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2002 10 15 FAo0w ;tY�w5 OF T9 Financing Authority Agenda CITY COUNCIL CHAMBER 78-495 Calle Tampico La Quinta, California 92253 Tuesday, October 15, 2002 - 3:00 p.m. Beginning Res. No. FA 2002-04 CALL TO ORDER ROLL CALL: Board Members: Adolph, Henderson, Perkins, Sniff, Chairman Pena PUBLIC COMMENT At this time, members of the public may address the Finance Authority on any matter not listed on the agenda or scheduled for public hearing. Please complete a "request to speak" form and limit your comments to three minutes. For all Public Hearings on the agenda, a completed "request to speak" form must be filed with the City Clerk prior to the Council beginning consideration of that item. Please watch the timing device on the podium. CONFIRMATION OF AGENDA APPROVAL OF MINUTES 1. APPROVAL OF MINUTES OF SEPTEMBER 17, 2002 CONSENT CALENDAR 1. TRANSMITTAL OF TREASURER'S REPORT DATED AUGUST 31, 2002. 2. TRANSMITTAL OF REVENUE AND EXPENDITURES REPORT DATED AUGUST 31, 2002 AND INVESTMENT SUMMARY REPORT FOR THE QUARTER ENDING SEPTEMBER 30, 2002. BUSINESS SESSION - None DEPARTMENT REPORTS - None CHAIR AND BOARD MEMBERS' ITEMS - None PUBLIC HEARINGS - None ADJOURNMENT - Adjourn to a Regular Meeting of the Financing Authority to be held on November 19, 2002, in the City Council Chambers, 78-495 Calle Tampico, CA 92253. DECLARATION OF POSTING I, June S. Greek, Authority Secretary of the City of La Quinta Financing Authority, do hereby declare that the foregoing agenda for the La Quinta Financing Authority meeting of Tuesday, October 15, 2002, was posted on the outside entry to the Council Chambers, 78-495 Calle Tampico and on the bulletin board at the La Quinta Chamber of Commerce and at Stater Bros. 78-630 Highway 111, on Friday, October 11, 2002. DATED: October 11, 2002 �jj ..Xx�•1r 1 JUNE S. G EK, CIVIC Authority Secretary, City of La Quinta, California PUBLIC NOTICES The La Quinta City Council Chamber is handicapped accessible. If special equipment is needed for the hearing impaired, please call the City Clerk's Office at 777-7025, 24-hours in advance of the meeting and accommodations will be made City Council Agenda Page 2 September 17, 2002 Tii�p 4 4 Q" AGENDA CATEGORY: BUSINESS SESSION: COUNCIL/RDA MEETING DATE: October 15, 2002 / CONSENT CALENDAR: ITEM TITLE: STUDY SESSION: Transmittal of Treasurer's Report PUBLIC HEARING: as of August 31, 2002 RECOMMENDATION: It is recommended the La Quinta Financing Authority: Receive and File the Treasurer's Report dated August 31, 2002. PLEASE SEE BUSINESS SESSION ITEM ON CITY COUNCIL AGENDA T4ht 4 4 4" COUNCIL/RDA MEETING DATE: October 15, 2002 Transmittal of Revenue and Expenditure Reports dated August 31, 2002 and Investment Summary Report for the Quarter Ending September 30, 2002 RECOMMENDATION: Receive and File BACKGROUND AND OVERVIEW: AGENDA CATEGORY: BUSINESS SESSION: CONSENT CALENDAR: STUDY SESSION: PUBLIC HEARING: Transmittal of the August 31, 2002 Statement of Revenue and Expenditures for the La Quinta Financing Authority and Investment Summary Report for the Quarter Ending September 30, 2002. Respegtf lly submitted, n M. Falconer; Finance Director Approved for Submission by: l Thomas P. Genovese, City Manager Attachments: 1. Revenue and Expenditures Report, August 31, 2002 2. Investment Summary Report for the Quarter Ending September 30, 2002 ATTACHMENT 1 LA QUINTA FINANCING AUTHORITY REVENUE DETAIL DEBT SERVICE REVENUE: Contractual Services Fees Non Allocated Interest Rental Income Transfer In TOTAL DEBT SERVICE CAPITAL IMPROVEMENT REVENUE: Pooled Cash Allocated Interest Non Allocated Interest TOTAL CIP REVENUE TOTAL FINANCING AUTHORITY REMAINING % BUDGET RECEIVED BUDGET RECEIVED 9,175.00 0.00 9,175.00 0.000% 0.00 0.00 0.000% 678,955.00 0.00 678,955.00 0.000% 0.00 0.00 0.000% 688,130.00 0.00 688,130.00 0.000% 0.00 0.00 0.000% 113.49 (113.49) 0.000% 0.00 113.49 (113.49) 0.000% 688,130.00 113.49 688,016.51 0.020% UC3 LA OUINTA FINANCING AUTHORITY 0710112002 - OW3112002 REMAINING % EXPENDITURE SUMMARY BUDGET EXPENDITURES ENCUMBERED BUDGET EXPENDED DEBT SERVICE EXPENDITURES SERVICES 9,888.00 522.49 0.00 9.163.51 5.4% BOND PRINCIPAL 285,000.00 0.00 0.00 285,000.00 0.0% BOND INTEREST 394,435.00 0.00 0.00 394,435.00 0.0% TRANSFER OUT 0.00 0.00 0.00 0.0% TOTAL DEBT SERVICE 689,121.00 522.49 0.00 688,598.51 0.1% CAPITAL IMPROVEMENT EXPENDITURES TRANSFER OUT (131,792.42) 0.00 0.00 (131,792.42) 0.0% TOTAL CAPITAL IMPROVEMENT (131,792.42) 0.00 0.00 (131,792.42) 0.0% TOTAL FINANCING AUTHORITY 557.328.58 522.49 0.00 556,806.09 0.09% 0 64 ATTACHMENT 2 T r 0 0 O LL E E N O c N 7 > COM d c J C L O � 4) Udcl) rn D0 w ig a ZZ CO a 0 'o Qa Q � C C C LL LL Y Y �O m in �4pf C6 C IA > > co 0C5