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CC - Item 3A - Res. No. 97-16 - Application for Pedestrian Funds Under SB 821 RESOLUTION NO. 97 - 16 A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF ROSEMEAD APPROVING THE APPLICATION FOR PEDESTRIAN FUNDS UNDER SB 821 AND APPROVING THE ADOPTION OF ITS PEDESTRIAN PLAN WHEREAS, SB 821 provides that 2% of each County's total local Transportation Fund be annually set aside and used to fund the development of bicycle and pedestrian facilities; and WHEREAS, the City of Rosemead has planned concrete pedestrian walkways to be constructed in conformance with specifications of Caltrans; and WHEREAS, the City of Rosemead desires to construct the concrete pedestrian walkways within their city utilizing the funds available under SB 821. NOW, THEREFORE, the City Council of the City of Rosemead does hereby resolve as follows: 1. To approve the proposed pedestrian walkways to be constructed in conformance with the specifications of Caltrans. 2. To authorize the City Manager as the City's authorized signature and designated contact person. 3. To apply for all funds available to the City of Rosemead allocated for bikeway and pedestrian facilities (SB 821). 4. To maintain, or cause to be maintained in safe condition, all facilities whose construction is wholly or partially funded by the requested allocation of SB 821 funds. PASSED, APPROVED and ADOPTED this 22nd day of April, 1997. MAYOR ATTEST: CITY CLERK FY 1996 - 97 PAGE 1 TDA ARTICLE 3 BICYCLE AND PEDESTRIAN FUNDS LOCAL CLAIM FORM ANNUAL ALLOCATION • Claimant: City of Rosemead I Contact Person: Fred Wickman Phone: ,•(818) 288-6671, X240 Payment Address: Frank G. Tripepi, City Manager City of Rosemead 8838 E. Valley Boulevard Rosemead., CA 91770 Attention (Name and Title): Karen Oqawa, Finance Director DRAWDOWNS FOR USE IN PRESENT FISCAL YEAR Payment from FY 1996-97 TDA Article 3 Funds: I $ 22 . 262 Payments from Prior Year Reserve: I $ 0 Total Payment Reauested: I $ 22,262 RESERVE PAYMENT REQUEST: (To be reimbursed upon receipt of letters of claim for drawdown) - - Reserve FY 1996-97 TDA Article 3 Funds (Entire or Partial Allocation) for $ Future Payment: I 0 PROJECTS TO BE FUNDED BY TDA ARTICLE 3 FUNDS (List all Projects Separately) Funding Sources I Estimated Schedule Project Name Total Project TDA Other Local Start Date Completion Budget Article 3 Sources Date 1•FY 1996-97 I $ 72 ,262 I $ 22, 262 I $ 50 ,000 3/97 I 5/97 2.Sidewalk Projelc$t 1 5 " I $ I 3 I $ Is Is I I 4. I $ Is« - Is 5. I $ IS Is I 5. I s I s I s I I ' 6 • FY 1996 - 97 PAGE2 TDA ARTICLE 3 BICYCLE AND PEDESTRIAN FUNDS • • LOCAL CLAIM FORM • REVENUE AND EXPENDITURES CLAIMANT: . .Ci.ty.of. RQs.QIQad FY 1995- FY 1996- -" " 96 97 (Actual) (Estimate d) 1 . Beginning Year Balance $65 ,591 1 0 REVENUE • 2. Payments Received from Auditor-Controller (Local _ Regional est.) $20 ,151 $22,262 3. Interest I 0 I 0 I 4. Total Funds Available (Sum of Lines 1 , 2, (A 3) 5R5 ,742 572 . 262 I EXPENDITURES • 5. Construction/Maintenance I $85 ,742 I $22,262 6. Refunds to Auditor-Controller 0 1 0 I 7. Total Expenditures (Sum of Lines 5 & 6) I $85 ,742' I $22 ,262 I 8. End of Year Balance (Subtract Line 7 from Line 4) I 0 ( $0 I CONDITION OF APPROVAL: Aocroval of this claim and oayment by the County Auditor to this claimant - are subject to the monies being available and to the provisions that such monies will be used only in accordance with the A locat_ . Instructions. Signature of Agenc_r's Chief Adminiszrati7e Officer, City Manager; or annrcved designee Frank G. .Tripepi, City .Manager Prinz Name and Title April 16 , 1997 Dace •