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2005 04 19 FAa, 0� O V rY Ir�cau�aiu�� OF FINANCING AUTHORITY AGENDA CITY COUNCIL CHAMBERS 78-495 Calle Tampico La Quinta, California 92253 Regular Meeting Tuesday, April 19, 2005 - 3:00 P.M. Beginning Resolution No. FA 2005-001 CALL TO ORDER Roll Call: Board Members: Henderson, Osborne, Perkins, Sniff, and Chairman Adolph PUBLIC COMMENT At this time members of the public may address the Financing Authority on items that appear within the Consent Calendar or matters that are not listed on the agenda. Please complete a "request to speak" form and limit your comments to three minutes. When you are called to speak, please come forward and state your name for the record. Please watch the timing device on the podium. For all Business Session matters or Public Hearings on the agenda, a completed "request to speak" form should be filed with the City Clerk prior to beginning consideration of that item. CONFIRMATION OF AGENDA APPROVAL OF MINUTES 1. APPROVAL OF MINUTES OF MARCH 15, 2005. Financing Authority Agenda 1 April 19, 2005 CONSENT CALENDAR NOTE: Consent Calendar items are considered to be routine in nature and will be approved by one motion. 1. TRANSMITTAL OF TREASURER'S REPORT DATED FEBRUARY 28, 2005. 2. TRANSMITTAL OF REVENUE & EXPENDITURES REPORT DATED FEBRUARY 28, 2005 AND INVESTMENT SUMMARY REPORT FOR THE QUARTER ENDING MARCH 31, 2005. BUSINESS SESSION — NONE CHAIR AND BOARD MEMBERS' ITEMS — NONE PUBLIC HEARINGS — NONE ADJOURNMENT Adjourn to a regularly scheduled meeting of the Financing Authority to be held on May 17, 2005 at 3:00 p.m. in the City Council Chambers, 78-495 Calle Tampico, La Quinta, CA 92253. DECLARATION OF POSTING I, June S. Greek, City Clerk of the City of La Quinta, do hereby declare that the foregoing agenda for the La Quinta Financing Authority meeting of Tuesday, April 19, 2005, was posted on the outside entry to the Council Chamber at 78-495 Calle Tampico and on the bulletin boards at 51-321 Avenida Bermudas and 78-630 Highway 111, on Friday, April 15, 2005 DATED: April 15, 2005 E��� '-EDr- --'� JUNE S. GREEK, CMC, City Clerk City of La Quinta, California 2 April 19, 2005 Financing Authority Agenda a�\�1►1 'Ty 4 �z CP Qumrru OF TKti�� COUNCIL/RDA MEETING DATE: A p ri 1 13, 2 0 0 5 AGENDA CATEGORY: ITEM TITLE: Transmittal of Treasurer's Report as of February 28, 2005 RECOMMENDATION: It is recommended the La Quinta Financing Authority: Receive and file. BUSINESS SESSION: CONSENT CALENDAR: STUDY SESSION: PUBLIC HEARING: PLEASE SEE RELATED BUSINESS SESSION ITEM ON CITY COUNCIL AGENDA C&t�� 4 COUNCIL/RDA MEETING DATE: A p ri 1 19, 2 0 0 5 ITEM TITLE: Transmittal of Revenue and Expenditure Report for February 28, 2005 and Investment Summary Report for the Quarter Ending March 31, 2005 RECOMMENDATION: Receive and File. FISCAL IM PUCATIONS: None. CHARTER CITY IMPLICATIONS: None. BACKGROUND AND OVERVIEW: AGENDA CATEGORY: BUSINESS SESSION: CONSENT CALENDAR: oq STUDY SESSION: PUBLIC HEARING: Transmittal of the Statement of Revenue and Expenditures for February 28, 2005 and Investment Summary Report for the Quarter ending March 31, 2005 for the La Quinta Financing Authority. Respectfully submitted, 1 ;7 ohn M. Falconer, Finance Director Approved for submission by: Thomas P. Genovese, Executive Director Attachments: 1. Revenue and Expenditures for February 28, 2005 and Investment Summary Report dated March 31, 2005 2 ATTACHMENT 1 LA QUINTA FINANCING AUTHORITY REVENUE DETAIL DEBT SERVICE REVENUE: Contractutil 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 BUDGET RECEIVED REMAINING BUDGET 10,000.00 0.00 10,000.00 0.00 12.89 (12.89) 681,200.00 501,890.00 179,310.00 2,990 049 00 766 045.53 2,224,003.47 3.681.249.00 1,267,948.42 2,413,360.58 0.00 0.00 0.00 0.00 58.56 0.00 58.56 (58•56) 3,681,249.00 1,268,006.98 2,413,242.02 3 LA QUINTA FINANCING AUTHORITY EXPENDITURE SUMMARY DEBT SERVICE EXPENDITURES SERVICES BOND PRINCIPAL BONDINTEREST TRANSFER OUT CAPITAL IMPROVEMENT EXPENDITURES BOND ISSUANCE COSTS TRANSFER OUT 07101/2004 - 02128105 REMAINING BUDGET EXPENDITURES ENCUMBERED BUDGET 9,686.00 3,481.00 0.00 6,205.00 315,000.00 315,000.00 0.00 0.00 3,356,269.00 952,935.53 0.00 2,403,333.47 0.00 0.00 0.00 0.00 TOTAL DEBT SERVICE 3,680,955.00 1,271,416.53 0.00 2,409,538.47 55,000.00 49,997.09 0.00 5,002.91 0.00 0.00 0.00 0.00 TOTAL CAPITAL IMPROVEMENT 55,000.00 49,997.09 0.00 5,002.91 TOTAL FINANCING AUTHORITY 3,735,955.00 1,321,413.62 0.00 2,414,541.38 4 r 0 c 0 O LL i (o E c a) ELo coo > o c N to A •— J L M O 1-- U LL m cc (c O O W" E!9 co O F— O (n C U Q) a) � co U co C: Y O (�0 fo v� C O O w U U L) � a> s co co co C.)� N O C U O O C d +r • L O C C O � O � O O •- O U .. 'O CU C O E L Na 1cm U LL cn cca E a) c c O >= a O C = � C � O Co O O U C1 co L N ~ 3 N 0 7 O O U O U LL co 5