assume that the bank does not want the wall. The developer sent the City more documents concerning the sound walls. Some of the documents were returned to the developer for corrections. CFD 02-08 Serena Hills CFD Amer Attar NIA NIA No activities during the last period. Quarterly Review- Tracking, preparing, and Various Projects. Various I processing Federal, State and TUMF Funds Julie Dauer On-going NIA Reimbursements Contract Administration On-going review of CIP project contracts, amendments, extra work authorizations & Various I Julie Dauer On-going NIA change orders and maintaining budget accounts. Providing assistance to staff in processing invoices for all CIP division projects. Murrieta Creek Multi Purpose Trail Project is complete and balance of federal funding to be requested for reimbursement and PW01-27 I Julie Dauer NIA NIA submitted along with 'Final Report of Expenditures' for project closeout. Surface Transportation Program (STP) - De Portola Federal funding reimbursement requests will be submitted to Caltrans as project PW06-10 I Road Pavement Rehabilitation Julie Dauer NIA NIA progresses. $458,990 STP funds PW03-05 I Highway Bridge Replacement & Rehabilitation Julie Dauer NIA NIA Total HERR funds $4,337,970. Program (HBRR) - Main Street Bridge SR2S- Safe Routes to School Program - Ped/Bicycle Awaiting approval of environmental document from Caltrans. SR2S funding has been PW05-11 I Bridge over Santa Gertrudis Creek to Chaparral Hig Julie Dauer NIA NIA awarded in the amount of $425,520. In addition to SR2S funding we have been awarded $132,000 in SB821 funding. Various I Transportation Uniform Mitigation Fee (TUM F) Julie Dauer NIA NIA TUMF reimbursement requests prepared quarterly for submittal to WRCOG & RCTC. TE - Transportation Enhancement Received approval of our 'Request for Allocation' through the CTC and have submitted our PW06-15 I Winchester Road/State Route 79 North Corridor Julie Dauer NIA NIA RFA package to Caltrans for'Authorization to Proceed with Construction'. Total funds Beautification Projec awarded per TE Funding adjustments $1,646,000. Pechanga Parkway Phase II Street Improvements- Project is essentially complete and upon payment of retention to contractor will process PW99-11 I Public Land & Highways Funded Julie Dauer NIA NIA 'Final Report of Expenditures' and final invoice for reimbursement to Caltrans. Total PLH (Phase II) funding is $4,000,000. Various I Bond Releases Julie Dauer NIA NIA Continued review of CIP project bonds scheduled for release. 2006/07 Bicycle Transportation Account Cooperative Work Agreement (CWA) has been approved by Caltrans, BTA division. The BTA Funds CWA will extend the terms of the original agreement to allow for the continuation of project PW08-04 I Santa Gertrudis Creek Bicycle Trail Extension and Julie Dauer NIA NIA design. 2006/07 BTA funds approved for the planning & preliminary engineering and total Interconnect award of $395,000. CITY OF TEMECULA PAGE 9 OF 9 CAPITAL IMPROVEMENTS PROJECTS - MONTHLY WORK PROGRESS SHEET 9/16/2010 %TIME PROJECT PRIORITY PROJECT NAME, DESCRIPTION, PROJECT COMPLETE CONTRACT CURRENT STATUS & PROGRESS NO CONTRACTOR & CONTRACT $'s ENGINEER (Est. comp./ PAID ($) bid date) Standardize the format ofthe Specifications for all Specifications library is continuously being updated and amended. The boiler -plate section projects is also being reviewed and updated. All specifications were updated to 2010. Federal David McBride On-going NIA specifications were updated to new DBE regulations. CDBG boilerplate specifications were added to our library of specifications. Bid protest language per City Attorney was added to all boilerplates in June 2010. Circulation Element Implement Plan This Project is to identify all future projects necessary so that the current Circulation Amer Attar NIA NIA Element of the General Plan is fully implemented. The information developed in this project are now accessible through the City's GIS system. Update Plans to Reflect As -Built Conditions for All City receives blue prints from many contractors marked with As -Built conditions for various Recent Projects projects. Some of these As -Built conditions have never been transferred to the project On-going 9 9 NIA mylars. As -Built plans will be created for all recent projects, if it was not done at the time of submission. Consultant Selection Information is now available on the City's web -site on how to be placed on the consultant Various I Julie Dauer On-going NIA (vendor) list and data stored in this manner will be source for future RFP's & RFQ's for upcoming projects. Pavement Rehabilitation - Rancho California Road Project is currently in construction and preparation of reimbursement invoices will be PW06-14 I (STPL) Julie Dauer NIA NIA prepared for submittal to Caltrans as project progresses. STPL funding of $2,958,000. Pavement Rehabilitation of Rancho California Road from Ynez Road to Butterfield Stage Road Citywide Traffic Light Synchronization System City has been awarded $515,000 in Traffic Light Synchronization Program (TLSP) funding Purchase, install & implement an adaptive traffic (Prop 1 B). Our request for Allocation has been submitted to the California Transportation TBD I signal synchronization system along six corridors Julie Dauer NIA NIA Commission (CTC) for placement on their agenda for November 12, 2009 meeting. State within the City. to sell additional bonds to meet allocation requests. 14FI-11:111r_l0I►yi1:1:101TANI►yiINIL1119:1:1110]N161K Monthly Activity Report August / September Prepared by: Amer Attar Submitted by: Greg Butler Date: 9/28/2010 PROJECTS UNDER CONSTRUCTION Roripaugh Ranch Fire Station The majority of work was completed by April of 2006. The remaining work will be completed when the mainline utilities are installed, which the City is undertaking - estimated start in March of 2010. A fire engine/truck venting system (requested/added on 2/06) will be installed when the Contractor re- mobilizes, this cost is also included in the approved change order total. Temporary power, initially established in 2003 by the developer, had to re-established in May of 2010. City Property at Diaz Road and Dendy Parkway (Northwest RDA Property) - Rough Grading This project provided for the rough grading of the vacant City property at Diaz Road and Dendy Parkway. All work was completed on March 28, 2007. Site restoration, including hydroseeding, was completed in December of 2008. A notice of completion was approved by the City Council at the 1/13/09 meeting. Ongoing maintenance expenses will be incurred for NPDES measures until such time the property is developed. Minor BMP improvements were completed in April of 2010. Old Town Infrastructure Project -Town Square and Mercedes & Main Street This project involves construction of the Town Square and street improvements on Mercedes & Main Streets. The project was awarded on March 18, 2008. Work as started for final flatwork (pavers) and asphalt paving and scheduled for completion by September 24th. Old Town Infrastructure Projects - Parking Structure & Office/Retail Frontage The structure was opened to the public on March 1, 2010. Punch list and close out work will be ongoing for two to three months. In addition a long term (5 year) maintenance contract for landscaping in the Caltrans right of way will be consider for award on 9/14/10. Ronald Reagan Sports Park Channel Silt Removal & Desiltation Pond This project includes restoring the Best Management Practices (BMP) of the Stormwater Pollution Prevention Plan (SWPPP), the Water Quality Management Plan (WQMP) and the requirements of RWQCB by desilting the basin located near the Sports Park. 401 Certification, Streambed Alteration Agreement, and Nationwide Permits have been acquired. Efforts to close out the contract are on-going. Old Town Civic Center This project will construct the Old Town Civic Center. City Council awarded the contract to Edge Development, Inc. on 09/09/08. Edge began work on 4/8/09. Work is ongoing on finish electrical, casework, and exterior flatwork. The majority of the systems furniture installation has been completed. Temecula Community Center Expansion - Phase 2, Renovation of Historical Buildings Phase 2 of this project will renovate the Escallier House and Barn. Bids were opened on March 4, 2010. A recommendation to award a contract was approved at the City Council at the 03/23/10 meeting. Notice to proceed is effective 05/03/10 for Phase 2. Utilities, rough framing, electrical, and mechanical are complete. Construction of the fireplace is on-going. Redhawk Park Improvements This project will add amenities, which include ADA accessible parking, a restroom, a half -court basketball court, and permanent dog park at Redhawk Community Park. As part of this project, a seatwall will be installed at Sunset Park. The Notice To Proceed was issued on 12/21/09. Construction activities began in January 2010. Completion is anticipated in November 2010. Winchester Road / State Route 79 North - North Corridor Beautification This federally funded project will design and construct landscaping and irrigation enhancements to the existing raised medians along Winchester Road between Ynez Road and the easterly City limits. The contractor is currently installing the trees and plants throughout medians 1 through 6. Also, installing the controller, basket strainer, flow senor and water meter. Completion is anticipated the week of September 20th. Citywide Slurry Seal Project FY 2009-2010 This project will slurry seal local streets within the Roripaugh Hills Estates, Campos Verdes tract and Nicolas Valley Areas. Proposition 1 B funds will be used to fund this project. The contractor has completed the slurring and striping of the project. Road and Storm Drain Repair at Rancho California Road Storm drain pipes have been determined to be essentially sound. The approach from this point will take the form of debris removal, surface preparation, and installation of concrete paving in the pipe invert to extend the life of the pipe, no roadway repair is anticipated. Construction is complete as of 8/23/10 - Notice of Completion on City Council agenda for 9/14/10. Citywide Storm Drain Improvements - Rancho California Rd at Vincent Moraga Dr Project consists of installing two catch basins and approx. 100' of RCP drainage pipe across Rancho California Road at Vincent Moraga Drive, as well as relocation of an existing RCWD waterline. Bid opening was held 6/29/10, ATOM Engineering is apparent low bidder. Pre -construction meeting was held on 7/28/10, construction is anticipated to start the week of 9/13/10. Road Reconstruction at Jedediah Smith Road Project will rehabilitate roadway surface using the Asphalt Rubberized Aggregate Membrane (ARAM) method on Jedediah Smith Road between Temecula Parkway and Cabrillo Ave, on Cabrillo Ave between Jedediah Smith Road and Vallejo Ave, and on Vallejo Ave between Cabrillo Ave and Ynez Road. Construction began the week of 7/26/10. Roadway striping was done on 8/27/10 -project is complete. Citywide Slurry Seal Project FY 2009-2010 This Project is the annual slurry seal project that will slurry seal local streets in Temeku Hills and a portion of Chardonnay Hills. The City Council awarded the contract to American Asphalt South on 08-10- 2010. A pre -con is set for September 15, 2010 with a Notice to Proceed on September 27, 2010. Citywide Concrete Repairs FY 2009-2010 This project will consist of various concrete repairs throughout the City. The Contractor is currently in his last week of work on the project. Closed Circuit Television (CCN) Installation on Temecula Parkway This Project will install fiber optic cable in existing conduits and 4 television cameras at four intersections to monitor traffic flow on Temecula Parkway between Pechanga Parkway and Butterfield Stage Road. The City Council awarded the contract to Steiny and Company on 08-10-2010. A pre -con will be scheduled once the contract is executed. :111110]ME" &IIL1IQ*1NL1I Pechanga Parkway Storm Drain Improvements - Environmental Mitigation This project includes construction of new wetlands for the Wolf Valley Creek Channel Improvements - Stage I. The wetlands will be created through construction of new landscape/irrigation systems. The site is located along the north bank of Temecula Creek (within flood-plain/way areas). The environmental regulatory agencies have approved this new mitigation area. Mylars are ready for signature. A site visit with the DFG took place on 03/16/10. Another site visit, this time with Army Corps and Regional Water Board was conducted on April 23rd. Water table level tests showed no sign of water within 18' depth. Resource agencies are being consulted as to the next step. Murrieta Creek Bridge and Overland Drive Extension from Commerce Center to Diaz Rd The project includes the extension of Overland Drive from Commerce Center Drive to Diaz Road with a bridge over Murrieta Creek. Coordination with RCFC & WCD, U.S. Army Corps of Engineers and the state environmental regulatory agencies is required. the design is complete and the City has the mylars and the electronic files of the plans. Main Street Bridge Over Murrieta Creek (Replacement) This project will replace the existing Main Street Bridge over Murrieta Creek. Design consultant Simon Wong Engineering (SWE) and the City are continuing to pursue environmental permitting and coordination issues associated with pursuing the bridge replacement as a project separate from the Army Corps of Engineer's Murrieta Creek Improvement project. Environmental technical reports required for NEPA clearance were resubmitted to Caltrans for final review on 8/27/10. Permit applications to resource agencies have been submitted and are under review. Pedestrian/Bicycle Bridge Over Santa Gertrudis Creek This project includes the construction of an approx. 150' long ped/bike bridge over Santa Gertrudis Creek near Chaparral H.S. This is a federally funded project, which will involve a NEPA document. Environmental clearance (Categorical Exclusion) was obtained from Caltrans on 5/20/10. Request for Authorization (RFA) to Proceed with Construction package submitted to Caltrans on 06/24/10, approval contingent on obtaining resource agency permits. Permit applications to resource agencies are under review. Western Bypass Bridge Over Murrieta Creek This project involves the design, environmental clearance, and construction of a new bridge over Murrieta Creek at the westerly terminus of Western Bypass and an extension of Pujol Street to the new structure. Once constructed, this will serve as the southerly connection of the Western Bypass Corridor. The Mitigated Negative Declaration was adopted. Applications to the various environmental agencies have been submitted. Review of the 100% Plans and Specs are on-going. Temecula Park and Ride (79 South) This project will design and construct a park and ride facility on Temecula Parkway (formerly 79 South) at La Paz. The consultant submitted 90% Plans ans Specifications. They are being reviewed by staff. French Valley Parkway/ Interstate 15 Over -Crossing and Interchange Improvements - Phase 1 (PS&E) A southbound off -Ramp to Jefferson, an auxiliary lane, and widening the bridge over Santa Gertrudis Creek at the Winchester southbound off -ramp are the components of Phase 1. City continued the design work. Status is as follows: > 95% PS&E - Being prepared for submittal to Caltrans October 2010. > Right of Way - Establishing limits of dedication. > Declaration of Units - Caltrans Approved Metric Exception for this phase. > Utilities - Pothole of existing utilities within APE are complete. Relocation Claim Letter was sent to all utility companies and discussions regarding relocations have begun. Old Town Gymnasium This projects involves the design of the approximately 9,000 square foot gymnasium adjacent the Boys & Girls Club on Pujol Street. The land is to be utilized as staging area for the Murrieta Creek Improvements project and it will need to be acquired from Riverside County Flood Control (RCFC) for the current design. A time line was established by TCSD for the design and environmental work. The TCSD Board of Directors approved the Conceptual Master Plan on May 11, 2010. Consultant is working on design and environmental work. Santa Gertrudis Creek Pedestrian/Bicycle Trail Extension and Interconnect The project will provide a Class I bicycle trail that connects the existing Santa Gertrudis Creek Pedestrian/Bicycle Trail at Ynez Road to the Murrieta Creek Multi -Purpose Trail at Diaz Road. The alignment study has been completed. Extension of time for the Bicycle Transportation Account funds was approved on 05/01/09. The consultant is working on 90% plans, specifications and estimate. Nicolas Valley - Assessment District (Liefer Road) This project will study assessment district feasibility and formation, including completing the street and minor storm drain improvements on the unimproved portions of certain streets within Nicolas Valley (Liefer Road) area. Consultant is finalizing 100% plans for signature. Roripaugh Ranch Street Improvements - Phase I Ph I includes the design & construction of Butterfield Stage Road (BSR) from Murrieta Hot Springs Road (MHSR) to Calle Chapos, a portion of MHSR, Calle Chapos, South Loop Rd and making the Fire Station functional. David Evans and Associates' (DEA) and Hirsh & Associates, Inc. (HAI) were awarded contracts to complete the design. Final (100%) plans were returned to DEA for corrections. Staff is working on the Bid Docs. The City Attorney is to review the impacts of the FDIC's new involvement. Traffic Signal Installation - Citywide This project will install traffic signals at two intersections, Meadows Parkway at Pauba Road and Ranchc California Road at Yukon Road. The consultant has completed the design. Authorization to solicit construction bids was received from City Council on 08/10/10. Edison is currently working on the design for the electrical connection. 1-15 / SR -79S Ultimate Interchange 60% PS&E - Under Caltrans review. Pavement Rehabilitation - Nicolas Road This project will rehabilitate Nicolas Road from Joseph to Calle Girasol. Proposals were solicited from on -call consultants. Consultant was selected and 30% design initiated. Pavement Rehabilitation This project will rehabilitate portions of Winchester, Rancho California, Ynez and Margarita Roads. Soliciting proposals via RFP 170 for design services. RFP closed on 8/19/10. Review of the proposals is on-going. nell]*@1&11LlII:I ;a Wil LlILlI ILl [elm r_W0 French Valley Parkway/ Interstate 15 Over -Crossing and Interchange Improvements (PA & ED) Project Report - Approved January 2010. Environmental Document -Approved January 2010. New Connection Report - Approved April 2010. Freeway Agreements - Approved/signed by City of Temecula 07/13/2010. Submitted to Caltrans for final execution. Phase II PS&E - RFP advertised. Proposals received 08/26/10 are under review by the Selection Committee.