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2022 12 20 Councilt(v I tr(v GEM of the DESERT — City Council agendas and staff reports are available on the City's web page: www.LaQuintaCA.gov CITY COUNCIL AGENDA CITY HALL COUNCIL CHAMBER 78495 Calle Tampico, La Quinta REGULAR MEETING ON TUESDAY, DECEMBER 20, 2022 3:30 P.M. CLOSED SESSION 1 4:00 P.M. OPEN SESSION Members of the public may listen to this meeting by tuning -in live via http://Iaquinta.12milesout.com/video/live. CALL TO ORDER ROLL CALL: Councilmembers: Fitzpatrick, McGarrey, Pena, Sanchez, Mayor Evans PUBLIC COMMENTS - INSTRUCTIONS Members of the public may address the City Council on any matter listed or not listed on the agenda as follows: WRITTEN PUBLIC COMMENTS can be provided either in -person during the meeting by submitting 15 copies to the City Clerk, it is requested that this takes place prior to the beginning of the meeting; or can be emailed in advance to CityClerkMail@LaQuintaCA.gov, no later than 12:00 p.m., on the day of the meeting. Written public comments will be distributed to Council, made public, and will be incorporated into the public record of the meeting, but will not be read during the meeting unless, upon the request of the Mayor, a brief summary of public comments is asked to be reported. If written public comments are emailed, the email subject line must clearly state ""Written Comments" and should include: 1) full name, 2) city of residence, and 3) subject matter. CITY COUNCIL AGENDA Page 1 of 6 DECEMBER 20, 2022 VERBAL PUBLIC COMMENTS can be provided in -person during the meeting by completing a "Request to Speak" form and submitting it to the City Clerk; it is requested that this takes place prior to the beginning of the meeting. Please limit your comments to three (3) minutes (or approximately 350 words). Members of the public shall be called upon to speak by the Mayor. In accordance with City Council Resolution No. 2022-027, a one-time additional speaker time donation of three (3) minutes per individual is permitted; please note that the member of the public donating time must: 1) submit this in writing to the City Clerk by completing a "Request to Speak" form noting the name of the person to whom time is being donated to, and 2) be present at the time the speaker provides verbal comments. Verbal public comments are defined as comments provided in the speakers' own voice and may not include video or sound recordings of the speaker or of other individuals or entities, unless permitted by the Mayor. Public speakers may elect to use printed presentation materials to aid their comments; 15 copies of such printed materials shall be provided to the City Clerk to be disseminated to the City Council, made public, and incorporated into the public record of the meeting; it is requested that the printed materials are provided prior to the beginning of the meeting. There shall be no use of Chamber resources and technology to display visual or audible presentations during public comments, unless permitted by the Mayor. All writings or documents, including but not limited to emails and attachments to emails, submitted to the City regarding any item(s) listed or not listed on this agenda are public records. All information in such writings and documents is subject to disclosure as being in the public domain and subject to search and review by electronic means, including but not limited to the City's Internet Web site and any other Internet Web -based platform or other Web -based form of communication. All information in such writings and documents similarly is subject to disclosure pursuant to the California Public Records Act [Government Code § 6250 et seq.]. PUBLIC COMMENT ON MATTERS NOT ON THE AGENDA At this time, members of the public may address the City Council on any matter not listed on the agenda pursuant to the "Public Comments - Instructions" listed above. The City Council values your comments; however, in accordance with State law, no action shall be taken on any item not appearing on the agenda unless it is an emergency item authorized by the Brown Act [Government Code § 54954.2(b)]. CONFIRMATION OF AGENDA CITY COUNCIL AGENDA Page 2 of 6 DECEMBER 20, 2022 CLOSED SESSION 1. CONFERENCE WITH LEGAL COUNSEL - ANTICIPATED LITIGATION; SIGNIFICANT EXPOSURE TO LITIGATION PURSUANT TO PARAGRAPH (2) OR (3) OF SUBDIVISION (d) OF GOVERNMENT CODE SECTION 54956.9 (NUMBER OF POTENTIAL CASES: 1) RECESS TO CLOSED SESSION RECONVENE AT 4:00 P.M. REPORT ON ACTION(S) TAKEN IN CLOSED SESSION PLEDGE OF ALLEGIANCE PUBLIC COMMENT ON MATTERS NOT ON THE AGENDA At this time, members of the public may address the City Council on any matter not listed on the agenda pursuant to the "Public Comments - Instructions" listed above. The City Council values your comments; however, in accordance with State law, no action shall be taken on any item not appearing on the agenda unless it is an emergency item authorized by the Brown Act [Government Code § 54954.2(b)]. ANNOUNCEMENTS, PRESENTATIONS, AND WRITTEN COMMUNICATIONS 1. PRESENTATION BY THE LIVING DESERT ON "PRIDE OF THE DESERT" CAMPAIGN BY PRESIDENT/CEO ALLEN MONROE CONSENT CALENDAR NOTE: Consent Calendar items are routine in nature and can be approved by one motion. PAGE 1. APPROVE COUNCIL MEETING MINUTES OF DECEMBER 6, 2022 2. AFFIRM RESOLUTION NO. 2021-035 FINDINGS RELATED TO THE STATE OF EMERGENCY DUE TO COVID-19 AUTHORIZING THE CITY MANAGER TO IMPLEMENT TELECONFERENCE ACCESSIBILITY ONLY WHEN A PUBLIC MEETING OF THE LEGISLATIVE BODY IS HELD VIRTUALLY PURSUANT TO ASSEMBLY BILL 361 (STATS. 2021, CH. 165) 3. APPROVE RECIPIENT FOR THE 2023 LA QUINTA SENIOR INSPIRATION AWARD 4. RECEIVE AND FILE FISCAL YEAR 2021/22 DEVELOPMENT PROJECT FEE REPORT CITY COUNCIL AGENDA Page 3 of 6 DECEMBER 20, 2022 5. RECEIVE AND FILE FISCAL YEAR 2021/22 ART IN PUBLIC PLACES ANNUAL REPORT 6. RECEIVE AND FILE REVENUE AND EXPENDITURE REPORT DATED JUNE 30, 2022 7. RECEIVE AND FILE REVENUE AND EXPENDITURE REPORT DATED SEPTEMBER 30, 2022 8. RECEIVE AND FILE FIRST QUARTER FISCAL YEAR 2022/23 TREASURY REPORTS FOR JULY, AUGUST, SEPTEMBER 2022 9. RECEIVE AND FILE FISCAL YEAR 2021/22 MEASURE G SALES TAX COMPLIANCE REPORT 10. APPROVE DEMAND REGISTERS DATED DECEMBER 2 AND DECEMBER 9, 2022 BUSINESS SESSION PAGE 1. RECEIVE AND FILE FISCAL YEAR 2021/22 GENERAL FUND YEAR-END BUDGET REPORT AND APPROVE THE AMENDED BUDGET CARRYOVERS 2. APPROPRIATE FUNDING FROM UNASSIGNED RESERVES AND APPROVE AGREEMENT FOR CONTRACT SERVICES WITH NV5, INC., TO PREPARE THE VILLAGE UNDERGROUNDING FEASIBILITY STUDY PROJECT NO. 2022-06 STUDY SESSION - None PUBLIC HEARINGS - None DEPARTMENTAL REPORTS 1. CITY MANAGER 2. CITY ATTORNEY 3. CITY CLERK 4. COMMUNITY RESOURCES 5. DESIGN AND DEVELOPMENT 6. FINANCE 7. PUBLIC WORKS CITY COUNCIL AGENDA Page 4 of 6 DECEMBER 20, 2022 MAYOR'S AND COUNCIL MEMBERS' ITEMS 1. CVAG CONSERVATION COMMISSION (Evans) 2. CVAG ENERGY AND ENVIRONMENTAL RESOURCES COMMITTEE (Evans) 3. CVAG EXECUTIVE COMMITTEE (Evans) 4. GREATER PALM SPRINGS CONVENTION AND VISITORS BUREAU (Evans) 5. IMPERIAL IRRIGATION DISTRICT - COACHELLA VALLEY ENERGY COMMISSION (Evans) 6. LEAGUE OF CALIFORNIA CITIES DELEGATE (Evans) 7. COACHELLA VALLEY WATER DISTRICT JOINT POLICY COMMITTEE (Evans) 8. SOUTHERN CALIFORNIA ASSOCIATION OF GOVERNMENTS (Evans) 9. ECONOMIC DEVELOPMENT SUBCOMMITTEE (Evans & Fitzpatrick) 10. COACHELLA VALLEY MOUNTAINS CONSERVANCY (McGarrey) 11. DESERT RECREATION DISTRICT COMMITTEE (Fitzpatrick & McGarrey) 12. COACHELLA VALLEY UNIFIED SCHOOL DISTRICT COMMITTEE (Fitzpatrick & Pena) 13. GREATER CV CHAMBER OF COMMERCE INFORMATION EXCHANGE COMMITTEE (Fitzpatrick) 14. RIVERSIDE COUNTY TRANSPORTATION COMMISSION (Fitzpatrick) 15. CANNABIS AD HOC COMMITTEE (Pena and Sanchez) 16. CVAG PUBLIC SAFETY COMMITTEE (Pena) 17. CVAG VALLEY -WIDE HOMELESSNESS COMMITTEE (Pena) 18. LEAGUE OF CALIFORNIA CITIES - PUBLIC SAFETY POLICY COMMITTEE (Pena) 19. IMPERIAL IRRIGATION DISTRICT - ENERGY CONSUMERS ADVISORY COMMITTEE (McGarrey) 20. COACHELLA VALLEY MOSQUITO AND VECTOR CONTROL DISTRICT (Pena) 21. CVAG TRANSPORTATION COMMITTEE (Fitzpatrick) 22. SUNLINE TRANSIT AGENCY (Pena) 23. DESERT SANDS UNIFIED SCHOOL DISTRICT COMMITTEE (Evans & Sanchez) 24. ANIMAL CAMPUS COMMISSION (Sanchez) 25. LEAGUE OF CALIFORNIA CITIES - TRANSPORTATION, COMMUNICATION AND PUBLIC WORKS POLICY COMMITTEE (Sanchez) 26. RIVERSIDE LOCAL AGENCY FORMATION COMMISSION (Sanchez) 27. PLANNING COMMISSION MEETING MINUTES OF NOVEMBER 8, 2022 313 28. FINANCIAL ADVISORY COMMISSION MEETING MINUTES OF NOVEMBER 321 9, 2022 29. HOUSING COMMISSION SPECIAL MEETING MINUTES OF NOVEMBER 9, '5 2022 REPORTS AND INFORMATIONAL ITEMS ADJOURNMENT ********************************* CITY COUNCIL AGENDA Page 5 of 6 DECEMBER 20, 2022 The regular City Council meeting of January 3, 2023, has been cancelled. The next regular meeting of the City Council will be held on January 17, 2023, at 4:00 p.m. at the City Hall Council Chamber, 78495 Calle Tampico, La Quinta, CA 92253. DECLARATION OF POSTING I, Monika Radeva, City Clerk of the City of La Quinta, do hereby declare that the foregoing Agenda for the La Quinta City Council meeting was posted on the City's website, near the entrance to the Council Chamber at 78495 Calle Tampico, and the bulletin boards at the Stater Brothers Supermarket at 78630 Highway 111, and the La Quinta Cove Post Office at 51321 Avenida Bermudas, on December 16, 2022. DATED: December 16, 2022 V � MONIKA RADEVA, City Clerk 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 (760) 777-7123, 24-hours in advance of the meeting and accommodations will be made. • If background material is to be presented to the City Council during a City Council meeting, please be advised that 15 copies of all documents, exhibits, etc., must be supplied to the City Clerk for distribution. It is requested that this takes place prior to the beginning of the meeting. CITY COUNCIL AGENDA Page 6 of 6 DECEMBER 20, 2022 CONSENT CALENDAR ITEM NO. 1 CITY COUNCIL MINUTES TUESDAY, DECEMBER 6, 2022 CALL TO ORDER A regular meeting of the La Quinta City Council was called to order at 3:00 p.m. by Mayor Evans. PRESENT: Councilmembers Fitzpatrick, Pena, Radi, Sanchez, Mayor Evans ABSENT: None PUBLIC COMMENT ON MATTERS NOT ON THE AGENDA - None CONFIRMATION OF AGENDA - Confirmed CLOSED SESSION 1. CONFERENCE WITH REAL PROPERTY NEGOTIATORS PURSUANT TO GOVERNMENT CODE SECTION 54956.8 FOR PROPERTY LOCATED AT 51001 EISENHOWER DR (APN: 773-065-012) CITY NEGOTIATOR: ]ON MCMILLEN, CITY MANAGER NEGOTIATING PARTY: BRUCE AND JIM CATHCART UNDER NEGOTIATION: PRICE AND TERMS OF PAYMENT 2. CONFERENCE WITH LEGAL COUNSEL - ANTICIPATED LITIGATION. SIGNIFICANT EXPOSURE TO LITIGATION PURSUANT TO PARAGRAPH (2) OR (3) OF SUBDIVISION (d) OF GOVERNMENT CODE SECTION 54956.9 (NUMBER OF POTENTIAL CASES: 1) COUNCIL RECESSED THE OPEN SESSION PORTION OF THE MEETING AND MOVED INTO CLOSED SESSION AT 3: 03 P. M. MAYOR EVANS RECONVENED THE OPEN SESSION PORTION OF THE CITY COUNCIL MEETING AT 4: 00 P.M. WITH ALL MEMBERS PRESENT REPORT ON ACTION(S) TAKEN IN CLOSED SESSION: City Attorney Ihrke reported no actions were taken in Closed Session that require reporting pursuant to Government Code section 54957.1 (Brown Act). PLEDGE OF ALLEGIANCE Councilmember Pena led the audience in the Pledge of Allegiance. CITY COUNCIL MINUTES Page 1 of 9 DECEMBER 6, 2022 7 PUBLIC COMMENT ON MATTERS NOT ON THE AGENDA PUBLIC SPEAKER: Philip Bettencourt, La Quinta - expressed his gratitude and presented service medallions to Councilmembers Pena, Fitzpatrick, and Sanchez who represented the City at the Thanksgiving Day Ceremony hosted by Rancho La Quinta residents for the US Marine Corp from the Air Ground Combat Center in 29 Palms. PUBLIC SPEAKER: Matthew Snyder, La Quinta - spoke of the City's negligence in issuing Special Events Permits to the DuPont Estate (46485 Cameo Palms Dr) due to the Estate's violation of the Municipal Code requirement to issue notices to neighbors prior to holding an event. PUBLIC SPEAKER: Claudia Snyder, La Quinta - read letter to the California Department of Real Estate from her and her husband complaining about non- disclosure by their real estate agent that the property they purchased was located across the street from a property operating as a short-term vacation rental (STVR) and it is a well-known nuisance. PUBLIC SPEAKER: Dale Tyerman, La Quinta - thanked Councilmember Radi for his service, dedication, and leadership to the community; his meaningful mentoring and encouragement; expressed gratitude to Councilmember Radi on behalf of the Trilogy community and thousands of residents for always listening; and welcomed Councilmember-elect McGarrey, who he expects will do an outstanding job serving the City. PUBLIC SPEAKER: Jeff Fishbein, La Quinta Chamber Board Chair, representing the Greater Coachella Valley Chamber of Commerce (Chamber) - on behalf of the Chamber and the Fishbein family, thanked Councilmember Radi for his service; congratulated Mayor Evans and Councilmember Pena on being re- elected and Councilmember-elect McGarrey; noted upcoming Chamber events include the Car Show in February, and tonight's mixer at the Old Town Artisan Studio. PUBLIC SPEAKER: Rob McFarlane, La Quinta - introduced himself and said he and his wife are excited to bring a Crumbl Cookies store to La Quinta; and anticipated opening on December 16, 2022. PUBLIC SPEAKER: Richard (Dick) Mills, La Quinta - thanked Councilmember Radi for his years of service and dedication and will miss his leadership; congratulated re-elected Mayor Evans and Councilmember Pena, and welcomed Councilmember-elect McGarrey; and requested an update on the Talus project. CITY COUNCIL MINUTES Page 2 of 9 DECEMBER 6, 2022 8 PUBLIC SPEAKER: Alena Callimanis, La Quinta - thanked Councilmember Radi, congratulated Mayor Evans, Councilmember Pena, and Councilmember-elect McGarrey; stated Council made the right decision in declining approval of the wave park, as recent reports and articles support; noted her concern that CVWD plans to stop replenishing the Thomas E. Levy facility; reported that the State water project is only giving the Coachella Valley 5% of its allocation for 2023; requested that the City carefully consider water consumption when reviewing new developments; and wished all happy holidays. BUSINESS SESSION 1. ADOPT RESOLUTION TO CERTIFY THE OFFICIAL CANVASS OF ELECTION RESULTS FOR THE GENERAL MUNICIPAL ELECTION HELD NOVEMBER 8, 2022 [RESOLUTION NO. 2022-041] City Clerk Radeva presented the staff report, which is on file in the Clerk's Office. PUBLIC SPEAKER: Kay Wolff, La Quinta - thanked Councilmember Radi personally, and on behalf of the community for his hard work, his service, and contributions; stated that with the failure of Measure A, Council needs to: fully enforce its Municipal Code to support and protect residents; improve the 24/7- hotline response; provide code enforcement response to all complaints, not just noise; clarify who residents should call when threatened, i.e., police or code enforcement; provide progress reports to complainants; offer incentives to STVR owners to relocate to Tourist Commercial zones; allow offended neighbors to submit photos/videos and other evidence of infractions, rather than requiring violations to be witnessed by code officers in order for citations to be issued; publish the appeals procedure so residents know they can appeal the City Manager's decisions; establish an appeals board for STVRs; rid neighborhoods of known "bad apples"; require noise monitors at STVRs; add more patrols; find and remove all unpermitted operators; address density of STVR per block; publicize widely that no new permits will be issued, even after the failure of Measure A; and fully define the phrase "detrimental to the public interest" in the Code. PUBLIC SPEAKER: Melissa Labayog, La Quinta - concerned about the impact of STVRs on the quality of local schools; stated that it is incumbent on elected officials to provide enforcement of STVRs; looking for a peaceful life which will not be possible as long as the DuPont Estate operates as an event center; requested that the City allow properties such as hers, located by a permitted STVR/event venue, be allowed to get a STVR permit in order to sell the property, because no family would buy it, or change her neighborhood, Highland Palms, to a Tourist Commercial zone; and thanked Councilmember Radi for always listening, being fair, and for his service. CITY COUNCIL MINUTES Page 3 of 9 DECEMBER 6, 2022 9 PUBLIC SPEAKER: David Dinnel, La Quinta - owns a STVR; frustrated that he was unable to vote in La Quinta because his primary residence is in Los Angeles; recommended allowing owners of STVRs to call code enforcement when they catch their renters violating regulations, and for code enforcement to issue citations on those renters without it being a strike against the reporting owner; appreciates the hard work by the City; and wished to be a good neighbor. MOTION - A motion was made and seconded by Councilmembers Radi/Fitzpatrick to adopt Resolution No. 2022-041 as recommended: A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF LA QUINTA, CALIFORNIA, RECITING THE FACT OF THE GENERAL MUNICIPAL ELECTION HELD ON THE EIGHTH (8T") DAY OF NOVEMBER 2022, DECLARING THE RESULTS AND SUCH OTHER MATTERS AS PROVIDED BY LAW Motion passed unanimously. ANNOUNCEMENTS, PRESENTATIONS AND WRITTEN COMMUNICATIONS ANNOUNCEMENT ADDED: IRONMAN TRIATHLON Council congratulated City employee Ubaldo Ayon, Assistant Construction Manager at the Public Works Department, for completing the triathlon. ANNOUNCEMENT ADDED: AMERICAN FLAG DISPOSAL BOX AT CITY HALL Mayor Evans provided information on the new box installed on Veterans' Day for proper disposal of worn American flags, in coordination with the American Legion. She reported that 30 flags were dropped off in the last two weeks. 1. ADMINISTER OATHS OF OFFICE TO RE-ELECTED MAYOR EVANS AND COUNCILMEMBER PENA, AND NEWLY ELECTED COUNCILMEMBER McGARREY City Clerk Radeva administered the Oath of Office to Mayor Evans and Councilmembers Pena and McGarrey. 2. PRESENTATION OF CERTIFICATES OF ELECTION TO RE-ELECTED MAYOR EVANS AND COUNCILMEMBER PENA, AND NEWLY - ELECTED COUNCILMEMBER McGARREY City Clerk Radeva presented Certificates of Election to Mayor Evans and Councilmembers Pena and McGarrey. Newly -elected Councilmember McGarry thanked her husband, parents, friends, Councilmember Radi, and Councilmembers throughout the Coachella CITY COUNCIL MINUTES Page 4 of 9 DECEMBER 6, 2022 10 Valley for their support and guidance during the campaign; and promised to listen to and work for the La Quinta residents. Councilmember Pena thanked his wife and the community and said Council will carry out its duties with honor and dignity; looks forward to finishing some of the hard work Council has started; appreciates Councilmember Radi's eight years of dedicated service to the City; and noted that it's a pleasure to work with this Council who always has the best interests of the La Quinta community at heart. Mayor Evans thanked the residents of La Quinta for trusting this Council; thanked City staff; hoped that the two sides of the Measure A issue will remain friends, as happened years ago with Measure G; stated that Council will continue STVR enforcement and improvements; and Council will continue to work civilly and well together. ROLL CALL OF NEWLY SEATED COUNCIL PRESENT: Councilmembers Fitzpatrick, McGarrey, Pena, Sanchez, and Mayor Evans ABSENT: None CONSENT CALENDAR 1. APPROVE MINUTES DATED NOVEMBER 1, 2022 2. APPROVE MINUTES DATED NOVEMBER 15, 2022 3. AFFIRM RESOLUTION NO. 2021-035 FINDINGS RELATED TO THE STATE OF EMERGENCY DUE TO COVID-19 AUTHORIZING THE CITY MANAGER TO IMPLEMENT TELECONFERENCE ACCESSIBILITY ONLY WHEN A PUBLIC MEETING OF THE LEGISLATIVE BODY IS HELD VIRTUALLY PURSUANT TO ASSEMBLY BILL 361 (STATS. 2021, CH. 165) 4. EXCUSE ABSENCE OF COMMISSIONER LUETT]OHANN FROM THE NOVEMBER 9, 2022, FINANCIAL ADVISORY COMMISSION MEETING 5. APPROVE CONTRACT SERVICE AGREEMENT TO EXTEND PROPERTY TAX CONSULTING AND AUDIT SERVICES WITH HDL COREN & CONE 6. APPROVE DEMAND REGISTERS DATED NOVEMBER 11 AND NOVEMBER 18, 2022 CITY COUNCIL MINUTES Page 5 of 9 DECEMBER 6, 2022 11 MOTION - A motion was made and seconded by Councilmembers Pena/ Fitzpatrick to approve Consent Calendar Item Nos. 3 - 5 as recommended, with Item No. 3 reaffirming Resolution No. 2021-035. Motion passed unanimously. MOTION - A motion was made and seconded by Councilmembers Pena/ Fitzpatrick to approve Consent Calendar Item Nos. 1 and 2 as recommended. Motion passed: ayes - 4, noes - 0, abstain - 1 (McGarrey), absent - 0. STUDY SESSION 1. RECEIVE AND FILE ANNUAL REPORT OF PUBLIC SAFETY CAMERA SYSTEM (PSCS) Public Safety Manager Mendez, Traffic Management Analyst Gunterson, and Riverside County Sheriff's Department Lieutenant Martinez presented the staff report, which is on file in the Clerk's Office. Riverside County Sheriff Deputy Wiggs provided additional information. Council discussed the recent approval of Coachella Valley -wide synchronization of traffic equipment; collaboration with businesses for law enforcement to examine their camera footage in addition to intersection cameras to solve crimes; the importance of good policy in operating public cameras; currently, no other city has camera coverage and operation like La Quinta; the Sheriff Department's centralized management of license plate reader (LPRs) cameras; CVAG project purpose is to analyze traffic patterns; the positive results of cameras apparent in crime stats provided in the report; cameras being a deterrent to crime; getting word out to criminals that La Quinta has cameras; internally tracking park vandalism; cameras usefulness in traffic investigations; training for Community Service Officers; increasing retention of high resolution video; improving lighting for LPRs along Highway 111; lack of complaints from residents; no privacy violations reported; and Phase 2 budget and complications. PUBLIC SPEAKER: Kay Wolff, La Quinta - congratulated new Councilmember McGarrey; conveyed questions in an email authored by resident Mario Sewell regarding recipients of exported traffic camera videos and public oversight; maps of camera locations; project budget; procedure for public requests to view videos; use of facial recognition; rolling data retention; and inclusion of citizen representatives on video review committee. CITY COUNCIL MINUTES Page 6 of 9 DECEMBER 6, 2022 12 WRITTEN PUBLIC COMMENTS were received, distributed to Council, made public on the City's website, and included in the public record of this meeting as follows: • Mario Sewell, La Quinta, submitted by Kay Wolff who read them into the record as noted above, regarding the use and recordings of the PSCS. RECOGNITION OF FORMER COUNCILMEMBER ROBERT RADI City Manager McMillen introduced City staff's video in celebration and appreciation of retiring Councilmember Robert Radi. MAYOR EVANS RECESSED THE MEETING TO CITY HALLS ANNUAL OPEN HOUSE MEET AND GREET AT 5: 55 P. M. MAYOR EVANS RECONVENED THE CITY COUNCIL MEETING AT 6: 57 P.M. WITH ALL MEMBERS PRESENT PUBLIC HEARINGS 1. ADOPT RESOLUTION TO VACATE A 691-SQUARE-FOOT PORTION OF AVENIDA BERMUDAS AND AVENIDA LA FONDA PUBLIC RIGHT-OF-WAY ADJACENT TO 78015 MAIN STREET SUITE 100 [RESOLUTION NO. 2022-042] Associate Engineer Yu and Public Works Director McKinney presented the staff report, which is on file in the Clerk's Office. MAYOR EVANS DECLARED THE PUBLIC HEARING OPEN AT 7:01 P.M. Council discussed CVWD's easement on the property. PUBLIC SPEAKER: Michael McKaliff, President of McKaliff and Company Architects - described the remodeling plans, and the need to remedy the property line. MAYOR EVANS DECLARED THE PUBLIC HEARING CLOSED AT 7:03 P.M. MOTION - A motion was made and seconded by Councilmembers Pena/ Sanchez to adopt Resolution No. 2022-042 as recommended: A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF LA QUINTA, CALIFORNIA, VACATING A 691-SQUARE-FOOT PORTION OF AVENIDA BERMUDAS AND AVENIDA LA FONDA PUBLIC RIGHT-OF-WAY ADJACENT TO 78015 MAIN STREET SUITE 100 Motion passed unanimously. CITY COUNCIL MINUTES Page 7 of 9 DECEMBER 6, 2022 13 BUSINESS SESSION - CONTINUED 2. APPOINT A MEMBER OF THE CITY COUNCIL TO SERVE AS MAYOR PRO TEMPORE FOR ONE YEAR Council waived presentation of the staff report, which is on file in the Clerk's Office. MOTION - A motion was made and seconded by Councilmembers Fitzpatrick/ Pena to nominate Councilmember Sanchez to serve as Mayor Pro Tempore for calendar year 2023. Councilmember Sanchez accepted the nomination. Motion passed unanimously. 3. APPOINT MEMBERS OF THE CITY COUNCIL TO SERVE ON VARIOUS OUTSIDE AGENCIES FOR 2023 Council waived presentation of the staff report, which is on file in the Clerk's Office. Council discussed the current outside agencies appointments, along with their availability, and interests, and reached a consensus to serve on various outside agencies for calendar year 2023 as noted on Attachment 1. MOTION - A motion was made and seconded by Councilmembers Fitzpatrick/ Sanchez to appoint Members of the City Council to serve on various outside agencies for calendar year 2023 as detailed in Attachment 1, incorporated herewith by this reference. Motion passed unanimously. 4. APPROVE CANCELLATION OF REGULAR CITY COUNCIL MEETING OF JANUARY 3, 2023 Council waived presentation of the staff report, which is on file in the Clerk's Office. MOTION - A motion was made and seconded by Councilmembers Pena/ McGarrey to approve cancellation of the regular City Council meeting of January 3, 2023. Motion passed unanimously. 5. RE -ALLOCATE FUNDS FROM CAPITAL IMPROVEMENT PROGRAM AND PARK EQUIPMENT FUNDS ACCOUNTS NOT TO EXCEED $850,000 TO REPLACE THE SPLASH PAD AT LA QUINTA PARK Management Analyst Hansen presented the staff report, which is on file in the Clerk's Office. CITY COUNCIL MINUTES Page 8 of 9 DECEMBER 6, 2022 14 Council discussed updating the splash pad design; finding funds to install a shade structure over the swings; alternate locations for a splash pad; using a turf base; and meeting County health requirements. MOTION - A motion was made and seconded by Councilmembers Fitzpatrick/ Pena to re -allocate funds from Capital Improvement Program account 201903 and 503-0000-71060 Park Equipment Funds not to exceed $850,000 to replace the Splash Pad at La Quinta Park, and in addition, to provide a project schedule to Council. Motion passed unanimously. DEPARTMENTAL REPORTS - All reports are on file in the City Clerk's Office. MAYOR'S AND COUNCIL MEMBERS' ITEMS Mayor Evans reported on the Rancho La Quinta Thanksgiving event for the US Marine Corp from the Air Ground Combat Center in 29 Palms; kickoff of Old Town holiday events; return of the farmers' market; City's annual Tree Lighting ceremony; Casita holiday lighting event; Annual Peace Officer and Public Safety Award luncheon; the All -Hands breakfast with City staff, and LAFCO stakeholder session. REPORTS AND INFORMATIONAL ITEMS La Quinta's representative for 2022, Mayor Evans reported on her participation in the following organizations' meetings: • CVAG EXECUTIVE COMMITTEE • GREATER PALM SPRINGS CONVENTION AND VISITORS' BUREAU ADJOURNMENT There being no further business, a motion was made and seconded by Councilmembers Pena/Sanchez to adjourn at 7:36 p.m. Motion passed unanimously. Respectfully submitted, MONIKA RADEVA, City Clerk City of La Quinta, California CITY COUNCIL MINUTES Page 9 of 9 DECEMBER 6, 2022 15 2023 Assignments APPOINTED DECEMBER 6, 2022 ATTACHMENT 1 AGENCY 2023 MEETING SCHEDULE 2023 REPRESENTATIVES Animal Campus Commission 1st Thursday, quarterly at 9:30 am Member: Mayor Pro Tern Sanchez (2023: Feb 2, May 4, Aug 3, Nov 2) Alternate: Councilmember Fitzpatrick Member: Mayor Pro Tern Sanchez California Joint Powers Insurance Authority* Annual meeting in July Alternate: Monika Radeva and/or Claudia Martinez 1st quarter - Councilmember McGarrey 2nd quarter - Mayor Pro Tern Sanchez Greater CV Chamber of Commerce Councilmembers rotate - 3rd Thursday 3rd quarter - Mayor Evans Information Exchange Committee every month at 8:30 am 4t" quarter - Councilmember Fitzpatrick Alternate - Councilmember Pena Art Purchase Committee - March 2023 Meet during Art Celebrations; Members: Com Servs. Corn (2) Members; Art Purchase Committee - November 2023 (March 2-5, 2023; Nov. 9-12, 2023) Mar. - Sanchez & McGarrey; Nov. - Evans & Fitzpatrick Annual banquet - last Monday in June in Delegate: Mayor Evans CVAG General Assembly Chair's city Alternate: Mayor Pro Tern Sanchez June 26 2023 at 6 m Members: All Councilmembers CVAG Conservation Commission* 2nd Thursday of each month at 10:30 am Member: Mayor Evans (2023: dark March, July, Aug, Oct, Dec) Alternate: Councilmember Fitzpatrick CVAG Energy & Environmental Resources 2nd Thursday of each month at 12 m p Member: Mayor Evans Committee* (2023: dark March, July, Aug, Oct, Dec) Alternate: Councilmember Fitzpatrick CVAG Executive Committee* Last Monday of each month at 4:30 pm Member: Mayor Evans (2023: dark March, July, Aug, Oct, Dec) Alternate: Mayor Pro Tern Sanchez (rotating) CVAG Public Safety Committee* 2"d Monday of each month at 9 am Member: Councilmember Pena (2023: dark Mar, Apr, Jul, Aug, Oct, Dec) Alternate: Mayor Pro Tern Sanchez CVAG Transportation Committee* 1st Monday of each month at 10 am Member: Councilmember Fitzpatrick (2023: dark March, July, Aug, Oct, Dec) Alternate: Councilmember McGarrey CVAG Homelessness Committee* 3rd Wednesday of each month at 10 am Member: Councilmember Pena (2023; dark Mar, July, Aug, Oct, Dec) Alternate: Councilmember Fitzpatrick Coachella Valley Mosquito & Vector Control District 2nd Tuesday of each month at 6 pm Member: Councilmember Pena (CVMVCD) Appointed 10/19/2021 to serve thru 12/31/2025 2"d Monday, every other month at 3 pm Member: Councilmember McGarrey Coachella Valley Mountains Conservancy (CVMC)* (2023: Jan 9, Mar 13, May 8, Jul 10, Sept Alternate: Councilmember Fitzpatrick 11, Nov 13) Coachella Valley Unified School District TBD Members: Councilmembers Fitzpatrick & 2x2 Committee [established 11/03/2015] Pena * Note: receives stipend 16 2023 Assignments APPOINTED DECEMBER 6, 2022 January Members: McGarrey & Fitzpatrick Community Service Grant Review Committee Three per year: January, May & September May Members: Evans & Sanchez September Members: McGarrey & Pena Coachella Valley Water District Joint Policy As needed - TBD Member: Mayor Evans Committee Alternate: Mayor Pro Tern Sanchez (rotating) Desert Sands Unified School District TBD Members: Mayor Evans & Mayor Pro Tem 2x2 Committee [established June 2013] Sanchez Desert Recreation District TBD Members: Councilmembers Fitzpatrick & 2x2 Committee [established Jan. 2017] McGarrey Economic Development Subcommittee Meet twice a month; TBD and 4th Members: Mayor Evans & Councilmember [established May 20, 2014] Wednesday at 4 p.m. Fitzpatrick Alternate Member: Mayor Pro Tern Sanchez Visit Greater Palm Springs Convention & Visitors Tuesday's at 8:30 am at rotating locations Members: Mayor Evans Bureau* (2023: Jan 31, April 4, June 27, Sept 26, Dec 15 Alternate Member: Mayor Pro Tern Sanchez 18• dark in Feb May,July,Aug,Oct 1st Monday of every month at 6 p.m. Member: Councilmember McGarrey IID Energy Consumers' Advisory Committee (ECAC) (2023: Jan 9, Feb 6, March 6, April 3, May 1, Appointment will end December 2026 June 5, July 10, Aug 7, Sept 11, Oct 2, Nov 6, Public Member: Lee Osborne Dec 11) Alternate: none (IID does not recognize alternates) 2nd Thursday of every month at 4 p.m. IID Coachella Valley Energy Commission (CVEC) (may be held at IID Headquarters in LQ or rotating from time to time at facilities in the cities of Coachella, Indio, La Quinta, Members: Mayor Evans Appointment will end December 2023 Palm Desert, Indian Wells, Rancho Mirage, tribal nations, or unincorporated areas of Imperial & Riverside counties League of California Cities - Delegate for annual Annual conference(s) & General Assembly Member: Mayor Evans conference September 20-22, 2023 in Sacramento, CA Alternate: Mayor Pro Tern Sanchez League of California Cities - Public Safety Three meetings per year Members: Mayor Pro Tern Sanchez - Committee (2023: Jan, Feb, April, & June) Presidential Appointment & Councilmember Pena - Division Appointment League of California Cities - Governance, Three meetings per year Member: Councilmember McGarrey - Transparency, and Labor Relations Policy (2023: Jan, Feb, April, & June) Presidential Appointment Committee Riverside County Transportation Commission 2nd Wednesday of each month at 9:30 am Member: Councilmember Fitzpatrick (RCTC) [one rep appointed by every city] Alternate: Councilmember McGarrey Riverside Local Agency Formation Commission 4th Thursday of each month at 9:30 am Member: Mayor Pro Tern Sanchez (LAFCO) (dark Nov 2023?) Annual Regional Conference & General Delegate: Mayor Evans So. Calif. Association of Governments (SCAG) Assembly - May 4-5, 2023 - Marriott Alternate Member: Mayor Pro Tern Sanchez Springs Resort - Palm Desert 4th Wednesday of each month at 10am-lpm Member: Councilmember Pena Sunline Transit Agency* noon (includes Committees) Alternate: Councilmember Fitzpatrick dark Aug& Nov 2023 * Note: receives stipend 17 M., CONSENT CALENDAR ITEM NO. 2 City of La Quinta CITY COUNCIL MEETING: December 20, 2022 STAFF REPORT AGENDA TITLL: AFFIRM RESOLUTION NO. 2021-035 FINDINGS RELATED TO THE STATE OF EMERGENCY DUE TO COVID-19 AUTHORIZING THE CITY MANAGER TO IMPLEMENT TELECONFERENCE ACCESSIBILITY ONLY WHEN A PUBLIC MEETING OF THE LEGISLATIVE BODY IS HELD VIRTUALLY PURSUANT TO ASSEMBLY BILL 361 (STATS. 2021, CH. 165) RECOMMENDATION Affirm Resolution No. 2021-035 findings related to the state of emergency due to COVID-19 authorizing the City Manager to implement teleconference accessibility only when a public meeting of the legislative body is held virtually pursuant to Assembly Bill 361 (Stats. 2021, Ch. 165). EXECUTIVE SUMMARY • Pursuant to Assembly Bill 361 (Stats. 2021, Ch. 165) (AB 361), which waived certain provisions of the Ralph M. Brown Act (Brown Act) and authorized local agencies to hold public meetings via teleconferencing whenever a state of emergency exists that makes it unsafe to meet in person, Council must reconsider the circumstances of the state of emergency every 30 days and affirm the required findings in order to continue to allow teleconference accessibility for public meetings. • On September 28, 2021, Council adopted Resolution No. 2021-035 (Attachment 1) making the required findings under AB 361 and authorizing the City Manager to implement teleconference accessibility to conduct public meetings. FISCAL IMPACT - None. BACKGROUND/ANALYSIS AB 361 was signed into law by the Governor on September 16, 2021, which went into effect immediately as urgency legislation (codified under Government Code § 54953) and waived certain provisions of the Brown Act in order to allow local agencies to continue to meet remotely. Specifically, the bill allows remote teleconference flexibility, but only when there is a state of emergency that makes it unsafe to meet in person. W In addition, AB 361 added specific procedures and clarified the requirements for conducting remote meetings, including the opportunity for the public to provide public comment in real time; the legislative body shall take no actions during disruptions; and the legislative body, by majority vote, shall determine that meeting in -person would present imminent risk to the health or safety of attendees and shall affirm these findings every 30 days, in order to continue to allow teleconference accessibility for conducting public meetings [Government Code § 54953(e)(3)]. AB 361 will sunset on January 1, 2024. The City has implemented procedures for conducting public meetings to ensure full compliance with AB 361. In addition to the ability to attend public meetings in -person, teleconference accessibility via call -in option or an internet-based service option (via the Zoom Webinars platform) is listed on the published agenda for each meeting as well as on the City's website. The City monitors attendance via teleconference as well as email correspondence (as published on the agenda) throughout each public meeting and provides access for public comment opportunities in real time both verbally and in writing. On September 28, 2021, Council adopted Resolution No. 2021-035 making the initially required findings under AB 361 in order to allow the City to continue to offer teleconference accessibility for public meetings after September 30, 2021, to help mitigate the spread of COVID-19. As noted above, Council must reconsider the state of emergency due to COVID- 19 every 30 days and affirm the findings under Resolution No. 2021-035. If approved, AB 361 teleconference procedures and accessibility for conducting public meetings would still be authorized, but notices of City legislative body meetings and agendas will include teleconference instructions and ability to participate by teleconference only when such AB 361 procedures are applied. Council has affirmed the findings under Resolution No. 2021-035 as follows: October 19, 2021 June 7, 2022 November 16, 2021 June 21, 2022 December 7, 2021 July 19, 2022 December 21, 2021 August 2, 2022 January 18, 2022 September 20, 2022 February 15, 2022 October 18, 2022 March 15, 2022 November 15, 2022 April 5, 2022 December 6, 2022 May 3, 2022 May 17, 2022 Prepared by: Approved by Attachment: Monika Radeva, City Clerk Jon McMillen, City Manager 1. Council Resolution No. 2021-035 20 ATTACHMENT 1 RESOLUTION NO. 2021 - 035 A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF LA QUINTA, CALIFORNIA, AUTHORIZING THE CITY MANAGER TO IMPLEMENT TELECONFERENCE ACCESSIBILITY FOR CONDUCTING PUBLIC MEETINGS PURSUANT TO ASSEMBLY BILL 361 (STATS. 2021, CH. 165) WHEREAS, on March 4, 2020, the Governor of California proclaimed a State of Emergency to exist in California as a result of the threat of novel coronavirus disease 2019 (COVID-19); and WHEREAS, on March 17, 2020, the City Council adopted Emergency Resolution No. EM 2020-001, proclaiming a local emergency as defined in La Quinta Municipal Code Section 2.20.020, due to the threat of the existence and spread of COVID-19; and WHEREAS, on March 17, 2020, the Governor of California executed Executive Order N-29-20 which suspended and modified specified provisions in the Ralph M. Brown Act (Government Code Section § 54950 et seq.) and authorized local legislative bodies to hold public meetings via teleconferencing and to make public meeting accessible telephonically or otherwise electronically to all members of the public seeking to observe and address the local legislative body; and WHEREAS, on June 11, 2021, the Governor of California executed Executive Order N-08-21 which extended the provisions of Executive Order N- 29-20 concerning teleconference accommodations for public meetings through September 30, 2021; and WHEREAS, on September 16, 2021, the Governor of California signed into law Assembly Bill 361 (AB 361, Rivas) (Stats. 2021, ch. 165) amending Government Code § 54953 and providing alternative teleconferencing requirements to conduct public meetings during a proclaimed state of emergency; and WHEREAS, AB 361 (Stats. 2021, ch. 165) imposes requirements to ensure members of the public are able to attend and participate in public meetings conducted via teleconference, including: 21 Resolution No. 2021 - 035 Teleconference Procedures for Conducting Public Meetings Pursuant to AB 361 (Stats. 2021, ch. 165) Adopted: September 28, 2021 Page 2 of 4 • Notice of the means by which members of the public may access the meeting and offer public comment, including an opportunity for all persons to attend via a call -in option or an internet-based service option; • The legislative body shall take no further action on agenda items when there is a disruption which prevents the public agency from broadcasting the meeting, or in the event of a disruption within the local agency's control which prevents members of the public from offering public comments, until public access is restored; • Prohibits the legislative body from requiring public comments to be submitted in advance of the meeting and specifies that the legislative body must provide an opportunity for members of the public to address the legislative body and offer comments in real time; • Prohibits the legislative body from closing the public comment period until the public comment period has elapsed or until a reasonable amount of time has elapsed; and WHEREAS, the City has already implemented and is in full compliance with the requirements listed above when conducting public meetings via teleconference, which are now codified in Government Code § 54953(e)(2)(B- G); and WHEREAS, pursuant to Government Code § 54953(e)(B), the legislative body shall hold a meeting during a proclaimed state of emergency for the purpose of determining, by majority vote, whether as a result of the emergency, meeting in person would present imminent risks to the health and safety of attendees. The City Council must make these findings no later than 30 days after the first teleconferenced meeting is held pursuant to AB 361 (Stats. 2021, ch. 165) after September 30, 2021, and must also make these findings every 30 days thereafter, in order to continue to allow teleconference accessibility for conducing public meetings. NOW, THEREFORE, BE IT RESOLVED by the City Council of the City of La Quinta, California, as follows: SECTION 1. The City Council hereby declares that the recitals set forth above are true and correct, and incorporated into this resolution as findings of the City Council. 22 Resolution No. 2021 - 035 Teleconference Procedures for Conducting Public Meetings Pursuant to AB 361 (Stats. 2021, ch. 165) Adopted: September 28, 2021 Page 3 of 4 SECTION 2. The City Council hereby declares that a state of emergency as a result of the threat of COVID-19 still exists and continues to impact the ability of members of the public, the City Council, City Boards, Commissions, and Committees, City staff and consultants to meet safely in person. SECTION 3. The State of California and the City of La Quinta continue to follow safety measures in response to COVID-19 as ordered or recommended by the Centers for Disease Control and Prevention (CDC), California Department of Public Health (DPH), and/or County of Riverside, as applicable, including facial coverings when required and social distancing. SECTION 4. The City Council hereby declares that, pursuant to the findings listed in this Resolution, the City Manager is authorized to utilize teleconferencing accessibility to conduct public meetings pursuant to AB 361 (Stats. 2021, ch. 165) and Government Code § 54953, as amended thereby. SECTION 5. Severability: If any section, subsection, subdivision, sentence, clause, phrase, or portion of this Resolution is, for any reason, held to be invalid or unconstitutional by the decision of any court of competent jurisdiction, such decision shall not affect the validity of the remaining portions of this Resolution. The City Council hereby declares that it would have adopted this Resolution and each and every section, subsection, subdivision, sentence, clause, phrase, or portion thereof, irrespective of the fact that any one or more sections, subsections, subdivisions, sentences, clauses, phrases, or portions thereof be declared unconstitutional. SECTION 6. Effective Date: This Resolution shall become effective immediately upon adoption. PASSED, APPROVED, and ADOPTED at a regular meeting of the La Quinta City Council held on this 28th day of September, 2021, by the following vote: AYES: Council Members Fitzpatrick, Pena, Radi, Sanchez, Mayor Evans NOES: None ABSENT: None ABSTAIN: None 23 Resolution No. 2021 - 035 Teleconference Procedures for Conducting Public Meetings Pursuant to AB 361 (Stats. 2021, ch. 165) Adopted: September 28, 2021 Page 4 of 4 LINDA EVANS, Mayor City of La Quinta, California ATTEST: MONIKA RADEVA, Cit Jerk City of La Quinta, California (CITY SEAL) APPROVED AS TO FORM: WILLIAM H. IHRKE, City Attorney City of La Quinta, California 24 CONSENT CALENDAR ITEM NO. 3 City of La Quinta CITY COUNCIL MEETING: December 20, 2022 STAFF REPORT AGENDA TITLE: APPROVE RECIPIENT FOR THE 2023 LA QUINTA SENIOR INSPIRATION AWARD RECOMMENDATION Approve Ada Nuckels as the La Quinta recipient for the 2023 Senior Inspiration Awa rd . EXECUTIVE SUMMARY • Riverside County's annual Senior Inspiration Award Program recognizes and honors outstanding senior citizens for volunteer involvement. • Each Coachella Valley city nominates a resident and/or volunteer for this program. • In November 2022, Staff requested nominations and received five nominees. • In December 2022, the Community Services Commission reviewed the nominations and recommended Ada Nuckels. BACKGROUND/ANALYSIS Each year, the County of Riverside and Coachella Valley cities select a senior citizen, 65 or older, to be recognized for their volunteerism and active engagement in their community. Staff solicited nominations (Attachment 1) from Greater Coachella Valley Chamber of Commerce, La Quinta Historical Society, La Quinta Rotary Club, Friends of the La Quinta Library, La Quinta Cove Neighborhood Association, Friends of the Desert Mountains, Coachella Valley Rescue Mission, FIND Food Bank, Desert Classic Charities, Riverside County Sheriff (La Quinta Police), Riverside County Fire, La Quinta Library and La Quinta Museum. A call out for nominees was also done through social media. The following nominations were received: • Ernest Cisneros, nominated by Lt. Andres Martinez, Riverside County Sheriff Department • Marge Dodge, nominated by Kat Hughes, SCOPE Events, LLC • Peter Gasperni, nominated by Alejandro Mireles, Riverside County Fire Department • Phil La Greca, nominated by Kat Hughes, SCOPE Events, LLC 25 • Ada Nuckels, nominated by Tammy Martin, Friends of the Desert Mountains Only one nomination can be submitted from each Coachella Valley city. All nominees meet the award criteria. In December, the Community Services Commission reviewed the nominations and unanimously recommended submittal of Ada Nuckels' nomination for the 2023 Senior Inspiration Award. Ada Nuckels has accumulated over 10,000 volunteer hours with Friends of the Desert Mountains. Many of those hours involve the removal of invasive plant species, trail clean up and restoration, and leading interpretative hikes along the La Quinta Cove trails. Ada leads and organizes the Full Moon Hikes which are regularly attended by hundreds of hikers every year. Ada began hiking at age 66, and by age 67 she started to lead hikers on the Santa Rosa and San Jacinto Mountain trails. For the past decade, Ada has studied the plants, animals, geology, and history of the local trails, and she readily shares her knowledge with the hiking community. In addition to educating children and adults about the importance of trail conservation, Ada has spent countless hours removing invasive weeds, picking up trash, assisting with wildlife surveys, and organizing volunteer groups to assist with trail maintenance. Ada's passion and enthusiasm for outdoor conservation encourages La Quinta residents and visitors of all ages to appreciate the beauty of the local mountains and recognize the importance of preserving local trails. The award will be presented at the annual Senior Inspiration Award luncheon on Thursday, March 30, 2023, at Fantasy Springs Casino in Indio. ALI cRNATIVE! Staff does not recommend an alternative. Prepared by: Michael Calderon, Community Resources Analyst Approved by: Christina Calderon, Community Resources Manager Attachments: 1. Nomination Request Letter 2. 2023 SIA Nomination Forms 26 ATTACHMENT 1 C(J Q"&a (ALIFOR\I.\ - October 10, 2022 NAME OF ORGANIZATION NAME OF CONTACT Thank you for your continued support and involvement with the City of La Quinta. This letter is to invite you to assist us with seeking nominations for an outstanding senior. Since 1992, and now in its 315t year, the County of Riverside and the nine incorporated cities of the Coachella Valley have sponsored the Senior Inspiration Awards Luncheon. Annually, each city selects one recipient as their outstanding senior for this event. The event will be held at the Fantasy Springs Resort Special Event Center in Indio on March 30, 2023. This is our collective opportunity to recognize our senior residents who have gone above and beyond for our community. Nominations are now being accepted, and we invite you to submit one or more names, along with a brief summary (max 150 words), stating why this senior should be recognized for the La Quinta Senior Inspiration Award Honoree. The County has provided the following criteria for potential honorees: • The honoree should be at least 65 years or older; • Reside and/or volunteer in La Quinta; • Be actively involved in community affairs; • Personifies a healthy, active and contributing attitude and lifestyle. Nomination Forms are enclosed for your use and submission. Please complete one or more Nomination Forms and return to Caroline Doran at the Wellness Center, 78-450 Avenida La Fonda, La Quinta CA, 92253 no later than November 18, 2022. You can also email the forms to her at: cdoran@laquintaca.gov. Our deadline is needed to ensure the nominees are reviewed by our Community Services Commission with recommendations to follow to the La Quinta City Council, who makes the final approval. We have provided a list of our previous honorees for your convenience. We're proud of the contributions our residents make to our community. Let's continue to highlight and recognize the great work being accomplished by our La Quinta seniors. Thank you! Sincerely, Linda Evans, Mayor City of La Quinta NE., ATTACHMENT 2 ��S�tRATj�� r r Riverside County Supervisor V. Manuel Perez presents 31 st ANNUAL SENIOR INSPIRATION AWARDS 2023 The Senior Inspiration Awards is a beloved event in its 311 year. Every year, the County of Riverside and the Coachella Valley's nine cities honor senior citizens 65 years of age and older who inspire others through their volunteerism and active engagement in the community. This annual event honors these unsung heroes for their ongoing contribution and dedication to our communities. If you would like to nominate someone for this honor, please complete this form and return to Caroline Doran, Attention: Caroline Doran or Monica Castaneda at 78450 Avenida La Fonda, La Quinta, CA 92253 or via email at cdoran@laquintaca.gov or mcastaneda@laquintaca.gov Official Nomination Form Deadline: November 18, 2022 Eligible recipients must: -Be at least 65 years old -Reside and/or volunteer in the Coachella Valley or Palo Verde Valley -Be actively involved in community affairs for a lengthy period of time -Deserve to receive recognition and/or may not otherwise receive recognition for his or her service to the community -Personify a healthy, active, and contributing attitude and lifestyle Nominee Name of Nominee Ernest Cisneros Mailing Address Email Organization Individual Volunteers With La Quinta Citizens on Patrol Years with Organization Nominator Phone Name of Nominator It. Andres Martinez Phone City or Organization Riv. Co Sheriff / City of La Quinta Email Reason for Nomination Hundreds of selfless volunteer hours RIVERSIDE COUNTY SHERIFF'S DEPARTMENT CHAD BIANCO, SHERIFF TO: Caroline Doran FROM: Lt. Andres Martinez #3590 SUBJECT: 3111 Annual Senior Inspiration Awards 2023 Ms. Doran, DATE: October 20, 2022 This memorandum is written in nomination of Ernest "Ernie" Cisneros for a Senior Inspiration Award. On April 131h, 2020, and amid a worldwide pandemic forcing citizens into isolation, social distancing and evolving precautions, Ernest "Ernie" Cisneros became a member of the La Quinta Citizen's On Patrol (COP) program to take an active role in his community. But, due to imposed restrictions and in abundance of caution, Ernie's efforts and service to his community began in October of 2020. To date, Ernie has volunteered 600.50 hours of his own time to patrolling the city of La Quinta, engaging with community members, assisting La Quinta deputies with DUI Checkpoints, road closures, traffic collisions and supporting city events such as Iron Man, Toy Drives and Shop with a Cop. Ernie can be relied on in short notice and is always eager to help. Ernie embodies the Sheriff's motto, "Service Above Self'. Through his commitment to his community and the COP program, Ernie undoubtedly enhances the effectiveness of La Quinta deputies, creates positive community engagement experiences, and serves as an inspiration for all to follow. Respectfull , Lt. Andres Martinez #3590 30 ��S�tRATj�� r r Riverside County Supervisor V. Manuel Perez presents 31 st ANNUAL SENIOR INSPIRATION AWARDS 2023 The Senior Inspiration Awards is a beloved event in its 311 year. Every year, the County of Riverside and the Coachella Valley's nine cities honor senior citizens 65 years of age and older who inspire others through their volunteerism and active engagement in the community. This annual event honors these unsung heroes for their ongoing contribution and dedication to our communities. If you would like to nominate someone for this honor, please complete this form and return to Caroline Doran, Attention: Caroline Doran or Monica Castaneda at 78450 Avenida La Fonda, La Quinta, CA 92253 or via email at cdoran@laquintaca.gov or mcastaneda@laquintaca.gov Official Nomination Form Deadline: November 18, 2022 Eligible recipients must: -Be at least 65 years old -Reside and/or volunteer in the Coachella Valley or Palo Verde Valley -Be actively involved in community affairs for a lengthy period of time -Deserve to receive recognition and/or may not otherwise receive recognition for his or her service to the community -Personify a healthy, active, and contributing attitude and lifestyle Nominee Name of Nominee Mailing Address _ Email Organization Individual Volunteers With Years with Organization Nominator Name of Nominator City or Organization Reason for Nomination Gasperoni Email Phone Phone Nomination information from Alejandro Mireles of Cal Fire Peter Gasperni, went from high school into the military where I believe he was a combat medic and he won the Silver Star for bravery, which he stated, I don't like to brag about that", after his military career he went to college graduating from Brown he went into pharmaceutical sales and always spent time in hospitals and emergency room, after he retired he found himself volunteering in hospitals, EMC Urgent was, " his fit" as he's told me, he enjoys being close to his community and neighbors, we actually run into Pete around LA Quinta all the time not just at EMC Urgent care where he's a vital member of our responses to medical aids and ringing alarms. 32 ��S�tRATj�� r r Riverside County Supervisor V. Manuel Perez presents 31 st ANNUAL SENIOR INSPIRATION AWARDS 2023 The Senior Inspiration Awards is a beloved event in its 311 year. Every year, the County of Riverside and the Coachella Valley's nine cities honor senior citizens 65 years of age and older who inspire others through their volunteerism and active engagement in the community. This annual event honors these unsung heroes for their ongoing contribution and dedication to our communities. If you would like to nominate someone for this honor, please complete this form and return to Caroline Doran, Attention: Caroline Doran or Monica Castaneda at 78450 Avenida La Fonda, La Quinta, CA 92253 or via email at cdoran@laquintaca.gov Official Nomination Form Deadline: November 18, 2022 Eligible recipients must: -Be at least 65 years old -Reside and/or volunteer in the Coachella Valley or Palo Verde Valley -Be actively involved in community affairs for a lengthy period of time -Deserve to receive recognition and/or may not otherwise receive recognition for his or her service to the community -Personify a healthy, active, and contributing attitude and lifestyle Nominee Name of Nominee Ada Nuckels Phone (760) 409-9107 Mailing Address 41-080 Woodhaven Dr E, Palm Desert CA 92211-8182 Email adanuckels@gmail.com Organization Individual Volunteers With Friends of the Desert Mountains Years with Organization Total= 11 years Nominator Name of Nominator Tammy Martin Phone (661) 886-4772 City or Organization Friends of the Desert Mountains Email tmartin@desertmountains.org Reason for Nomination Ada has amassed over 10,000 volunteer hours with Friends of the Desert Mountains. Many of those hours involve the removal of invasive plant species, trail clean up/restoration, and leading interpretative hikes in the city of La Quinta. Ada has also recruited countless new volunteers, who continually enrich the community of La Quinta through their tremendous volunteer efforts. Ada embodies the true definition of a volunteer: driven, passionate, and always ready to help no matter the circumstance. Nominee: Senior Inspiration Awards, Ms. Ada Nuckels. Leads and Coordinates Interpretative hikes: Moon light hikes -family hike to enjoy the outdoors and share knowledge that people are stewards of the environment to enjoy for many years. Moon light hikes are offered to families throughout the valley. Guided hikes - i.e., partnered with Housing Coalition to bring in children from East valley to experience nature. Included during the hikes is sharing information on the importance of honoring the environment by staying on the trails, importance of habitat for endangered animals (big horned sheep, fringe toed lizards, Organizes groups such as: Weed Warriors. Control and remove invasive weed species that threaten sand dune habitats, including Saharan Mustard, and Fountain Grass and Saharan Mustard (invasive weeds consume scarce water and overrun native plants that desert animals feed on. Trails Preservation - complaints are called in to Ms. Nuckels will forwards to the appropriate department at Friends of the Desert Mountains. Volunteers are organized to clean up graffiti and maintain and rebuild trails damaged by storms to maintain safety for trail users. Ada Nuckels began hiking at age 66. By the age of 67, she was leading people of all ages into the many and varied trails in the Santa Rosa and San Jacinto Mountains National Monument. One of her favorite adventures is taking groups on Moonlight Hikes in the La Quinta Cove. In addition to planning, scheduling, coordinating and essentially masterminding the whole program, Ada takes the love she has for our local mountains and trails and pours it into the people who are fortunate enough to follow her into the wild. For the past decade, Ada has studied the plants, the animals, the geology, the history, and the trails, and she readily shares her knowledge with anyone willing to learn. Ada makes the desert come alive, and allows people to see what she sees and love what she loves. Many people return again and again to experience the connection to the land that Ada makes possible. Ada's dedication does not end there, however. She has spent countless hours --day and night --educating children and adults, removing invasive weeds, cleaning up trash, assisting with wildlife surveys, scouting and maintaining trails, and creating new ways for more people to connect to the land. Most importantly, Ada also dedicates a great deal of time while off the trail to recruiting, encouraging, supporting and inspiring other people to volunteer their time to do all of these things and more. Friends Volunteer programs thrive because Ada has been there, behind the scenes, making sure that things happen. When you encounter the beauty of our local mountains, you recognize why people choose to spend time here. And whether you know it or not, all of our continued enjoyment of these mountains, whether it is for an evening, a weekend, or a lifetime, is in no small part due to Ada's work. 34 ��S�tRATj�� r r Riverside County Supervisor V. Manuel Perez presents 31 st ANNUAL SENIOR INSPIRATION AWARDS 2023 The Senior Inspiration Awards is a beloved event in its 311 year. Every year, the County of Riverside and the Coachella Valley's nine cities honor senior citizens 65 years of age and older who inspire others through their volunteerism and active engagement in the community. This annual event honors these unsung heroes for their ongoing contribution and dedication to our communities. If you would like to nominate someone for this honor, please complete this form and return to Caroline Doran, Attention: Caroline Doran or Monica Castaneda at 78450 Avenida La Fonda, La Quinta, CA 92253 or via email at cdoran@laquintaca.gov Official Nomination Form Deadline: November 18, 2022 Eligible recipients must: -Be at least 65 years old -Reside and/or volunteer in the Coachella Valley or Palo Verde Valley -Be actively involved in community affairs for a lengthy period of time -Deserve to receive recognition and/or may not otherwise receive recognition for his or her service to the community -Personify a healthy, active, and contributing attitude and lifestyle Nominee Name of Nominee Marge Dodge Phone (760)564-9329 Mailing Address 79-305 Toronja, La Quinta, CA 92253 Email I@aol.com Organization Individual Volunteers With La Quinta Arts events (La Quinta Arts Foundation and SCOPE Events ) Years with Organization Total = 18 Nominator Name of Nominator Kathleen Hughes Phone (760)777-9823 City or Organization SCOPE Events, LLC Email Kat@scopeevents. org Reason for Nomination Marge Dodge is value leader for La Quinta Arts Celebration; Board of Directors (BOD), Friends of College of the Desert Library (COD) 2009-present; COD Foundation BOD, 2013-present; National League of America Pen Women, BOD 2004-present; Muses & Patrones Circle of McCallum Theater, BOD 2014-2021; Literary Society of the Desert, Advisory Board 2021-present; Old Town Artisan Studios, Advisory Board 2021-present; supporting other non -profits for women and education. Nominee Senior Inspiration Awards: Ms. Marge Dodge, Leader La Quinta Art Events (La Quinta Arts Foundation and SCOPE Events) Ms. Marge Dodge a Volunteer Leader who manages the entry gates for the Art Events and entails many duties listed below: o Cash handling at the front gates - train volunteers o Choosing, training volunteers to work at the entry points o Consistently knowledgeable on how many guests, vendors, artist, volunteers, and workers are at the event at a given time (anyone can audit event and Marge can give an accurate account of all participants. o Handles ticket processing with Art Celebration finance- volunteers and staff o Volunteered her home for the Artist Home Hosting Program: artist stay at Marge's home without cost during their participation in the Art Event. Note: last two years the Artist Home Hosting did not take place. Ms. Marge Dodge is a volunteer with a myriad of organizations included on the nomination form. 36 ��S�tRATj�� r r Riverside County Supervisor V. Manuel Perez presents 31 st ANNUAL SENIOR INSPIRATION AWARDS 2023 The Senior Inspiration Awards is a beloved event in its 311 year. Every year, the County of Riverside and the Coachella Valley's nine cities honor senior citizens 65 years of age and older who inspire others through their volunteerism and active engagement in the community. This annual event honors these unsung heroes for their ongoing contribution and dedication to our communities. If you would like to nominate someone for this honor, please complete this form and return to Caroline Doran, Attention: Caroline Doran or Monica Castaneda at 78450 Avenida La Fonda, La Quinta, CA 92253 or via email at cdoran@laquintaca.gov Official Nomination Form Deadline: November 18, 2022 Eligible recipients must: -Be at least 65 years old -Reside and/or volunteer in the Coachella Valley or Palo Verde Valley -Be actively involved in community affairs for a lengthy period of time -Deserve to receive recognition and/or may not otherwise receive recognition for his or her service to the community -Personify a healthy, active, and contributing attitude and lifestyle Nominee Name of Nominee Phil La Greca Phone (760) 774-1086 Mailing Address 78-865 Via Trieste, La Quinta, CA 92253 Email pola rg eca@gmail.com Organization Individual Volunteers With La Quinta Arts Events (La Quinta Arts Foundation and SCOPE Events) Years with Organization Total= 9 years Nominator Name of Nominator Kathleen Hughes Phone (760) 774-1086 City or Organization SCOPE Events, LLC Email Kat@scopeevnts.org Reason for NominationPhil La Greca is a valued leader for La Quinta Arts Celebration, a Commissioner for the Community Services Comission, City of La Quinta; a California Naturalist from UC Riverside; a Certified Tour Ambassador for Coachella Valley visitors Bureau; a shuttle driver for Coachella Valley Horse Rescue Mission's fund raising, and Desert Adventures Guide. Nominee for Senior Inspiration Awards: Mr. Phil La Greca, Captain La Quinta Art Celebration (La Quinta Arts Foundation and SCOPE Events) Captain for 9 years. Mr. Phil La Greca is the Volunteer Captain for 9 years who coordinates the Golf Cart logistics servicing food vendors, volunteers, electricians, staff, and security during Art Events. o Artists arriving were assisted with setting up their art pieces. o Security use of carts o Food vendors received their needed items without a large truck travelling in the event site. o Confirmed those using carts were insured La Quinta Community Services Commissioner -current 2019-2023 o One of 5 members appointment by Council o Analyzes Community Services programs effectiveness and needs o Recommend fees (facility fees) and operation polices o Make recommendations on community issues Mr. Greca is a Volunteer with a myriad of organizations in the Coachella Valley. Dates pending more information from Kat. California Naturalist from UC Riverside Certified Tourism Ambassador for Coachella Valley Visitors Bureau Coachella Valley Horse Rescue Missions Fund Raising - Shuttle Driver Desert Adventures Guide CONSENT CALENDAR ITEM NO. 4 City of La Quinta CITY COUNCIL MEETING December 20, 2022 STAFF REPORT AGENDA 1 : RECEIVE AND FILE FISCAL YEAR 2021/22 DEVELOPMENT PROJECT FEE REPORT RECOMMENDATION Receive and file the fiscal year 2021/22 Development Project Fee Report. EXECUTIVE SUMMARY • Development Impact Fees (DIF) are imposed on new construction to help offset impacts created by new development on City facilities and infrastructure. • The State Mitigation Fee Act requires the City to annually report on the receipts and expenditures of DIF Funds for the last five years within 180 days of the close of the fiscal year. • The City must use, or pledge to use, the developer fees on City facilities and infrastructure within five years of receipt; or present findings if that was not the case. • Staff has completed the required analysis (Attachments 1 and 2) and in all cases the City has complied with the time limit to expend or commit fees for future projects. FISCAL IMPACT - None. BACKGROUND/ANALYSIS The City has three development project category fees subject to State requirements: Infrastructure, Quimby, and DIF. Annually, the City reports on the following: • Brief description on the type of fee in the account or fund; • Amount of the fee; • Beginning and ending balance of the account or fund; • Amount of fees collected and interest earned; W • Each public improvement on which fees were expended, the amount of expenditures, and total percentage of the project completed and costs funded with the fee; • Description of each interfund transfer, loan, and the public improvement funded. The City must also report payments received pursuant to development agreements entered into after January 1, 2004. A schedule of development agreement payments received, and expenditures are noted in Attachment 2. All projects were reported in the prior fiscal year. Unspent balances will be evaluated for appropriation during the 2023/24 budget cycle. . Unspent Balance Civic Center DIF (Fund 252) $ 1,126,531 Community Center DIF (Fund 254) $ 448,841 Street Maintenance DIF (Fund 255) $ 75,785 Park Maintenance DIF (Fund 256) $5,898 Fire Protection DIF Fund 257 $409,304 Maintenance Facilities DIF (Fund 259) $ 180,095 Each year these reports are also provided to the Desert Valley Builders Association (DVBA), the Building Industry Association (BIA), and the Gas Company. The City received a letter of satisfaction from the DVBA dated December 14, 2022 (Attachment 3). To date, no other correspondence has been received regarding these reports. ALI r-RNATIVE. This report is required by State, staff does not recommend an alternative. Prepared by: Claudia Martinez, Finance Director Approved by: Jon McMillen, City Manager Attachments: 1. FY 2021/22 Development Project Fee Report 2. FY 2021/22 Developer Agreement Activity Report 3. Desert Valley Builders Association Review - 12/14/2022 t 2022 AB1600 Report La Quinta Development Project Fee Report Quimby Fees (Fund 220) Government Code 66000 Calculation FYE 6/30/2022 ATTACHMENT 1 The City's Quimby Special Revenue Fund is used to account for the accumulation of developer fees received under the provisions of the Quimby Act for park development and improvements. Beginning FY 21/22 Ending Account Description Fund Balance Fund Balance Developer Fees - Interest Income 0 Contributions from Property Owners Transfers In Total Revenue Sources 0 Expenditures & Other Uses - Transfers out Capital Projects 713,669 Total Uses 713,669 Total Available 1 $ - 1 $ (713,669) $ (713,669) Using First In First Out Method Fiscal Years Ending Beginning Fund Balance Revenues Collected Expenditures Committed Unspent Revenues Collected from 2018 5,005,547 53,307 462,938 7,298,488 (2,702,572) Revenues Collected from 2019 4,595,916 129,832 1,296,611 4,714,876 (1,285,739) Revenues Collected from 2020 3,429,137 69,689 1,933,252 2,781,625 (1,216,051) Revenues Collected from 2021 1,565,574 35,415 1,600,989 1,180,635 (1,180,635) Revenues Collected from 2022 - 713,669 466,967 (1,180,635) Total Revenue For Last Five Years 43 $ 288,2 1 $ 6,007,459 Result : Five Year Spent Test Met in accordance with Government Code 66001 FY 21/22 Committed % Complete** % funded with Capital Improvement Facilities fee 151609 North La Quinta Regional Skate and BMX 713,354 204,282 96% 73% Park 201903 Skate Park Conversion 315 262,685 0% 100% Total $ 713,669 $ 466,967 ** Percentage completed as of 6/30/2022 41 2022 AB1600 Report La Quinta Development Project Fee Report Infrastructure Fee (Fund 225) Government Code 66000 Calculation FYE 6/30/2022 The Infrastructure fee fund is used to account for the accumulation of resources, provided through developer fees for the acquisition, construction or improvement of the City's infrastructure as defined in Resolution 2013-006. Beginning FY 21/22 Ending Account Description Fund Balance Fund Balance Developer Fees Interest Income (450) Reimbursements - Total Revenue Sources $ (450) Expenditures & Other Uses - Capital Projects - Project Administration/Internal Engineering Total Uses - Total Available 19 398 450 IL 948 Five Year Test Using First In First Out Method Beginning Fund Revenues Fiscal Years Ending Balance Collected Expenditures Committed Unspent Revenues Collected from 2018 23,732 182 - 22,618 1,296 Revenues Collected from 2019 23,914 733 4,543 24,028 (3,924) Revenues Collected from 2020 20,104 715 1,410 22,618 (3,210) Revenues Collected from 2021 19,408 (10) - 22,618 (3,220) Revenues Collected from 2022 1 19,398 (450) - 1 22,618 1 (3,670) Total Revenue For Last Five Years 1 1 $ 1,170 1 $ 5,953 Result : Five Year Spent Test Met in accordance with Government Code 66001 FY 21/22 Committed % Complete** % funded with Capital Improvement Facilities fee 151603 La Quinta Village Complete Streets - Road 22,618 95% 0.18% Diet Total - $ 22,618 * The Infrastructure Fee is being phased out and not subject to collection of future revenue from developments. ** Percentage completed as of 6/30/2022 42 2022 AB1600 Report La Quinta Development Project Fee Report Transportation DIF (Fund 250) Government Code 66000 Calculation FYE 6/30/2022 The Transportation Impact Fee developer fee fund is used to account for the accumulation of resources, provided through developer fees for street system improvements needed to handle traffic that will be generated by future development. The fee is based upon the table below and varies from project to project. Activity Unit of Measure Transportation Residential - Single Family Detached Unit $ 4,009 Residential - Single Family Attached Unit $ 3,076 Residential - Multi Family and Other Unit $ 2,281 Office/Medical Unit $ 6,542 General Commercial 1,000 sq ft $ 8,057 Tourist Commercial/Lodging 1,000 sq ft $ 1,859 Golf Course Acre $ 930 Beginning FY 21/22 Ending Account Description Fund Balance Fund Balance Developer Fees 2,731,351 Interest Income (94,371) Miscellaneous Transfers In - Total Revenue Sources 2,636,980 Expenditures & Other Uses 400,000 Transfers out Capital Projects - Total Uses 400,000 Total Available $ 2,266,489 $ 2,236,980 $ 4,503,469 Five Year Test Beginning Fund Revenues Fiscal Years Ending I -- I ,, I --A Expenditures I Committed I Unspent Revenues Collected from 2019 Revenues Collected from 2020 Revenues Collected from 2021 Revenues Collected from 2022 3,098,380 756,223 2,462,724 801,997 2,321,502 688,043 Result : Five Year Spent Test Met in accordance with Government Code 66001 1,391,880 4,971,752 (2,509,028) 943,219 4,897,398 (2,575,896) 745,418 4,356,480 (2,092,353) 400,000 3,956,480 546,989 Capital Improvement Facilities FY 21/22 Committed % Complete* % funded with fee 111205 Dune Palms Bridge Improvement - 73,755 13% 1% 201702 Developer Reimbursements 400,000 2,539,723 44% 100% 201709 Avenue 53 Jefferson Street Roundabout - 375,121 10% 16% 201902 Avenue 50 Bridge Spanning the Evacuation Channel - 967,881 0.05% 6% Total $ 400,000 1 $ 3,956,480 * Percentage completed as of 6/30/2022 43 2022 AB1600 Report La Quinta Development Project Fee Report Parks & Rec DIF (Fund 251) Government Code 66000 Calculation FYE 6/30/2022 The Parks & Recreation Impact Fee fund is used to account for the accumulation of resources, provided through developer fees for parks required to serve future development. The fee is based upon the table below and varies from project to project. Activity Unit of Measure Transportation Residential - Single Family Detached Unit $ 2,106 Residential - Single Family Attached Unit $ 1,794 Residential - Multi Family and Other Unit $ 1,716 Beginning FY 21/22 Ending Account Description Fund Balance Fund Balance Developer Fees 1,032,032 Interest Income (11,455) Miscellaneous Transfers In - Total Revenue Sources 1,020,577 Expenditures & Other Uses - Transfers Out Capital Projects Total Uses - Total Available $ (346,309)1 $ 1,020,577 1 $ 674,268 Five Year Test Using First In First Out Method Fiscal Years Ending Beginning Fund Revenues Expenditures Committed Unspent Balance Collected Revenues Collected from 2018 558,795 329,110 - - 887,905 Revenues Collected from 2019 887,905 379,411 4,542 2,401,410 (1,138,637) Revenues Collected from 2020 1,262,773 472,951 1,441,697 959,713 (665,686) Revenues Collected from 2021 294,027 322,133 962,469 2,844 (349,153) Revenues Collected from 2022 (346.309) 1.020.577 - 674.268 Result : Five Year Spent Test Met in accordance with Government Code 66001 FY 21/22 Committed % Complete* % funded with Capital Improvement Facilities fee 201722 Fritz Burns Park Sidewalk & Parking Lot 2,844 97% 6% 202102 Fritz Burns Park Improvements 350,000 15% 100% Total $ - $ 352,844 * Percentage completed as of 6/30/2022 it 2022 AB1600 Report La Quinta Development Project Fee Report Civic Center DIF (Fund 252) Government Code 66000 Calculation FYE 6/30/2022 The Civic Center Impact Fee fund was used to fund the expansion of the La Quinta Civic Center completed in 2008 to support the City's needs through build out. The fee is based upon the table below and varies from project to project. Activity Unit of Measure Transportation Residential - Single Family Detached Unit $ 1,230 Residential - Single Family Attached Unit $ 1,115 Residential - Multi Family and Other Unit $ 628 Office/Medical Unit $ 522 General Commercial 1,000 sq ft $ 522 Tourist Commercial/Lodging 1,000 sq ft $ 698 Golf Course Acre $ 251 Account Description Beginning Fund Balance FY 21/22 Ending Fund Balance Developer Fees Interest Income Miscellaneous Transfers In 651,093 (23,183) - Total Revenue Sources 627,911 Expenditures & Other Uses - Total Uses 0 Total Available $ 498,620 $ 627,911 1 $ 1,126,531 Five Year Test Usina First In First Out Method Fiscal Years Ending Beginning Fund Balance Revenues Collected Expenditures Committed Unspent Revenues Collected from 2018 (7,169,291) 145,494 79,286 - (7,103,053) Revenues Collected from 2019 ** (7,103,053) 177,800 (7,004,993) 1,410 78,330 Revenues Collected from 2020 79,740 222,942 1,411 - 301,271 Revenues Collected from 2021 301,271 197,349 - 498,620 Revenues Collected from 2022 498,620 627,911 1,126,531 Total Revenue For Last Five Years 1 $ 1,371,496 1 $(6,924,296) Result : Five Year Spent Test Met in accordance with Government Code 66001 FY 21/22 Committed % Complete * % funded with Capital Improvement Facilities fee Total $ - $ - * Percentage completed as of 6/30/2022 ** Loan repayment interest rate was based on the average quartery investment yield of the City's investment portfolio. During FY 2018/19, this loan was written -off. Projects are being evaluated for the unspent balance of $1,126,531 and will be included in the FY 2023/24 budget. 45 2022 AB1600 Report La Quinta Development Project Fee Report Library DIF (Fund 253) Government Code 66000 Calculation FYE 6/30/2022 The Library Impact Fee fund is used for library facilities required to serve future development in La Quinta. The fee is based upon the table below and varies from project to project. Activity Unit of Measure Transportation Residential - Single Family Detached Unit $ 397 Residential - Single Family Attached Unit $ 338 Residential - Multi Family and Other Unit $ 323 Account Description Beginning Fund Balance FY 21/22 Ending Fund Balance Developer Fees Interest Income Miscellaneous Transfers In 196,456 192 Total Revenue Sources 196,648 Expenditures & Other Uses Advance Interest Expense - 11,112 Total Uses 11,112 Total Available 1 $ (1,458,812) $ 185,536 $ (1,273,276) Five Year Test Using First In First Out Method Beginning Fund Revenues Fiscal Years Ending Balance Collected Expenditures Committed Unspent Revenues Collected from 2018 (1,609,835) 56,416 19,138 1,572,557 (3,145,114) Revenues Collected from 2019 (1,572,557) 57,792 35,480 1,549,846 (3,100,091) Revenues Collected from 2020 (1,550,245) 75,336 30,278 1,505,187 (3,010,374) Revenues Collected from 2021 (1,505,187) 61,508 15,133 1,458,789 (2,917,601) Revenues Collected from 2022 (1,458,812) 196,648 11,112 1,273,276 (2,546,552) Total Revenue For Last Five Years $ 447,700 $ 111,141 Result : Five Year Spent Test Met in accordance with Government Code 66001 Capital Improvement Facilities FY 21/22 Committed % Complete * % funded with fee Successor Agency loan repayment (construction of public library facility) ** 11,112 1,273,276 49% 100% Total $ 11,112 $ 1,273,276 * Percentage completed as of 6/30/2022 ** Loan repayment interest rate is based on the average quarterly investment yield of the City's investment portfolio. As of 6/30/2022 the outstanding loan balance was: Principal 1,273,276 Interest - Total Due 1,273,276 W. 2022 AB1600 Report La Quinta Development Project Fee Report Community Center DIF (Fund 254) Government Code 66000 Calculation FYE 6/30/2022 The Community Center Fee fund is used for community center facilities required to serve future development in La Quinta. The fee is based upon the table below and varies from project to project. Activity Unit of Measure Transportation Residential - Single Family Detached Unit $ 956 Residential - Single Family Attached Unit $ 814 Residential - Multi Family and Other Unit $ 779 Beginning FY 21/22 Ending Account Description Fund Balance Fund Balance Developer Fees 352,108 Interest Income (12,654) Miscellaneous Transfers In - Total Revenue Sources 339,454 Expenditures & Other Uses - Transfers Out Capital Projects Total Uses - Total Available $ 234,387 $ 339,454 1 $ 573,841 Five Year Test Using First In First Out Method Fiscal Years Ending Beginning Fund Revenues Expenditures Committed Unspent Balance Collected Revenues Collected from 2018 114,964 21,993 - 101,639 35,318 Revenues Collected from 2019 136,956 26,477 4,542 103,049 55,842 Revenues Collected from 2020 158,891 35,272 1,410 101,639 91,114 Revenues Collected from 2021 192,753 143,272 101,639 125,000 109,387 Revenues Collected from 2022 234,387 339,454 - 125,000 448,841 Total Revenue For Last Five Years $ 566,468 1 $ 107,591 Result : Five Year Spent Test Met in accordance with Government Code 66001 Capital Improvement Facilities FY 21/22 Committed % Complete * % funded with fee 201901 Village Art Plaza Promenade & Cultural Campus 125,000 2% 4% Total $ - $ 125,000 * Percentage completed as of 6/30/2022 Projects are being evaluated for the unspent balance of $448,841 and will be included in the FY 23/24 budget. EVA 2022 AB1600 Report La Quinta Development Project Fee Report Street Maintenance DIF (Fund 255) Government Code 66000 Calculation FYE 6/30/2022 The Street Maintenance Fee fund is used for street maintenance required to serve future development in La Quinta. The fee is based upon the table below and varies from project to project. Activity Unit of Measure Transportation Residential - Single Family Detached Unit $ 313 Residential - Single Family Attached Unit $ 247 Residential - Multi Family and Other Unit $ 198 Office/Medical Unit $ 374 General Commercial 1000 sq ft $ 461 Tourist Commercial/Lodging 1000 sq ft $ 106 Golf Course Acre $ 53 Account Description Beginning Fund Balance FY 21/22 Ending Fund Balance Developer Fees Interest Income Miscellaneous Transfers In 34,015 (1,518) - Total Revenue Sources 32,497 Expenditures & Other Uses - Total Uses 0 Total Available 1 $ 43,288 1 $ 32,497 1 $ 75,785 Five Year Test Using First In First Out Method Fiscal Years Ending Beginning Fund Balance Revenues Collected Expenditures Committed Unspent Revenues Collected from 2018 (1,897,647) 27,349 21,296 - (1,891,594) Revenues Collected from 2019 ** (1,891,594) 30,194 (1,871,689) 1,410 8,879 Revenues Collected from 2020 10,289 30,251 1,410 - 39,130 Revenues Collected from 2021 39,130 4,158 - 43,288 Revenues Collected from 2022 43,288 32,497 0 75,785 Total Revenue For Last Five Years $ 124,449 $ (1,848,983) Result : Five Year Spent Test Met in accordance with Government Code 66001 Capital Improvement Facilities FY 21/22 Committed % Complete * % funded with fee Total $ - $ - * Percentage completed as of 6/30/2022 ** Loan repayment interest rate was based on the average quartery investment yield of the City's investment portfolio. During FY 2018/19, this loan was written -off. Projects are being evaluated for the unspent balance of $75,785 and will be included in the FY 23/24 budget. i• 2022 AB1600 Report La Quinta Development Project Fee Report Park Maintenance DIF (Fund 256) Government Code 66000 Calculation FYE 6/30/2022 The Park Maintenance Fee fund is used for park maintenance required to serve future development in La Quinta. The fee is based upon the table below and varies from project to project. Activity Unit of Measure Transportation Residential - Single Family Detached Unit $ 313 Residential - Single Family Attached Unit $ 247 Residential - Multi Family and Other Unit $ 198 Office/Medical Unit $ 374 General Commercial 1000 sq ft $ 461 Tourist Commercial/Lodging 1000 sq ft $ 106 Golf Course Acre $ 53 Beginning FY 21/22 Ending Account Description Fund Balance Fund Balance Developer Fees 40 Interest Income (137) Miscellaneous Transfers In Total Revenue Sources (97) Expenditures & Other Uses - Transfers Out - Total Uses 0 Total Available $ 5,995 1 $ (97)1 $ 5,898 Five Year Test Using First In First Out Method Fiscal Years Ending Beginning Fund Revenues Expenditures Committed Unspent Balance Collected Revenues Collected from 2018 2 6,570 6,567 - 5 Revenues Collected from 2019 ** 5 6,722 8,508 1,410 (3,192) Revenues Collected from 2020 (1,782) 8,915 1,410 - 5,723 Revenues Collected from 2021 5,723 272 - - 5,995 Revenues Collected from 2022 1 5,995 1 (97)l1 5,898 Total Revenue For Last Five Years 1 1 $ 22,381 1 $ 16,485 Result : Five Year Spent Test Met in accordance with Government Code 66001 Capital Improvement Facilities FY 21/22 Committed % Complete * % funded with fee Total $ - $ - * Percentage completed as of 6/30/2022 ** Loan repayment interest rate was based on the average quartery investment yield of the City's investment portfolio. During FY 2018/19, this loan was written -off. M 2022 AB1600 Report La Quinta Development Project Fee Report Fire Protection DIF (Fund 257) Government Code 66000 Calculation FYE 6/30/2022 The Fire Protection Facilities Fee fund is used for fire protection facilities required to serve future development in La Quinta. The fee is based upon the table below and varies from project to project. Activity Unit of Measure Transportation Residential - Single Family Detached Unit $ 369 Residential - Single Family Attached Unit $ 335 Residential - Multi Family and Other Unit $ 188 Office/Hospital Unit $ 151 General Commercial 1000 sq ft $ 151 Tourist Commercial 1000 sq ft $ 201 Golf Course Acre $ 72 Account Description Beginning Fund Balance FY 21/22 Ending Fund Balance Developer Fees Interest Income Miscellaneous Transfers In 220,411 (8,367) - - Total Revenue Sources 212,043 Expenditures & Other Uses - Total Uses 0 Total Available $ 197,260 1 $ 212,043 1 $ 409,304 Five Year Test Using First In First Out Method Fiscal Years Ending Beginning Fund Revenues Expenditures Committed Unspent Balance Collected Revenues Collected from 2018 (552,665) 66,456 4,634 - (490,843) Revenues Collected from 2019 * (490,843) 81,761 (444,154) 1,410 33,663 Revenues Collected from 2020 35,073 102,373 1,410 - 136,036 Revenues Collected from 2021 136,036 61,224 - 197,260 Revenues Collected from 2022 197,260 212,043 409,304 Total Revenue For Last Five Years $ 523,858 $ (438,110) Result : Five Year Spent Test Met in accordance with Government Code 66001 Capital Improvement Facilities FY 21/22 Committed %Complete * funded withfee Total $ - $ - * Percentage completed as of 6/30/2022 ** Loan repayment interest rate was based on the average quarterly investment yield of the City's investment portfolio. During FY 2018/19, this loan was written -off. Projects are being evaluated for the unspent balance of $409,304 and will be included in the FY 23/24 budget. 50 2022 AB1600 Report La Quinta Development Project Fee Report Maintenance Facilities DIF (Fund 259) Government Code 66000 Calculation FYE 6/30/2022 The Maintenance Facilities Fee fund is used for corporate yard maintenance facilities and equipment needed to serve future development in La Quinta. The fee is based upon the table below and varies from project to project. Activity Unit of Measure Transportation Residential - Single Family Detached Unit $ 313 Residential - Single Family Attached Unit $ 247 Residential - Multi Family and Other Unit $ 198 Office/Medical Unit $ 374 General Commercial 1000 sq ft $ 461 Tourist Commercial/Lodging 1000 sq ft $ 106 Golf Course Acre $ 53 Account Description Beginning Fund Balance FY 21/22 Ending Fund Balance Developer Fees Interest Income Miscellaneous Transfers In 136,752 (3,673) - Total Revenue Sources 133,080 Expenditures & Other Uses - Total Uses 0 Total Available 1 $ 47,015 1 $ 133,080 1 $ 180,095 Five Year Test Using First In First Out Method Fiscal Years Ending Beginning Fund Revenues Expenditures Committed Unspent Balance Collected Revenues Collected from 2021 47,015 - 47,015 Revenues Collected from 2022 $ 47,015 133,080 0 180,095 Total Revenue For Last Five Years 1 $ 180,095 $ - Result : Five Year Spent Test Met in accordance with Government Code 66001 Capital improvement Facilities FY 21/22 Committed % Complete * % funded with fee Total $ - $ - * Percentage completed as of 6/30/2022 Projects are being evaluated for the unspent balance of $180,095 and will be included in the FY 23/24 budget. 51 52 ATTACHMENT 2 2021/22 AB1600 Report La Quinta Development Project Fee Report Developer Agreement Activity (Fund 401) FYE 6/30/2022 The following development agreement payment was received for development agreements entered into after January 1, 2004 in accordance with Government Code Section 65865. Date Project/Purpose DZEATTI.. 3/8/2010 Traffic Signals at Madison Street on Avenue 58 and Avenue 60 Balance 257,563.00 Revenues - Expenses - Total 257,563.00 10/18/2010 Monroe Avenue landscape median, Trilogy/Shea TM30023 234,869.64 - - 234,869.64 1/25/2016 Traffic Signal at Madison Street at Avenue 52, Madison Club 215,000.00 215,000.00 10/11/2016 Madison at Avenue 52 raised median, TM33076-1 59,642.00 - - 59,642.00 6/14/2019 Turn lane extension at Highway 111 & Costco Drive 3,644.22 - - 3,644.22 6/30/2020 Traffic Signal at Madison Street at Avenue 54, CDA/Griffin Ranc 107,500.00 - - 107,500.00 6/30/2021 Turn lane- right turn only at Adams Street at Auto Centre 171,574.00 - - 171,574.00 11/30/2009 Account No. 401-0000-22811 Lions Gate project 1821 sidewalk and landscaping 16,798.30 - - $ 1,049,792.86 16,798.30 1/31/2011 Toll Brothers, Avenue 50 & Verano Drive, TM 30357, Mt. View Country Club Traffic Signal Improvements 215,000.00 215,000.00 6/30/2015 Avenue 53 at Jefferson Street Roundabout - - (580.85) (580.85) 6/30/2015 Traffic Signal Avenue 50 & Orchard, Project 1757 99,075.26 - - 99,075.26 2/24/2016 ACM LQ/Highway 111 & Simon Drive 2,788.50 - - 2,788.50 2/24/2016 ACM LQ/Washington & Miles 8,460.00 - - 8,460.00 6/30/2019 Dune Palms Road Widening Eminent Domain 14,360.86 5,521.46 19 882.32 Account No. 401-0000-22210 $ 361,423.53 OVERALL TOTAL 53 54 2022 BOARD OF DIRECTORS PRESIDENT Todd Hooks Agua Caliente Band of Cahuilla Indians Immediate Past President Deborah McGarrey Southern California Gas Company 1 `° VICE PRESIDENT Tom Dubose Dubose Design Group, Inc. SECRETARYITREASURER Pedro Rincon Osborne Rincon CPAs VICE PRESIDENT OFASSOCIATES Allan Levin Allan Levin & Associates CHIEF EXECUTIVE OFFICER Gretchen Gutierrez DIRECTORS Fred Bell/2022 PAC Chairman Nobell Energy Solutions Brian Benedetti Brian Benedetti Construction Mark Benedetti Dede Callanan North American Title Mario Gonzales GI IA Companies Joe Hayes First Bank Jeremy Roos FreeVolt Dave Lippert Lippert Construction, Inc Paul Mahoney PMA Advertising Bruce Maize Robert Green Company Russ Martin Mission Springs Water District Dan Olivier Nethery Mueller Olivier Alan Pace/Programs Chairman Petra GeoSciences Kevin Pillow AC .Houston Lumber John Powell, Jr. Coachella Valley Water District Mike Rowe MSA Consulting Phil Smith Sunrise Company Alissa Vatter Fidelity National Title Jeff Wattenbarger Wattenbarger Construction ®% i f V A desert valleys builders association December 14, 2022 City of La Quinta Claudia Martinez, Finance Director 78-495 Calle Tampico La Quinta, CA 92253 Dear Ms. Martinez, ATTACHMENT 3 Thank you for providing the Desert Valleys Builders Association with the opportunity to review and comment on the City of La Quinta's 2021122 Annual AB1600 Report. The DVBA is satisfied that the City has met its annual reporting obligations pursuant to City Municipal Code and the Mitigation Fee Act. ;facer 34360 Gateway Drive • Palm Desert • CA 92211 (760) 776-7001 office • (760) 776-7002 fax www.TheDVBA.org 55 56 City of La Quinta CONSENT CALENDAR ITEM NO.5 CITY COUNCIL MEETING December 20, 2022 STAFF REPORT AGENDA TITLE RECEIVE AND FILE FISCAL YEAR 2021/22 ART IN PUBLIC PLACES ANNUAL REPORT RECOMMENDATION Receive and file the Fiscal Year 2021/22 Art in Public Places Annual Report. EXECUTIVE SUMMAR` • Per the Municipal Code, the City must expend or commit fees from the Art in Public Places (APP) program within two years of receipt and monies collected must be accounted for in a separate fund. • An annual review of administrative expenses is required. There were no administrative expenses for 2021/22. • Attachment 1 presents the required analysis; the City has complied with the time limit for expenditure of fees and there are no findings to report. FISCAL IMPACT - None BACKGROUND/ANALYSIS The City's APP fund is governed by the Municipal Code. Annually, the City must demonstrate that it has complied with the following: • A determination whether or not the fees have been committed for use within two years of collection. Fees may be used for: ✓ Cost of public art and installation; ✓ Cost to purchase or lease art sites; ✓ Waterworks, landscaping, lighting and other objects, which are an integral part of the artwork; ✓ Frames, mats, pedestals and other objects necessary for the proper presentation and installation of the artwork; ✓ Walls, pools, landscaping or other architectural or landscape architectural elements necessary for the proper aesthetic and structural placement of the artwork; ✓ Maintaining and repairing artwork; ✓ Administrative expenses to otherwise implement the APP program; ✓ Endowments; and ✓ Art replacement. 57 • Review administrative expenses to ensure they were reasonably assessed to implement this program and that they do not exceed five percent of the total funds in the account on July 1 of any year or $25,000 in any fiscal year. If fees collected are not committed for the aforementioned uses, they are returned to the contributor. Staff analyzed APP fund revenues and expenditures, and no reimbursements are due to contributors. There were no administrative costs. During 2021/22, APP funds were used to purchase art pieces, paint art wall murals, and maintain and preserve art pieces as detailed in Attachment 1. During 2021/22, the City installed an art mural called "Bird Song" created by Artist Nathan Frizzell. The mural is pictured to the right and is located at the Cultural Campus on Avenida Montezuma. Each year this report is also provided to the Desert Valley Builders Association (DVBA), the Building Industry Association (BIA), and the Gas Company. The City received a letter of satisfaction from the DVBA (Attachment 2). To date, no other correspondence has been received regarding this report. ALTERNATIVEF As this report is a requirement of the Municipal Code, staff does not recommend an alternative. Prepared by: Claudia Martinez, Finance Director Approved by: Jon McMillen, City Manager Attachments: 1. Art in Public Places FY 2021/22 Annual Financial Report 2. Desert Valley Builders Association Review ATTACHMENT 1 City of La Quinta Art in Public Places (Fund 270) FY 2021/22 The Art in Public Places fund is used to account for fees paid in lieu of acquisition, installation, replacement, maintenance and repair of approved art works at approved sites. The fees are refundable if not expended or committed within two years. Beginning Ending Fund Balance Fund Balance Account Description at 7/1/2021 FY 21/22 at 6/30/2022 Revenues & Other Sources: Developer fees 158,972 Interest income (19,141) Transfers In from the General Fund 50,000 Total Sources $ 189,831 Expenditures & Other Uses Art Purchases 53,253 Maintenance of Public Art 54,817 Project Administration Transfers Out for Construction Art Project 12,678 Total Uses 120,748 Total Available $ 764,614 $ 69,083 $ 833,697 Two Year Test Using First In First Out Method Beginning Revenues Summaryof Funds Fund Balance Collected Expenditures Committed Unspent June 30,2018 550,334 43,391 84,699 522,000 (12,974) June 30,2019 509,026 119,733 92,512 760,000 (223,753) June 30,2020 536,248 197,457 41,679 697,200 (5,174) June 30,2021 692,026 135,933 63,345 729,200 35,414 June 30,2022 1 764,614 1 189,831 1 120,748 1 766,522 1 67,175 Total Revenue For Last Five Years 1 1 $ 686,345 1 $ 402,983 Result : Two Year Spent or Committed Test Met. Future commitments for unspent funds are detailed below. Art in Public Places Expenses and Future Commitments Capital Projects and Expenses FY 21/22 Committed % Complete* % funded with fee Sculpture Restorations and Maintenance 54,817 1000/0 1000/0 Acknowledgement Plaques and Signs 160 100% 100% Bird Song art mural, By: Nathan Frizzell 16,592 100% 100% Wheels of Fortune LQAC artwork, By: Justin Coopersmith 2,000 - 100% 100% LQ Dip-N-Dots LQAC artwork, By: Johnny Ha 5,000 - 100% 100% Maori metal sculpture art purchase, By: Josh Hirt 5,500 - 100% 100% Gold Star Family Monument art purchase deposit, By: CJ Rench 24,000 - 100% 100% 111205 Dune Palms Bridge Improvements - 193,965 13% 1% 151603 La Quinta Village Complete Streets - 88,235 95% 1% 201608 SilverRock Event Space 12,678 302,322 96% 4% 201709 Jefferson/Avenue 53 Roundabout - 5,000 10% 0.19% FY 2022/23 Budget for Art Purchases and Maintenance - 1 177,000 17% 100% Total 120,748 1 766,522 * Percentage completed as of June 30, 2022 59 m ATTACHMENT 2 2022 BOARD OF DIRECTORS PRESIDENT Todd I -looks Agua Caliente Band of Cahuilla Indians Immediate Past President Deborah McGarrey Southern California Gas Company Is' VICE PRESIDENT Tom Dubose Dubose Design Group, Inc. SECRETARYITREASURER Pedro Rincon Osborne Rincon CPAs VICE PRESIDENT OFASSOCIATES Allan Levin Allan Levin & Associates CHIEF EXECUTIVE OFFICER Gretchen Gutierrez DIRECTORS Fred Bell/2022 PAC Chairman Nobell Energy Solutions Brian Benedetti Brian Benedetti Construction Mark Benedetti Dede Callanan North American Title Mario Gonzales GI-lA Companies Joe Hayes First Bank Jeremy Roos FreeVolt Dave Lippert Lippert Construction, Inc Paul Mahoney PMA Advertising Bruce Maize Robert Green Company Russ Martin Mission Springs Water District Dan Olivier Nethety Mueller Olivier Alan Pace/Programs Chairman Petra GeoSciences Kevin Pillow AC Houston Lumber John Powell, Jr. Coachella Valley Water District Mike Rowe MSA Consulting Phil Smith Sunrise Company Alissa Vatter Fidelity National Title Jeff Wattenbarger Wattenbarger Construction V A desert valleys builders association December 14, 2022 City of La Quinta Claudia Martinez, Finance Director 78-495 Calle Tampico La Quinta, CA 92253 Dear Ms. Martinez, Thank you for providing the Desert Valleys Builders Association with the opportunity to review and comment on the City of La Quinta's 2021122 Annual Art in Public Places Fees. The DVBA is satisfied that the City has met its annual reporting obligations pursuant to City Municipal Code and the Mitigation Fee Act. N .icer 34360 Gateway Drive • Palm Desert • CA 92211 (760) 776-7001 office ® (760) 776-7002 fax www.TheDVBA.org 61 62 CONSENT CALENDAR ITEM NO. 6 City of La Quinta CITY COUNCIL MEETING December 20, 2022 STAFF REPORT AGENDA TITLE: RECEIVE AND FILE REVENUE AND EXPENDITURE REPORT DATED JUNE 30, 2022 RECOMMENDATION Receive and file revenue and expenditure report dated June 30, 2022. EXECUTIVE SUMMARY • The report summarizes the City's year-to-date (YTD) revenues and period expenditures for June 2022 (Attachment 1). These reports are also reviewed by the Financial Advisory Commission. FISCAL IMPACT - None BACKGROUND/ANALYSIS Below is a summary of the column headers used on the Revenue and Expenditure Summary Reports: Original Total Budget - represents revenue and expenditure budgets the Council adopted in June 2021 for fiscal year 2021/22. Current Total Budget - represents original adopted budgets plus any Council approved budget amendments from throughout the year, including carryovers from the prior FY. Period Activity - represents actual revenues received and expenditures outlaid in the reporting month. Fiscal Activity - represents actual revenues received and expenditures outlaid YTD. Variance Favorable/(Unfavorable) - represents the dollar difference between YTD collections/expenditures and the current budgeted amount. Percent Used - represents the percentage activity as compared to budget YTD. 63 June Revenues Comparison to Last Year Percent of Percent MTD YTD Budget YTD of Budget General Fund (GF) $ 18,200,790 $ 76,623,512 105.87% $ 70,305,823 121.88% All Funds $ 22,790,284 $ 132,456,657 76.90% $ 129,715,202 74.27% June Expenditures Comparison to Last Year Percent of Percent MTD YTD Budget YTD of Budget General Fund $ 16,607,410 $ 51,834,255 58.28% $ 46,746,637 69.69% Payroll (GF) $ 1,039,156 $ 12,371,006 90.04% $ 10,258,875 89.01% All Funds $ 8,988,243 $ 87,780,792 44.74% $ 109,802,386 58.03% ToD Five Revenue/Income Sources for June General Fund Non -General Fund Fire Service Credit $ 6,861,086 County Government Revenue -Library/Museum $ 2,214,428 Measure G Sales Tax $ 4,066,553 Capital Improvement Program (CIP) Transfers In $ 1,073,617 Sales Tax $ 3,124,033 County Sales Tax (Measure A) $ 725,862 Transient Occupancy (Hotel) Tax $ 3,116,548 Developer Impact Fees- Transportation $ 509,544 Property Tax in Lieu of Vehicle Fees 2,307,838 Technology Support Internal Service Fund I1 438,675 Ton Five Expenditures/Outlays for June General Fund Non -General Fund Fire Service and Ladder Truck Q1-Q4 $ 6,920,752 Capital Improvement Program (CIP) - Construction(3) $ 1,461,037 Sheriff Contract (April to June) $ 5,800,819 Annual Library Operations $ 1,052,228 Transfers Out $ 447,621 2021 Series Bond Interest $ 959,257 Liability Insurance & Claims (2) $ 132,250 Parks Depreciation Expense $ 496,933 Visit Greater Palm Springs $ 115,000 Transfers Out- Quimby Fund to CIP (X-park) $ 334,791 (')Internal Service Funds are used to account for activities involved in rendering services to departments within the City; quarterly journal entries move revenue into these funds. (z)These charges in the General Fund represent quarterly contributions to the Insurance Internal Service Fund. (3) CIP Construction: SilverRock canal crossing; X-Park; misc. ADA improvements; landscape conversion. The revenue report includes revenues and transfers into funds from other funds (income items). Revenues are not received uniformly throughout the year, resulting in peaks and valleys. For example, large property tax payments are usually received in December and May. Similarly, Redevelopment Property Tax Trust Fund payments are typically received in January and June. Any timing imbalance of revenue receipts versus expenditures is funded from the City's cash flow reserve. The expenditure report includes expenditures and transfers out to other funds. Unlike revenues, expenditures are more likely to be consistent from month to month. However, large debt service payments or CIP expenditures can cause swings. Prepared by: Rosemary Hallick, Financial Services Analyst Approved by: Claudia Martinez, Finance Director Attachment: 1. Revenue and Expenditure Report for June 30, 2022 ta Qw•fra FINANCE Fund 101 - GENERAL FUND 105 - DISASTER RECOVERY FUND 201 - GAS TAX FUND 202 - LIBRARY & MUSEUM FUND 203 - PUBLIC SAFETY FUND (MEASU 210 - FEDERAL ASSISTANCE FUND 212 - SLESA (COPS) FUND 215 - LIGHTING & LANDSCAPING FU 221 - AB 939 - CALRECYCLE FUND 223 - MEASURE A FUND 224-TUMF FUND 225 - INFRASTRUCTURE FUND 226-EMERGENCY MANAGEMENT 227 - STATE HOMELAND SECURITY I 230 - CASp FUND, AB 1379 231 - SUCCESSOR AGCY PA 1 RORF 235 - 50 COAST AIR QUALITY FUND 237 - SUCCESSOR AGCY PA 1 ADMII` 241 - HOUSING AUTHORITY 243 - RDA LOW -MOD HOUSING FUI` 247 - ECONOMIC DEVELOPMENT FL 249 - SA 2011 LOW/MOD BOND FUI 250-TRANSPORTATION DIF FUND 251 - PARKS & REC DIF FUND 252 - CIVIC CENTER DIF FUND 253 - LIBRARY DEVELOPMENT DIF 254 - COMMUNITY & CULTURAL CEI 255 - STREET FACILITY DIF FUND 256 - PARK FACILITY DIF FUND 257 - FIRE PROTECTION DIF 259 - MAINTENANCE FACILITIES DIF 270 - ART IN PUBLIC PLACES FUND 275 - LQ PUBLIC SAFETY OFFICER 299 - INTEREST ALLOCATION FUND 310 - LQ FINANCE AUTHORITY DEBT 401 - CAPITAL IMPROVEMENT PRO( 405 - SA PA 1 CAPITAL IMPRV FUND 501 - FACILITY & FLEET REPLACEMEI 502 - INFORMATION TECHNOLOGY 503 - PARK EQUIP & FACILITY FUND 504 - INSURANCE FUND 601 - SILVERROCK RESORT 602 - SILVERROCK GOLF RESERVE 760 - SUPPLEMENTAL PENSION PLA 761-CERBT OPEB TRUST 762 - PARS PENSION TRUST Report Total: Attachment 1 For Fiscal: 2021/22 Period Ending: 06/30/2022 Revenue Summary Variance Original Current Period Fiscal Favorable Percent Total Budget Total Budget Activity Activity (Unfavorable) Used 58,804,210 72,377,532 18,200,790 76,623,512 4,245,980 105.87% 0 4,993,504 -97,108 4,896,396 -97,108 98.06% 1,965,880 1,965,880 307,187 1,939,733 -26,147 98.67% 2,850,700 2,851,900 1,959,569 2,900,945 49,045 101.72% 5,000 5,000 -9,244 -7,550 -12,550 151.00% 151,000 151,000 -2,851 -1,427 -152,427 0.94% 101,000 101,000 22,955 152,765 51,765 151.25% 2,274,700 2,274,700 3,925 2,237,049 -37,651 98.34% 70,000 125,120 55,248 115,665 -9,455 92.44% 1,567,000 1,567,000 650,618 1,982,372 415,372 126.51% 0 0 -859 -859 -859 0.00% 100 100 -563 -450 -550 450.30% 12,000 12,000 0 28,874 16,874 240.62% 5,000 5,000 0 6,018 1,018 120.36% 19,200 19,200 -467 17,221 -1,979 89.69% 0 0 -628,203 19,484,467 19,484,467 0.00% 52,800 52,800 25,496 51,758 -1,042 98.03% 0 0 5,100 7,661 7,661 0.00% 871,400 1,666,400 -277,162 1,403,947 -262,453 84.25% 35,000 35,000 27,229 43,583 8,583 124.52% 30,000 30,000 -51,932 174,035 144,035 580.12% 201,000 26,000 -16,268 8,177 -17,823 31.45% 428,000 2,728,000 396,539 2,636,980 -91,020 96.66% 351,000 851,000 327,349 1,020,577 169,577 119.93% 152,000 602,000 139,361 627,911 25,911 104.30% 50,000 175,000 66,224 196,648 21,648 112.37% 72,000 372,000 25,181 339,454 -32,546 91.25% 0 0 -1,400 32,497 32,497 0.00% 0 0 -175 -97 -97 0.00% 66,000 191,000 53,037 212,043 21,043 111.02% 26,000 136,000 25,173 133,080 -2,920 97.85% 130,000 130,000 -13,153 189,831 59,831 146.02% 2,600 2,600 -1,477 814 -1,786 31.31% 0 0 -237,594 -23 -23 0.00% 1,100 1,100 1,100 1,100 0 100.00% 9,894,806 68,538,921 1,158,258 6,797,335 -61,741,586 9.92% 0 0 -11,139 -8,585 -8,585 0.00% 1,222,750 1,222,750 377,688 1,308,557 85,807 107.02% 1,786,700 1,786,700 378,931 1,730,680 -56,020 96.86% 400,000 400,000 -22,694 334,105 -65,895 83.53% 1,010,800 1,010,800 240,509 998,495 -12,305 98.78% 4,157,693 4,987,693 312,742 5,245,052 257,359 105.16% 67,000 67,000 -29,934 35,161 -31,839 52.48% 6,000 6,000 -2,596 2,882 -3,118 48.03% 80,000 80,000 -232,791 -257,076 -337,076 321.35% 700,000 700,000 -332,316 -1,184,653 -1,884,653 169.24% 89,620,439 172,247,700 22,790,284 132,456,657 -39,791,043 76.90% M. Page 1 of 3 Fund 101 - GENERAL FUND 201 - GAS TAX FUND 202 - LIBRARY & MUSEUM FUND 203 - PUBLIC SAFETY FUND (MEASU 210 - FEDERAL ASSISTANCE FUND 212 - SLESA (COPS) FUND 215 - LIGHTING & LANDSCAPING FU 220-QUIMBYFUND 221 - AB 939 - CALRECYCLE FUND 223 - MEASURE A FUND 225 - INFRASTRUCTURE FUND 226-EMERGENCY MANAGEMENT 227 -STATE HOMELAND SECURITY I 230 - CASp FUND, AB 1379 231 - SUCCESSOR AGCY PA 1 RORF 235 - 50 COAST AIR QUALITY FUND 237 - SUCCESSOR AGCY PA 1 ADMII` 241 - HOUSING AUTHORITY 243 - RDA LOW -MOD HOUSING FUI` 244 - HOUSING GRANTS (Multiple) 247 - ECONOMIC DEVELOPMENT FL 249 - SA 2011 LOW/MOD BOND FUI 250-TRANSPORTATION DIF FUND 253 - LIBRARY DEVELOPMENT DIF 254 - COMMUNITY & CULTURAL CEI 270 - ART IN PUBLIC PLACES FUND 310 - LQ FINANCE AUTHORITY DEBT 401 - CAPITAL IMPROVEMENT PRO( 405 - SA PA 1 CAPITAL IMPRV FUND 501 - FACILITY & FLEET REPLACEMEI 502 - INFORMATION TECHNOLOGY 503 - PARK EQUIP & FACILITY FUND 504 - INSURANCE FUND 601 - SILVERROCK RESORT 602 - SILVERROCK GOLF RESERVE 760 - SUPPLEMENTAL PENSION PLA 761 - CERBT OPEB TRUST 762 - PARS PENSION TRUST Report Total: For Fiscal: 2021/22 Period Ending: 06/30/2022 Expenditure Summary Variance Original Current Period Fiscal Favorable Percent Total Budget Total Budget Activity Activity (Unfavorable) Used 55,162,726 88,940,648 16,607,410 51,834,255 2,007,500 2,984,683 237,416 1,485,438 4,306,510 4,732,500 1,338,830 1,918,230 0 286,397 5,588 195,415 148,350 207,377 0 1,530 100,000 100,000 10,511 40,837 2,257,400 2,257,400 289,770 2,108,145 0 1,180,635 334,791 713,669 150,000 205,120 53,600 109,742 1,220,500 2,614,501 89,398 441,372 0 22,618 0 0 12,000 12,000 0 9,750 5,000 5,000 4,896 4,896 5,600 5,600 1,871 1,871 0 0 -13,342,454 1,943,288 42,500 42,500 21,548 47,298 0 0 3,000 8,800 1,542,200 1,761,200 163,451 1,220,781 250,000 250,000 50,000 50,700 0 160,000 0 90,107 21,500 71,500 80 66,843 20,000 8,650,545 25,035 8,656,075 604,500 1,816,757 0 400,000 30,000 30,000 11,112 11,112 125,000 125,000 0 0 127,000 782,700 24,775 120,748 1,100 1,100 1,100 1,100 9,894,806 67,876,095 1,759,846 6,410,644 0 1,128,751 61,735 1,128,751 1,222,750 1,736,214 -190,473 834,432 1,786,700 2,256,627 288,975 1,456,586 255,000 347,635 388,625 637,380 936,800 936,800 2,071 921,615 4,161,262 4,570,262 740,653 4,805,446 0 30,000 0 30,000 12,850 12,850 0 12,833 1,500 1,500 400 1,722 52,000 52,000 4,682 59,382 86,463,054 196,194,516 8,988,243 87,780,792 37,106,393 58.28% 1,499,246 49.77% 2,814,270 40.53% 90,983 68.23% 205,847 0.74% 59,163 40.84% 149,255 93.39% 466,967 60.45% 95,378 53.50% 2,173,129 16.88 % 22,618 0.00% 2,250 81.25% 104 97.92% 3,730 33.40% -1,943,288 0.00% -4,798 111.29% -8,800 0.00% 540,419 69.32% 199,300 20.28% 69,893 56.32% 4,657 93.49% -5,530 100.06% 1,416,757 22.02% 18,888 37.04% 125,000 0.00% 661,952 15.43% 0 100.00% 61,465,451 9.44% 0 100.00% 901,781 48.06% 800,041 64.55% -289,745 183.35% 15,185 98.38% -235,184 105.15% 0 100.00% 17 99.87% -222 114.81% -7,382 114.20% 108,413,724 44.74% Page 2 of 3 66 Fund Descriptions Fund # Name Notes The primary fund o the City used to account or all revenue and expenditures of the City; a broad 101 General Fund range of municipal activities are provided through this fund. 201 Gas Tax Fund Gasoline sales tax allocations received from the State which are restricted to street -related expenditures. 202 Library and Museum Fund Revenues from property taxes and related expenditures for library and museum services. 203 Public Safety Fund General Fund Measure G sales tax revenue set aside for public safety expenditures. 210 Federal Assistance Fund Community Development Block Grant (CDBG) received from the federal government and the expenditures of those resources. 212 SLESF (COPS) Fund Supplemental Law Enforcement Services Funds (SLESF) received from the State for law enforcement activities. Also known as Citizen's Option for Public Safetv (COPS). 215 Lighting & Landscaping Fund Special assessments levied on real property for city-wide lighting and landscape maintenance/improvements and the expenditures of those resources. 220 Quimby Fund Developer fees received under the provisions of the Quimby Act for park development and improvements. 221 AB939 Fund/Cal Recycle Franchise fees collected from the city waste hauler that are used to reduce waste sent to landfills through recvclina efforts. Assembly Bill (AB) 939. 223 Measure A Fund County sales tax allocations which are restricted to street -related expenditures. 224 TUMF Fund Developer -paid Transportation Uniform Mitigation Fees (TUMF) utilized for traffic projects in Riverside Countv. 225 Infrastructure Fund Developer fees for the acquisition, construction or improvement of the City's infrastructure as defined by Resolution 226 Emergency Mgmt. Performance Grant (EMPG) Federal Emergency Management Agency (FEMA) grant for emergency preparedness. 227 State Homeland Security Programs (SHSP) Federal Emergency Management Agency (FEMA) grant for emergency preparedness. 230 CASP Fund, AB1379 / SB1186 Certified Access Specialist (CASp) program fees for ADA Accessibility Improvements; derived from Business License renewals. Assemblv Bill (AB) 1379 and Senate Bill (SB) 1186. Successor Agency (SA) Project Area (PA) 1 Redevelopment Obligation Retirement Fund (RORF) for 231 Successor Agency PA 1 RORF Fund Redevelopment Property Tax Trust Fund (RPTTF) taxes received for debt service payments on recognized obligations of the former Redevelopment Aaencv (RDA). 235 SO Coast Air Quality Fund (AB2766, PM10) Contributions from the South Coast Air Quality Management District. Uses are limited to the reduction and control of airborne pollutants. Assemblv Bill (AB) 2766. 237 Successor Agency PA 1 Admin Fund Successor Agency (SA) Project Area (PA) 1 for administration of the Recognized Obligation Payment Schedule (ROPS) associated with the former Redevelopment Aqencv (RDA). 241 Housing Authority Activities of the Housing Authority which is to promote and provide quality affordable housing. 243 RDA Low -Moderate Housing Fund Activities of the Housing Authority which is to promote and provide quality affordable housing. Accounts for RDA loan repayments (20 /o for Housinq) and housing programs,. 244 Housing Grants Activites related Local Early Action Planning (LEAP) and SB2 grants for housing planning and development. 247 Economic Development Fund Proceeds from sale of City -owned land; transferred from General Fund for future economic development. 249 SA 2011 Low/Mod Bond Fund Successor Agency (SA) low/moderate housing fund; 2011 bonds refinanced in 2016. 250 Transportation DIF Fund Developer impact fees collected for specific public improvements - transportation related. 251 Parks & Rec. DIF Fund Developer impact fees collected for specific public improvements - parks and recreation. 252 Civic Center DIF Fund Developer impact fees collected for specific public improvements - Civic Center. 253 Library Development DIF Fund Developer impact fees collected for specific public improvements - library. 254 Community Center DIF Fund Developer impact fees collected for specific public improvements - community center. 255 Street Facility DIF Fund Developer impact fees collected for specific public improvements - streets. 256 Park Facility DIF Fund Developer impact fees collected for specific public improvements - parks. 257 Fire Protection DIF Fund Developer impact fees collected for specific public improvements - fire protection. 270 Art In Public Places Fund Developer fees collected in lieu of art placement; utilized for acquisition, installation and maintenance of public artworks. 275 LQ Public Safety Officer Fund Annual transfer in from General Fund; distributed to public safety officers disabled or killed in the line of dutv. 299 Interest Allocation Fund Interest earned on investments. 310 LQ Finance Authority Debt Service Fund Accounted for the debt service the Financing Authority's outstanding debt and any related reporting requirements. This bond was fullv paid in October 2018. 401 Capital Improvement Program Fund Planning, design, and construction of various capital projects throughout the City. 405 SA PA 1 Capital Improvement Fund Successor Agency (SA) Project Area (PA) 1 bond proceeds restricted by the bond indenture covenants. Used for SilverRock infrastructure improvements. 501 Equipment Replacement Fund Internal Service Fund for vehicles, heavy equipment, and related facilities. 502 Information Technology Fund Internal Service Fund for computer hardware and software and phone systems. 503 Park Equipment & Facility Fund Internal Service Fund for park equipment and facilities. 504 Insurance Fund Internal Service Fund for city-wide insurance coverages. 601 SilverRock Resort Fund Enterprise Fund for activities of the city -owned golf course. 602 SilverRock Golf Reserve Fund Enterprise Fund for golf course reserves for capital improvements. 760 Supplemental Pension Plan (PARS Account) Supplemental pension savings plan for excess retiree benefits to general employees of the City. 761 Other Post Benefit Obligation Trust (OPEB) For retiree medical benefits and unfunded liabilities. 762 Pension Trust Benefit (PARS Account) I For all pension -related benefits and unfunded liabilities. 67 Page 3 of 3 CONSENT CALENDAR ITEM NO. 7 City of La Quinta CITY COUNCIL MEETING STAFF REPORT December 20, 2022 AGENDA TITLE: RECEIVE AND FILE REVENUE AND EXPENDITURE REPORT DATED SEPTEMBER 30, 2022 RECOMMENDATION Receive and file revenue and expenditure report dated September 30, 2022. EXECUTIVE SUMMARY • The report summarizes the City's year-to-date (YTD) revenues and period expenditures for September 2022 (Attachment 1). These reports are also reviewed by the Financial Advisory Commission. FISCAL IMPACT - None BACKGROUND/ANALYSIS Below is a summary of the column headers used on the Revenue and Expenditure Summary Reports: Original Total Budget - represents revenue and expenditure budgets the Council adopted in June 2022 for fiscal year 2022/23. Current Total Budget - represents original adopted budgets plus any Council approved budget amendments from throughout the year. The 2021/22 operating and Capital Improvement Project carryovers to 2022/23 will be processed after the year-end audit is completed. Period Activity - represents actual revenues received and expenditures outlaid in the reporting month. Fiscal Activity - represents actual revenues received and expenditures outlaid YTD. Variance Favorable/(Unfavorable) - represents the dollar difference between YTD collections/expenditures and the current budgeted amount. Percent Used - represents the percentage activity as compared to budget YTD. • •i 2022 Revenues Percent of MTD YTD Budget _ General Fund (GF) $ 3,463,984 $ 5,367,402 7.86% $ All Funds $ 5,276,829 $ 13,780,162 12.39% $ September 2022 Expenditures Comparison to Last Year Percent of YTD Budget 5,317,808 9.04% 9,500,410 10.60% Comparison to Last Year Percent of Percent of MTD YTD Budget YTD Budget General Fund $ 4,092,168 $ 7,198,064 11.13% $ 5,844,903 10.60% Payroll (GF) $ 1,075,287 $ 3,398,769 24.63% $ 2,761,194 24.37% All Funds $ 22,010,693 $ 28,883,586 28.07% $ 10,282,229 11.89% Ton Five Revenue/Income Sources for September General Fund Non -General Fund Measure G Sales Tax $ 1,100,441 Technology Support Internal Service Fund(') $ 556,677 Sales Tax $ 899,897 Facility & Fleet Internal Service Fund(') $ 416,000 Transient Occupancy (Hotel) Tax $ 578,166 Allocated Interest $ 306,889 CSA 152 Assessments $ 275,816 Insurance Internal Service Fund �1� $ 255,000 Document Transfer Tax $ 86,957 Gas Tax $ 161,182 General Fund Non -General Fund Sheriff Contract (July) $ 1,204,205 Debt Service Payments- Successor Agency Bonds(3) $ 14,973,153 Visit Greater Palm Springs $ 176,040 Capital Improvement Program (CIP) - Construction(` $ 1,040,429 Liability Insurance & Claims(2) $ 132,250 Developer Reimbursements $ 400,000 Parks Landscape Maintenance $ 121,608 SilverRock Maintenance $ 227,919 Park Equipment Maintenance(2) $ 112,500 Facility & Fleet Internal Service Fund(2) $ 140,475 (')Internal Service Funds are used to account for activities involved in rendering services to departments within the City; quarterly journal entries move revenue into these funds. (z)These charges in the represent quarterly contributions to the Internal Service Funds. (4)Interest and principal payments for redevelopment bonds, funded by dedicated Redevelopment Property Tax Trust Fund (RPTTF) revenue. (3)CIP Construction: X-Park and Topaz landscaping; Jefferson/Ave. 53 roundabout The revenue report includes revenues and transfers into funds from other funds (income items). Revenues are not received uniformly throughout the year, resulting in peaks and valleys. For example, large property tax payments are usually received in December and May. Similarly, Redevelopment Property Tax Trust Fund payments are typically received in January and June. Any timing imbalance of revenue receipts versus expenditures is funded from the City's cash flow reserve. The expenditure report includes expenditures and transfers out to other funds. Unlike revenues, expenditures are more likely to be consistent from month to month. However, large debt service payments or CIP expenditures can cause swings. Prepared by: Rosemary Hallick, Financial Services Analyst Approved by: Claudia Martinez, Finance Director Attachment: 1. Revenue and Expenditure Report for September 30, 2022 70 ta GiKra FINANCE Fund 101 - GENERAL FUND 105 - DISASTER RECOVERY FUND 201 - GAS TAX FUND 202 - LIBRARY & MUSEUM FUND 203 - PUBLIC SAFETY FUND (MEASU 210 - FEDERAL ASSISTANCE FUND 212 - SLESA (COPS) FUND 215 - LIGHTING & LANDSCAPING FU 220-QUIMBYFUND 221 - AB 939 - CALRECYCLE FUND 223 - MEASURE A FUND 225 - INFRASTRUCTURE FUND 226-EMERGENCY MANAGEMENT 227 - STATE HOMELAND SECURITY I 230 - CASp FUND, AB 1379 231 - SUCCESSOR AGCY PA 1 RORF 235 - 50 COAST AIR QUALITY FUND 237 - SUCCESSOR AGCY PA 1 ADMII` 241 - HOUSING AUTHORITY 243 - RDA LOW -MOD HOUSING FUI` 247 - ECONOMIC DEVELOPMENT FL 249 - SA 2011 LOW/MOD BOND FUI 250-TRANSPORTATION DIF FUND 251 - PARKS & REC DIF FUND 252 - CIVIC CENTER DIF FUND 253 - LIBRARY DEVELOPMENT DIF 254 - COMMUNITY & CULTURAL CEI 255 - STREET FACILITY DIF FUND 256 - PARK FACILITY DIF FUND 257 - FIRE PROTECTION DIF 259 - MAINTENANCE FACILITIES DIF 270 - ART IN PUBLIC PLACES FUND 275 - LQ PUBLIC SAFETY OFFICER 299 - INTEREST ALLOCATION FUND 310 - LQ FINANCE AUTHORITY DEBT 401 - CAPITAL IMPROVEMENT PRO( 405 - SA PA 1 CAPITAL IMPRV FUND 501 - FACILITY & FLEET REPLACEMEI 502 - INFORMATION TECHNOLOGY 503 - PARK EQUIP & FACILITY FUND 504 - INSURANCE FUND 601 - SILVERROCK RESORT 602 - SILVERROCK GOLF RESERVE 760 - SUPPLEMENTAL PENSION PLA 761-CERBT OPEB TRUST 762 - PARS PENSION TRUST Report Total: Attachment 1 For Fiscal: 2022/23 Period Ending: 09/30/2022 Revenue Summary Variance Original Current Period Fiscal Favorable Percent Total Budget Total Budget Activity Activity (Unfavorable) Used 68,321,100 68,321,100 3,463,984 5,367,402 -62,953,698 7.86% 5,003,505 5,003,505 0 4,990,403 -13,102 99.74% 2,691,011 2,691,011 161,182 249,306 -2,441,705 9.26% 2,867,000 2,867,000 199 -5,026 -2,872,026 0.18% 2,000 2,000 0 -157 -2,157 7.83% 156,000 156,000 0 -1 -156,001 0.00% 101,000 101,000 0 -240 -101,240 0.24% 2,483,300 2,483,300 0 -433 -2,483,733 0.02% 25,000 25,000 0 0 -25,000 0.00% 64,000 64,000 3,564 6,230 -57,770 9.73% 1,875,000 1,875,000 155,271 152,595 -1,722,405 8.14% 0 0 0 -12 -12 0.00% 12,100 12,100 0 0 -12,100 0.00% 5,000 5,000 4,896 4,896 -104 97.92% 20,200 20,200 1,678 4,447 -15,753 22.02% 0 0 4,581 4,581 4,581 0.00% 54,400 54,400 0 -28 -54,428 0.05% 0 0 0 -116 -116 0.00% 1,451,500 1,451,500 202,004 409,895 -1,041,605 28.24% 20,000 20,000 0 -2,155 -22,155 10.77% 15,000 15,000 5,792 3,798 -11,202 25.32% 25,000 25,000 6,867 6,323 -18,677 25.29% 1,020,000 1,020,000 56,126 322,633 -697,367 31.63% 501,000 501,000 29,484 163,837 -337,163 32.70% 301,000 301,000 17,220 96,296 -204,704 31.99% 75,000 75,000 5,558 30,966 -44,034 41.29% 152,000 152,000 13,384 74,163 -77,837 48.79% 10,000 10,000 0 -48 -10,048 0.48% 0 0 0 -4 -4 0.00% 101,000 101,000 5,166 28,819 -72,181 28.53% 75,500 75,500 4,382 25,026 -50,474 33.15% 153,000 153,000 4,633 13,749 -139,251 8.99% 2,200 2,200 0 -32 -2,232 1.45% 0 0 306,889 723,043 723,043 0.00% 1,100 1,100 0 0 -1,100 0.00% 13,136,811 13,136,811 0 0 -13,136,811 0.00% 1,000 1,000 0 -4 -1,004 0.38% 1,685,000 1,685,000 416,000 413,776 -1,271,224 24.56% 2,256,708 2,256,708 558,887 561,864 -1,694,844 24.90% 470,000 470,000 112,500 110,115 -359,885 23.43% 1,020,400 1,020,400 255,000 254,727 -765,673 24.96% 4,865,453 4,865,453 142,483 351,810 -4,513,643 7.23% 79,000 79,000 0 -344 -79,344 0.44% 5,500 5,500 0 -54 -5,554 0.98% 10,000 10,000 -131,500 -131,500 -141,500 1,315.00% 100,000 100,000 -529,400 -450,386 -550,386 450.39% 111,213,788 111,213,788 5,276,829 13,780,162 -97,433,626 12.39% Accounts are subject to adjusting entries and audit. The City's Annual Comprehensive Financial Report published annually in December, is the best resource for all final audited numbers. Page 1 of 3 71 For Fiscal: 2022/23 Period Ending: 09/30/2022 Expenditure Summary Variance Original Current Period Fiscal Favorable Percent Fund Total Budget Total Budget Activity Activity (Unfavorable) Used 101 - GENERAL FUND 64,651,274 64,651,274 4,092,168 7,198,064 57,453,210 11.13% 201 - GAS TAX FUND 2,687,351 2,687,351 233,077 318,228 2,369,123 11.84% 202 - LIBRARY & MUSEUM FUND 1,909,146 1,909,146 72,866 117,845 1,791,301 6.17% 210 - FEDERAL ASSISTANCE FUND 152,600 152,600 0 0 152,600 0.00% 212 - SLESA (COPS) FUND 100,000 100,000 4,999 4,999 95,001 5.00% 215 - LIGHTING & LANDSCAPING FU 2,465,376 2,465,376 253,310 418,887 2,046,489 16.99% 221 - AB 939 - CALRECYCLE FUND 150,000 150,000 23,735 46,032 103,968 30.69% 223 - MEASURE A FUND 3,882,000 3,882,000 0 33,703 3,848,297 0.87% 226 - EMERGENCY MANAGEMENT F 12,000 12,000 0 9,750 2,250 81.25% 227 -STATE HOMELAND SECURITY 1 5,000 5,000 4,312 4,312 688 86.25% 230 - CASp FUND, AB 1379 5,500 5,500 0 0 5,500 0.00% 231 - SUCCESSOR AGCY PA 1 RORF 0 0 14,973,153 14,973,153 -14,973,153 0.00% 235 - SO COAST AIR QUALITY FUND 46,500 46,500 605 1,371 45,129 2.95% 237 - SUCCESSOR AGCY PA 1 ADMII` 0 0 0 1,600 -1,600 0.00% 241 - HOUSING AUTHORITY 1,712,670 1,712,670 170,798 359,648 1,353,022 21.00% 243 - RDA LOW -MOD HOUSING FUG 250,000 250,000 5,000 255,000 -5,000 102.00% 244 - HOUSING GRANTS (Multiple) 0 0 0 96,157 -96,157 0.00% 247 - ECONOMIC DEVELOPMENT FL 21,500 21,500 0 0 21,500 0.00% 249 - SA 2011 LOW/MOD BOND FUI 20,000 20,000 1,605 1,605 18,395 8.03% 250-TRANSPORTATION DIF FUND 500,000 500,000 400,000 400,000 100,000 80.00% 251 - PARKS & REC DIF FUND 500,000 500,000 0 0 500,000 0.00% 252 - CIVIC CENTER DIF FUND 250,000 250,000 0 0 250,000 0.00% 253 - LIBRARY DEVELOPMENT DIF 15,000 15,000 0 0 15,000 0.00% 270 - ART IN PUBLIC PLACES FUND 177,000 177,000 500 13,166 163,834 7.44% 310 - LQ FINANCE AUTHORITY DEBT 1,100 1,100 0 0 1,100 0.00% 401 - CAPITAL IMPROVEMENT PRO( 13,136,811 13,136,811 1,109,981 1,773,529 11,363,282 13.50% 501 - FACILITY & FLEET REPLACEMEI 1,608,750 1,608,750 132,960 395,758 1,212,992 24.60% 502 - INFORMATION TECHNOLOGY 2,258,054 2,258,054 81,991 558,814 1,699,240 24.75% 503 - PARK EQUIP & FACILITY FUND 545,000 545,000 78,926 79,201 465,799 14.53% 504 - INSURANCE FUND 984,100 984,100 571 891,183 92,917 90.56% 601 - SILVERROCK RESORT 4,782,135 4,782,135 365,204 904,641 3,877,494 18.92% 760 - SUPPLEMENTAL PENSION PLA 12,850 12,850 0 12,833 17 99.87% 761 - CERBT OPEB TRUST 1,500 1,500 390 390 1,110 25.98% 762 - PARS PENSION TRUST 55,000 55,000 4,542 13,715 41,285 24.94% Report Total: 102,898,217 102,898,217 22,010,693 28,883,586 74,014,631 28.07% Accounts are subject to adjusting entries and audit. The City's Annual Comprehensive Financial Report published annually in December, is the best resource for all final audited numbers. Page 2 of 3 72 Fund Descriptions Fund # Name Notes The primary fund o the City used to account or all revenue and expenditures of the City; a broad 101 General Fund range of municipal activities are provided through this fund. 201 Gas Tax Fund Gasoline sales tax allocations received from the State which are restricted to street -related expenditures. 202 Library and Museum Fund Revenues from property taxes and related expenditures for library and museum services. 203 Public Safety Fund General Fund Measure G sales tax revenue set aside for public safety expenditures. 210 Federal Assistance Fund Community Development Block Grant (CDBG) received from the federal government and the expenditures of those resources. 212 SLESF (COPS) Fund Supplemental Law Enforcement Services Funds (SLESF) received from the State for law enforcement activities. Also known as Citizen's Option for Public Safetv (COPS). 215 Lighting & Landscaping Fund Special assessments levied on real property for city-wide lighting and landscape maintenance/improvements and the expenditures of those resources. 220 Quimby Fund Developer fees received under the provisions of the Quimby Act for park development and improvements. 221 AB939 Fund/Cal Recycle Franchise fees collected from the city waste hauler that are used to reduce waste sent to landfills through recvclina efforts. Assembly Bill (AB) 939. 223 Measure A Fund County sales tax allocations which are restricted to street -related expenditures. 224 TUMF Fund Developer -paid Transportation Uniform Mitigation Fees (TUMF) utilized for traffic projects in Riverside Countv. 225 Infrastructure Fund Developer fees for the acquisition, construction or improvement of the City's infrastructure as defined by Resolution 226 Emergency Mgmt. Performance Grant (EMPG) Federal Emergency Management Agency (FEMA) grant for emergency preparedness. 227 State Homeland Security Programs (SHSP) Federal Emergency Management Agency (FEMA) grant for emergency preparedness. 230 CASP Fund, AB1379 / SB1186 Certified Access Specialist (CASp) program fees for ADA Accessibility Improvements; derived from Business License renewals. Assemblv Bill (AB) 1379 and Senate Bill (SB) 1186. Successor Agency (SA) Project Area (PA) 1 Redevelopment Obligation Retirement Fund (RORF) for 231 Successor Agency PA 1 RORF Fund Redevelopment Property Tax Trust Fund (RPTTF) taxes received for debt service payments on recognized obligations of the former Redevelopment Aaencv (RDA). 235 SO Coast Air Quality Fund (AB2766, PM10) Contributions from the South Coast Air Quality Management District. Uses are limited to the reduction and control of airborne pollutants. Assemblv Bill (AB) 2766. 237 Successor Agency PA 1 Admin Fund Successor Agency (SA) Project Area (PA) 1 for administration of the Recognized Obligation Payment Schedule (ROPS) associated with the former Redevelopment Aqencv (RDA). 241 Housing Authority Activities of the Housing Authority which is to promote and provide quality affordable housing. 243 RDA Low -Moderate Housing Fund Activities of the Housing Authority which is to promote and provide quality affordable housing. Accounts for RDA loan repayments (20 /o for Housinq) and housing programs,. 244 Housing Grants Activites related Local Early Action Planning (LEAP) and SB2 grants for housing planning and development. 247 Economic Development Fund Proceeds from sale of City -owned land; transferred from General Fund for future economic development. 249 SA 2011 Low/Mod Bond Fund Successor Agency (SA) low/moderate housing fund; 2011 bonds refinanced in 2016. 250 Transportation DIF Fund Developer impact fees collected for specific public improvements - transportation related. 251 Parks & Rec. DIF Fund Developer impact fees collected for specific public improvements - parks and recreation. 252 Civic Center DIF Fund Developer impact fees collected for specific public improvements - Civic Center. 253 Library Development DIF Fund Developer impact fees collected for specific public improvements - library. 254 Community Center DIF Fund Developer impact fees collected for specific public improvements - community center. 255 Street Facility DIF Fund Developer impact fees collected for specific public improvements - streets. 256 Park Facility DIF Fund Developer impact fees collected for specific public improvements - parks. 257 Fire Protection DIF Fund Developer impact fees collected for specific public improvements - fire protection. 270 Art In Public Places Fund Developer fees collected in lieu of art placement; utilized for acquisition, installation and maintenance of public artworks. 275 LQ Public Safety Officer Fund Annual transfer in from General Fund; distributed to public safety officers disabled or killed in the line of dutv. 299 Interest Allocation Fund Interest earned on investments. 310 LQ Finance Authority Debt Service Fund Accounted for the debt service the Financing Authority's outstanding debt and any related reporting requirements. This bond was fullv paid in October 2018. 401 Capital Improvement Program Fund Planning, design, and construction of various capital projects throughout the City. 405 SA PA 1 Capital Improvement Fund Successor Agency (SA) Project Area (PA) 1 bond proceeds restricted by the bond indenture covenants. Used for SilverRock infrastructure improvements. 501 Equipment Replacement Fund Internal Service Fund for vehicles, heavy equipment, and related facilities. 502 Information Technology Fund Internal Service Fund for computer hardware and software and phone systems. 503 Park Equipment & Facility Fund Internal Service Fund for park equipment and facilities. 504 Insurance Fund Internal Service Fund for city-wide insurance coverages. 601 SilverRock Resort Fund Enterprise Fund for activities of the city -owned golf course. 602 SilverRock Golf Reserve Fund Enterprise Fund for golf course reserves for capital improvements. 760 Supplemental Pension Plan (PARS Account) Supplemental pension savings plan for excess retiree benefits to general employees of the City. 761 Other Post Benefit Obligation Trust (OPEB) For retiree medical benefits and unfunded liabilities. 762 Pension Trust Benefit (PARS Account) I For all pension -related benefits and unfunded liabilities. 73 Page 3 of 3 74 CONSENT CALENDAR ITEM NO. 8 City of La Quinta CITY COUNCIL MEETING: December 20, 2022 STAFF REPORT AGENDA TITLE: RECEIVE AND FILE FIRST QUARTER FISCAL YEAR 2022/23 TREASURY REPORTS FOR JULY, AUGUST, SEPTEMBER 2022 RECOMMENDATION Receive and file the first quarter fiscal year 2022/23 Treasury Reports for July, August, September 2022. BACKGROUND/ANALYSIS Commentary and Summary of Significant Activity The total book value of the portfolio decreased $16.5 million, from $222.5 million at the end of June to $206.0 million at the end of September. A decrease of $15.0 million was due to the payment of Successor Agency debt service obligations that are paid in August. The remainder of the decrease reflects operational activity throughout the quarter. The portfolio is within policy limits for investment types and total allocation by type (see chart below), and is also within policy guidelines for investment ratings. Portfolio Allocations Max Investment Type July August September Allowed Bank Accounts 2.93% 5.34% 2.35% 100% Local Agency Investment Fund (LAIF) City 14.50% 12.87% 13.95% (1) Local Agency Investment Fund (LAIF) Housing 0.89% 0.90% 0.98% (1)(2) Money Market Pool Accounts -CAMP 14.58% 8.05% 8.74% 20% Federal Agency Coupons 17.51% 17.70% 19.190/0 1000/0 Treasury Coupons 28.88% 27.85% 32.32% 1000/0 Certificates of Deposit (CD's) 14.44% 14.38% 16.07% 30% Corporate Notes 0.82% 0.83% 0.90% 30% Money Market with Fiscal Agent 0.00% 6.71% 0.00% (2) CERBT- OPEB Trust 0.79% 0.80% 0.81% (3) PARS Pension Trust 4.65% 4.57% 4.70% (3) Total 1000/0 1000/0 1000/0 (1) LAIF is subject to maximum dollar amount not a percentage of the portfolio (z) Funds held by fiscal agent and the LAIF Housing funds are governed by bond indentures and not subject to City Investment Policy (3) OPEB and pension trusts are fiduciary accounts and not subject to City Investment Policy 75 The fiscal year annual effective rate of return is 1.30% as of September, which reflects a 51 basis point (bps) increase since June. City staff is evaluating liquidity needs and reinvesting money in short-term United States treasuries and the California Asset Management Program (CAMP) which are yielding more than the Local Agency Investment Fund (LAIF). Average Effective Total Days to Rate of Earnings Maturity Return YTD July $ 216,625 439 1.14% August $ 242,859 444 1.22% September $ 264,985 496 1.30% Quarter 1 $ 7241,469 460 1.22% Throughout the quarter, two agency bonds, five treasuries and four CDs matured; two agency bonds, seven treasuries, and seven CDs were purchased. There were no sales or calls. Maturities and purchases are listed in detail in the attached reports. Other Notes Money market funds with the fiscal agent are bond proceeds subject to bond indentures, not the City's investment policy. Successor Agency (SA) funds cannot be invested long-term; therefore SA funds are only invested in LAIF. Looking Ahead The Treasurer follows a "buy and hold" Investment Policy, unless it is fiscally advantageous to actively trade outside of maturity dates. In the short term, the Treasurer will invest in CAMP and LAIF as needed. Longer term investments may include Government Sponsored Enterprise (agencies) securities, U.S. Treasuries, Corporate Notes, and Negotiable Certificates of Deposits. All investments recognize both immediate and long-term cash flow needs, and there is sufficient liquidity in the portfolio to meet expenditure requirements for the next six months. ALTERNATIVES - None Prepared by: Rosemary Hallick, Financial Services Analyst Approved by: Claudia Martinez, Finance Director/City Treasurer Attachment: 1. Treasurer's Report for July 1, 2022 to September 30, 2022 76 ATTACHMENT 1 • w City of La Quinta City of La Quinta Portfolio Management -- GEM of the DESERT — Portfolio Summary July 31, 2022 Par Market Book % of Days to YTM Investments Value Value Value Portfolio Term Maturity 365 Equiv. Bank Accounts 6,622,737.73 6,622,737.73 6,622,737.73 2.93 1 1 0.000 Local Agency Investment Fund -City 32,728,722.48 32,308,807.14 32,728,722.48 14.50 1 1 1.090 Local Agency Invstmnt Fund -Housing 2,018,767.39 1,992,886.54 2,018,767.39 0.89 1 1 1.090 Money Market Accounts - CAMP 32,915,647.76 32,915,647.76 32,915,647.76 14.58 1 1 1.640 Federal Agency Coupon Securities 39,750,000.00 37,730,680.50 39,534,153.90 17.51 1,574 1,057 1.206 Treasury Coupon Securities 65,750,000.00 64,443,135.00 65,213,358.27 28.88 619 470 1.616 Certificate of Deposits 32,594,000.00 31,687,117.92 32,593,377.50 14.44 1,656 784 1.917 Corporate Notes 1,900,000.00 1,855,233.00 1,857,560.00 0.82 1,578 510 2.287 Money Market with Fiscal Agent 26.01 26.01 26.01 0.00 1 1 0.000 CERBT- OPEBTrust 1,792,152.96 1,792,152.96 1,792,152.96 0.79 1 1 0.000 PARS Pension Trust 10,510,266.30 10,510,266.30 10,510,266.30 4.65 1 1 0.000 226,582,320.63 221,858,690.86 225,786,770.30 100.00% 707 439 1.380 Investments Total Earnings July 31 Month Ending Fiscal Year To Date Current Year 216,624.61 216,624.61 Average Daily Balance 223,372,590.83 223,372,590.83 Effective Rate of Return 1.14% 1.14% 1 certify that this report accurately reflects all pooled investments and is in compliance with the California Government Code and the City Investment Policy. As Treasurer of the City of La Quinta, I hereby certify that sufficient investment liquidity and anticipated revenues are available to meet the City's expenditure requirements for the next six months. The City of La Quinta used the monthly account statements issued our in ial institutions to determine the fair market value of investments at month end. 12/8/22 Claudia Martinez, Finance irector/City Treasurer Reporting period 07/01/2022-07/31/2022 Run Date: 12/07/2022 - 15:29 Portfolio CITY CID PM (PRF_PM1) 7.3.0 Report Ver. 7.3.6.1 77 City of La Quinta Portfolio Management Portfolio Details - Investments July 31, 2022 Page 1 Average Purchase Stated Days to YTM Maturity CUSIP Investment # Issuer Balance Date Par Value Market Value Book Value Rate Term Maturity 365 Date Bank Accounts SYS1293 1293 Bank of New York 09/01/2020 2,337,762.00 2,337,762.00 2,337,762.00 1 1 0.000 059731851 1228 Bank of the West 08/20/2019 3,264,587.10 3,264,587.10 3,264,587.10 1 1 0.000 SYS1059 1059 City Petty Cash 07/01/2016 3,300.00 3,300.00 3,300.00 1 1 0.000 SYS1318 1318 Dune Palms Mobile Estates 03/09/2021 613,712.88* 613,712.88 613,712.88 1 1 0.000 SYS1062 1062 La Quinta Palms Realty 07/01/2016 403,375.75 403,375.75 403,375.75 1 1 0.000 *DPME ending balance for June $597,351.67Subtotal and Average 9,168,022.74 6,622,737.73 6,622,737.73 6,622,737.73 1 1 0.000 Local Agency Investment Fund -City 98-33434 1055 Local Agency Inv Fund 32,728,722.48 32,308,807.14 32,728,722.48 1.090 1 1 1.090 Subtotal and Average 32,677,739.71 32,728,722.48 32,308,807.14 32,728,722.48 1 1 1.090 Local Agency Invstmnt Fund -Housing 25-33-005 1113 Local Agency Inv Fund Subtotal and Average 2,014,910.88 Money Market Accounts - CAMP SYS1153 1153 California Asset Management Pr Subtotal and Average 28,522,163.19 Federal Agency Coupon Securities 3135GOW33 1233 3133EGWJO 1247 3133EKQP4 1198 3133ENBT6 1348 3133EMX64 1340 3133EKZK5 1223 3133EJYL7 1158 3133EK4X1 1234 3130AFW94 1177 3133ELNEO 1246 3133ENYH7 1401 3135GOV75 1206 3133EKWV4 1212 3133EKP75 1224 3133ELEA8 1242 Run Date: 12/07/2022 - 15:29 2,018,767.39 2,018,767.39 09/26/2018 32,915,647.76 32,915,647.76 1,992,886.54 1,992,886.54 32,915,647.76 32,915,647.76 2.018.767.39 1.090 2,018,767.39 32,915,647.76 1.640 32,915,647.76 1 1 1.090 1 1 1.090 1 1 1.640 1 1 1.640 Federal National Mtg Assn 10/29/2019 1,000,000.00 999,180.00 992,100.00 1.375 1,043 36 1.659 09/06/2022 Federal Farm Credit Bank 02/05/2020 1,000,000.00 998,620.00 999,217.36 1.400 967 59 1.430 09/29/2022 Federal Farm Credit Bank 06/20/2019 500,000.00 498,700.00 499,500.00 1.875 1,271 133 1.905 12/12/2022 Federal Farm Credit Bank 12/07/2021 1,000,000.00 987,250.00 998,530.00 0.180 414 177 0.310 01/25/2023 Federal Farm Credit Bank 10/22/2021 500,000.00 489,950.00 499,002.04 0.170 553 270 0.302 04/28/2023 Federal Farm Credit Bank 09/12/2019 500,000.00 493,280.00 499,400.00 1.600 1,432 378 1.632 08/14/2023 Federal Farm Credit Bank 10/15/2018 250,000.00 249,542.50 247,275.00 2.800 1,786 400 3.041 09/05/2023 Federal Farm Credit Bank 11/01/2019 1,000,000.00 982,740.00 996,900.00 1.600 1,461 457 1.680 11/01/2023 Federal Home Loan Bank 03/01/2019 500,000.00 496,935.00 498,550.00 2.500 1,810 561 2.563 02/13/2024 Federal Farm Credit Bank 02/14/2020 1,000,000.00 979,050.00 999,000.00 1.430 1,461 562 1.456 02/14/2024 Federal Farm Credit Bank 06/10/2022 500,000.00 497,340.00 499,080.00 2.625 731 679 2.720 06/10/2024 Federal National Mtg Assn 07/15/2019 500,000.00 489,970.00 495,950.00 1.750 1,814 701 1.922 07/02/2024 Federal Farm Credit Bank 08/02/2019 500,000.00 489,330.00 499,500.00 1.850 1,820 725 1.871 07/26/2024 Federal Farm Credit Bank 09/17/2019 500,000.00 487,280.00 498,750.00 1.600 1,827 778 1.652 09/17/2024 Federal Farm Credit Bank 12/17/2019 1,000,000.00 976,560.00 998,600.00 1.700 1,736 778 1.731 09/17/2024 Portfolio CITY CP PM (PRF_PM2) 7.3.0 Report Ver. 7.3.6.1 78 City of La Quinta Portfolio Management Portfolio Details - Investments July 31, 2022 Page 2 CUSIP Investment # Average Issuer Balance Purchase Date Par Value Market Value Book Value Stated Rate Term Days to Maturity YTM 365 Maturity Date Federal Agency Coupon Securities 3135G06E8 1291 Federal National Mtg Assn 11/18/2020 500,000.00 470,790.00 499,250.00 0.420 1,461 840 0.458 11/18/2024 3133ENGN4 1355 Federal Farm Credit Bank 12/09/2021 1,000,000.00 953,400.00 1,000,000.00 0.970 1,096 861 0.970 12/09/2024 3135GAAW1 1300 Federal National Mtg Assn 12/30/2020 500,000.00 469,220.00 500,000.00 0.400 1,461 882 0.400 12/30/2024 3130AP21.18 1353 Federal Home Loan Bank 12/07/2021 1,000,000.00 939,310.00 987,100.00 0.550 1,127 890 0.976 01/07/2025 3130AQWY5 1374 Federal Home Loan Bank 02/25/2022 1,000,000.00 963,230.00 1,000,000.00 1.700 1,095 938 1.700 02/24/2025 3135G031.15 1365 Federal National Mtg Assn 01/28/2022 500,000.00 470,380.00 487,790.00 0.625 1,180 995 1.400 04/22/2025 3134GVYG7 1279 Federal Home Loan Mtg Corp 05/27/2020 1,000,000.00 935,370.00 1,000,000.00 0.625 1,826 1,030 0.625 05/27/2025 3133ELH23 1280 Federal Farm Credit Bank 06/09/2020 500,000.00 467,790.00 499,850.00 0.500 1,826 1,043 0.506 06/09/2025 3133ELH80 1282 Federal Farm Credit Bank 06/10/2020 500,000.00 465,800.00 500,000.00 0.680 1,826 1,044 0.680 06/10/2025 3130AJKW8 1281 Federal Home Loan Bank 06/03/2020 500,000.00 468,025.00 499,850.00 0.500 1,836 1,047 0.506 06/13/2025 3130AJRP6 1283 Federal Home Loan Bank 06/30/2020 300,000.00 281,589.00 300,000.00 0.680 1,826 1,064 0.680 06/30/2025 3137EAEU9 1297 Federal Home Loan Mtg Corp 12/07/2020 1,000,000.00 929,190.00 997,300.00 0.375 1,687 1,085 0.434 07/21/2025 3137EAEU9 1361 Federal Home Loan Mtg Corp 01/05/2022 500,000.00 464,595.00 487,090.00 0.375 1,293 1,085 1.120 07/21/2025 3135G05S8 1288 Federal National Mtg Assn 08/14/2020 500,000.00 463,400.00 500,000.00 0.500 1,826 1,109 0.500 08/14/2025 3136G4M75 1290 Federal National Mtg Assn 08/28/2020 500,000.00 463,650.00 499,750.00 0.520 1,816 1,113 0.530 08/18/2025 3136G4N74 1289 Federal National Mtg Assn 08/21/2020 1,000,000.00 928,100.00 1,000,000.00 0.560 1,826 1,116 0.560 08/21/2025 3137EAEX3 1307 Federal Home Loan Mtg Corp 02/23/2021 500,000.00 462,845.00 495,999.50 0.375 1,673 1,149 0.552 09/23/2025 3137EAEX3 1310 Federal Home Loan Mtg Corp 03/30/2021 1,000,000.00 925,690.00 983,940.00 0.375 1,638 1,149 0.740 09/23/2025 3130ARGJ4 1385 Federal Home Loan Bank 04/14/2022 500,000.00 494,195.00 500,000.00 2.500 1,279 1,170 2.500 10/14/2025 3134GW5R3 1362 Federal Home Loan Mtg Corp 01/05/2022 400,000.00 370,272.00 391,360.00 0.650 1,391 1,183 1.232 10/27/2025 3135G06G3 1354 Federal National Mtg Assn 12/07/2021 1,000,000.00 926,490.00 976,300.00 0.500 1,431 1,194 1.120 11/07/2025 3135GA2Z3 1292 Federal National Mtg Assn 11/17/2020 500,000.00 464,090.00 499,250.00 0.560 1,826 1,204 0.590 11/17/2025 3130AKFA9 1298 Federal Home Loan Bank 12/07/2020 500,000.00 460,555.00 497,400.00 0.375 1,831 1,229 0.480 12/12/2025 3135GA7D7 1299 Federal National Mtg Assn 12/23/2020 500,000.00 463,820.00 500,000.00 0.600 1,826 1,240 0.600 12/23/2025 3134GXGZ1 1301 Federal Home Loan Mtg Corp 12/30/2020 500,000.00 462,140.00 500,000.00 0.550 1,826 1,247 0.550 12/30/2025 3130AKMZ6 1302 Federal Home Loan Bank 01/14/2021 500,000.00 456,995.00 500,000.00 0.510 1,826 1,262 0.510 01/14/2026 313OAKN28 1304 Federal Home Loan Bank 01/29/2021 500,000.00 457,220.00 500,000.00 0.550 1,826 1,277 0.550 01/29/2026 3130ALV92 1312 Federal Home Loan Bank 03/30/2021 500,000.00 469,020.00 500,000.00 1.050 1,826 1,337 0.938 03/30/2026 3130AMFS6 1324 Federal Home Loan Bank 06/17/2021 1,000,000.00 924,100.00 993,420.00 0.750 1,821 1,411 0.885 06/12/2026 3133EM2C5 1330 Federal Farm Credit Bank 08/10/2021 500,000.00 461,890.00 498,000.00 0.710 1,826 1,470 0.792 08/10/2026 3133EM4X7 1338 Federal Farm Credit Bank 09/28/2021 1,000,000.00 922,910.00 991,080.00 0.800 1,808 1,501 0.985 09/10/2026 3130APBM6 1337 Federal Home Loan Bank 09/30/2021 1,000,000.00 933,700.00 999,000.00 1.000 1,826 1,521 1.021 09/30/2026 3130APB46 1339 Federal Home Loan Bank 10/13/2021 1,000,000.00 930,440.00 998,250.00 0.950 1,826 1,534 0.986 10/13/2026 3134GW6C5 1359 Federal Home Loan Mtg Corp 01/05/2022 500,000.00 456,795.00 486,000.00 0.800 1,757 1,549 1.403 10/28/2026 3133ENCQ1 1344 Federal Farm Credit Bank 11/02/2021 1,000,000.00 926,870.00 1,000,000.00 1.270 1,826 1,554 1.270 11/02/2026 3130APTV7 1347 Federal Home Loan Bank 11/24/2021 500,000.00 477,085.00 499,500.00 0.700 1,826 1,576 1.489 11/24/2026 Portfolio CITY CP Run Date: 12/07/2022 - 15:29 PM (PRF_PM2) 7.3.0 79 City of La Quinta Portfolio Management Portfolio Details - Investments July 31, 2022 Page 3 CUSIP Investment # Average Issuer Balance Purchase Date Par Value Market Value Book Value Stated Rate Days to Term Maturity YTM Maturity 365 Date Federal Agency Coupon Securities 313OAQF65 1358 Federal Home Loan Bank 12/22/2021 1,000,000.00 935,400.00 999,750.00 1.250 1,825 1,603 1.255 12/21/2026 3134GWUQ7 1366 Federal Home Loan Mtg Corp 02/10/2022 1,000,000.00 914,740.00 945,570.00 0.700 1,784 1,612 1.870 12/30/2026 3130AQJR5 1364 Federal Home Loan Bank 01/27/2022 1,000,000.00 949,700.00 1,000,000.00 1.500 1,826 1,640 1.500 01/27/2027 3130AQSA2 1367 Federal Home Loan Bank 02/10/2022 1,000,000.00 948,420.00 1,000,000.00 1.830 1,826 1,654 1.830 02/10/2027 3130ARGY1 1387 Federal Home Loan Bank 04/19/2022 1,000,000.00 984,790.00 1,000,000.00 2.700 1,826 1,722 2.700 04/19/2027 3130ASDV8 1409 Federal Home Loan Bank 06/28/2022 300,000.00 300,942.00 300,000.00 3.300 1,826 1,792 3.300 06/28/2027 Subtotal and Average 39,534,153.90 39,750,000.00 37,730,680.50 39,534,153.90 1,574 1,057 1.206 Treasury Coupon Securities 91282CAG6 1405 U.S. Treasury 06/13/2022 5,000,000.00 4,991,400.00 4,988,450.00 0.125 79 30 1.203 08/31/2022 9128282W9 1178 U.S. Treasury 03/01/2019 500,000.00 499,710.00 489,687.50 1.875 1,309 60 2.480 09/30/2022 91282CAN1 1395 U.S. Treasury 06/06/2022 4,000,000.00 3,986,320.00 3,985,625.00 0.125 116 60 1.263 09/30/2022 91282CAN1 1404 U.S. Treasury 06/13/2022 2,000,000.00 1,993,160.00 1,992,780.00 0.125 109 60 1.342 09/30/2022 91282CAN1 1411 U.S. Treasury 06/29/2022 2,000,000.00 1,993,160.00 1,991,942.00 0.125 93 60 1.717 09/30/2022 91282CAR2 1393 U.S. Treasury 06/06/2022 4,000,000.00 3,977,800.00 3,979,880.00 0.125 147 91 1.391 10/31/2022 91282CAR2 1406 U.S. Treasury 06/13/2022 2,000,000.00 1,988,900.00 1,989,440.00 0.125 140 91 1.521 10/31/2022 9128283C2 1410 U.S. Treasury 06/29/2022 2,000,000.00 1,998,060.00 1,999,940.00 2.000 124 91 2.002 10/31/2022 9128283C2 1414 U.S. Treasury 06/30/2022 1,000,000.00 999,030.00 999,977.00 2.000 123 91 2.000 10/31/2022 91282CAX9 1403 U.S. Treasury 06/13/2022 4,000,000.00 3,965,920.00 3,972,031.25 0.125 170 121 1.642 11/30/2022 912828M80 1408 U.S. Treasury 06/28/2022 3,000,000.00 2,993,190.00 2,996,670.00 2.000 155 121 2.261 11/30/2022 912828M80 1413 U.S. Treasury 06/30/2022 2,000,000.00 1,995,460.00 1,997,980.00 2.000 153 121 2.240 11/30/2022 91282CBD2 1394 U.S. Treasury 06/06/2022 2,000,000.00 1,977,900.00 1,982,265.63 0.125 208 152 1.705 12/31/2022 91282CBD2 1402 U.S. Treasury 06/13/2022 3,000,000.00 2,966,850.00 2,972,578.13 0.125 201 152 1.812 12/31/2022 912828N30 1407 U.S. Treasury 06/28/2022 2,000,000.00 1,994,220.00 1,996,240.00 2.125 186 152 2.501 12/31/2022 912828N30 1412 U.S. Treasury 06/30/2022 2,000,000.00 1,994,220.00 1,996,680.00 2.125 184 152 2.461 12/31/2022 91282CBU4 1349 U.S. Treasury 12/07/2021 1,000,000.00 981,450.00 996,718.75 0.125 479 242 0.376 03/31/2023 91282CCD1 1350 U.S. Treasury 12/07/2021 1,000,000.00 976,840.00 995,468.75 0.125 540 303 0.432 05/31/2023 91282CCN9 1341 U.S. Treasury 10/22/2021 500,000.00 486,170.00 497,792.97 0.125 647 364 0.375 07/31/2023 912828T26 1217 U.S. Treasury 08/21/2019 500,000.00 490,900.00 499,300.00 1.375 1,501 425 1.410 09/30/2023 91282CBA8 1351 U.S. Treasury 12/07/2021 1,000,000.00 962,070.00 990,000.00 0.125 738 501 0.623 12/15/2023 91282CBEO 1342 U.S. Treasury 10/22/2021 1,000,000.00 959,730.00 991,000.00 0.125 815 532 0.531 01/15/2024 91282CBR1 1352 U.S. Treasury 12/07/2021 1,000,000.00 957,380.00 989,800.00 0.250 829 592 0.704 03/15/2024 91282CBV2 1360 U.S. Treasury 01/05/2022 500,000.00 478,710.00 494,882.81 0.375 831 623 0.830 04/15/2024 912828XT2 1418 U.S. Treasury 05/04/2022 1,000,000.00 983,710.00 985,240.00 2.000 758 669 2.736 05/31/2024 9128282U3 1400 U.S. Treasury 06/09/2022 500,000.00 489,590.00 490,850.00 1.875 814 761 2.727 08/31/2024 Run Date: 12/07/2022 - 15:29 Portfolio CITY CID PM (PRF_PM2) 7.3.0 w City of La Quinta Portfolio Management Portfolio Details - Investments July 31, 2022 Page 4 CUSIP Average Investment # Issuer Balance Purchase Date Par Value Market Value Book Value Stated Rate Days to Term Maturity YTM Maturity 365 Date Treasury Coupon Securities 91282CDB4 1343 U.S. Treasury 10/22/2021 1,000,000.00 952,070.00 996,320.00 0.625 1,089 806 0.750 10/15/2024 9128283DO 1390 U.S. Treasury 05/03/2022 1,000,000.00 986,450.00 985,190.00 2.250 912 822 2.870 10/31/2024 912828YV6 1241 U.S. Treasury 12/16/2019 1,000,000.00 969,020.00 989,687.50 1.500 1,811 852 1.718 11/30/2024 91282CAT8 1311 U.S. Treasury 03/30/2021 1,000,000.00 920,700.00 977,500.00 0.250 1,676 1,187 0.750 10/31/2025 91282CAZ4 1315 U.S. Treasury 04/22/2021 500,000.00 461,465.00 492,187.50 0.375 1,683 1,217 0.720 11/30/2025 91282CBC4 1303 U.S. Treasury 01/07/2021 500,000.00 460,490.00 498,632.81 0.375 1,819 1,248 0.431 12/31/2025 91282CBH3 1309 U.S. Treasury 02/23/2021 500,000.00 459,765.00 495,100.00 0.375 1,803 1,279 0.577 01/31/2026 91282CBQ3 1319 U.S. Treasury 05/28/2021 500,000.00 461,170.00 494,165.00 0.500 1,737 1,307 0.750 02/28/2026 91282CBQ3 1382 U.S. Treasury 03/23/2022 750,000.00 691,755.00 698,025.00 0.500 1,438 1,307 2.353 02/28/2026 91282CBT7 1320 U.S. Treasury 05/28/2021 500,000.00 464,570.00 499,525.00 0.750 1,768 1,338 0.770 03/31/2026 91282CBT7 1322 U.S. Treasury 06/17/2021 500,000.00 464,570.00 498,450.00 0.750 1,748 1,338 0.816 03/31/2026 9128286S4 1383 U.S. Treasury 03/23/2022 1,000,000.00 986,020.00 999,010.00 2.375 1,499 1,368 2.400 04/30/2026 91282CCF6 1321 U.S. Treasury 06/01/2021 1,000,000.00 926,520.00 997,060.00 0.750 1,825 1,399 0.810 05/31/2026 91282CCF6 1323 U.S. Treasury 06/17/2021 500,000.00 463,260.00 497,095.00 0.750 1,809 1,399 0.870 05/31/2026 91282CCP4 1335 U.S. Treasury 09/29/2021 1,000,000.00 919,450.00 983,750.00 0.625 1,766 1,460 0.970 07/31/2026 91282CCW9 1336 U.S. Treasury 09/29/2021 1,000,000.00 923,090.00 988,500.00 0.750 1,797 1,491 0.990 08/31/2026 91282CCW9 1380 U.S. Treasury 03/22/2022 500,000.00 461,545.00 466,454.17 0.750 1,623 1,491 2.350 08/31/2026 91282CDG3 1381 U.S. Treasury 03/22/2022 500,000.00 467,615.00 473,396.82 1.125 1,684 1,552 2.350 10/31/2026 912828Z78 1369 U.S. Treasury 02/10/2022 1,000,000.00 948,360.00 986,700.00 1.500 1,816 1,644 1.781 01/31/2027 91282CEF4 1391 U.S. Treasury 05/03/2022 1,000,000.00 990,590.00 976,860.00 2.500 1,793 1,703 3.010 03/31/2027 91282CEN7 1398 U.S. Treasury 06/08/2022 500,000.00 500,740.00 495,000.00 2.750 1,787 1,733 2.971 04/30/2027 912828X88 1397 U.S. Treasury 06/07/2022 1,000,000.00 983,750.00 969,687.50 2.375 1,803 1,748 3.041 05/15/2027 91282CET4 1399 U.S. Treasury 06/08/2022 500,000.00 498,320.00 491,842.18 2.625 1,818 1,764 2.980 05/31/2027 Subtotal and Average 65,213,358.27 65,750,000.00 64,443,135.00 65,213,358.27 619 470 1.616 Certificate of Deposits 89269CBX9 1148 Traditions Bank 06/08/2018 245,000.00 245,045.29 245,000.00 3.000 1,522 7 3.002 08/08/2022 12556LBA3 1219 CIT Bank NA 08/23/2019 245,000.00 244,923.70 245,000.00 1.900 1,096 22 1.902 08/23/2022 02587CFU9 1096 American Express Fed Savings B 08/29/2017 240,000.00 240,009.60 240,000.00 2.400 1,826 28 2.402 08/29/2022 85916VDC6 1201 Sterling Bank 06/28/2019 245,000.00 244,957.68 245,000.00 2.150 1,158 28 2.153 08/29/2022 01859BAA3 1095 Alliance Credit Union 10/13/2017 245,000.00 244,847.24 245,000.00 2.250 1,826 73 2.251 10/13/2022 06740KLJ4 1097 Barclays Bank 10/25/2017 240,000.00 239,856.94 240,000.00 2.300 1,826 85 2.291 10/25/2022 62384RACO 1099 Mountain America Federal CU 11/08/2017 245,000.00 244,702.73 245,000.00 2.300 1,826 99 2.301 11/08/2022 22766ACB9 1106 CrossFirst Bank 11/20/2017 245,000.00 244,597.92 245,000.00 2.200 1,824 109 2.201 11/18/2022 29367QCP1 1107 Enterprise Bank, NA 11/28/2017 245,000.00 244,521.18 245,000.00 2.150 1,826 119 2.151 11/28/2022 Run Date: 12/07/2022 - 15:29 Portfolio CITY CID PM (PRF_PM2) 7.3.0 a City of La Quinta Portfolio Management Portfolio Details - Investments July 31, 2022 Page 5 CUSIP Investment # Average Issuer Balance Purchase Date Par Value Market Value Book Value Stated Rate Days to Term Maturity YTM Maturity 365 Date Certificate of Deposits 58404DCX7 1169 Medallion Bank 12/07/2018 248,000.00 248,412.05 248,000.00 3.400 1,461 128 3.402 12/07/2022 75701LAB3 1166 Red Rocks Credit Union 12/07/2018 248,000.00 248,367.22 248,000.00 3.350 1,461 128 3.352 12/07/2022 499724AB8 1110 Knoxville TVA Credit Union 12/29/2017 245,000.00 244,235.61 245,000.00 2.400 1,826 150 2.401 12/29/2022 49228XAK6 1239 Kern FCU 12/30/2019 248,000.00 246,506.23 248,000.00 1.900 1,096 151 1.902 12/30/2022 79772FACO 1240 San Francisco FCU 12/30/2019 248,000.00 246,453.63 248,000.00 1.850 1,096 151 1.852 12/30/2022 949495AT2 1244 Wells Fargo Natl Bank West 01/29/2020 248,000.00 246,120.16 248,000.00 1.900 1,097 182 1.900 01/30/2023 81768PAF3 1254 Servisfirst Bank 02/21/2020 248,000.00 245,573.66 248,000.00 1.600 1,096 204 1.601 02/21/2023 92535LCD4 1180 Verus Bank of Commerce 02/28/2019 248,000.00 247,096.08 248,000.00 2.700 1,461 211 2.700 02/28/2023 034577AH9 1119 Aneca Federal Credit Union 03/22/2018 245,000.00 244,056.73 245,000.00 2.800 1,826 233 2.802 03/22/2023 66704MEQO 1263 Northstar Bank 03/31/2020 248,000.00 244,036.70 248,000.00 1.150 1,095 242 1.150 03/31/2023 954444BS3 1265 West Michigan Cmnty Bk 03/31/2020 248,000.00 244,036.70 248,000.00 1.150 1,095 242 1.150 03/31/2023 17312QJ26 1123 Citibank NA 04/11/2018 245,000.00 244,027.89 245,000.00 2.900 1,826 253 2.902 04/11/2023 20726ABA5 1189 Congressional Bank 04/30/2019 248,000.00 246,220.55 248,000.00 2.500 1,459 270 2.502 04/28/2023 29278TAY6 1125 EnerBank USA 04/30/2018 240,000.00 239,085.13 240,000.00 2.950 1,824 270 2.952 04/28/2023 32117BCX4 1179 First National Bank 03/05/2019 248,000.00 246,612.75 248,000.00 2.800 1,522 277 2.802 05/05/2023 725404AB3 1194 Pittsfield Cooperative Bank 06/07/2019 245,000.00 242,722.51 245,000.00 2.500 1,461 310 2.502 06/07/2023 619165JD6 1173 Morton Community 03/20/2019 248,000.00 246,148.42 248,000.00 2.750 1,553 323 2.753 06/20/2023 74934YAH4 1144 RCB Bank 06/20/2018 245,000.00 244,042.66 245,000.00 3.150 1,826 323 3.152 06/20/2023 02616AAH2 1285 American First CU 06/26/2020 248,000.00 240,724.06 248,000.00 0.350 1,095 329 0.350 06/26/2023 02772JBD1 1205 American National Bank 07/19/2019 248,000.00 244,046.93 248,000.00 2.000 1,461 352 2.001 07/19/2023 32110YLK9 1147 First National Bank of America 07/20/2018 245,000.00 243,816.29 245,000.00 3.150 1,826 353 3.152 07/20/2023 06426KAN8 1151 Bank of New England 07/31/2018 249,000.00 247,977.35 249,000.00 3.250 1,826 364 3.252 07/31/2023 75472RAD3 1218 Raymond James Bank 08/23/2019 244,000.00 239,481.52 244,000.00 1.950 1,461 387 1.951 08/23/2023 89579NCD3 1262 Triad Bank 03/30/2020 248,000.00 241,490.79 248,000.00 1.350 1,278 424 1.352 09/29/2023 57116ARV2 1155 Cache Valley BK F/K/A Marlin 10/17/2018 248,000.00 247,059.46 248,000.00 3.300 1,826 442 3.302 10/17/2023 625925AR3 1160 Municipal Trust and Savings 10/17/2018 245,000.00 243,775.11 245,000.00 3.200 1,826 442 3.202 10/17/2023 90348JEJ5 1161 UBS Bank USA 10/17/2018 245,000.00 244,218.70 245,000.00 3.350 1,826 442 3.352 10/17/2023 474067AQ8 1154 Jefferson Financial CU 10/19/2018 245,000.00 244,202.09 245,000.00 3.350 1,826 444 3.352 10/19/2023 20143PDV9 1162 Commercial Bank 11/15/2018 248,000.00 247,464.33 248,000.00 3.400 1,826 471 3.402 11/15/2023 67054NAN3 1164 Numerica Credit Union 11/28/2018 248,000.00 247,941.06 248,000.00 3.550 1,826 484 3.552 11/28/2023 48115LAD6 1396 Jovia Financial Credit Union 06/07/2022 248,000.00 244,599.17 248,000.00 2.500 548 493 2.502 12/07/2023 635573AL2 1170 National Cooperative Bank, N.A 12/21/2018 245,000.00 244,581.36 245,000.00 3.400 1,826 507 3.402 12/21/2023 066851 WJ1 1172 Bar Harbor Bank and Trust 12/31/2018 248,000.00 247,565.54 248,000.00 3.350 1,824 515 3.352 12/29/2023 89269FDP7 1415 Tradition Capital 07/20/2022 246,000.00 244,297.97 246,000.00 3.000 551 539 3.008 01/22/2024 51210SQU4 1208 Lakeside Bank 07/30/2019 248,000.00 242,745.47 248,000.00 2.000 1,644 546 2.003 01/29/2024 77579ADFO 1251 Rollstone B&T 02/12/2020 245,000.00 238,418.79 245,000.00 1.650 1,461 560 1.651 02/12/2024 Portfolio CITY CP Run Date: 12/07/2022 - 15:29 PM (PRF_PM2) 7.3.0 City of La Quinta Portfolio Management Portfolio Details - Investments July 31, 2022 Page 6 CUSIP Investment # Average Issuer Balance Purchase Date Par Value Market Value Book Value Stated Rate Term Days to Maturity YTM 365 Maturity Date Certificate of Deposits 66736ABP3 1181 Northwest Bank 02/13/2019 248,000.00 246,193.86 248,000.00 2.950 1,826 561 2.951 02/13/2024 949763XY7 1174 Wells Fargo 02/27/2019 248,000.00 246,344.07 248,000.00 3.000 1,826 575 3.001 02/27/2024 50625LAW3 1384 Lafayette FCU 03/30/2022 248,000.00 242,584.81 248,000.00 2.050 729 605 2.053 03/28/2024 882213AB7 1260 Texas Bank Financial 03/31/2020 245,000.00 235,887.47 245,000.00 1.100 1,458 605 1.101 03/28/2024 472382AQ3 1272 The Jefferson Bank 04/15/2020 248,000.00 239,275.92 248,000.00 1.250 1,461 623 1.251 04/15/2024 08016PDQ9 1270 Belmont Bank and Trust 04/16/2020 248,000.00 239,262.39 248,000.00 1.250 1,461 624 1.251 04/16/2024 69506YRH4 1269 Pacific Western Bank 04/16/2020 245,000.00 236,620.87 245,000.00 1.300 1,461 624 1.301 04/16/2024 56065GAG3 1188 Main Street Bank 04/26/2019 248,000.00 244,872.11 248,000.00 2.600 1,827 634 2.603 04/26/2024 33640VDD7 1231 First Service Bank 11/15/2019 248,000.00 241,039.11 248,000.00 1.700 1,643 653 1.701 05/15/2024 48128HXU7 1185 JP Morgan Chase 05/16/2019 245,000.00 244,828.73 245,000.00 3.250 1,827 654 3.254 05/16/2024 46256YAZ2 1186 Iowa State Bank 05/23/2019 245,000.00 241,119.76 245,000.00 2.400 1,827 661 2.403 05/23/2024 538036GVO 1238 Live Oak Bank 11/27/2019 248,000.00 241,352.12 248,000.00 1.800 1,644 666 1.802 05/28/2024 156634AK3 1184 Century Next Bank 05/29/2019 248,000.00 244,680.95 248,000.00 2.500 1,827 667 2.503 05/29/2024 72651LCL6 1195 Plains Commerce Bank 06/07/2019 245,000.00 241,910.72 245,000.00 2.550 1,827 676 2.553 06/07/2024 299547AQ2 1196 Evansville Teachers Credit FCU 06/12/2019 248,000.00 245,069.65 248,000.00 2.600 1,827 681 2.603 06/12/2024 524661CB9 1197 Legacy Bank 06/19/2019 248,000.00 244,118.85 248,000.00 2.400 1,827 688 2.403 06/19/2024 176688CP2 1199 Citizens State Bank 06/21/2019 248,000.00 244,108.01 248,000.00 2.400 1,827 690 2.403 06/21/2024 20416TAQ5 1202 Communitywide FCU 06/28/2019 248,000.00 243,370.12 248,000.00 2.250 1,827 697 2.253 06/28/2024 761402BY1 1203 Revere Bank 06/28/2019 247,000.00 242,642.15 247,000.00 2.300 1,827 697 2.303 06/28/2024 00257TBD7 1207 Abacus Federal Savings 07/26/2019 248,000.00 241,956.60 248,000.00 1.950 1,827 725 1.952 07/26/2024 33625CCP2 1209 First Security Bank of WA 07/30/2019 248,000.00 242,486.35 248,000.00 2.000 1,827 729 2.002 07/30/2024 710571DS6 1210 People's Bank 07/31/2019 248,000.00 242,479.02 248,000.00 2.000 1,827 730 2.002 07/31/2024 740367HP5 1213 Preferred Bank 08/16/2019 249,000.00 243,245.38 249,000.00 2.000 1,827 746 2.002 08/16/2024 33766LAJ7 1216 FirsTier Bank 08/23/2019 249,000.00 242,940.82 249,000.00 1.950 1,827 753 1.952 08/23/2024 93882861-12 1215 Washington Federal 08/23/2019 248,000.00 242,216.80 248,000.00 2.000 1,827 753 2.002 08/23/2024 336460CX6 1222 First State Bk DeQueen 08/30/2019 248,000.00 241,339.80 248,000.00 1.800 1,827 760 1.802 08/30/2024 334342CD2 1221 First Natl Bk of Syracuse 08/30/2019 249,000.00 242,567.98 249,000.00 1.850 1,827 760 1.852 08/30/2024 15118RRH2 1220 Celtic Bank 08/30/2019 248,000.00 241,593.81 248,000.00 1.850 1,827 760 1.852 08/30/2024 05580AD50 1333 BMW Bank 09/10/2021 245,000.00 232,456.10 245,000.00 0.650 1,096 771 0.651 09/10/2024 06652CHBO 1227 BankWest Inc 09/27/2019 248,000.00 240,479.23 248,000.00 1.700 1,827 788 1.702 09/27/2024 84223QAN7 1286 Southern Bancorp Bk 06/26/2020 248,000.00 233,795.90 248,000.00 0.500 1,582 816 0.500 10/25/2024 804375DL4 1235 Sauk Valley B&T Co 11/07/2019 248,000.00 240,309.51 248,000.00 1.700 1,827 829 1.702 11/07/2024 61690UNX4 1237 Morgan Stanley Bank 11/20/2019 245,000.00 238,701.41 245,000.00 1.950 1,827 842 1.952 11/20/2024 61760A3133 1236 Morgan Stanley Private Bk, NA 11/20/2019 245,000.00 238,426.27 245,000.00 1.900 1,827 842 1.902 11/20/2024 064520BG3 1287 Bank Princeton 06/30/2020 248,000.00 233,125.81 248,000.00 0.500 1,644 882 0.500 12/30/2024 89388CEYO 1328 Transportation Alliance Bk TAB 07/23/2021 248,000.00 232,025.02 248,000.00 0.400 1,280 906 0.401 01/23/2025 Portfolio CITY CP Run Date: 12/07/2022 - 15:29 PM (PRF_PM2) 7.3.0 City of La Quinta Portfolio Management Portfolio Details - Investments July 31, 2022 Page 7 CUSIP Investment # Average Issuer Balance Purchase Date Par Value Market Value Book Value Stated Rate Term Days to Maturity YTM 365 Maturity Date Certificate of Deposits 06417NZO9 1329 Bank OZK 07/29/2021 248,000.00 232,034.92 248,000.00 0.400 1,280 912 0.401 01/29/2025 90983WBT7 1249 United Community 02/07/2020 248,000.00 239,528.86 248,000.00 1.650 1,827 921 1.652 02/07/2025 32114VBT3 1250 First National Bank Michigan 02/14/2020 248,000.00 239,467.11 248,000.00 1.650 1,827 928 1.652 02/14/2025 35637RDC8 1248 Freedom Financial 02/14/2020 248,000.00 238,851.05 248,000.00 1.550 1,827 928 1.552 02/14/2025 029728BC5 1255 American State 02/21/2020 248,000.00 239,095.27 248,000.00 1.600 1,827 935 1.602 02/21/2025 17286TAGO 1252 Citadel FCU 02/27/2020 248,000.00 239,352.88 248,000.00 1.650 1,827 941 1.652 02/27/2025 00435JBH5 1256 Access Bank 03/13/2020 248,000.00 239,030.87 248,000.00 1.600 1,826 955 1.601 03/13/2025 849430BF9 1257 Spring Bank 03/20/2020 248,000.00 238,330.18 248,000.00 1.500 1,826 962 1.501 03/20/2025 05465DAE8 1258 Axos Bank 03/26/2020 248,000.00 239,235.07 248,000.00 1.650 1,826 968 1.651 03/26/2025 020080BX4 1267 Alma Bank 03/30/2020 248,000.00 237,610.54 248,000.00 1.400 1,824 970 1.399 03/28/2025 2027506M2 1268 Commonwealth Business Bk 03/31/2020 248,000.00 236,851.75 248,000.00 1.250 1,826 973 1.251 03/31/2025 654062JZ2 1266 Nicolet Natl Bank 03/31/2020 248,000.00 237,819.47 248,000.00 1.400 1,826 973 1.401 03/31/2025 14042TDD6 1271 Capital One USA FDIC33954 04/08/2020 245,000.00 236,072.55 245,000.00 1.600 1,826 981 1.601 04/08/2025 02007GPX5 1388 Ally Bank Midvale 04/21/2022 245,000.00 242,097.63 245,000.00 2.550 1,096 994 2.550 04/21/2025 52168UHY1 1389 Leader Bank 04/22/2022 245,000.00 242,094.83 245,000.00 2.550 1,096 995 2.552 04/22/2025 32112UDR9 1274 First Natl Bk McGregor 04/28/2020 248,000.00 237,084.92 248,000.00 1.350 1,826 1,001 1.351 04/28/2025 32027BALl 1273 First Freedom Bank 04/29/2020 249,000.00 237,154.79 249,000.00 1.200 1,826 1,002 1.201 04/29/2025 33847E3A3 1276 Flagstar 04/30/2020 248,000.00 236,704.06 248,000.00 1.250 1,826 1,003 1.251 04/30/2025 32056GDJ6 1278 1st Internet Bank 05/11/2020 248,000.00 234,712.29 248,000.00 1.000 1,827 1,015 0.985 05/12/2025 95960NKD8 1277 Western State Bank 05/13/2020 245,000.00 231,930.62 245,000.00 1.000 1,826 1,016 1.001 05/13/2025 254673E69 1392 Discover Bank Greenwood DE CF 05/24/2022 245,000.00 245,803.23 245,000.00 3.100 1,099 1,030 3.103 05/27/2025 169894AS1 1284 Chippewa Valley Bk 06/24/2020 248,000.00 231,507.89 248,000.00 0.600 1,826 1,058 0.600 06/24/2025 307811DF3 1363 Farmers & Merch 01/14/2022 249,000.00 234,418.07 249,000.00 0.900 1,277 1,078 0.900 07/14/2025 70962LAF9 1331 Pentagon FCU 09/01/2021 249,000.00 232,504.96 249,000.00 0.700 1,462 1,128 0.687 09/02/2025 51507LCC6 1305 Landmark Community Bank 01/22/2021 248,000.00 228,322.49 248,000.00 0.500 1,826 1,270 0.500 01/22/2026 87270LDL4 1306 TIAA FKA EverBank 02/12/2021 245,000.00 225,461.72 245,000.00 0.500 1,826 1,291 0.500 02/12/2026 64034KAZ4 1376 Nelnet Bank 03/02/2022 245,000.00 236,248.26 245,000.00 1.800 1,461 1,309 1.801 03/02/2026 39573LBC1 1313 Greenstate FCU 04/16/2021 249,000.00 232,307.52 249,000.00 0.950 1,826 1,354 0.951 04/16/2026 89235MKY6 1314 Toyota Financial Savings Bank 04/22/2021 245,000.00 228,154.88 245,000.00 0.900 1,826 1,360 0.900 04/22/2026 14622LAAO 1316 Carter FCU 04/27/2021 248,000.00 229,462.00 248,000.00 0.750 1,826 1,365 0.750 04/27/2026 31617CAV5 1317 Fidelity Homestead 04/30/2021 248,000.00 229,182.32 248,000.00 0.700 1,826 1,368 0.711 04/30/2026 501798RP9 1356 LCA Bank Corp 12/27/2021 248,000.00 231,320.85 248,000.00 1.000 1,642 1,425 1.000 06/26/2026 92559TAJ7 1325 Vibrant Credit Union 07/02/2021 249,000.00 230,463.76 248,377.50 0.800 1,824 1,429 0.852 06/30/2026 38149MXK4 1326 Goldman Sachs 07/28/2021 248,000.00 231,081.29 248,000.00 1.000 1,826 1,457 1.001 07/28/2026 795451AFO 1327 Sallie Mae Bank Salt Lake City 07/28/2021 248,000.00 231,081.29 248,000.00 1.000 1,826 1,457 1.001 07/28/2026 87165ET98 1332 Synchrony Bank Retail 09/03/2021 245,000.00 227,090.86 245,000.00 0.900 1,826 1,494 0.900 09/03/2026 Portfolio CITY CP Run Date: 12/07/2022 - 15:29 PM (PRF_PM2) 7.3.0 N City of La Quinta Portfolio Management Portfolio Details - Investments July 31, 2022 Page 8 Average Purchase Stated Days to YTM Maturity CUSIP Investment # Issuer Balance Date Par Value Market Value Book Value Rate Term Maturity 365 Date Certificate of Deposits 20786ADL6 1334 Connect One 09/24/2021 248,000.00 228,549.66 248,000.00 0.800 1,826 1,515 0.800 09/24/2026 59013KPNO 1345 Merrick Bank 11/09/2021 249,000.00 232,086.05 249,000.00 1.100 1,826 1,561 1.101 11/09/2026 14042RQBO 1346 Capital One Natl Assn FDIC4297 11/17/2021 248,000.00 231,157.47 248,000.00 1.100 1,826 1,569 1.101 11/17/2026 20825WAR1 1357 Connexus CU 12/23/2021 249,000.00 233,267.39 249,000.00 1.250 1,826 1,605 1.250 12/23/2026 89786MAF1 1368 True Sky FCU 02/04/2022 245,000.00 233,009.26 245,000.00 1.600 1,826 1,648 1.601 02/04/2027 02357QAQO 1372 Amerant Bank 02/14/2022 245,000.00 232,925.43 245,000.00 1.600 1,828 1,660 1.601 02/16/2027 07371AYE7 1370 Beal Bank TX 02/23/2022 245,000.00 236,088.44 245,000.00 1.900 1,820 1,661 1.901 02/17/2027 073710E88 1371 Beal Bank USA 02/23/2022 245,000.00 236,088.44 245,000.00 1.900 1,820 1,661 1.901 02/17/2027 59161YAP1 1373 Metro Credit Union 02/18/2022 249,000.00 237,731.26 249,000.00 1.700 1,826 1,662 1.701 02/18/2027 24773RCR4 1377 Delta Natl B&T 03/09/2022 245,000.00 237,108.57 245,000.00 2.000 1,814 1,669 2.001 02/25/2027 27004PCM3 1375 Eaglemark Savings 03/02/2022 245,000.00 237,147.48 245,000.00 2.000 1,826 1,674 2.001 03/02/2027 91139LAB2 1378 United Roosevelt Savings 03/11/2022 248,000.00 238,885.40 248,000.00 1.900 1,826 1,683 1.901 03/11/2027 565819AG4 1379 Marathon Bnak 03/16/2022 248,000.00 237,768.13 248,000.00 1.800 1,826 1,688 1.801 03/16/2027 20033A3A2 1386 Comenity Capital Bank 04/14/2022 248,000.00 247,100.85 248,000.00 2.650 1,826 1,717 2.652 04/14/2027 397417AQ9 1419 Greenwoods State Bank 05/17/2022 248,000.00 251,682.61 248,000.00 3.050 1,826 1,750 3.052 05/17/2027 Subtotal and Average 32,442,603.31 32,594,000.00 31,687,117.92 32,593,377.50 1,656 784 1.917 Corporate Notes 931142DU4 1190 Wal-Mart Stores, Inc 04/16/2019 500,000.00 500,865.00 496,650.00 2.350 1,339 136 2.799 12/15/2022 19416QEA4 1175 Colgate-Palmolive 03/04/2019 500,000.00 496,870.00 485,250.00 1.950 1,430 184 2.751 02/01/2023 594918BQ6 1157 Microsoft Corporation 10/15/2018 400,000.00 396,748.00 378,360.00 2.000 1,758 372 3.222 08/08/2023 45950VPS9 1308 International Finance Corp. 02/26/2021 500,000.00 460,750.00 497,300.00 0.500 1,826 1,305 0.610 02/26/2026 Subtotal and Average 1,857,560.00 1,900,000.00 1,855,233.00 1,857,560.00 1,578 510 2.287 Money Market with Fiscal Agent SYS1058 1058 US Bank 07/01/2016 26.01 26.01 26.01 1 1 0.000 Subtotal and Average 26.01 26.01 26.01 26.01 1 1 0.000 CERBT - OPEB Trust SYS1114 1114 CalPERS CERBT Plan 07/01/2022 1,792,152.96 1,792,152.96 1,792,152.96 1 1 0.000 Subtotal and Average 1,792,152.96 1,792,152.96 1,792,152.96 1,792,152.96 1 1 0.000 PARS Pension Trust SYS1230 1230 Pblc Agncy Rtrmnt Sery 10,510,266.30 10,510,266.30 10,510,266.30 1 1 0.000 Run Date: 12/07/2022 - 15:29 Portfolio CITY CID PM (PRF_PM2) 7.3.0 City of La Quinta Portfolio Management Portfolio Details - Investments July 31, 2022 Page 9 Average Purchase Stated Daysto YTM CUSIP Investment # Issuer Balance Date Par Value Market Value Book Value Rate Term Maturity 365 Subtotal and Average 10,149,899.86 10,510,266.30 10,510,266.30 10,510,266.30 1 1 0.000 Total and Average 223,372,590.83 Run Date: 12/07/2022 - 15:29 226,582,320.63 221,858,690.86 225,786,770.30 707 439 1.380 Portfolio CITY CID PM (PRF_PM2) 7.3.0 t(V Qa I tr(lu City of La Quinta Total Earnings GEM ofrheDESERT - Sorted by Fund - Fund July 1, 2022 - July 31, 2022 City of La Quinta CUSIP Investment # Fund Issuer Ending Par Value Beginning Book Value Ending Book Value Current Rate Annualized Yield Interest Earned Adjusted Interest Earnings Amortization/ Realized Accretion Gainl/Loss Adjusted Interest Earnings Fund: General Fund 98-33-434 1055 101 LAIF 32,728,722.48 32,615,832.06 32,728,722.48 1.090 1.353 37,476.97 0.00 0.00 37,476.97 SYS1059 1059 101 CITYPC 3,300.00 3,300.00 3,300.00 0.00 0.00 0.00 0.00 01859BAA3 1095 101 ALLIAN 245,000.00 245,000.00 245,000.00 2.250 2.250 468.18 0.00 0.00 468.18 02587CFU9 1096 101 AMFSB 240,000.00 240,000.00 240,000.00 2.400 2.400 489.21 0.00 0.00 489.21 06740KLJ4 1097 101 BARCLY 240,000.00 240,000.00 240,000.00 2.300 2.300 468.82 0.00 0.00 468.82 62384RACO 1099 101 MTNAMR 245,000.00 245,000.00 245,000.00 2.300 2.300 478.59 0.00 0.00 478.59 22766ACB9 1106 101 CRS1ST 245,000.00 245,000.00 245,000.00 2.200 2.200 457.78 0.00 0.00 457.78 29367QCP1 1107 101 ENTRPR 245,000.00 245,000.00 245,000.00 2.150 2.150 447.38 0.00 0.00 447.38 499724AB8 1110 101 KNOX 245,000.00 245,000.00 245,000.00 2.400 2.400 499.40 0.00 0.00 499.40 SYS1114 1114 101 CALPRS 1,792,152.96 0.00 1,792,152.96 0.00 0.00 0.00 0.00 034577AH9 1119 101 ANECA 245,000.00 245,000.00 245,000.00 2.800 2.800 582.63 0.00 0.00 582.63 17312QJ26 1123 101 CITINA 245,000.00 245,000.00 245,000.00 2.900 2.900 603.44 0.00 0.00 603.44 29278TAY6 1125 101 ENER 240,000.00 240,000.00 240,000.00 2.950 2.950 601.32 0.00 0.00 601.32 74934YAH4 1144 101 RCB 245,000.00 245,000.00 245,000.00 3.150 3.150 655.46 0.00 0.00 655.46 32110YLK9 1147 101 1STNBA 245,000.00 245,000.00 245,000.00 3.150 3.150 655.46 0.00 0.00 655.46 89269CBX9 1148 101 TRAD 245,000.00 245,000.00 245,000.00 3.000 3.000 624.25 0.00 0.00 624.25 06426KAN8 1151 101 NWENGL 249,000.00 249,000.00 249,000.00 3.250 3.250 687.31 0.00 0.00 687.31 SYS1153 1153 101 CAMP 32,915,647.76 27,875,713.70 32,915,647.76 1.640 1.687 39,934.06 0.00 0.00 39,934.06 474067AQ8 1154 101 JEFF 245,000.00 245,000.00 245,000.00 3.350 3.350 697.07 0.00 0.00 697.07 57116ARV2 1155 101 MARBUS 248,000.00 248,000.00 248,000.00 3.300 3.300 695.08 0.00 0.00 695.08 594918BQ6 1157 101 MCRSFT 400,000.00 378,360.00 378,360.00 2.000 2.075 666.66 0.00 0.00 666.66 3133EJYL7 1158 101 FFCB 250,000.00 247,275.00 247,275.00 2.800 2.778 583.33 0.00 0.00 583.33 625925AR3 1160 101 MUNTRS 245,000.00 245,000.00 245,000.00 3.200 3.200 665.86 0.00 0.00 665.86 90348JEJ5 1161 101 UBS 245,000.00 245,000.00 245,000.00 3.350 3.350 697.08 0.00 0.00 697.08 20143PDV9 1162 101 COMMBK 248,000.00 248,000.00 248,000.00 3.400 3.400 716.14 0.00 0.00 716.14 67054NAN3 1164 101 NMRCA 248,000.00 248,000.00 248,000.00 3.550 3.550 747.74 0.00 0.00 747.74 75701LAB3 1166 101 REDRCK 248,000.00 248,000.00 248,000.00 3.350 3.350 705.61 0.00 0.00 705.61 58404DCX7 1169 101 MEDBA 248,000.00 248,000.00 248,000.00 3.400 3.400 716.14 0.00 0.00 716.14 635573AL2 1170 101 NLCOOP 245,000.00 245,000.00 245,000.00 3.400 3.400 707.48 0.00 0.00 707.48 Run Date: 12/07/2022 - 22:05 Portfolio CITY CP TE (PRF_TE) 7.3.6 Report Ver. 7.3.6.1 City of La Quinta Total Earnings Page 2 July 1, 2022 - July 31, 2022 CUSIP Investment # Fund Issuer Ending Par Value Beginning Book Value Ending Book Value Current Rate Annualized Yield Interest Earned Adjusted Interest Earnings Amortization/ Realized Accretion Gainl/Loss Adjusted Interest Earnings Fund: General Fund 066851WJ1 1172 101 BARHAR 248,000.00 248,000.00 248,000.00 3.350 3.350 705.61 0.00 0.00 705.61 619165JD6 1173 101 MORTN 248,000.00 248,000.00 248,000.00 2.750 2.750 579.23 0.00 0.00 579.23 949763XY7 1174 101 WELLS 248,000.00 248,000.00 248,000.00 3.000 3.000 631.89 0.00 0.00 631.89 19416QEA4 1175 101 COLGTE 500,000.00 485,250.00 485,250.00 1.950 1.971 812.50 0.00 0.00 812.50 3130AFW94 1177 101 FHLB 500,000.00 498,550.00 498,550.00 2.500 2.460 1,041.66 0.00 0.00 1,041.66 9128282W9 1178 101 USTR 500,000.00 489,687.50 489,687.50 1.875 1.909 794.05 0.00 0.00 794.05 32117BCX4 1179 101 1STNBK 248,000.00 248,000.00 248,000.00 2.800 2.800 589.76 0.00 0.00 589.76 92535LCD4 1180 101 VERUS 248,000.00 248,000.00 248,000.00 2.700 2.700 568.71 0.00 0.00 568.71 66736ABP3 1181 101 NRTHWS 248,000.00 248,000.00 248,000.00 2.950 2.950 621.36 0.00 0.00 621.36 156634AK3 1184 101 CENTNX 248,000.00 248,000.00 248,000.00 2.500 2.500 526.57 0.00 0.00 526.57 48128HXU7 1185 101 JPMORG 245,000.00 245,000.00 245,000.00 3.250 3.250 676.27 0.00 0.00 676.27 46256YAZ2 1186 101 IOWAST 245,000.00 245,000.00 245,000.00 2.400 2.400 499.40 0.00 0.00 499.40 56065GAG3 1188 101 MAINST 248,000.00 248,000.00 248,000.00 2.600 2.600 547.64 0.00 0.00 547.64 20726ABA5 1189 101 CONGRS 248,000.00 248,000.00 248,000.00 2.500 2.500 526.58 0.00 0.00 526.58 931142DU4 1190 101 WALMRT 500,000.00 496,650.00 496,650.00 2.350 2.321 979.17 0.00 0.00 979.17 725404AB3 1194 101 PITTS 245,000.00 245,000.00 245,000.00 2.500 2.500 520.21 0.00 0.00 520.21 72651LCL6 1195 101 PLAINS 245,000.00 245,000.00 245,000.00 2.550 2.550 530.61 0.00 0.00 530.61 299547AQ2 1196 101 EVNSCU 248,000.00 248,000.00 248,000.00 2.600 2.600 547.64 0.00 0.00 547.64 524661CB9 1197 101 LEGCY 248,000.00 248,000.00 248,000.00 2.400 2.400 505.51 0.00 0.00 505.51 3133EKQP4 1198 101 FFCB 500,000.00 499,500.00 499,500.00 1.875 1.842 781.25 0.00 0.00 781.25 176688CP2 1199 101 CTZNST 248,000.00 248,000.00 248,000.00 2.400 2.400 505.52 0.00 0.00 505.52 85916VDC6 1201 101 STRLNG 245,000.00 245,000.00 245,000.00 2.150 2.150 447.38 0.00 0.00 447.38 20416TAQ5 1202 101 COMMW 248,000.00 248,000.00 248,000.00 2.250 2.250 473.92 0.00 0.00 473.92 761402BY1 1203 101 REVER 247,000.00 247,000.00 247,000.00 2.300 2.300 482.50 0.00 0.00 482.50 02772JBD1 1205 101 AMRNTL 248,000.00 248,000.00 248,000.00 2.000 2.000 421.26 0.00 0.00 421.26 3135GOV75 1206 101 FNMA 500,000.00 495,950.00 495,950.00 1.750 1.731 729.17 0.00 0.00 729.17 00257TBD7 1207 101 ABACUS 248,000.00 248,000.00 248,000.00 1.950 1.950 410.73 0.00 0.00 410.73 51210SQU4 1208 101 LKSIDE 248,000.00 248,000.00 248,000.00 2.000 2.000 421.26 0.00 0.00 421.26 33625CCP2 1209 101 1STSEC 248,000.00 248,000.00 248,000.00 2.000 2.000 421.26 0.00 0.00 421.26 710571DS6 1210 101 PEOPLE 248,000.00 248,000.00 248,000.00 2.000 2.000 421.26 0.00 0.00 421.26 3133EKWV4 1212 101 FFCB 500,000.00 499,500.00 499,500.00 1.850 1.817 770.83 0.00 0.00 770.83 740367HP5 1213 101 PREFRD 249,000.00 249,000.00 249,000.00 2.000 2.000 422.96 0.00 0.00 422.96 938828BH2 1215 101 WSHFED 248,000.00 248,000.00 248,000.00 2.000 2.000 421.26 0.00 0.00 421.26 33766LAJ7 1216 101 1STIER 249,000.00 249,000.00 249,000.00 1.950 1.950 412.38 0.00 0.00 412.38 912828T26 1217 101 USTR 500,000.00 499,300.00 499,300.00 1.375 1.373 582.31 0.00 0.00 582.31 75472RAD3 1218 101 RAYJAM 244,000.00 244,000.00 244,000.00 1.950 1.950 404.11 0.00 0.00 404.11 12556LBA3 1219 101 CITBNK 245,000.00 245,000.00 245,000.00 1.900 1.900 395.35 0.00 0.00 395.35 Run Date: 12/07/2022 - 22:05 Portfolio CITY CID TE (PRF_TE) 7.3.6 Report Ver. 7.3.6.1 City of La Quinta Total Earnings Page 3 July 1, 2022 - July 31, 2022 CUSIP Investment # Fund Issuer Ending Par Value Beginning Book Value Ending Book Value Current Rate Annualized Yield Interest Earned Adjusted Interest Earnings Amortization/ Realized Accretion Gainl/Loss Adjusted Interest Earnings Fund: General Fund 15118RRH2 1220 101 CELTIC 248,000.00 248,000.00 248,000.00 1.850 1.850 389.67 0.00 0.00 389.67 334342CD2 1221 101 1STNBS 249,000.00 249,000.00 249,000.00 1.850 1.850 391.24 0.00 0.00 391.24 336460CX6 1222 101 1STDQN 248,000.00 248,000.00 248,000.00 1.800 1.800 379.13 0.00 0.00 379.13 3133EKZK5 1223 101 FFCB 500,000.00 499,400.00 499,400.00 1.600 1.572 666.67 0.00 0.00 666.67 3133EKP75 1224 101 FFCB 500,000.00 498,750.00 498,750.00 1.600 1.574 666.67 0.00 0.00 666.67 06652CHBO 1227 101 BNKWST 248,000.00 248,000.00 248,000.00 1.700 1.700 358.07 0.00 0.00 358.07 059731851 1228 101 BOTW 3,264,587.10 7,618,166.47 3,264,587.10 0.01 0.00 0.00 0.01 SYS1230 1230 101 PARS 10,510,266.30 10,137,887.65 10,510,266.30 0.00 0.00 0.00 0.00 33640VDD7 1231 101 1STSER 248,000.00 248,000.00 248,000.00 1.700 1.700 358.07 0.00 0.00 358.07 3135GOW33 1233 101 FNMA 1,000,000.00 992,100.00 992,100.00 1.375 1.360 1,145.83 0.00 0.00 1,145.83 3133EK4X1 1234 101 FFCB 1,000,000.00 996,900.00 996,900.00 1.600 1.575 1,333.33 0.00 0.00 1,333.33 804375DL4 1235 101 SAUKVL 248,000.00 248,000.00 248,000.00 1.700 1.700 358.07 0.00 0.00 358.07 6176OA3133 1236 101 MSPRIV 245,000.00 245,000.00 245,000.00 1.900 1.900 395.36 0.00 0.00 395.36 6169OUNX4 1237 101 MORGST 245,000.00 245,000.00 245,000.00 1.950 1.950 405.76 0.00 0.00 405.76 538036GVO 1238 101 LIVEOK 248,000.00 248,000.00 248,000.00 1.800 1.800 379.13 0.00 0.00 379.13 49228XAK6 1239 101 KERNCU 248,000.00 248,000.00 248,000.00 1.900 1.900 400.20 0.00 0.00 400.20 79772FACO 1240 101 SF FCU 248,000.00 248,000.00 248,000.00 1.850 1.850 389.67 0.00 0.00 389.67 912828YV6 1241 101 USTR 1,000,000.00 989,687.50 989,687.50 1.500 1.511 1,270.49 0.00 0.00 1,270.49 3133ELEA8 1242 101 FFCB 1,000,000.00 998,600.00 998,600.00 1.700 1.670 1,416.67 0.00 0.00 1,416.67 949495AT2 1244 101 WFNBW 248,000.00 248,000.00 248,000.00 1.900 1.900 400.20 0.00 0.00 400.20 3133ELNEO 1246 101 FFCB 1,000,000.00 999,000.00 999,000.00 1.430 1.404 1,191.67 0.00 0.00 1,191.67 3133EGWJO 1247 101 FFCB 1,000,000.00 999,217.36 999,217.36 1.400 1.375 1,166.66 0.00 0.00 1,166.66 35637RDC8 1248 101 FRDMFI 248,000.00 248,000.00 248,000.00 1.550 1.550 326.48 0.00 0.00 326.48 90983WBT7 1249 101 UNTDCM 248,000.00 248,000.00 248,000.00 1.650 1.650 347.54 0.00 0.00 347.54 32114VBT3 1250 101 1STNM1 248,000.00 248,000.00 248,000.00 1.650 1.650 347.54 0.00 0.00 347.54 77579ADFO 1251 101 RLLSTN 245,000.00 245,000.00 245,000.00 1.650 1.650 343.34 0.00 0.00 343.34 17286TAGO 1252 101 CITADL 248,000.00 248,000.00 248,000.00 1.650 1.650 347.54 0.00 0.00 347.54 81768PAF3 1254 101 SERVIS 248,000.00 248,000.00 248,000.00 1.600 1.600 337.01 0.00 0.00 337.01 029728BC5 1255 101 AMERST 248,000.00 248,000.00 248,000.00 1.600 1.600 337.01 0.00 0.00 337.01 00435JBH5 1256 101 ACCSS 248,000.00 248,000.00 248,000.00 1.600 1.600 337.01 0.00 0.00 337.01 849430BF9 1257 101 SPRING 248,000.00 248,000.00 248,000.00 1.500 1.500 315.94 0.00 0.00 315.94 05465DAE8 1258 101 AXOS 248,000.00 248,000.00 248,000.00 1.650 1.650 347.54 0.00 0.00 347.54 882213AB7 1260 101 TEXAS 245,000.00 245,000.00 245,000.00 1.100 1.100 228.89 0.00 0.00 228.89 89579NCD3 1262 101 TRIAD 248,000.00 248,000.00 248,000.00 1.350 1.350 284.35 0.00 0.00 284.35 66704MEQO 1263 101 NRTHSR 248,000.00 248,000.00 248,000.00 1.150 1.150 242.22 0.00 0.00 242.22 954444BS3 1265 101 WESTMI 248,000.00 248,000.00 248,000.00 1.150 1.150 242.22 0.00 0.00 242.22 654062JZ2 1266 101 NCOLET 248,000.00 248,000.00 248,000.00 1.400 1.400 294.88 0.00 0.00 294.88 Run Date: 12/07/2022 - 22:05 Portfolio CITY CP TE (PRF_TE) 7.3.6 Report Ver. 7.3.6.1 M City of La Quinta Total Earnings Page 4 July 1, 2022 - July 31, 2022 CUSIP Investment # Fund Issuer Ending Par Value Beginning Book Value Ending Book Value Current Rate Annualized Yield Interest Earned Adjusted Interest Earnings Amortization/ Realized Accretion Gainl/Loss Adjusted Interest Earnings Fund: General Fund 020080BX4 1267 101 ALMABK 248,000.00 248,000.00 248,000.00 1.400 1.400 294.88 0.00 0.00 294.88 2027506M2 1268 101 CMWBUS 248,000.00 248,000.00 248,000.00 1.250 1.250 263.29 0.00 0.00 263.29 69506YRH4 1269 101 PACWST 245,000.00 245,000.00 245,000.00 1.300 1.300 270.50 0.00 0.00 270.50 08016PDQ9 1270 101 BELB&T 248,000.00 248,000.00 248,000.00 1.250 1.250 263.29 0.00 0.00 263.29 14042TDD6 1271 101 CAPONE 245,000.00 245,000.00 245,000.00 1.600 1.600 332.93 0.00 0.00 332.93 472382AQ3 1272 101 THEJEF 248,000.00 248,000.00 248,000.00 1.250 1.250 263.28 0.00 0.00 263.28 32027BALl 1273 101 1STFDM 249,000.00 249,000.00 249,000.00 1.200 1.200 253.77 0.00 0.00 253.77 32112UDR9 1274 101 1STMCG 248,000.00 248,000.00 248,000.00 1.350 1.350 284.35 0.00 0.00 284.35 33847E3A3 1276 101 FLGSTR 248,000.00 248,000.00 248,000.00 1.250 1.250 263.28 0.00 0.00 263.28 95960NKD8 1277 101 WSTRNS 245,000.00 245,000.00 245,000.00 1.000 1.000 208.09 0.00 0.00 208.09 32056GDJ6 1278 101 1STINT 248,000.00 248,000.00 248,000.00 1.000 1.000 210.63 0.00 0.00 210.63 3134GVYG7 1279 101 FHLMC 1,000,000.00 1,000,000.00 1,000,000.00 0.625 0.613 520.83 0.00 0.00 520.83 3133ELH23 1280 101 FFCB 500,000.00 499,850.00 499,850.00 0.500 0.491 208.33 0.00 0.00 208.33 3130AJKW8 1281 101 FHLB 500,000.00 499,850.00 499,850.00 0.500 0.491 208.33 0.00 0.00 208.33 3133ELH80 1282 101 FFCB 500,000.00 500,000.00 500,000.00 0.680 0.667 283.34 0.00 0.00 283.34 3130AJRP6 1283 101 FHLB 300,000.00 300,000.00 300,000.00 0.680 0.667 170.00 0.00 0.00 170.00 169894AS1 1284 101 CHIPVA 248,000.00 248,000.00 248,000.00 0.600 0.600 126.38 0.00 0.00 126.38 02616AAH2 1285 101 AMR1ST 248,000.00 248,000.00 248,000.00 0.350 0.350 73.72 0.00 0.00 73.72 84223QAN7 1286 101 STHRNB 248,000.00 248,000.00 248,000.00 0.500 0.500 105.32 0.00 0.00 105.32 064520BG3 1287 101 BKPRNC 248,000.00 248,000.00 248,000.00 0.500 0.500 105.32 0.00 0.00 105.32 3135G05S8 1288 101 FNMA 500,000.00 500,000.00 500,000.00 0.500 0.491 208.33 0.00 0.00 208.33 3136G4N74 1289 101 FNMA 1,000,000.00 1,000,000.00 1,000,000.00 0.560 0.549 466.67 0.00 0.00 466.67 3136G4M75 1290 101 FNMA 500,000.00 499,750.00 499,750.00 0.520 0.510 216.66 0.00 0.00 216.66 3135G06E8 1291 101 FNMA 500,000.00 499,250.00 499,250.00 0.420 0.413 175.00 0.00 0.00 175.00 3135GA2Z3 1292 101 FNMA 500,000.00 499,250.00 499,250.00 0.560 0.550 233.34 0.00 0.00 233.34 SYS1293 1293 101 BNY 2,337,762.00 530,216.68 2,337,762.00 0.00 0.00 0.00 0.00 3137EAEU9 1297 101 FHLMC 1,000,000.00 997,300.00 997,300.00 0.375 0.369 312.50 0.00 0.00 312.50 3130AKFA9 1298 101 FHLB 500,000.00 497,400.00 497,400.00 0.375 0.370 156.25 0.00 0.00 156.25 3135GA7D7 1299 101 FNMA 500,000.00 500,000.00 500,000.00 0.600 0.589 250.00 0.00 0.00 250.00 3135GAAW1 1300 101 FNMA 500,000.00 500,000.00 500,000.00 0.400 0.392 166.66 0.00 0.00 166.66 3134GXGZ1 1301 101 FHLMC 500,000.00 500,000.00 500,000.00 0.550 0.540 229.17 0.00 0.00 229.17 3130AKMZ6 1302 101 FHLB 500,000.00 500,000.00 500,000.00 0.510 0.500 212.50 0.00 0.00 212.50 91282CBC4 1303 101 USTR 500,000.00 498,632.81 498,632.81 0.375 0.373 157.94 0.00 0.00 157.94 3130AKN28 1304 101 FHLB 500,000.00 500,000.00 500,000.00 0.550 0.540 229.17 0.00 0.00 229.17 51507LCC6 1305 101 LNDMRK 248,000.00 248,000.00 248,000.00 0.500 0.500 105.32 0.00 0.00 105.32 87270LDL4 1306 101 EVRBA 245,000.00 245,000.00 245,000.00 0.500 0.500 104.04 0.00 0.00 104.04 3137EAEX3 1307 101 FHLMC 500,000.00 495,999.50 495,999.50 0.375 0.371 156.25 0.00 0.00 156.25 Run Date: 12/07/2022 - 22:05 Portfolio CITY CP TE (PRF_TE) 7.3.6 Report Ver. 7.3.6.1 City of La Quinta Total Earnings Page 5 July 1, 2022 - July 31, 2022 CUSIP Investment # Fund Issuer Ending Par Value Beginning Book Value Ending Book Value Current Rate Annualized Yield Interest Earned Adjusted Interest Earnings Amortization/ Realized Accretion Gainl/Loss Adjusted Interest Earnings Fund: General Fund 45950VPS9 1308 101 IFC 500,000.00 497,300.00 497,300.00 0.500 0.507 214.09 0.00 0.00 214.09 91282CBH3 1309 101 USTR 500,000.00 495,100.00 495,100.00 0.375 0.382 160.49 0.00 0.00 160.49 3137EAEX3 1310 101 FHLMC 1,000,000.00 983,940.00 983,940.00 0.375 0.374 312.50 0.00 0.00 312.50 91282CAT8 1311 101 USTR 1,000,000.00 977,500.00 977,500.00 0.250 0.254 210.59 0.00 0.00 210.59 3130ALV92 1312 101 FHLB 500,000.00 500,000.00 500,000.00 1.050 1.030 437.50 0.00 0.00 437.50 39573LBC1 1313 101 GRNST 249,000.00 249,000.00 249,000.00 0.950 0.950 200.91 0.00 0.00 200.91 89235MKY6 1314 101 TOYFSB 245,000.00 245,000.00 245,000.00 0.900 0.900 187.27 0.00 0.00 187.27 91282CAZ4 1315 101 USTR 500,000.00 492,187.50 492,187.50 0.375 0.380 158.81 0.00 0.00 158.81 14622LAA0 1316 101 CARTER 248,000.00 248,000.00 248,000.00 0.750 0.750 157.97 0.00 0.00 157.97 31617CAV5 1317 101 FIDHMS 248,000.00 248,000.00 248,000.00 0.700 0.700 147.44 0.00 0.00 147.44 SYS1318 1318 101 DPME 613,712.88 597,351.67 613,712.88 0.00 0.00 0.00 0.00 91282CBQ3 1319 101 USTR 500,000.00 494,165.00 494,165.00 0.500 0.502 210.60 0.00 0.00 210.60 91282CBT7 1320 101 USTR 500,000.00 499,525.00 499,525.00 0.750 0.749 317.63 0.00 0.00 317.63 91282CCF6 1321 101 USTR 1,000,000.00 997,060.00 997,060.00 0.750 0.750 635.24 0.00 0.00 635.24 91282CBT7 1322 101 USTR 500,000.00 498,450.00 498,450.00 0.750 0.750 317.63 0.00 0.00 317.63 91282CCF6 1323 101 USTR 500,000.00 497,095.00 497,095.00 0.750 0.752 317.63 0.00 0.00 317.63 3130AMFS6 1324 101 FHLB 1,000,000.00 993,420.00 993,420.00 0.750 0.741 625.00 0.00 0.00 625.00 92559TAJ7 1325 101 VIBRNT 249,000.00 248,377.50 248,377.50 0.800 0.802 169.18 0.00 0.00 169.18 38149MXK4 1326 101 GLDMAN 248,000.00 248,000.00 248,000.00 1.000 1.000 210.63 0.00 0.00 210.63 795451AFO 1327 101 SALMAE 248,000.00 248,000.00 248,000.00 1.000 1.000 210.63 0.00 0.00 210.63 89388CEY0 1328 101 TABBK 248,000.00 248,000.00 248,000.00 0.400 0.400 84.25 0.00 0.00 84.25 06417NZQ9 1329 101 BKOZK 248,000.00 248,000.00 248,000.00 0.400 0.400 84.25 0.00 0.00 84.25 3133EM2C5 1330 101 FFCB 500,000.00 498,000.00 498,000.00 0.710 0.699 295.83 0.00 0.00 295.83 70962LAF9 1331 101 PENTGN 249,000.00 249,000.00 249,000.00 0.700 0.700 148.04 0.00 0.00 148.04 87165ET98 1332 101 SYNCHR 245,000.00 245,000.00 245,000.00 0.900 0.900 187.27 0.00 0.00 187.27 05580AD50 1333 101 BMW 245,000.00 245,000.00 245,000.00 0.650 0.650 135.25 0.00 0.00 135.25 20786ADL6 1334 101 CONNEC 248,000.00 248,000.00 248,000.00 0.800 0.800 168.51 0.00 0.00 168.51 91282CCP4 1335 101 USTR 1,000,000.00 983,750.00 983,750.00 0.625 0.640 534.94 0.00 0.00 534.94 91282CCW9 1336 101 USTR 1,000,000.00 988,500.00 988,500.00 0.750 0.753 631.80 0.00 0.00 631.80 3130APBM6 1337 101 FHLB 1,000,000.00 999,000.00 999,000.00 1.000 0.982 833.33 0.00 0.00 833.33 3133EM4X7 1338 101 FFCB 1,000,000.00 991,080.00 991,080.00 0.800 0.792 666.66 0.00 0.00 666.66 3130APB46 1339 101 FHLB 1,000,000.00 998,250.00 998,250.00 0.950 0.934 791.67 0.00 0.00 791.67 3133EMX64 1340 101 FFCB 500,000.00 499,002.04 499,002.04 0.170 0.167 70.83 0.00 0.00 70.83 91282CCN9 1341 101 USTR 500,000.00 497,792.97 497,792.97 0.125 0.127 53.50 0.00 0.00 53.50 91282CBE0 1342 101 USTR 1,000,000.00 991,000.00 991,000.00 0.125 0.126 106.08 0.00 0.00 106.08 91282CDB4 1343 101 USTR 1,000,000.00 996,320.00 996,320.00 0.625 0.626 529.37 0.00 0.00 529.37 3133ENCQ1 1344 101 FFCB 1,000,000.00 1,000,000.00 1,000,000.00 1.270 1.246 1,058.33 0.00 0.00 1,058.33 Run Date: 12/07/2022 - 22:05 Portfolio CITY CID TE (PRF_TE) 7.3.6 Report Ver. 7.3.6.1 91 City of La Quinta Total Earnings Page 6 July 1, 2022 - July 31, 2022 CUSIP Investment # Fund Issuer Ending Par Value Beginning Book Value Ending Book Value Current Rate Annualized Yield Interest Earned Adjusted Interest Earnings Amortization/ Realized Accretion Gainl/Loss Adjusted Interest Earnings Fund: General Fund 59013KPN0 1345 101 MRRCK 249,000.00 249,000.00 249,000.00 1.100 1.100 232.63 0.00 0.00 232.63 14042RQB0 1346 101 CANNA 248,000.00 248,000.00 248,000.00 1.100 1.100 231.69 0.00 0.00 231.69 3130APTV7 1347 101 FHLB 500,000.00 499,500.00 499,500.00 0.700 0.688 291.67 0.00 0.00 291.67 3133ENBT6 1348 101 FFCB 1,000,000.00 998,530.00 998,530.00 0.180 0.177 150.00 0.00 0.00 150.00 91282CBU4 1349 101 USTR 1,000,000.00 996,718.75 996,718.75 0.125 0.125 105.87 0.00 0.00 105.87 91282CCD1 1350 101 USTR 1,000,000.00 995,468.75 995,468.75 0.125 0.125 105.88 0.00 0.00 105.88 91282CBA8 1351 101 USTR 1,000,000.00 990,000.00 990,000.00 0.125 0.126 105.88 0.00 0.00 105.88 91282CBR1 1352 101 USTR 1,000,000.00 989,800.00 989,800.00 0.250 0.251 210.59 0.00 0.00 210.59 3130AP21.18 1353 101 FHLB 1,000,000.00 987,100.00 987,100.00 0.550 0.547 458.34 0.00 0.00 458.34 3135G06G3 1354 101 FNMA 1,000,000.00 976,300.00 976,300.00 0.500 0.503 416.67 0.00 0.00 416.67 3133ENGN4 1355 101 FFCB 1,000,000.00 1,000,000.00 1,000,000.00 0.970 0.952 808.33 0.00 0.00 808.33 501798RP9 1356 101 LCA 248,000.00 248,000.00 248,000.00 1.000 1.000 210.63 0.00 0.00 210.63 20825WAR1 1357 101 CNNXS 249,000.00 249,000.00 249,000.00 1.250 1.250 264.35 0.00 0.00 264.35 3130AQF65 1358 101 FHLB 1,000,000.00 999,750.00 999,750.00 1.250 1.227 1,041.67 0.00 0.00 1,041.67 3134GW6C5 1359 101 FHLMC 500,000.00 486,000.00 486,000.00 0.800 0.808 333.33 0.00 0.00 333.33 91282CBV2 1360 101 USTR 500,000.00 494,882.81 494,882.81 0.375 0.378 158.81 0.00 0.00 158.81 3137EAEU9 1361 101 FHLMC 500,000.00 487,090.00 487,090.00 0.375 0.378 156.25 0.00 0.00 156.25 3134GW5R3 1362 101 FHLMC 400,000.00 391,360.00 391,360.00 0.650 0.652 216.67 0.00 0.00 216.67 307811DF3 1363 101 FARMER 249,000.00 249,000.00 249,000.00 0.900 0.900 190.33 0.00 0.00 190.33 3130AQJR5 1364 101 FHLB 1,000,000.00 1,000,000.00 1,000,000.00 1.500 1.472 1,250.00 0.00 0.00 1,250.00 3135G031.15 1365 101 FNMA 500,000.00 487,790.00 487,790.00 0.625 0.629 260.42 0.00 0.00 260.42 3134GWUQ7 1366 101 FHLMC 1,000,000.00 945,570.00 945,570.00 0.700 0.726 583.34 0.00 0.00 583.34 3130AQSA2 1367 101 FHLB 1,000,000.00 1,000,000.00 1,000,000.00 1.830 1.796 1,525.00 0.00 0.00 1,525.00 89786MAF1 1368 101 TRUSKY 245,000.00 245,000.00 245,000.00 1.600 1.600 332.93 0.00 0.00 332.93 912828Z78 1369 101 USTR 1,000,000.00 986,700.00 986,700.00 1.500 1.532 1,283.85 0.00 0.00 1,283.85 07371AYE7 1370 101 BEALTX 245,000.00 245,000.00 245,000.00 1.900 1.900 395.35 0.00 0.00 395.35 073710E88 1371 101 BEALUS 245,000.00 245,000.00 245,000.00 1.900 1.900 395.35 0.00 0.00 395.35 02357QAQ0 1372 101 AMRNT 245,000.00 245,000.00 245,000.00 1.600 1.600 332.93 0.00 0.00 332.93 59161YAP1 1373 101 METRO 249,000.00 249,000.00 249,000.00 1.700 1.700 359.52 0.00 0.00 359.52 3130AQWY5 1374 101 FHLB 1,000,000.00 1,000,000.00 1,000,000.00 1.700 1.668 1,416.67 0.00 0.00 1,416.67 27004PCM3 1375 101 EGLMRK 245,000.00 245,000.00 245,000.00 2.000 2.000 416.16 0.00 0.00 416.16 64034KAZ4 1376 101 NELNET 245,000.00 245,000.00 245,000.00 1.800 1.800 374.55 0.00 0.00 374.55 24773RCR4 1377 101 DELTA 245,000.00 245,000.00 245,000.00 2.000 2.000 416.17 0.00 0.00 416.17 91139LAB2 1378 101 URSVLT 248,000.00 248,000.00 248,000.00 1.900 1.900 400.20 0.00 0.00 400.20 565819AG4 1379 101 MRTHON 248,000.00 248,000.00 248,000.00 1.800 1.800 379.13 0.00 0.00 379.13 91282CCW9 1380 101 USTR 500,000.00 466,454.17 466,454.17 0.750 0.797 315.89 0.00 0.00 315.89 91282CDG3 1381 101 USTR 500,000.00 473,396.82 473,396.82 1.125 1.179 473.85 0.00 0.00 473.85 Run Date: 12/07/2022 - 22:05 Portfolio CITY CID TE (PRF_TE) 7.3.6 Report Ver. 7.3.6.1 92 City of La Quinta Total Earnings Page 7 July 1, 2022 - July 31, 2022 CUSIP Investment # Fund Issuer Ending Par Value Beginning Book Value Ending Book Value Current Rate Annualized Yield Interest Earned Adjusted Interest Earnings Amortization/ Realized Accretion Gainl/Loss Adjusted Interest Earnings Fund: General Fund 91282CBQ3 1382 101 USTR 750,000.00 698,025.00 698,025.00 0.500 0.533 315.89 0.00 0.00 315.89 9128286S4 1383 101 USTR 1,000,000.00 999,010.00 999,010.00 2.375 2.358 2,000.68 0.00 0.00 2,000.68 50625LAW3 1384 101 LFYTT 248,000.00 248,000.00 248,000.00 2.050 2.050 431.79 0.00 0.00 431.79 3130ARGJ4 1385 101 FHLB 500,000.00 500,000.00 500,000.00 2.500 2.453 1,041.67 0.00 0.00 1,041.67 20033A3A2 1386 101 CCBA 248,000.00 248,000.00 248,000.00 2.650 2.650 558.16 0.00 0.00 558.16 3130ARGY1 1387 101 FHLB 1,000,000.00 1,000,000.00 1,000,000.00 2.700 2.649 2,250.00 0.00 0.00 2,250.00 02007GPX5 1388 101 ALLY 245,000.00 245,000.00 245,000.00 2.550 2.550 530.61 0.00 0.00 530.61 52168UHY1 1389 101 LEADR 245,000.00 245,000.00 245,000.00 2.550 2.550 530.61 0.00 0.00 530.61 9128283DO 1390 101 USTR 1,000,000.00 985,190.00 985,190.00 2.250 2.265 1,895.38 0.00 0.00 1,895.38 91282CEF4 1391 101 USTR 1,000,000.00 976,860.00 976,860.00 2.500 2.552 2,117.49 0.00 0.00 2,117.49 254673E69 1392 101 DISCOV 245,000.00 245,000.00 245,000.00 3.100 3.100 645.06 0.00 0.00 645.06 91282CAR2 1393 101 USTR 4,000,000.00 3,979,880.00 3,979,880.00 0.125 0.125 421.20 0.00 0.00 421.20 91282CBD2 1394 101 USTR 2,000,000.00 1,982,265.63 1,982,265.63 0.125 0.125 210.60 0.00 0.00 210.60 91282CAN1 1395 101 USTR 4,000,000.00 3,985,625.00 3,985,625.00 0.125 0.125 423.50 0.00 0.00 423.50 48115LAD6 1396 101 JOVIA 248,000.00 248,000.00 248,000.00 2.500 2.500 526.57 0.00 0.00 526.57 912828X88 1397 101 USTR 1,000,000.00 969,687.50 969,687.50 2.375 2.429 2,000.68 0.00 0.00 2,000.68 91282CEN7 1398 101 USTR 500,000.00 495,000.00 495,000.00 2.750 2.755 1,158.28 0.00 0.00 1,158.28 91282CET4 1399 101 USTR 500,000.00 491,842.18 491,842.18 2.625 2.661 1,111.68 0.00 0.00 1,111.68 9128282U3 1400 101 USTR 500,000.00 490,850.00 490,850.00 1.875 1.894 789.74 0.00 0.00 789.74 3133ENYH7 1401 101 FFCB 500,000.00 499,080.00 499,080.00 2.625 2.580 1,093.75 0.00 0.00 1,093.75 91282CBD2 1402 101 USTR 3,000,000.00 2,972,578.13 2,972,578.13 0.125 0.125 315.90 0.00 0.00 315.90 91282CAX9 1403 101 USTR 4,000,000.00 3,972,031.25 3,972,031.25 0.125 0.126 423.49 0.00 0.00 423.49 91282CAN1 1404 101 USTR 2,000,000.00 1,992,780.00 1,992,780.00 0.125 0.125 211.74 0.00 0.00 211.74 91282CAG6 1405 101 USTR 5,000,000.00 4,988,450.00 4,988,450.00 0.125 0.124 526.50 0.00 0.00 526.50 91282CAR2 1406 101 USTR 2,000,000.00 1,989,440.00 1,989,440.00 0.125 0.125 210.59 0.00 0.00 210.59 912828N30 1407 101 USTR 2,000,000.00 1,996,240.00 1,996,240.00 2.125 2.112 3,580.16 0.00 0.00 3,580.16 912828M80 1408 101 USTR 3,000,000.00 2,996,670.00 2,996,670.00 2.000 1.997 5,081.96 0.00 0.00 5,081.96 3130ASDV8 1409 101 FHLB 300,000.00 300,000.00 300,000.00 3.300 3.238 825.00 0.00 0.00 825.00 9128283C2 1410 101 USTR 2,000,000.00 1,999,940.00 1,999,940.00 2.000 1.984 3,369.57 0.00 0.00 3,369.57 91282CAN1 1411 101 USTR 2,000,000.00 1,991,942.00 1,991,942.00 0.125 0.125 211.74 0.00 0.00 211.74 912828N30 1412 101 USTR 2,000,000.00 1,996,680.00 1,996,680.00 2.125 2.111 3,580.16 0.00 0.00 3,580.16 912828M80 1413 101 USTR 2,000,000.00 1,997,980.00 1,997,980.00 2.000 1.997 3,387.98 0.00 0.00 3,387.98 9128283C2 1414 101 USTR 1,000,000.00 999,977.00 999,977.00 2.000 1.984 1,684.78 0.00 0.00 1,684.78 89269FDP7 1415 101 TRADCP 246,000.00 0.00 246,000.00 3.000 3.000 242.63 0.00 0.00 242.63 912828XT2 1418 101 USTR 1,000,000.00 985,240.00 985,240.00 2.000 2.024 1,693.99 0.00 0.00 1,693.99 397417AQ9 1419 101 GRNWDS 248,000.00 248,000.00 248,000.00 3.050 3.050 642.43 0.00 0.00 642.43 Run Date: 12/07/2022 - 22:05 Portfolio CITY CID TE (PRF_TE) 7.3.6 Report Ver. 7.3.6.1 93 City of La Quinta Total Earnings Page 8 July 1, 2022 - July 31, 2022 Adjusted Interest Earnings Ending Beginning Ending Current Annualized Interest Amortization/ Realized Adjusted Interest CUSIP Investment # Fund Issuer Par Value Book Value Book Value Rate Yield Earned Accretion Gainl/Loss Earnings Subtotal 224,160,151.48 218,330,917.90 223,364,601.15 1.146 214,313.78 0.00 0.00 214,313.78 Fund: Fiscal Agent SYS1058 1058 231 USBANK 26.01 26.01 26.01 0.00 0.00 0.00 0.00 Subtotal 26.01 26.01 26.01 0.00 0.00 0.00 0.00 Fund: Housing Authority : WSA and LQ SYS1062 1062 241 LQPR 403,375.75 390,461.07 403,375.75 0.00 0.00 0.00 0.00 Subtotal 403,375.75 390,461.07 403,375.75 0.00 0.00 0.00 0.00 Fund: SA Low/Mod Bond Fund 25-33-005 1113 249 LAIF 2,018,767.39 2,010,227.97 2,018,767.39 1.090 1.353 2,310.83 0.00 0.00 2,310.83 Subtotal 2,018,767.39 2,010,227.97 2,018,767.39 1.353 2,310.83 0.00 0.00 2,310.83 Total 226,582,320.63 220,731,632.95 225,786,770.30 Run Date: 12/07/2022 - 22:05 1.146 216,624.61 0.00 0.00 216,624.61 Portfolio CITY CID TE (PRF_TE) 7.3.6 Report Ver. 7.3.6.1 City of La Quinta City of La Quintat(V 09 ig - Portfolio Management - GEM of the DESERT Portfolio Summary August 31, 2022 Par Market Book % of Days to YTM Investments Value Value Value Portfolio Term Maturity 365 Equiv. Bank Accounts 11,913,388.12 11,913,388.12 11,913,388.12 5.34 1 1 0.000 Local Agency Investment Fund -City 28,728,722.48 28,308,807.15 28,728,722.48 12.87 1 1 1.276 Local Agency Invstmnt Fund -Housing 2,018,767.39 1,992,886.54 2,018,767.39 0.90 1 1 1.276 Money Market Accounts - CAMP 17,972,088.30 17,972,088.30 17,972,088.30 8.05 1 1 2.300 Federal Agency Coupon Securities 39,750,000.00 37,089,204.00 39,534,153.90 17.70 1,574 1,026 1.206 Treasury Coupon Securities 62,750,000.00 61,069,002.50 62,194,013.94 27.85 699 518 1.695 Certificate of Deposits 32,109,000.00 30,825,164.20 32,108,377.50 14.38 1,666 792 1.923 Corporate Notes 1,900,000.00 1,B39,149.00 1,857,560.00 0.83 1,578 479 2.287 Money Market with Fiscal Agent 14,973,176.11 14,973,176.11 14,973,176.11 6.71 1 1 0.000 CERBT- OPEBTrust 1,792,152.96 1,792,152.96 1,792,152.96 0.80 1 1 0.000 PARS Pension Trust 10,207,728.18 10,207,728.18 10,207,728.18 4.57 1 1 0.000 224,115,023.54 217,982,747.06 223,300,128.88 100.00% 727 444 1.342 Investments Total Earnings August 31 Month Ending Fiscal Year To Date Current Year 242,858.75 459,483.36 Average Daily Balance 219,428,163.90 221,400,377.36 Effective Rate of Return 1.30% 1.22% 1 certify that this report accurately reflects all pooled investments and is in compliance with the California Government Code and the City Investment Policy. As Treasurer of the City of La Quinta, I hereby certify that sufficient investment liauidi.tv and anticipated revenues are available to meet the City's expenditure requirements for the next six months. The City of La Quinta used the monthly account statements issued b ur fina 'al in uti s to determine the fair market value of investments at month end. 12/8/22 Claudia Martinez, Finance Director/City Treasurer Reporting period 08/01/2022-08/3112022 Run Date: 12/07/2022 - 20:26 Portfolio CITY CP PM (PRF_PM1) 7.3.0 Report Ver. 7.3.6.1 95 City of La Quinta Portfolio Management Portfolio Details - Investments August 31, 2022 Page 1 Average Purchase Stated Days to YTM Maturity CUSIP Investment # Issuer Balance Date Par Value Market Value Book Value Rate Term Maturity 365 Date Bank Accounts SYS1293 1293 Bank of New York 09/01/2020 5,796,058.77 5,796,058.77 5,796,058.77 1 1 0.000 059731851 1228 Bank of the West 08/20/2019 5,048,779.42 5,048,779.42 5,048,779.42 1 1 0.000 SYS1059 1059 City Petty Cash 07/01/2016 3,300.00 3,300.00 3,300.00 1 1 0.000 SYS1318 1318 Dune Palms Mobile Estates 03/09/2021 649,117.42 649,117.42 649,117.42 1 1 0.000 SYS1062 1062 La Quinta Palms Realty 07/01/2016 416,132.51 416,132.51 416,132.51 1 1 0.000 Subtotal and Average 6,332,571.35 11,913,388.12 11,913,388.12 11,913,388.12 1 1 0.000 Local Agency Investment Fund -City 98-33434 1055 Local Agency Inv Fund 28,728,722.48 28,308,807.15 28,728,722.48 1.276 1 1 1.276 Subtotal and Average 29,760,980.54 28,728,722.48 28,308,807.15 28,728,722.48 1 1 1.276 Local Agency Invstmnt Fund -Housing 25-33-005 1113 Local Agency Inv Fund 2,018,767.39 1,992,886.54 2,018,767.39 1.276 1 1 1.276 Subtotal and Average 2,018,767.39 2,018,767.39 1,992,886.54 2,018,767.39 1 1 1.276 Money Market Accounts - CAMP SYS1153 1153 California Asset Management Pr Subtotal and Average 29,046,500.68 09/26/2018 17,972,088.30 17,972,088.30 17,972,088.30 17,972,088.30 17,972,088.30 17,972,088.30 2.300 1 1 1 1 2.300 2.300 Federal Agency Coupon Securities 3135GOW33 1233 Federal National Mtg Assn 10/29/2019 1,000,000.00 999,850.00 992,100.00 1.375 1,043 5 1.659 09/06/2022 3133EGWJO 1247 Federal Farm Credit Bank 02/05/2020 1,000,000.00 999,080.00 999,217.36 1.400 967 28 1.430 09/29/2022 3133EKQP4 1198 Federal Farm Credit Bank 06/20/2019 500,000.00 498,765.00 499,500.00 1.875 1,271 102 1.905 12/12/2022 3133ENBT6 1348 Federal Farm Credit Bank 12/07/2021 1,000,000.00 988,240.00 998,530.00 0.180 414 146 0.310 01/25/2023 3133EMX64 1340 Federal Farm Credit Bank 10/22/2021 500,000.00 489,520.00 499,002.04 0.170 553 239 0.302 04/28/2023 3133EKZK5 1223 Federal Farm Credit Bank 09/12/2019 500,000.00 490,795.00 499,400.00 1.600 1,432 347 1.632 08/14/2023 3133EJYL7 1158 Federal Farm Credit Bank 10/15/2018 250,000.00 248,175.00 247,275.00 2.800 1,786 369 3.041 09/05/2023 3133EK4X1 1234 Federal Farm Credit Bank 11/01/2019 1,000,000.00 977,530.00 996,900.00 1.600 1,461 426 1.680 11/01/2023 3130AFW94 1177 Federal Home Loan Bank 03/01/2019 500,000.00 493,875.00 498,550.00 2.500 1,810 530 2.563 02/13/2024 3133ELNEO 1246 Federal Farm Credit Bank 02/14/2020 1,000,000.00 972,430.00 999,000.00 1.430 1,461 531 1.456 02/14/2024 3133ENYH7 1401 Federal Farm Credit Bank 06/10/2022 500,000.00 492,820.00 499,080.00 2.625 731 648 2.720 06/10/2024 3135GOV75 1206 Federal National Mtg Assn 07/15/2019 500,000.00 485,310.00 495,950.00 1.750 1,814 670 1.922 07/02/2024 3133EKWV4 1212 Federal Farm Credit Bank 08/02/2019 500,000.00 484,905.00 499,500.00 1.850 1,820 694 1.871 07/26/2024 3133EKP75 1224 Federal Farm Credit Bank 09/17/2019 500,000.00 482,585.00 498,750.00 1.600 1,827 747 1.652 09/17/2024 3133ELEA8 1242 Federal Farm Credit Bank 12/17/2019 1,000,000.00 967,080.00 998,600.00 1.700 1,736 747 1.731 09/17/2024 Portfolio CITY CP Run Date: 12/07/2022 - 20:26 PM (PRF_PM2) 7.3.0 Report Ver. 7.3.6.1 96 City of La Quinta Portfolio Management Portfolio Details - Investments August 31, 2022 Page 2 CUSIP Investment # Average Issuer Balance Purchase Date Par Value Market Value Book Value Stated Rate Term Days to Maturity YTM 365 Maturity Date Federal Agency Coupon Securities 3135G06E8 1291 Federal National Mtg Assn 11/18/2020 500,000.00 465,330.00 499,250.00 0.420 1,461 809 0.458 11/18/2024 3133ENGN4 1355 Federal Farm Credit Bank 12/09/2021 1,000,000.00 940,710.00 1,000,000.00 0.970 1,096 830 0.970 12/09/2024 3135GAAW1 1300 Federal National Mtg Assn 12/30/2020 500,000.00 463,345.00 500,000.00 0.400 1,461 851 0.400 12/30/2024 3130AP21.18 1353 Federal Home Loan Bank 12/07/2021 1,000,000.00 928,230.00 987,100.00 0.550 1,127 859 0.976 01/07/2025 3130AQWY5 1374 Federal Home Loan Bank 02/25/2022 1,000,000.00 950,760.00 1,000,000.00 1.700 1,095 907 1.700 02/24/2025 3135G031.15 1365 Federal National Mtg Assn 01/28/2022 500,000.00 463,235.00 487,790.00 0.625 1,180 964 1.400 04/22/2025 3134GVYG7 1279 Federal Home Loan Mtg Corp 05/27/2020 1,000,000.00 926,720.00 1,000,000.00 0.625 1,826 999 0.625 05/27/2025 3133ELH23 1280 Federal Farm Credit Bank 06/09/2020 500,000.00 461,150.00 499,850.00 0.500 1,826 1,012 0.506 06/09/2025 3133ELH80 1282 Federal Farm Credit Bank 06/10/2020 500,000.00 460,090.00 500,000.00 0.680 1,826 1,013 0.680 06/10/2025 3130AJKW8 1281 Federal Home Loan Bank 06/03/2020 500,000.00 461,330.00 499,850.00 0.500 1,836 1,016 0.506 06/13/2025 3130AJRP6 1283 Federal Home Loan Bank 06/30/2020 300,000.00 275,232.00 300,000.00 0.680 1,826 1,033 0.680 06/30/2025 3137EAEU9 1297 Federal Home Loan Mtg Corp 12/07/2020 1,000,000.00 915,330.00 997,300.00 0.375 1,687 1,054 0.434 07/21/2025 3137EAEU9 1361 Federal Home Loan Mtg Corp 01/05/2022 500,000.00 457,665.00 487,090.00 0.375 1,293 1,054 1.120 07/21/2025 3135G05S8 1288 Federal National Mtg Assn 08/14/2020 500,000.00 455,115.00 500,000.00 0.500 1,826 1,078 0.500 08/14/2025 3136G4M75 1290 Federal National Mtg Assn 08/28/2020 500,000.00 457,905.00 499,750.00 0.520 1,816 1,082 0.530 08/18/2025 3136G4N74 1289 Federal National Mtg Assn 08/21/2020 1,000,000.00 913,540.00 1,000,000.00 0.560 1,826 1,085 0.560 08/21/2025 3137EAEX3 1307 Federal Home Loan Mtg Corp 02/23/2021 500,000.00 455,725.00 495,999.50 0.375 1,673 1,118 0.552 09/23/2025 3137EAEX3 1310 Federal Home Loan Mtg Corp 03/30/2021 1,000,000.00 911,450.00 983,940.00 0.375 1,638 1,118 0.740 09/23/2025 3130ARGJ4 1385 Federal Home Loan Bank 04/14/2022 500,000.00 480,890.00 500,000.00 2.500 1,279 1,139 2.500 10/14/2025 3134GW5R3 1362 Federal Home Loan Mtg Corp 01/05/2022 400,000.00 363,624.00 391,360.00 0.650 1,391 1,152 1.232 10/27/2025 3135G06G3 1354 Federal National Mtg Assn 12/07/2021 1,000,000.00 910,680.00 976,300.00 0.500 1,431 1,163 1.120 11/07/2025 3135GA2Z3 1292 Federal National Mtg Assn 11/17/2020 500,000.00 452,485.00 499,250.00 0.560 1,826 1,173 0.590 11/17/2025 3130AKFA9 1298 Federal Home Loan Bank 12/07/2020 500,000.00 452,475.00 497,400.00 0.375 1,831 1,198 0.480 12/12/2025 3135GA7D7 1299 Federal National Mtg Assn 12/23/2020 500,000.00 451,865.00 500,000.00 0.600 1,826 1,209 0.600 12/23/2025 3134GXGZ1 1301 Federal Home Loan Mtg Corp 12/30/2020 500,000.00 453,890.00 500,000.00 0.550 1,826 1,216 0.550 12/30/2025 3130AKMZ6 1302 Federal Home Loan Bank 01/14/2021 500,000.00 448,960.00 500,000.00 0.510 1,826 1,231 0.510 01/14/2026 313OAKN28 1304 Federal Home Loan Bank 01/29/2021 500,000.00 449,040.00 500,000.00 0.550 1,826 1,246 0.550 01/29/2026 3130ALV92 1312 Federal Home Loan Bank 03/30/2021 500,000.00 459,925.00 500,000.00 1.050 1,826 1,306 0.938 03/30/2026 3130AMFS6 1324 Federal Home Loan Bank 06/17/2021 1,000,000.00 905,400.00 993,420.00 0.750 1,821 1,380 0.885 06/12/2026 3133EM2C5 1330 Federal Farm Credit Bank 08/10/2021 500,000.00 446,200.00 498,000.00 0.710 1,826 1,439 0.792 08/10/2026 3133EM4X7 1338 Federal Farm Credit Bank 09/28/2021 1,000,000.00 899,070.00 991,080.00 0.800 1,808 1,470 0.985 09/10/2026 3130APBM6 1337 Federal Home Loan Bank 09/30/2021 1,000,000.00 898,010.00 999,000.00 1.000 1,826 1,490 1.021 09/30/2026 3130APB46 1339 Federal Home Loan Bank 10/13/2021 1,000,000.00 895,400.00 998,250.00 0.950 1,826 1,503 0.986 10/13/2026 3134GW6C5 1359 Federal Home Loan Mtg Corp 01/05/2022 500,000.00 446,210.00 486,000.00 0.800 1,757 1,518 1.403 10/28/2026 3133ENCQ1 1344 Federal Farm Credit Bank 11/02/2021 1,000,000.00 907,620.00 1,000,000.00 1.270 1,826 1,523 1.270 11/02/2026 3130APTV7 1347 Federal Home Loan Bank 11/24/2021 500,000.00 458,775.00 499,500.00 0.700 1,826 1,545 1.489 11/24/2026 Portfolio CITY CP Run Date: 12/07/2022 - 20:26 PM (PRF_PM2) 7.3.0 97 City of La Quinta Portfolio Management Portfolio Details - Investments August 31, 2022 Page 3 CUSIP Investment # Average Issuer Balance Purchase Date Par Value Market Value Book Value Stated Rate Days to Term Maturity YTM Maturity 365 Date Federal Agency Coupon Securities 313OAQF65 1358 Federal Home Loan Bank 12/22/2021 1,000,000.00 916,640.00 999,750.00 1.250 1,825 1,572 1.255 12/21/2026 3134GWUQ7 1366 Federal Home Loan Mtg Corp 02/10/2022 1,000,000.00 883,230.00 945,570.00 0.700 1,784 1,581 1.870 12/30/2026 3130AQJR5 1364 Federal Home Loan Bank 01/27/2022 1,000,000.00 910,050.00 1,000,000.00 1.500 1,826 1,609 1.500 01/27/2027 3130AQSA2 1367 Federal Home Loan Bank 02/10/2022 1,000,000.00 921,410.00 1,000,000.00 1.830 1,826 1,623 1.830 02/10/2027 3130ARGY1 1387 Federal Home Loan Bank 04/19/2022 1,000,000.00 952,500.00 1,000,000.00 2.700 1,826 1,691 2.700 04/19/2027 3130ASDV8 1409 Federal Home Loan Bank 06/28/2022 300,000.00 291,033.00 300,000.00 3.300 1,826 1,761 3.300 06/28/2027 Subtotal and Average 39,534,153.90 39,750,000.00 37,089,204.00 39,534,153.90 1,574 1,026 1.206 Treasury Coupon Securities 9128282W9 1178 U.S. Treasury 03/01/2019 500,000.00 499,835.00 489,687.50 1.875 1,309 29 2.480 09/30/2022 91282CAN1 1395 U.S. Treasury 06/06/2022 4,000,000.00 3,993,200.00 3,985,625.00 0.125 116 29 1.263 09/30/2022 91282CAN1 1404 U.S. Treasury 06/13/2022 2,000,000.00 1,996,600.00 1,992,780.00 0.125 109 29 1.342 09/30/2022 91282CAN1 1411 U.S. Treasury 06/29/2022 2,000,000.00 1,996,600.00 1,991,942.00 0.125 93 29 1.717 09/30/2022 91282CAR2 1393 U.S. Treasury 06/06/2022 4,000,000.00 3,983,320.00 3,979,880.00 0.125 147 60 1.391 10/31/2022 91282CAR2 1406 U.S. Treasury 06/13/2022 2,000,000.00 1,991,660.00 1,989,440.00 0.125 140 60 1.521 10/31/2022 9128283C2 1410 U.S. Treasury 06/29/2022 2,000,000.00 1,997,680.00 1,999,940.00 2.000 124 60 2.002 10/31/2022 9128283C2 1414 U.S. Treasury 06/30/2022 1,000,000.00 998,840.00 999,977.00 2.000 123 60 2.000 10/31/2022 91282CAX9 1403 U.S. Treasury 06/13/2022 4,000,000.00 3,973,600.00 3,972,031.25 0.125 170 90 1.642 11/30/2022 912828M80 1408 U.S. Treasury 06/28/2022 3,000,000.00 2,993,820.00 2,996,670.00 2.000 155 90 2.261 11/30/2022 912828M80 1413 U.S. Treasury 06/30/2022 2,000,000.00 1,995,880.00 1,997,980.00 2.000 153 90 2.240 11/30/2022 91282CBD2 1394 U.S. Treasury 06/06/2022 2,000,000.00 1,980,860.00 1,982,265.63 0.125 208 121 1.705 12/31/2022 91282CBD2 1402 U.S. Treasury 06/13/2022 3,000,000.00 2,971,290.00 2,972,578.13 0.125 201 121 1.812 12/31/2022 912828N30 1407 U.S. Treasury 06/28/2022 2,000,000.00 1,993,820.00 1,996,240.00 2.125 186 121 2.501 12/31/2022 912828N30 1412 U.S. Treasury 06/30/2022 2,000,000.00 1,993,820.00 1,996,680.00 2.125 184 121 2.461 12/31/2022 91282CBU4 1349 U.S. Treasury 12/07/2021 1,000,000.00 982,230.00 996,718.75 0.125 479 211 0.376 03/31/2023 91282CCD1 1350 U.S. Treasury 12/07/2021 1,000,000.00 976,250.00 995,468.75 0.125 540 272 0.432 05/31/2023 91282CCN9 1341 U.S. Treasury 10/22/2021 500,000.00 485,040.00 497,792.97 0.125 647 333 0.375 07/31/2023 912828T26 1217 U.S. Treasury 08/21/2019 500,000.00 489,025.00 499,300.00 1.375 1,501 394 1.410 09/30/2023 91282CBA8 1351 U.S. Treasury 12/07/2021 1,000,000.00 958,670.00 990,000.00 0.125 738 470 0.623 12/15/2023 91282CBEO 1342 U.S. Treasury 10/22/2021 1,000,000.00 955,660.00 991,000.00 0.125 815 501 0.531 01/15/2024 91282CBR1 1352 U.S. Treasury 12/07/2021 1,000,000.00 952,150.00 989,800.00 0.250 829 561 0.704 03/15/2024 91282CBV2 1360 U.S. Treasury 01/05/2022 500,000.00 475,725.00 494,882.81 0.375 831 592 0.830 04/15/2024 912828XT2 1418 U.S. Treasury 05/04/2022 1,000,000.00 975,630.00 985,240.00 2.000 758 638 2.736 05/31/2024 91282821-13 1400 U.S. Treasury 06/09/2022 500,000.00 485,100.00 490,850.00 1.875 814 730 2.727 08/31/2024 91282CDB4 1343 U.S. Treasury 10/22/2021 1,000,000.00 942,580.00 996,320.00 0.625 1,089 775 0.750 10/15/2024 Run Date: 12/07/2022 - 20:26 Portfolio CITY CID PM (PRF_PM2) 7.3.0 City of La Quinta Portfolio Management Portfolio Details - Investments August 31, 2022 Page 4 CUSIP Average Investment # Issuer Balance Purchase Date Par Value Market Value Book Value Stated Rate Days to Term Maturity YTM Maturity 365 Date Treasury Coupon Securities 9128283DO 1390 U.S. Treasury 05/03/2022 1,000,000.00 975,230.00 985,190.00 2.250 912 791 2.870 10/31/2024 912828YV6 1241 U.S. Treasury 12/16/2019 1,000,000.00 958,090.00 989,687.50 1.500 1,811 821 1.718 11/30/2024 91282CAT8 1311 U.S. Treasury 03/30/2021 1,000,000.00 904,260.00 977,500.00 0.250 1,676 1,156 0.750 10/31/2025 91282CAZ4 1315 U.S. Treasury 04/22/2021 500,000.00 452,715.00 492,187.50 0.375 1,683 1,186 0.720 11/30/2025 91282CBC4 1303 U.S. Treasury 01/07/2021 500,000.00 451,700.00 498,632.81 0.375 1,819 1,217 0.431 12/31/2025 91282CBH3 1309 U.S. Treasury 02/23/2021 500,000.00 450,530.00 495,100.00 0.375 1,803 1,248 0.577 01/31/2026 91282CBQ3 1319 U.S. Treasury 05/28/2021 500,000.00 451,545.00 494,165.00 0.500 1,737 1,276 0.750 02/28/2026 91282CBQ3 1382 U.S. Treasury 03/23/2022 750,000.00 677,317.50 698,025.00 0.500 1,438 1,276 2.353 02/28/2026 91282CBT7 1320 U.S. Treasury 05/28/2021 500,000.00 454,845.00 499,525.00 0.750 1,768 1,307 0.770 03/31/2026 91282CBT7 1322 U.S. Treasury 06/17/2021 500,000.00 454,845.00 498,450.00 0.750 1,748 1,307 0.816 03/31/2026 9128286S4 1383 U.S. Treasury 03/23/2022 1,000,000.00 964,960.00 999,010.00 2.375 1,499 1,337 2.400 04/30/2026 91282CCF6 1321 U.S. Treasury 06/01/2021 1,000,000.00 906,250.00 997,060.00 0.750 1,825 1,368 0.810 05/31/2026 91282CCF6 1323 U.S. Treasury 06/17/2021 500,000.00 453,125.00 497,095.00 0.750 1,809 1,368 0.870 05/31/2026 91282CCP4 1335 U.S. Treasury 09/29/2021 1,000,000.00 898,440.00 983,750.00 0.625 1,766 1,429 0.970 07/31/2026 91282CCW9 1336 U.S. Treasury 09/29/2021 1,000,000.00 901,290.00 988,500.00 0.750 1,797 1,460 0.990 08/31/2026 91282CCW9 1380 U.S. Treasury 03/22/2022 500,000.00 450,645.00 466,454.17 0.750 1,623 1,460 2.350 08/31/2026 91282CDG3 1381 U.S. Treasury 03/22/2022 500,000.00 456,170.00 473,396.82 1.125 1,684 1,521 2.350 10/31/2026 912828Z78 1369 U.S. Treasury 02/10/2022 1,000,000.00 924,060.00 986,700.00 1.500 1,816 1,613 1.781 01/31/2027 91282CEF4 1391 U.S. Treasury 05/03/2022 1,000,000.00 964,410.00 976,860.00 2.500 1,793 1,672 3.010 03/31/2027 91282CEN7 1398 U.S. Treasury 06/08/2022 500,000.00 487,420.00 495,000.00 2.750 1,787 1,702 2.971 04/30/2027 912828X88 1397 U.S. Treasury 06/07/2022 1,000,000.00 957,730.00 969,687.50 2.375 1,803 1,717 3.041 05/15/2027 91282CET4 1399 U.S. Treasury 06/08/2022 500,000.00 485,000.00 491,842.18 2.625 1,818 1,733 2.980 05/31/2027 91282CFB2 1417 U.S. Treasury 08/15/2022 1,000,000.00 974,770.00 989,460.00 2.750 1,811 1,794 2.980 07/31/2027 91282CFB2 1422 U.S. Treasury 08/29/2022 1,000,000.00 974,770.00 979,645.67 2.750 1,797 1,794 3.200 07/31/2027 Subtotal and Average 65,689,852.04 62,750,000.00 61,069,002.50 62,194,013.94 699 518 1.695 Certificate of Deposits 01859BAA3 1095 Alliance Credit Union 10/13/2017 245,000.00 244,917.73 245,000.00 2.250 1,826 42 2.251 10/13/2022 06740KLJ4 1097 Barclays Bank 10/25/2017 240,000.00 239,915.80 240,000.00 2.300 1,826 54 2.291 10/25/2022 62384RACO 1099 Mountain America Federal CU 11/08/2017 245,000.00 244,761.19 245,000.00 2.300 1,826 68 2.301 11/08/2022 22766ACB9 1106 CrossFirst Bank 11/20/2017 245,000.00 244,673.13 245,000.00 2.200 1,824 78 2.201 11/18/2022 29367QCP1 1107 Enterprise Bank, NA 11/28/2017 245,000.00 244,601.99 245,000.00 2.150 1,826 88 2.151 11/28/2022 58404DCX7 1169 Medallion Bank 12/07/2018 248,000.00 248,227.97 248,000.00 3.400 1,461 97 3.402 12/07/2022 75701LAB3 1166 Red Rocks Credit Union 12/07/2018 248,000.00 248,194.40 248,000.00 3.350 1,461 97 3.352 12/07/2022 499724AB8 1110 Knoxville TVA Credit Union 12/29/2017 245,000.00 244,464.34 245,000.00 2.400 1,826 119 2.401 12/29/2022 Run Date: 12/07/2022 - 20:26 Portfolio CITY CID PM (PRF_PM2) 7.3.0 City of La Quinta Portfolio Management Portfolio Details - Investments August 31, 2022 Page 5 CUSIP Investment # Average Issuer Balance Purchase Date Par Value Market Value Book Value Stated Rate Term Days to Maturity YTM 365 Maturity Date Certificate of Deposits 49228XAK6 1239 Kern FCU 12/30/2019 248,000.00 247,039.23 248,000.00 1.900 1,096 120 1.902 12/30/2022 79772FACO 1240 San Francisco FCU 12/30/2019 248,000.00 246,997.81 248,000.00 1.850 1,096 120 1.852 12/30/2022 949495AT2 1244 Wells Fargo Natl Bank West 01/29/2020 248,000.00 246,566.88 248,000.00 1.900 1,097 151 1.900 01/30/2023 81768PAF3 1254 Servisfirst Bank 02/21/2020 248,000.00 245,791.89 248,000.00 1.600 1,096 173 1.601 02/21/2023 92535LCD4 1180 Verus Bank of Commerce 02/28/2019 248,000.00 247,061.91 248,000.00 2.700 1,461 180 2.700 02/28/2023 034577AH9 1119 Aneca Federal Credit Union 03/22/2018 245,000.00 243,907.91 245,000.00 2.800 1,826 202 2.802 03/22/2023 66704MEQO 1263 Northstar Bank 03/31/2020 248,000.00 244,350.42 248,000.00 1.150 1,095 211 1.150 03/31/2023 954444BS3 1265 West Michigan Cmnty Bk 03/31/2020 248,000.00 244,350.42 248,000.00 1.150 1,095 211 1.150 03/31/2023 17312QJ26 1123 Citibank NA 04/11/2018 245,000.00 243,827.06 245,000.00 2.900 1,826 222 2.902 04/11/2023 20726ABA5 1189 Congressional Bank 04/30/2019 248,000.00 246,075.57 248,000.00 2.500 1,459 239 2.502 04/28/2023 29278TAY6 1125 EnerBank USA 04/30/2018 240,000.00 238,847.79 240,000.00 2.950 1,824 239 2.952 04/28/2023 32117BCX4 1179 First National Bank 03/05/2019 248,000.00 246,389.60 248,000.00 2.800 1,522 246 2.802 05/05/2023 725404AB3 1194 Pittsfield Cooperative Bank 06/07/2019 245,000.00 242,489.29 245,000.00 2.500 1,461 279 2.502 06/07/2023 619165JD6 1173 Morton Community 03/20/2019 248,000.00 245,836.84 248,000.00 2.750 1,553 292 2.753 06/20/2023 74934YAH4 1144 RCB Bank 06/20/2018 245,000.00 243,647.00 245,000.00 3.150 1,826 292 3.152 06/20/2023 02616AAH2 1285 American First CU 06/26/2020 248,000.00 240,935.88 248,000.00 0.350 1,095 298 0.350 06/26/2023 02772JBD1 1205 American National Bank 07/19/2019 248,000.00 243,717.63 248,000.00 2.000 1,461 321 2.001 07/19/2023 32110YLK9 1147 First National Bank of America 07/20/2018 245,000.00 243,235.82 245,000.00 3.150 1,826 322 3.152 07/20/2023 06426KAN8 1151 Bank of New England 07/31/2018 249,000.00 247,087.77 249,000.00 3.250 1,826 333 3.252 07/31/2023 75472RAD3 1218 Raymond James Bank 08/23/2019 244,000.00 238,961.65 244,000.00 1.950 1,461 356 1.951 08/23/2023 89579NCD3 1262 Triad Bank 03/30/2020 248,000.00 240,392.65 248,000.00 1.350 1,278 393 1.352 09/29/2023 57116ARV2 1155 Cache Valley BK F/K/A Marlin 10/17/2018 248,000.00 245,542.64 248,000.00 3.300 1,826 411 3.302 10/17/2023 625925AR3 1160 Municipal Trust and Savings 10/17/2018 245,000.00 242,299.07 245,000.00 3.200 1,826 411 3.202 10/17/2023 90348JEJ5 1161 UBS Bank USA 10/17/2018 245,000.00 242,709.01 245,000.00 3.350 1,826 411 3.352 10/17/2023 474067AQ8 1154 Jefferson Financial CU 10/19/2018 245,000.00 242,699.10 245,000.00 3.350 1,826 413 3.352 10/19/2023 20143PDV9 1162 Commercial Bank 11/15/2018 248,000.00 245,772.70 248,000.00 3.400 1,826 440 3.402 11/15/2023 67054NAN3 1164 Numerica Credit Union 11/28/2018 248,000.00 246,165.50 248,000.00 3.550 1,826 453 3.552 11/28/2023 48115LAD6 1396 Jovia Financial Credit Union 06/07/2022 248,000.00 242,981.65 248,000.00 2.500 548 462 2.502 12/07/2023 635573AL2 1170 National Cooperative Bank, N.A 12/21/2018 245,000.00 242,731.54 245,000.00 3.400 1,826 476 3.402 12/21/2023 066851 WJ1 1172 Bar Harbor Bank and Trust 12/31/2018 248,000.00 245,507.95 248,000.00 3.350 1,824 484 3.352 12/29/2023 89269FDP7 1415 Tradition Capital 07/20/2022 246,000.00 242,360.80 246,000.00 3.000 551 508 3.008 01/22/2024 51210SQU4 1208 Lakeside Bank 07/30/2019 248,000.00 240,820.04 248,000.00 2.000 1,644 515 2.003 01/29/2024 77579ADFO 1251 Rollstone B&T 02/12/2020 245,000.00 236,679.43 245,000.00 1.650 1,461 529 1.651 02/12/2024 66736ABP3 1181 Northwest Bank 02/13/2019 248,000.00 244,106.92 248,000.00 2.950 1,826 530 2.951 02/13/2024 949763XY7 1174 Wells Fargo 02/27/2019 248,000.00 244,189.52 248,000.00 3.000 1,826 544 3.001 02/27/2024 50625LAW3 1384 Lafayette FCU 03/30/2022 248,000.00 240,480.45 248,000.00 2.050 729 574 2.053 03/28/2024 Portfolio CITY CP Run Date: 12/07/2022 - 20:26 PM (PRF_PM2) 7.3.0 100 City of La Quinta Portfolio Management Portfolio Details - Investments August 31, 2022 Page 6 CUSIP Investment # Average Issuer Balance Purchase Date Par Value Market Value Book Value Stated Rate Term Days to Maturity YTM 365 Maturity Date Certificate of Deposits 882213AB7 1260 Texas Bank Financial 03/31/2020 245,000.00 234,057.70 245,000.00 1.100 1,458 574 1.101 03/28/2024 472382AQ3 1272 The Jefferson Bank 04/15/2020 248,000.00 237,230.16 248,000.00 1.250 1,461 592 1.251 04/15/2024 08016PDQ9 1270 Belmont Bank and Trust 04/16/2020 248,000.00 237,212.58 248,000.00 1.250 1,461 593 1.251 04/16/2024 69506YRH4 1269 Pacific Western Bank 04/16/2020 245,000.00 234,610.86 245,000.00 1.300 1,461 593 1.301 04/16/2024 56065GAG3 1188 Main Street Bank 04/26/2019 248,000.00 242,462.14 248,000.00 2.600 1,827 603 2.603 04/26/2024 33640VDD7 1231 First Service Bank 11/15/2019 248,000.00 238,709.09 248,000.00 1.700 1,643 622 1.701 05/15/2024 48128HXU7 1185 JP Morgan Chase 05/16/2019 245,000.00 242,165.98 245,000.00 3.250 1,827 623 3.254 05/16/2024 46256YAZ2 1186 Iowa State Bank 05/23/2019 245,000.00 238,639.39 245,000.00 2.400 1,827 630 2.403 05/23/2024 538036GVO 1238 Live Oak Bank 11/27/2019 248,000.00 238,944.76 248,000.00 1.800 1,644 635 1.802 05/28/2024 156634AK3 1184 Century Next Bank 05/29/2019 248,000.00 241,893.33 248,000.00 2.500 1,827 636 2.503 05/29/2024 72651LCL6 1195 Plains Commerce Bank 06/07/2019 245,000.00 239,273.54 245,000.00 2.550 1,827 645 2.553 06/07/2024 299547AQ2 1196 Evansville Teachers Credit FCU 06/12/2019 248,000.00 242,349.27 248,000.00 2.600 1,827 650 2.603 06/12/2024 524661CB9 1197 Legacy Bank 06/19/2019 248,000.00 241,417.11 248,000.00 2.400 1,827 657 2.403 06/19/2024 176688CP2 1199 Citizens State Bank 06/21/2019 248,000.00 241,397.85 248,000.00 2.400 1,827 659 2.403 06/21/2024 20416TAQ5 1202 Communitywide FCU 06/28/2019 248,000.00 240,666.81 248,000.00 2.250 1,827 666 2.253 06/28/2024 761402BY1 1203 Revere Bank 06/28/2019 247,000.00 239,955.60 247,000.00 2.300 1,827 666 2.303 06/28/2024 00257TBD7 1207 Abacus Federal Savings 07/26/2019 248,000.00 239,147.09 248,000.00 1.950 1,827 694 1.952 07/26/2024 33625CCP2 1209 First Security Bank of WA 07/30/2019 248,000.00 239,329.81 248,000.00 2.000 1,827 698 2.002 07/30/2024 710571DS6 1210 People's Bank 07/31/2019 248,000.00 239,477.28 248,000.00 2.000 1,827 699 2.002 07/31/2024 740367HP5 1213 Preferred Bank 08/16/2019 249,000.00 240,254.18 249,000.00 2.000 1,827 715 2.002 08/16/2024 33766LAJ7 1216 FirsTier Bank 08/23/2019 249,000.00 239,931.78 249,000.00 1.950 1,827 722 1.952 08/23/2024 938828BH2 1215 Washington Federal 08/23/2019 248,000.00 239,207.50 248,000.00 2.000 1,827 722 2.002 08/23/2024 336460CX6 1222 First State Bk DeQueen 08/30/2019 248,000.00 238,159.83 248,000.00 1.800 1,827 729 1.802 08/30/2024 334342CD2 1221 First Natl Bk of Syracuse 08/30/2019 249,000.00 239,362.66 249,000.00 1.850 1,827 729 1.852 08/30/2024 15118RRH2 1220 Celtic Bank 08/30/2019 248,000.00 238,401.36 248,000.00 1.850 1,827 729 1.852 08/30/2024 05580AD50 1333 BMW Bank 09/10/2021 245,000.00 229,848.29 245,000.00 0.650 1,096 740 0.651 09/10/2024 06652CHBO 1227 BankWest Inc 09/27/2019 248,000.00 237,467.74 248,000.00 1.700 1,827 757 1.702 09/27/2024 84223QAN7 1286 Southern Bancorp Bk 06/26/2020 248,000.00 230,948.91 248,000.00 0.500 1,582 785 0.500 10/25/2024 804375DL4 1235 Sauk Valley B&T Co 11/07/2019 248,000.00 237,091.43 248,000.00 1.700 1,827 798 1.702 11/07/2024 61690UNX4 1237 Morgan Stanley Bank 11/20/2019 245,000.00 235,434.36 245,000.00 1.950 1,827 811 1.952 11/20/2024 61760A3B3 1236 Morgan Stanley Private Bk, NA 11/20/2019 245,000.00 235,172.03 245,000.00 1.900 1,827 811 1.902 11/20/2024 064520BG3 1287 Bank Princeton 06/30/2020 248,000.00 229,763.47 248,000.00 0.500 1,644 851 0.500 12/30/2024 89388CEYO 1328 Transportation Alliance Bk TAB 07/23/2021 248,000.00 228,790.62 248,000.00 0.400 1,280 875 0.401 01/23/2025 06417NZQ9 1329 Bank OZK 07/29/2021 248,000.00 228,665.14 248,000.00 0.400 1,280 881 0.401 01/29/2025 90983WBT7 1249 United Community 02/07/2020 248,000.00 235,885.32 248,000.00 1.650 1,827 890 1.652 02/07/2025 32114VBT3 1250 First National Bank Michigan 02/14/2020 248,000.00 235,794.36 248,000.00 1.650 1,827 897 1.652 02/14/2025 Portfolio CITY CP Run Date: 12/07/2022 - 20:26 PM (PRF_PM2) 7.3.0 101 City of La Quinta Portfolio Management Portfolio Details - Investments August 31, 2022 Page 7 CUSIP Investment # Average Issuer Balance Purchase Date Par Value Market Value Book Value Stated Rate Term Days to Maturity YTM 365 Maturity Date Certificate of Deposits 35637RDC8 1248 Freedom Financial 02/14/2020 248,000.00 235,204.46 248,000.00 1.550 1,827 897 1.552 02/14/2025 029728BC5 1255 American State 02/21/2020 248,000.00 235,406.50 248,000.00 1.600 1,827 904 1.602 02/21/2025 17286TAGO 1252 Citadel FCU 02/27/2020 248,000.00 235,626.08 248,000.00 1.650 1,827 910 1.652 02/27/2025 00435JBH5 1256 Access Bank 03/13/2020 248,000.00 235,241.50 248,000.00 1.600 1,826 924 1.601 03/13/2025 849430BF9 1257 Spring Bank 03/20/2020 248,000.00 234,538.21 248,000.00 1.500 1,826 931 1.501 03/20/2025 05465DAE8 1258 Axos Bank 03/26/2020 248,000.00 235,378.42 248,000.00 1.650 1,826 937 1.651 03/26/2025 020080BX4 1267 Alma Bank 03/30/2020 248,000.00 233,812.07 248,000.00 1.400 1,824 939 1.399 03/28/2025 2027506M2 1268 Commonwealth Business Bk 03/31/2020 248,000.00 232,943.49 248,000.00 1.250 1,826 942 1.251 03/31/2025 654062JZ2 1266 Nicolet Natl Bank 03/31/2020 248,000.00 233,871.00 248,000.00 1.400 1,826 942 1.401 03/31/2025 14042TDD6 1271 Capital One USA FDIC33954 04/08/2020 245,000.00 232,245.08 245,000.00 1.600 1,826 950 1.601 04/08/2025 02007GPX5 1388 Ally Bank Midvale 04/21/2022 245,000.00 237,957.40 245,000.00 2.550 1,096 963 2.550 04/21/2025 52168UHY1 1389 Leader Bank 04/22/2022 245,000.00 237,950.29 245,000.00 2.550 1,096 964 2.552 04/22/2025 32112UDR9 1274 First Natl Bk McGregor 04/28/2020 248,000.00 233,153.90 248,000.00 1.350 1,826 970 1.351 04/28/2025 32027BALl 1273 First Freedom Bank 04/29/2020 249,000.00 233,121.00 249,000.00 1.200 1,826 971 1.201 04/29/2025 33847E3A3 1276 Flagstar 04/30/2020 248,000.00 232,588.99 248,000.00 1.250 1,826 972 1.251 04/30/2025 32056GDJ6 1278 1st Internet Bank 05/11/2020 248,000.00 230,793.73 248,000.00 1.000 1,827 984 0.985 05/12/2025 95960NKD8 1277 Western State Bank 05/13/2020 245,000.00 228,097.32 245,000.00 1.000 1,826 985 1.001 05/13/2025 254673E69 1392 Discover Bank Greenwood DE CF 05/24/2022 245,000.00 241,331.10 245,000.00 3.100 1,099 999 3.103 05/27/2025 169894AS1 1284 Chippewa Valley Bk 06/24/2020 248,000.00 227,505.02 248,000.00 0.600 1,826 1,027 0.600 06/24/2025 307811DF3 1363 Farmers & March 01/14/2022 249,000.00 230,214.79 249,000.00 0.900 1,277 1,047 0.900 07/14/2025 70962LAF9 1331 Pentagon FCU 09/01/2021 249,000.00 228,158.20 249,000.00 0.700 1,462 1,097 0.687 09/02/2025 51507LCC6 1305 Landmark Community Bank 01/22/2021 248,000.00 223,487.65 248,000.00 0.500 1,826 1,239 0.500 01/22/2026 87270LDL4 1306 TIAA FKA EverBank 02/12/2021 245,000.00 220,657.48 245,000.00 0.500 1,826 1,260 0.500 02/12/2026 64034KAZ4 1376 Nelnet Bank 03/02/2022 245,000.00 230,972.25 245,000.00 1.800 1,461 1,278 1.801 03/02/2026 39573LBC1 1313 Greenstate FCU 04/16/2021 249,000.00 226,979.45 249,000.00 0.950 1,826 1,323 0.951 04/16/2026 89235MKY6 1314 Toyota Financial Savings Bank 04/22/2021 245,000.00 222,961.14 245,000.00 0.900 1,826 1,329 0.900 04/22/2026 14622LAAO 1316 Carter FCU 04/27/2021 248,000.00 224,175.43 248,000.00 0.750 1,826 1,334 0.750 04/27/2026 31617CAV5 1317 Fidelity Homestead 04/30/2021 248,000.00 223,694.01 248,000.00 0.700 1,826 1,337 0.711 04/30/2026 501798RP9 1356 LCA Bank Corp 12/27/2021 248,000.00 225,774.06 248,000.00 1.000 1,642 1,394 1.000 06/26/2026 92559TAJ7 1325 Vibrant Credit Union 07/02/2021 249,000.00 224,674.74 248,377.50 0.800 1,824 1,398 0.852 06/30/2026 38149MXK4 1326 Goldman Sachs 07/28/2021 248,000.00 225,405.70 248,000.00 1.000 1,826 1,426 1.001 07/28/2026 795451AFO 1327 Sallie Mae Bank Salt Lake Clty 07/28/2021 248,000.00 225,405.70 248,000.00 1.000 1,826 1,426 1.001 07/28/2026 87165ET98 1332 Synchrony Bank Retail 09/03/2021 245,000.00 221,433.46 245,000.00 0.900 1,826 1,463 0.900 09/03/2026 20786ADL6 1334 Connect One 09/24/2021 248,000.00 222,711.19 248,000.00 0.800 1,826 1,484 0.800 09/24/2026 59013KPNO 1345 Merrick Bank 11/09/2021 249,000.00 225,988.24 249,000.00 1.100 1,826 1,530 1.101 11/09/2026 14042RQBO 1346 Capital One Natl Assn FDIC4297 11/17/2021 248,000.00 225,112.09 248,000.00 1.100 1,826 1,538 1.101 11/17/2026 Portfolio CITY CP Run Date: 12/07/2022 - 20:26 PM (PRF_PM2) 7.3.0 102 City of La Quinta Portfolio Management Page Portfolio Details - Investments August 31, 2022 Average Purchase Stated Days to YTM Maturity CUSIP Investment # Issuer Balance Date Par Value Market Value Book Value Rate Term Maturity 365 Date Certificate of Deposits 20825WAR1 1357 Connexus CU 12/23/2021 249,000.00 226,976.95 249,000.00 1.250 1,826 1,574 1.250 12/23/2026 89786MAF1 1368 True Sky FCU 02/04/2022 245,000.00 226,632.51 245,000.00 1.600 1,826 1,617 1.601 02/04/2027 02357QAQO 1372 Amerant Bank 02/14/2022 245,000.00 226,509.08 245,000.00 1.600 1,828 1,629 1.601 02/16/2027 07371AYE7 1370 Beal Bank TX 02/23/2022 245,000.00 229,559.39 245,000.00 1.900 1,820 1,630 1.901 02/17/2027 073710E88 1371 Beal Bank USA 02/23/2022 245,000.00 229,559.39 245,000.00 1.900 1,820 1,630 1.901 02/17/2027 59161YAP1 1373 Metro Credit Union 02/18/2022 249,000.00 231,108.80 249,000.00 1.700 1,826 1,631 1.701 02/18/2027 24773RCR4 1377 Delta Natl B&T 03/09/2022 245,000.00 230,516.34 245,000.00 2.000 1,814 1,638 2.001 02/25/2027 27004PCM3 1375 Eaglemark Savings 03/02/2022 245,000.00 230,565.78 245,000.00 2.000 1,826 1,643 2.001 03/02/2027 91139LAB2 1378 United Roosevelt Savings 03/11/2022 248,000.00 232,165.48 248,000.00 1.900 1,826 1,652 1.901 03/11/2027 565819AG4 1379 Marathon Bnak 03/16/2022 248,000.00 231,065.47 248,000.00 1.800 1,826 1,657 1.801 03/16/2027 20033A3A2 1386 Comenity Capital Bank 04/14/2022 248,000.00 239,995.13 248,000.00 2.650 1,826 1,686 2.652 04/14/2027 397417AQ9 1419 Greenwoods State Bank 05/17/2022 248,000.00 244,317.63 248,000.00 3.050 1,826 1,719 3.052 05/17/2027 02589ADH2 1421 American Express, NB 08/29/2022 245,000.00 245,879.57 245,000.00 3.450 1,793 1,790 3.067 07/27/2027 88413QDN5 1420 Third Federal Savings and Loan 08/19/2022 245,000.00 244,308.32 245,000.00 3.300 1,826 1,813 3.302 08/19/2027 Subtotal and Average 32,412,087.18 32,109,000.00 30,825,164.20 32,108,377.50 1,666 792 1.923 Corporate Notes 931142DU4 1190 19416QEA4 1175 594918BQ6 1157 45950VP39 1308 Wal-Mart Stores, Inc Colgate-Palmolive Microsoft Corporation International Finance Corp. Subtotal and Average Money Market with Fiscal Agent SYS1058 1058 US Bank Subtotal and Average 04/16/2019 03/04/2019 10/15/2018 02/26/2021 1,857,560.00 07/01 /2016 483,030.85 CERBT - OPEB Trust SYS1114 1114 CalPERS CERBT Plan 07/01/2022 Subtotal and Average 1,792,152.96 PARS Pension Trust SYS1230 1230 Run Date: 12/07/2022 - 20:26 Pblc Agncy Rtrmnt Sery Subtotal and Average 10,500,507.01 500,000.00 500,000.00 400,000.00 500,000.00 1,900,000.00 14,973,176.11 14, 973,176.11 498,765.00 497,260.00 394,284.00 448,840.00 1,839,149.00 14, 973,176.11 14, 973,176.11 496,650.00 2.350 1,339 105 2.799 12/15/2022 485,250.00 1.950 1,430 153 2.751 02/01/2023 378,360.00 2.000 1,758 341 3.222 08/08/2023 497,300.00 0.500 1,826 1,274 0.610 02/26/2026 1,857,560.00 1,578 479 2.287 14, 973,176.11 1 14,973,176.11 1 1,792,152.96 1,792,152.96 1,792,152.96 1,792,152.96 1,792,152.96 1,792,152.96 10,207,728.18 10,207, 728.18 10,207, 728.18 10, 207, 728.18 10, 207, 728.18 10, 207, 728.18 I 1 0.000 1 0.000 1 0.000 1 0.000 1 1 0.000 1 1 0.000 Portfolio CITY CID PM (PRF_PM2) 7.3.0 103 City of La Quinta Portfolio Management Portfolio Details - Investments August 31, 2022 Average Purchase Stated Days to YTM CUSIP Investment # Issuer Balance Date Par Value Market Value Book Value Rate Term Maturity 365 Run Date: 12/07/2022 - 20:26 Total and Average 219,428,163.90 224,115,023.54 217,982,747.06 223,300,128.88 727 444 1.342 Page 9 Portfolio CITY CID PM (PRF_PM2) 7.3.0 104 t(VQr(lu GEM of the DESERT - City of La Quinta Total Earnings Sorted by Fund - Fund August 1, 2022 - August 31, 2022 City of La Quinta CUSIP Investment # Fund Issuer Ending Par Value Beginning Book Value Ending Book Value Current Rate Annualized Yield Interest Earned Adjusted Interest Earnings Amortization/ Realized Accretion Gainl/Loss Adjusted Interest Earnings Fund: General Fund 98-33-434 1055 101 LAIF 28,728,722.48 32,728,722.48 28,728,722.48 1.276 1.228 34,131.83 0.00 0.00 34,131.83 SYS1059 1059 101 CITYPC 3,300.00 3,300.00 3,300.00 0.00 0.00 0.00 0.00 01859BAA3 1095 101 ALLIAN 245,000.00 245,000.00 245,000.00 2.250 2.250 468.19 0.00 0.00 468.19 02587CFU9 1096 101 AMFSB 0.00 240,000.00 0.00 2.400 2.400 441.86 0.00 0.00 441.86 06740KLJ4 1097 101 BARCLY 240,000.00 240,000.00 240,000.00 2.300 2.300 468.82 0.00 0.00 468.82 62384RACO 1099 101 MTNAMR 245,000.00 245,000.00 245,000.00 2.300 2.300 478.59 0.00 0.00 478.59 22766ACB9 1106 101 CRS1ST 245,000.00 245,000.00 245,000.00 2.200 2.200 457.78 0.00 0.00 457.78 29367QCP1 1107 101 ENTRPR 245,000.00 245,000.00 245,000.00 2.150 2.150 447.38 0.00 0.00 447.38 499724AB8 1110 101 KNOX 245,000.00 245,000.00 245,000.00 2.400 2.400 499.40 0.00 0.00 499.40 SYS1114 1114 101 CALPRS 1,792,152.96 1,792,152.96 1,792,152.96 0.00 0.00 0.00 0.00 034577AH9 1119 101 ANECA 245,000.00 245,000.00 245,000.00 2.800 2.800 582.63 0.00 0.00 582.63 17312QJ26 1123 101 CITINA 245,000.00 245,000.00 245,000.00 2.900 2.900 603.44 0.00 0.00 603.44 29278TAY6 1125 101 ENER 240,000.00 240,000.00 240,000.00 2.950 2.950 601.32 0.00 0.00 601.32 74934YAH4 1144 101 RCB 245,000.00 245,000.00 245,000.00 3.150 3.150 655.46 0.00 0.00 655.46 32110YLK9 1147 101 1STNBA 245,000.00 245,000.00 245,000.00 3.150 3.150 655.46 0.00 0.00 655.46 89269CBX9 1148 101 TRAD 0.00 245,000.00 0.00 3.000 3.000 161.10 0.00 0.00 161.10 06426KAN8 1151 101 NWENGL 249,000.00 249,000.00 249,000.00 3.250 3.250 687.31 0.00 0.00 687.31 SYS1153 1153 101 CAMP 17,972,088.30 32,915,647.76 17,972,088.30 2.300 2.019 56,440.54 0.00 0.00 56,440.54 474067AQ8 1154 101 JEFF 245,000.00 245,000.00 245,000.00 3.350 3.350 697.08 0.00 0.00 697.08 57116ARV2 1155 101 MARBUS 248,000.00 248,000.00 248,000.00 3.300 3.300 695.08 0.00 0.00 695.08 594918BQ6 1157 101 MCRSFT 400,000.00 378,360.00 378,360.00 2.000 2.075 666.67 0.00 0.00 666.67 3133EJYL7 1158 101 FFCB 250,000.00 247,275.00 247,275.00 2.800 2.778 583.33 0.00 0.00 583.33 625925AR3 1160 101 MUNTRS 245,000.00 245,000.00 245,000.00 3.200 3.200 665.86 0.00 0.00 665.86 90348JEJ5 1161 101 UBS 245,000.00 245,000.00 245,000.00 3.350 3.350 697.08 0.00 0.00 697.08 20143PDV9 1162 101 COMMBK 248,000.00 248,000.00 248,000.00 3.400 3.400 716.14 0.00 0.00 716.14 67054NAN3 1164 101 NMRCA 248,000.00 248,000.00 248,000.00 3.550 3.550 747.74 0.00 0.00 747.74 75701LAB3 1166 101 REDRCK 248,000.00 248,000.00 248,000.00 3.350 3.350 705.61 0.00 0.00 705.61 58404DCX7 1169 101 MEDBA 248,000.00 248,000.00 248,000.00 3.400 3.400 716.14 0.00 0.00 716.14 635573AL2 1170 101 NLCOOP 245,000.00 245,000.00 245,000.00 3.400 3.400 707.48 0.00 0.00 707.48 Run Date: 12/07/2022 - 22:09 Portfolio CITY CP TE (PRF_TE) 7.3.6 Report Ver. 7.3.6.1 105 City of La Quinta Total Earnings Page 2 August 1, 2022 - August 31, 2022 CUSIP Investment # Fund Issuer Ending Par Value Beginning Book Value Ending Book Value Current Rate Annualized Yield Interest Earned Adjusted Interest Earnings Amortization/ Realized Accretion Gainl/Loss Adjusted Interest Earnings Fund: General Fund 066851WJ1 1172 101 BARHAR 248,000.00 248,000.00 248,000.00 3.350 3.350 705.61 0.00 0.00 705.61 619165JD6 1173 101 MORTN 248,000.00 248,000.00 248,000.00 2.750 2.750 579.23 0.00 0.00 579.23 949763XY7 1174 101 WELLS 248,000.00 248,000.00 248,000.00 3.000 3.000 631.89 0.00 0.00 631.89 19416QEA4 1175 101 COLGTE 500,000.00 485,250.00 485,250.00 1.950 1.971 812.50 0.00 0.00 812.50 3130AFW94 1177 101 FHLB 500,000.00 498,550.00 498,550.00 2.500 2.460 1,041.67 0.00 0.00 1,041.67 9128282W9 1178 101 USTR 500,000.00 489,687.50 489,687.50 1.875 1.909 794.06 0.00 0.00 794.06 32117BCX4 1179 101 1STNBK 248,000.00 248,000.00 248,000.00 2.800 2.800 589.76 0.00 0.00 589.76 92535LCD4 1180 101 VERUS 248,000.00 248,000.00 248,000.00 2.700 2.700 568.70 0.00 0.00 568.70 66736ABP3 1181 101 NRTHWS 248,000.00 248,000.00 248,000.00 2.950 2.950 621.36 0.00 0.00 621.36 156634AK3 1184 101 CENTNX 248,000.00 248,000.00 248,000.00 2.500 2.500 526.58 0.00 0.00 526.58 48128HXU7 1185 101 JPMORG 245,000.00 245,000.00 245,000.00 3.250 3.250 676.27 0.00 0.00 676.27 46256YAZ2 1186 101 IOWAST 245,000.00 245,000.00 245,000.00 2.400 2.400 499.40 0.00 0.00 499.40 56065GAG3 1188 101 MAINST 248,000.00 248,000.00 248,000.00 2.600 2.600 547.64 0.00 0.00 547.64 20726ABA5 1189 101 CONGRS 248,000.00 248,000.00 248,000.00 2.500 2.500 526.58 0.00 0.00 526.58 931142DU4 1190 101 WALMRT 500,000.00 496,650.00 496,650.00 2.350 2.321 979.17 0.00 0.00 979.17 725404AB3 1194 101 PITTS 245,000.00 245,000.00 245,000.00 2.500 2.500 520.20 0.00 0.00 520.20 72651LCL6 1195 101 PLAINS 245,000.00 245,000.00 245,000.00 2.550 2.550 530.61 0.00 0.00 530.61 299547AQ2 1196 101 EVNSCU 248,000.00 248,000.00 248,000.00 2.600 2.600 547.64 0.00 0.00 547.64 524661CB9 1197 101 LEGCY 248,000.00 248,000.00 248,000.00 2.400 2.400 505.51 0.00 0.00 505.51 3133EKQP4 1198 101 FFCB 500,000.00 499,500.00 499,500.00 1.875 1.842 781.25 0.00 0.00 781.25 176688CP2 1199 101 CTZNST 248,000.00 248,000.00 248,000.00 2.400 2.400 505.51 0.00 0.00 505.51 85916VDC6 1201 101 STRLNG 0.00 245,000.00 0.00 2.150 2.150 404.08 0.00 0.00 404.08 20416TAQ5 1202 101 COMMW 248,000.00 248,000.00 248,000.00 2.250 2.250 473.92 0.00 0.00 473.92 761402BY1 1203 101 REVER 247,000.00 247,000.00 247,000.00 2.300 2.300 482.49 0.00 0.00 482.49 02772JBD1 1205 101 AMRNTL 248,000.00 248,000.00 248,000.00 2.000 2.000 421.26 0.00 0.00 421.26 3135GOV75 1206 101 FNMA 500,000.00 495,950.00 495,950.00 1.750 1.731 729.17 0.00 0.00 729.17 00257TBD7 1207 101 ABACUS 248,000.00 248,000.00 248,000.00 1.950 1.950 410.73 0.00 0.00 410.73 51210SQU4 1208 101 LKSIDE 248,000.00 248,000.00 248,000.00 2.000 2.000 421.26 0.00 0.00 421.26 33625CCP2 1209 101 1STSEC 248,000.00 248,000.00 248,000.00 2.000 2.000 421.26 0.00 0.00 421.26 710571DS6 1210 101 PEOPLE 248,000.00 248,000.00 248,000.00 2.000 2.000 421.26 0.00 0.00 421.26 3133EKWV4 1212 101 FFCB 500,000.00 499,500.00 499,500.00 1.850 1.817 770.84 0.00 0.00 770.84 740367HP5 1213 101 PREFRD 249,000.00 249,000.00 249,000.00 2.000 2.000 422.96 0.00 0.00 422.96 938828BH2 1215 101 WSHFED 248,000.00 248,000.00 248,000.00 2.000 2.000 421.26 0.00 0.00 421.26 33766LAJ7 1216 101 1STIER 249,000.00 249,000.00 249,000.00 1.950 1.950 412.38 0.00 0.00 412.38 912828T26 1217 101 USTR 500,000.00 499,300.00 499,300.00 1.375 1.373 582.31 0.00 0.00 582.31 75472RAD3 1218 101 RAYJAM 244,000.00 244,000.00 244,000.00 1.950 1.950 404.10 0.00 0.00 404.10 12556LBA3 1219 101 CITBNK 0.00 245,000.00 0.00 1.900 1.900 280.58 0.00 0.00 280.58 Run Date: 12/07/2022 - 22:09 Portfolio CITY CID TE (PRF_TE) 7.3.6 Report Ver. 7.3.6.1 106 City of La Quinta Total Earnings Page 3 August 1, 2022 - August 31, 2022 CUSIP Investment # Fund Issuer Ending Par Value Beginning Book Value Ending Book Value Current Rate Annualized Yield Interest Earned Adjusted Interest Earnings Amortization/ Realized Accretion Gainl/Loss Adjusted Interest Earnings Fund: General Fund 15118RRH2 1220 101 CELTIC 248,000.00 248,000.00 248,000.00 1.850 1.850 389.67 0.00 0.00 389.67 334342CD2 1221 101 1STNBS 249,000.00 249,000.00 249,000.00 1.850 1.850 391.24 0.00 0.00 391.24 336460CX6 1222 101 1STDQN 248,000.00 248,000.00 248,000.00 1.800 1.800 379.13 0.00 0.00 379.13 3133EKZK5 1223 101 FFCB 500,000.00 499,400.00 499,400.00 1.600 1.572 666.67 0.00 0.00 666.67 3133EKP75 1224 101 FFCB 500,000.00 498,750.00 498,750.00 1.600 1.574 666.66 0.00 0.00 666.66 06652CHBO 1227 101 BNKWST 248,000.00 248,000.00 248,000.00 1.700 1.700 358.07 0.00 0.00 358.07 059731851 1228 101 BOTW 5,048,779.42 3,264,587.10 5,048,779.42 0.00 0.00 0.00 0.00 SYS1230 1230 101 PARS 10,207,728.18 10,510,266.30 10,207,728.18 0.00 0.00 0.00 0.00 33640VDD7 1231 101 1STSER 248,000.00 248,000.00 248,000.00 1.700 1.700 358.07 0.00 0.00 358.07 3135GOW33 1233 101 FNMA 1,000,000.00 992,100.00 992,100.00 1.375 1.360 1,145.84 0.00 0.00 1,145.84 3133EK4X1 1234 101 FFCB 1,000,000.00 996,900.00 996,900.00 1.600 1.575 1,333.33 0.00 0.00 1,333.33 804375DL4 1235 101 SAUKVL 248,000.00 248,000.00 248,000.00 1.700 1.700 358.07 0.00 0.00 358.07 6176OA3133 1236 101 MSPRIV 245,000.00 245,000.00 245,000.00 1.900 1.900 395.36 0.00 0.00 395.36 6169OUNX4 1237 101 MORGST 245,000.00 245,000.00 245,000.00 1.950 1.950 405.76 0.00 0.00 405.76 538036GVO 1238 101 LIVEOK 248,000.00 248,000.00 248,000.00 1.800 1.800 379.13 0.00 0.00 379.13 49228XAK6 1239 101 KERNCU 248,000.00 248,000.00 248,000.00 1.900 1.900 400.20 0.00 0.00 400.20 79772FACO 1240 101 SF FCU 248,000.00 248,000.00 248,000.00 1.850 1.850 389.67 0.00 0.00 389.67 912828YV6 1241 101 USTR 1,000,000.00 989,687.50 989,687.50 1.500 1.511 1,270.50 0.00 0.00 1,270.50 3133ELEA8 1242 101 FFCB 1,000,000.00 998,600.00 998,600.00 1.700 1.670 1,416.66 0.00 0.00 1,416.66 949495AT2 1244 101 WFNBW 248,000.00 248,000.00 248,000.00 1.900 1.900 400.20 0.00 0.00 400.20 3133ELNEO 1246 101 FFCB 1,000,000.00 999,000.00 999,000.00 1.430 1.404 1,191.67 0.00 0.00 1,191.67 3133EGWJO 1247 101 FFCB 1,000,000.00 999,217.36 999,217.36 1.400 1.375 1,166.67 0.00 0.00 1,166.67 35637RDC8 1248 101 FRDMFI 248,000.00 248,000.00 248,000.00 1.550 1.550 326.48 0.00 0.00 326.48 90983WBT7 1249 101 UNTDCM 248,000.00 248,000.00 248,000.00 1.650 1.650 347.54 0.00 0.00 347.54 32114VBT3 1250 101 1STNM1 248,000.00 248,000.00 248,000.00 1.650 1.650 347.54 0.00 0.00 347.54 77579ADFO 1251 101 RLLSTN 245,000.00 245,000.00 245,000.00 1.650 1.650 343.34 0.00 0.00 343.34 17286TAGO 1252 101 CITADL 248,000.00 248,000.00 248,000.00 1.650 1.650 347.54 0.00 0.00 347.54 81768PAF3 1254 101 SERVIS 248,000.00 248,000.00 248,000.00 1.600 1.600 337.01 0.00 0.00 337.01 029728BC5 1255 101 AMERST 248,000.00 248,000.00 248,000.00 1.600 1.600 337.01 0.00 0.00 337.01 00435JBH5 1256 101 ACCSS 248,000.00 248,000.00 248,000.00 1.600 1.600 337.01 0.00 0.00 337.01 849430BF9 1257 101 SPRING 248,000.00 248,000.00 248,000.00 1.500 1.500 315.95 0.00 0.00 315.95 05465DAE8 1258 101 AXOS 248,000.00 248,000.00 248,000.00 1.650 1.650 347.54 0.00 0.00 347.54 882213AB7 1260 101 TEXAS 245,000.00 245,000.00 245,000.00 1.100 1.100 228.89 0.00 0.00 228.89 89579NCD3 1262 101 TRIAD 248,000.00 248,000.00 248,000.00 1.350 1.350 284.35 0.00 0.00 284.35 66704MEQO 1263 101 NRTHSR 248,000.00 248,000.00 248,000.00 1.150 1.150 242.22 0.00 0.00 242.22 954444BS3 1265 101 WESTMI 248,000.00 248,000.00 248,000.00 1.150 1.150 242.22 0.00 0.00 242.22 654062JZ2 1266 101 NCOLET 248,000.00 248,000.00 248,000.00 1.400 1.400 294.88 0.00 0.00 294.88 Run Date: 12/07/2022 - 22:09 Portfolio CITY CP TE (PRF_TE) 7.3.6 Report Ver. 7.3.6.1 107 City of La Quinta Total Earnings Page 4 August 1, 2022 - August 31, 2022 CUSIP Investment # Fund Issuer Ending Par Value Beginning Book Value Ending Book Value Current Rate Annualized Yield Interest Earned Adjusted Interest Earnings Amortization/ Realized Accretion Gainl/Loss Adjusted Interest Earnings Fund: General Fund 020080BX4 1267 101 ALMABK 248,000.00 248,000.00 248,000.00 1.400 1.400 294.88 0.00 0.00 294.88 2027506M2 1268 101 CMWBUS 248,000.00 248,000.00 248,000.00 1.250 1.250 263.29 0.00 0.00 263.29 69506YRH4 1269 101 PACWST 245,000.00 245,000.00 245,000.00 1.300 1.300 270.51 0.00 0.00 270.51 08016PDQ9 1270 101 BELB&T 248,000.00 248,000.00 248,000.00 1.250 1.250 263.29 0.00 0.00 263.29 14042TDD6 1271 101 CAPONE 245,000.00 245,000.00 245,000.00 1.600 1.600 332.93 0.00 0.00 332.93 472382AQ3 1272 101 THEJEF 248,000.00 248,000.00 248,000.00 1.250 1.250 263.29 0.00 0.00 263.29 32027BALl 1273 101 1STFDM 249,000.00 249,000.00 249,000.00 1.200 1.200 253.78 0.00 0.00 253.78 32112UDR9 1274 101 1STMCG 248,000.00 248,000.00 248,000.00 1.350 1.350 284.35 0.00 0.00 284.35 33847E3A3 1276 101 FLGSTR 248,000.00 248,000.00 248,000.00 1.250 1.250 263.29 0.00 0.00 263.29 95960NKD8 1277 101 WSTRNS 245,000.00 245,000.00 245,000.00 1.000 1.000 208.08 0.00 0.00 208.08 32056GDJ6 1278 101 1STINT 248,000.00 248,000.00 248,000.00 1.000 1.000 210.63 0.00 0.00 210.63 3134GVYG7 1279 101 FHLMC 1,000,000.00 1,000,000.00 1,000,000.00 0.625 0.613 520.83 0.00 0.00 520.83 3133ELH23 1280 101 FFCB 500,000.00 499,850.00 499,850.00 0.500 0.491 208.33 0.00 0.00 208.33 3130AJKW8 1281 101 FHLB 500,000.00 499,850.00 499,850.00 0.500 0.491 208.34 0.00 0.00 208.34 3133ELH80 1282 101 FFCB 500,000.00 500,000.00 500,000.00 0.680 0.667 283.33 0.00 0.00 283.33 3130AJRP6 1283 101 FHLB 300,000.00 300,000.00 300,000.00 0.680 0.667 170.00 0.00 0.00 170.00 169894AS1 1284 101 CHIPVA 248,000.00 248,000.00 248,000.00 0.600 0.600 126.38 0.00 0.00 126.38 02616AAH2 1285 101 AMR1ST 248,000.00 248,000.00 248,000.00 0.350 0.350 73.72 0.00 0.00 73.72 84223QAN7 1286 101 STHRNB 248,000.00 248,000.00 248,000.00 0.500 0.500 105.32 0.00 0.00 105.32 064520BG3 1287 101 BKPRNC 248,000.00 248,000.00 248,000.00 0.500 0.500 105.32 0.00 0.00 105.32 3135G05S8 1288 101 FNMA 500,000.00 500,000.00 500,000.00 0.500 0.491 208.34 0.00 0.00 208.34 3136G4N74 1289 101 FNMA 1,000,000.00 1,000,000.00 1,000,000.00 0.560 0.549 466.67 0.00 0.00 466.67 3136G4M75 1290 101 FNMA 500,000.00 499,750.00 499,750.00 0.520 0.510 216.67 0.00 0.00 216.67 3135G06E8 1291 101 FNMA 500,000.00 499,250.00 499,250.00 0.420 0.413 175.00 0.00 0.00 175.00 3135GA2Z3 1292 101 FNMA 500,000.00 499,250.00 499,250.00 0.560 0.550 233.33 0.00 0.00 233.33 SYS1293 1293 101 BNY 5,796,058.77 2,337,762.00 5,796,058.77 0.00 0.00 0.00 0.00 3137EAEU9 1297 101 FHLMC 1,000,000.00 997,300.00 997,300.00 0.375 0.369 312.50 0.00 0.00 312.50 3130AKFA9 1298 101 FHLB 500,000.00 497,400.00 497,400.00 0.375 0.370 156.25 0.00 0.00 156.25 3135GA7D7 1299 101 FNMA 500,000.00 500,000.00 500,000.00 0.600 0.589 250.00 0.00 0.00 250.00 3135GAAW1 1300 101 FNMA 500,000.00 500,000.00 500,000.00 0.400 0.392 166.67 0.00 0.00 166.67 3134GXGZ1 1301 101 FHLMC 500,000.00 500,000.00 500,000.00 0.550 0.540 229.16 0.00 0.00 229.16 3130AKMZ6 1302 101 FHLB 500,000.00 500,000.00 500,000.00 0.510 0.500 212.50 0.00 0.00 212.50 91282CBC4 1303 101 USTR 500,000.00 498,632.81 498,632.81 0.375 0.373 157.95 0.00 0.00 157.95 3130AKN28 1304 101 FHLB 500,000.00 500,000.00 500,000.00 0.550 0.540 229.16 0.00 0.00 229.16 51507LCC6 1305 101 LNDMRK 248,000.00 248,000.00 248,000.00 0.500 0.500 105.32 0.00 0.00 105.32 87270LDL4 1306 101 EVRBA 245,000.00 245,000.00 245,000.00 0.500 0.500 104.04 0.00 0.00 104.04 3137EAEX3 1307 101 FHLMC 500,000.00 495,999.50 495,999.50 0.375 0.371 156.25 0.00 0.00 156.25 Run Date: 12/07/2022 - 22:09 Portfolio CITY CP TE (PRF_TE) 7.3.6 Report Ver. 7.3.6.1 City of La Quinta Total Earnings Page 5 August 1, 2022 - August 31, 2022 CUSIP Investment # Fund Issuer Ending Par Value Beginning Book Value Ending Book Value Current Rate Annualized Yield Interest Earned Adjusted Interest Earnings Amortization/ Realized Accretion Gainl/Loss Adjusted Interest Earnings Fund: General Fund 45950VPS9 1308 101 IFC 500,000.00 497,300.00 497,300.00 0.500 0.505 213.41 0.00 0.00 213.41 91282CBH3 1309 101 USTR 500,000.00 495,100.00 495,100.00 0.375 0.376 157.94 0.00 0.00 157.94 3137EAEX3 1310 101 FHLMC 1,000,000.00 983,940.00 983,940.00 0.375 0.374 312.50 0.00 0.00 312.50 91282CAT8 1311 101 USTR 1,000,000.00 977,500.00 977,500.00 0.250 0.254 210.60 0.00 0.00 210.60 3130ALV92 1312 101 FHLB 500,000.00 500,000.00 500,000.00 1.050 1.030 437.50 0.00 0.00 437.50 39573LBC1 1313 101 GRNST 249,000.00 249,000.00 249,000.00 0.950 0.950 200.91 0.00 0.00 200.91 89235MKY6 1314 101 TOYFSB 245,000.00 245,000.00 245,000.00 0.900 0.900 187.27 0.00 0.00 187.27 91282CAZ4 1315 101 USTR 500,000.00 492,187.50 492,187.50 0.375 0.380 158.81 0.00 0.00 158.81 14622LAAO 1316 101 CARTER 248,000.00 248,000.00 248,000.00 0.750 0.750 157.97 0.00 0.00 157.97 31617CAV5 1317 101 FIDHMS 248,000.00 248,000.00 248,000.00 0.700 0.700 147.44 0.00 0.00 147.44 SYS1318 1318 101 DPME 649,117.42 613,712.88 649,117.42 0.00 0.00 0.00 0.00 91282CBQ3 1319 101 USTR 500,000.00 494,165.00 494,165.00 0.500 0.502 210.71 0.00 0.00 210.71 91282CBT7 1320 101 USTR 500,000.00 499,525.00 499,525.00 0.750 0.749 317.62 0.00 0.00 317.62 91282CCF6 1321 101 USTR 1,000,000.00 997,060.00 997,060.00 0.750 0.750 635.25 0.00 0.00 635.25 91282CBT7 1322 101 USTR 500,000.00 498,450.00 498,450.00 0.750 0.750 317.62 0.00 0.00 317.62 91282CCF6 1323 101 USTR 500,000.00 497,095.00 497,095.00 0.750 0.752 317.62 0.00 0.00 317.62 3130AMFS6 1324 101 FHLB 1,000,000.00 993,420.00 993,420.00 0.750 0.741 625.00 0.00 0.00 625.00 92559TAJ7 1325 101 VIBRNT 249,000.00 248,377.50 248,377.50 0.800 0.802 169.18 0.00 0.00 169.18 38149MXK4 1326 101 GLDMAN 248,000.00 248,000.00 248,000.00 1.000 1.000 210.63 0.00 0.00 210.63 795451AFO 1327 101 SALMAE 248,000.00 248,000.00 248,000.00 1.000 1.000 210.63 0.00 0.00 210.63 89388CEYO 1328 101 TABBK 248,000.00 248,000.00 248,000.00 0.400 0.400 84.25 0.00 0.00 84.25 06417NZQ9 1329 101 BKOZK 248,000.00 248,000.00 248,000.00 0.400 0.400 84.25 0.00 0.00 84.25 3133EM2C5 1330 101 FFCB 500,000.00 498,000.00 498,000.00 0.710 0.699 295.83 0.00 0.00 295.83 70962LAF9 1331 101 PENTGN 249,000.00 249,000.00 249,000.00 0.700 0.700 148.04 0.00 0.00 148.04 87165ET98 1332 101 SYNCHR 245,000.00 245,000.00 245,000.00 0.900 0.900 187.28 0.00 0.00 187.28 05580AD50 1333 101 BMW 245,000.00 245,000.00 245,000.00 0.650 0.650 135.25 0.00 0.00 135.25 20786ADL6 1334 101 CONNEC 248,000.00 248,000.00 248,000.00 0.800 0.800 168.50 0.00 0.00 168.50 91282CCP4 1335 101 USTR 1,000,000.00 983,750.00 983,750.00 0.625 0.630 526.50 0.00 0.00 526.50 91282CCW9 1336 101 USTR 1,000,000.00 988,500.00 988,500.00 0.750 0.753 632.13 0.00 0.00 632.13 3130APBM6 1337 101 FHLB 1,000,000.00 999,000.00 999,000.00 1.000 0.982 833.33 0.00 0.00 833.33 3133EM4X7 1338 101 FFCB 1,000,000.00 991,080.00 991,080.00 0.800 0.792 666.67 0.00 0.00 666.67 3130APB46 1339 101 FHLB 1,000,000.00 998,250.00 998,250.00 0.950 0.934 791.67 0.00 0.00 791.67 3133EMX64 1340 101 FFCB 500,000.00 499,002.04 499,002.04 0.170 0.167 70.84 0.00 0.00 70.84 91282CCN9 1341 101 USTR 500,000.00 497,792.97 497,792.97 0.125 0.125 52.65 0.00 0.00 52.65 91282CBEO 1342 101 USTR 1,000,000.00 991,000.00 991,000.00 0.125 0.125 105.30 0.00 0.00 105.30 91282CDB4 1343 101 USTR 1,000,000.00 996,320.00 996,320.00 0.625 0.626 529.37 0.00 0.00 529.37 3133ENCQ1 1344 101 FFCB 1,000,000.00 1,000,000.00 1,000,000.00 1.270 1.246 1,058.34 0.00 0.00 1,058.34 Run Date: 12/07/2022 - 22:09 Portfolio CITY CID TE (PRF_TE) 7.3.6 Report Ver. 7.3.6.1 109 City of La Quinta Total Earnings Page 6 August 1, 2022 - August 31, 2022 CUSIP Investment # Fund Issuer Ending Par Value Beginning Book Value Ending Book Value Current Rate Annualized Yield Interest Earned Adjusted Interest Earnings Amortization/ Realized Accretion Gainl/Loss Adjusted Interest Earnings Fund: General Fund 59013KPNO 1345 101 MRRCK 249,000.00 249,000.00 249,000.00 1.100 1.100 232.63 0.00 0.00 232.63 14042RQBO 1346 101 CANNA 248,000.00 248,000.00 248,000.00 1.100 1.100 231.69 0.00 0.00 231.69 3130APTV7 1347 101 FHLB 500,000.00 499,500.00 499,500.00 0.700 0.688 291.67 0.00 0.00 291.67 3133ENBT6 1348 101 FFCB 1,000,000.00 998,530.00 998,530.00 0.180 0.177 150.00 0.00 0.00 150.00 91282CBU4 1349 101 USTR 1,000,000.00 996,718.75 996,718.75 0.125 0.125 105.88 0.00 0.00 105.88 91282CCD1 1350 101 USTR 1,000,000.00 995,468.75 995,468.75 0.125 0.125 105.87 0.00 0.00 105.87 91282CBA8 1351 101 USTR 1,000,000.00 990,000.00 990,000.00 0.125 0.126 105.87 0.00 0.00 105.87 91282CBR1 1352 101 USTR 1,000,000.00 989,800.00 989,800.00 0.250 0.251 210.60 0.00 0.00 210.60 3130AP21.18 1353 101 FHLB 1,000,000.00 987,100.00 987,100.00 0.550 0.547 458.33 0.00 0.00 458.33 3135G06G3 1354 101 FNMA 1,000,000.00 976,300.00 976,300.00 0.500 0.502 416.66 0.00 0.00 416.66 3133ENGN4 1355 101 FFCB 1,000,000.00 1,000,000.00 1,000,000.00 0.970 0.952 808.33 0.00 0.00 808.33 501798RP9 1356 101 LCA 248,000.00 248,000.00 248,000.00 1.000 1.000 210.63 0.00 0.00 210.63 20825WAR1 1357 101 CNNXS 249,000.00 249,000.00 249,000.00 1.250 1.250 264.35 0.00 0.00 264.35 313OAQF65 1358 101 FHLB 1,000,000.00 999,750.00 999,750.00 1.250 1.227 1,041.67 0.00 0.00 1,041.67 3134GW6C5 1359 101 FHLMC 500,000.00 486,000.00 486,000.00 0.800 0.808 333.34 0.00 0.00 333.34 91282CBV2 1360 101 USTR 500,000.00 494,882.81 494,882.81 0.375 0.378 158.81 0.00 0.00 158.81 3137EAEU9 1361 101 FHLMC 500,000.00 487,090.00 487,090.00 0.375 0.378 156.25 0.00 0.00 156.25 3134GW5R3 1362 101 FHLMC 400,000.00 391,360.00 391,360.00 0.650 0.652 216.67 0.00 0.00 216.67 307811DF3 1363 101 FARMER 249,000.00 249,000.00 249,000.00 0.900 0.900 190.33 0.00 0.00 190.33 3130AQJR5 1364 101 FHLB 1,000,000.00 1,000,000.00 1,000,000.00 1.500 1.472 1,250.00 0.00 0.00 1,250.00 3135G031.15 1365 101 FNMA 500,000.00 487,790.00 487,790.00 0.625 0.629 260.41 0.00 0.00 260.41 3134GWUQ7 1366 101 FHLMC 1,000,000.00 945,570.00 945,570.00 0.700 0.726 583.33 0.00 0.00 583.33 3130AQSA2 1367 101 FHLB 1,000,000.00 1,000,000.00 1,000,000.00 1.830 1.796 1,525.00 0.00 0.00 1,525.00 89786MAF1 1368 101 TRUSKY 245,000.00 245,000.00 245,000.00 1.600 1.600 332.93 0.00 0.00 332.93 912828Z78 1369 101 USTR 1,000,000.00 986,700.00 986,700.00 1.500 1.508 1,263.59 0.00 0.00 1,263.59 07371AYE7 1370 101 BEALTX 245,000.00 245,000.00 245,000.00 1.900 1.900 395.36 0.00 0.00 395.36 073710E88 1371 101 BEALUS 245,000.00 245,000.00 245,000.00 1.900 1.900 395.36 0.00 0.00 395.36 02357QAQO 1372 101 AMRNT 245,000.00 245,000.00 245,000.00 1.600 1.600 332.94 0.00 0.00 332.94 59161YAP1 1373 101 METRO 249,000.00 249,000.00 249,000.00 1.700 1.700 359.52 0.00 0.00 359.52 3130AQWY5 1374 101 FHLB 1,000,000.00 1,000,000.00 1,000,000.00 1.700 1.668 1,416.67 0.00 0.00 1,416.67 27004PCM3 1375 101 EGLMRK 245,000.00 245,000.00 245,000.00 2.000 2.000 416.17 0.00 0.00 416.17 64034KAZ4 1376 101 NELNET 245,000.00 245,000.00 245,000.00 1.800 1.800 374.55 0.00 0.00 374.55 24773RCR4 1377 101 DELTA 245,000.00 245,000.00 245,000.00 2.000 2.000 416.16 0.00 0.00 416.16 91139LAB2 1378 101 URSVLT 248,000.00 248,000.00 248,000.00 1.900 1.900 400.20 0.00 0.00 400.20 565819AG4 1379 101 MRTHON 248,000.00 248,000.00 248,000.00 1.800 1.800 379.13 0.00 0.00 379.13 91282CCW9 1380 101 USTR 500,000.00 466,454.17 466,454.17 0.750 0.798 316.07 0.00 0.00 316.07 91282CDG3 1381 101 USTR 500,000.00 473,396.82 473,396.82 1.125 1.179 473.84 0.00 0.00 473.84 Run Date: 12/07/2022 - 22:09 Portfolio CITY CID TE (PRF_TE) 7.3.6 Report Ver. 7.3.6.1 110 City of La Quinta Total Earnings Page 7 August 1, 2022 - August 31, 2022 CUSIP Investment # Fund Issuer Ending Par Value Beginning Book Value Ending Book Value Current Rate Annualized Yield Interest Earned Adjusted Interest Earnings Amortization/ Realized Accretion Gainl/Loss Adjusted Interest Earnings Fund: General Fund 91282CBQ3 1382 101 USTR 750,000.00 698,025.00 698,025.00 0.500 0.533 316.07 0.00 0.00 316.07 9128286S4 1383 101 USTR 1,000,000.00 999,010.00 999,010.00 2.375 2.358 2,000.68 0.00 0.00 2,000.68 50625LAW3 1384 101 LFYTT 248,000.00 248,000.00 248,000.00 2.050 2.050 431.79 0.00 0.00 431.79 3130ARGJ4 1385 101 FHLB 500,000.00 500,000.00 500,000.00 2.500 2.453 1,041.66 0.00 0.00 1,041.66 20033A3A2 1386 101 CCBA 248,000.00 248,000.00 248,000.00 2.650 2.650 558.17 0.00 0.00 558.17 3130ARGY1 1387 101 FHLB 1,000,000.00 1,000,000.00 1,000,000.00 2.700 2.649 2,250.00 0.00 0.00 2,250.00 02007GPX5 1388 101 ALLY 245,000.00 245,000.00 245,000.00 2.550 2.550 530.61 0.00 0.00 530.61 52168UHY1 1389 101 LEADR 245,000.00 245,000.00 245,000.00 2.550 2.550 530.61 0.00 0.00 530.61 9128283DO 1390 101 USTR 1,000,000.00 985,190.00 985,190.00 2.250 2.265 1,895.38 0.00 0.00 1,895.38 91282CEF4 1391 101 USTR 1,000,000.00 976,860.00 976,860.00 2.500 2.552 2,117.49 0.00 0.00 2,117.49 254673E69 1392 101 DISCOV 245,000.00 245,000.00 245,000.00 3.100 3.100 645.05 0.00 0.00 645.05 91282CAR2 1393 101 USTR 4,000,000.00 3,979,880.00 3,979,880.00 0.125 0.125 421.19 0.00 0.00 421.19 91282CBD2 1394 101 USTR 2,000,000.00 1,982,265.63 1,982,265.63 0.125 0.125 210.60 0.00 0.00 210.60 91282CAN1 1395 101 USTR 4,000,000.00 3,985,625.00 3,985,625.00 0.125 0.125 423.50 0.00 0.00 423.50 48115LAD6 1396 101 JOVIA 248,000.00 248,000.00 248,000.00 2.500 2.500 526.58 0.00 0.00 526.58 912828X88 1397 101 USTR 1,000,000.00 969,687.50 969,687.50 2.375 2.429 2,000.68 0.00 0.00 2,000.68 91282CEN7 1398 101 USTR 500,000.00 495,000.00 495,000.00 2.750 2.755 1,158.29 0.00 0.00 1,158.29 91282CET4 1399 101 USTR 500,000.00 491,842.18 491,842.18 2.625 2.661 1,111.68 0.00 0.00 1,111.68 9128282U3 1400 101 USTR 500,000.00 490,850.00 490,850.00 1.875 1.895 790.17 0.00 0.00 790.17 3133ENYH7 1401 101 FFCB 500,000.00 499,080.00 499,080.00 2.625 2.580 1,093.75 0.00 0.00 1,093.75 91282CBD2 1402 101 USTR 3,000,000.00 2,972,578.13 2,972,578.13 0.125 0.125 315.89 0.00 0.00 315.89 91282CAX9 1403 101 USTR 4,000,000.00 3,972,031.25 3,972,031.25 0.125 0.126 423.50 0.00 0.00 423.50 91282CAN1 1404 101 USTR 2,000,000.00 1,992,780.00 1,992,780.00 0.125 0.125 211.75 0.00 0.00 211.75 91282CAG6 1405 101 USTR 0.00 4,988,450.00 0.00 0.125 2.941 509.51 0.00 11,550.00 12,059.51 91282CAR2 1406 101 USTR 2,000,000.00 1,989,440.00 1,989,440.00 0.125 0.125 210.60 0.00 0.00 210.60 912828N30 1407 101 USTR 2,000,000.00 1,996,240.00 1,996,240.00 2.125 2.112 3,580.17 0.00 0.00 3,580.17 912828M80 1408 101 USTR 3,000,000.00 2,996,670.00 2,996,670.00 2.000 1.997 5,081.97 0.00 0.00 5,081.97 3130ASDV8 1409 101 FHLB 300,000.00 300,000.00 300,000.00 3.300 3.238 825.00 0.00 0.00 825.00 9128283C2 1410 101 USTR 2,000,000.00 1,999,940.00 1,999,940.00 2.000 1.984 3,369.56 0.00 0.00 3,369.56 91282CAN1 1411 101 USTR 2,000,000.00 1,991,942.00 1,991,942.00 0.125 0.125 211.75 0.00 0.00 211.75 912828N30 1412 101 USTR 2,000,000.00 1,996,680.00 1,996,680.00 2.125 2.111 3,580.17 0.00 0.00 3,580.17 912828M80 1413 101 USTR 2,000,000.00 1,997,980.00 1,997,980.00 2.000 1.997 3,387.97 0.00 0.00 3,387.97 9128283C2 1414 101 USTR 1,000,000.00 999,977.00 999,977.00 2.000 1.984 1,684.78 0.00 0.00 1,684.78 89269FDP7 1415 101 TRADCP 246,000.00 246,000.00 246,000.00 3.000 3.000 626.79 0.00 0.00 626.79 91282CFB2 1417 101 USTR 1,000,000.00 0.00 989,460.00 2.750 2.757 1,270.38 0.00 0.00 1,270.38 912828XT2 1418 101 USTR 1,000,000.00 985,240.00 985,240.00 2.000 2.024 1,693.99 0.00 0.00 1,693.99 397417AQ9 1419 101 GRNWDS 248,000.00 248,000.00 248,000.00 3.050 3.050 642.42 0.00 0.00 642.42 Run Date: 12/07/2022 - 22:09 Portfolio CITY CID TE (PRF_TE) 7.3.6 Report Ver. 7.3.6.1 ill City of La Quinta Total Earnings Page 8 August 1, 2022 - August 31, 2022 Adjusted Interest Earnings Ending Beginning Ending Current Annualized Interest Amortization/ Realized Adjusted Interest CUSIP Investment # Fund Issuer Par Value Book Value Book Value Rate Yield Earned Accretion Gainl/Loss Earnings Fund: General Fund 88413QDN5 1420 101 3RD 245,000.00 0.00 245,000.00 3.300 3.300 287.96 0.00 0.00 287.96 02589ADH2 1421 101 AMEXNB 245,000.00 0.00 245,000.00 3.450 3.450 69.47 0.00 0.00 69.47 91282CFB2 1422 101 USTR 1,000,000.00 0.00 979,645.67 2.750 2.784 224.18 0.00 0.00 224.18 Subtotal 206,706,947.53 223,364,601.15 205,892,052.87 1.266 228,993.49 0.00 11,550.00 240,543.49 Fund: Fiscal Agent SYS1058 1058 231 USBANK 14,973,176.11 26.01 14,973,176.11 0.453 0.01 0.00 0.00 0.01 Subtotal 14,973,176.11 26.01 14,973,176.11 0.453 0.01 0.00 0.00 0.01 Fund: Housing Authority : WSA and LQ SYS1062 1062 241 LQPR 416,132.51 403,375.75 416,132.51 0.00 0.00 0.00 0.00 Subtotal 416,132.51 403,375.75 416,132.51 0.00 0.00 0.00 0.00 Fund: SA Low/Mod Bond Fund 25-33-005 1113 249 LAIF 2,018,767.39 2,018,767.39 2,018,767.39 1.276 1.350 2,315.25 0.00 0.00 2,315.25 Subtotal 2,018,767.39 2,018,767.39 2,018,767.39 1.350 2,315.25 0.00 0.00 2,315.25 Total 224,115,023.54 225,786,770.30 223,300,128.88 Run Date: 12/07/2022 - 22:09 1.265 231,308.75 0.00 11,550.00 242,858.75 Portfolio CITY CID TE (PRF_TE) 7.3.6 Report Ver. 7.3.6.1 112 City of La Quinta t(V City of La Quinta OW f Portfolio Management -- GEM of the DESERT --- Portfolio Summary September 30, 2022 Par Market Book % of Days to YTM Investments Value value Value Portfolio Term Maturity 365 Equiv. Bank Accounts 4,839,849.83 4,839,849.83 4,839,849.83 2.35 1 1 0.000 Local Agency Investment Fund -City 28,728,722.48 28,308,807.15 28,728,722.48 13.95 1 1 1.513 Local Agency Invstmnt Fund -Housing 2,018,767.39 1,992,886.54 2,018,767.39 0.98 1 1 1.513 Money Market Accounts - CAMP 18,010,695.46 18,010,695.46 18,o10,695.46 8.74 1 1 2.610 Federal Agency Coupon Securities 39,750,000.00 36,386,736.00 39,536,729.09 19.19 1,615 1,089 1,317 Treasury Coupon Securities 62,250,000,00 60,024,590.00 61,656,358.10 29.93 700 511 1.978 Treasury Discount Notes 5,000,000.00 4,923,100.00 4,919,030.42 2.39 181 152 3.365 Certificate of Deposits 33,101,000.D0 31,430,853.63 33,100,377.50 16,07 1,666 788 1.982 Corporate Notes 1,900,000.00 1,826,566.00 1,857,560.00 0.90 1,578 449 2.287 Money Market with Fiscal Agent 4,603.25 4,603.25 4,603.25 0.00 1 1 0.000 CERBT- OPEBTrust 1,660,262.83 1,660,262.83 1,660,262.83 0.81 1 1 0.000 PARS Pension Trust 9,673,786.39 9,673,786.39 9,673,786.39 4.70 1 1 0.000 206,937,687.63 199,082,737.08 206,006,742.74 100.00% 806 496 1.718 Investments Total Earnings September 30 Month Ending Fiscal Year To Date Current Year 264,985.32 724,468.68 Average Daily Balance 222,696,962.10 221,823,176.73 Effective Rate of Return 1.45% 1.30% 1 certify that this report accurately reflects all pooled investments and is in compliance with the California Government Code and the City Investment Policy. As Treasurer of the City of La Quinta, I hereby certify that sufficient investment liquidity and anticipated revenues are available to meet the City's expenditure requirements for the next six months. The City of La Quinta used the monthly account statements issued b stitu ons to determine the fair market value of investments at month end. 12/8/22 Claudia Martinez, Finance Director/City Treasurer Reporting period 09/01/2022-09/30/2022 Run Date: 12/07/2022 - 21 43 Portfolio CITY CP PM (PRF_PM1) 7.3.0 Report Ver. 7.3.6.1 113 City of La Quinta Portfolio Management Page 1 Portfolio Details - Investments September 30, 2022 Average Purchase Stated Days to YTM Maturity CUSIP Investment # Issuer Balance Date Par Value Market Value Book Value Rate Term Maturity 365 Date Bank Accounts SYS1293 1293 Bank of New York 09/01/2020 579,272.74 579,272.74 579,272.74 1 1 0.000 059731851 1228 Bank of the West 08/20/2019 3,201,929.33 3,201,929.33 3,201,929.33 1 1 0.000 SYS1059 1059 City Petty Cash 07/01/2016 3,300.00 3,300.00 3,300.00 1 1 0.000 SYS1318 1318 Dune Palms Mobile Estates 03/09/2021 649,720.32 649,720.32 649,720.32 1 1 0.000 SYS1062 1062 La Quinta Palms Realty 07/01/2016 405,627.44 405,627.44 405,627.44 1 1 0.000 Subtotal and Average 7,189,628.84 4,839,849.83 4,839,849.83 4,839,849.83 1 1 0.000 Local Agency Investment Fund -City 98-33434 1055 Local Agency Inv Fund 28,728,722.48 28,308,807.15 28,728,722.48 1.513 1 1 1.513 Subtotal and Average 28,728,722.48 28,728,722.48 28,308,807.15 28,728,722.48 1 1 1.513 Local Agency Invstmnt Fund -Housing 25-33-005 1113 Local Agency Inv Fund 2,018,767.39 1,992,886.54 2,018,767.39 1.513 1 1 1.513 Subtotal and Average 2,018,767.39 2,018,767.39 1,992,886.54 2,018,767.39 1 1 1.513 Money Market Accounts - CAMP SYS1153 1153 California Asset Management Pr 09/26/2018 18,010,695.46 18,010,695.46 18,010,695.46 2.610 1 1 2.610 Subtotal and Average 17,973,375.21 18,010,695.46 18,010,695.46 18,010,695.46 1 1 2.610 Federal Agency Coupon Securities 3133EKQP4 1198 Federal Farm Credit Bank 06/20/2019 500,000.00 498,795.00 499,500.00 1.875 1,271 72 1.905 12/12/2022 3133ENBT6 1348 Federal Farm Credit Bank 12/07/2021 1,000,000.00 989,840.00 998,530.00 0.180 414 116 0.310 01/25/2023 3133EMX64 1340 Federal Farm Credit Bank 10/22/2021 500,000.00 489,290.00 499,002.04 0.170 553 209 0.302 04/28/2023 3133EKZK5 1223 Federal Farm Credit Bank 09/12/2019 500,000.00 488,415.00 499,400.00 1.600 1,432 317 1.632 08/14/2023 3133EJYL7 1158 Federal Farm Credit Bank 10/15/2018 250,000.00 246,655.00 247,275.00 2.800 1,786 339 3.041 09/05/2023 3133EK4X1 1234 Federal Farm Credit Bank 11/01/2019 1,000,000.00 971,280.00 996,900.00 1.600 1,461 396 1.680 11/01/2023 3130AFW94 1177 Federal Home Loan Bank 03/01/2019 500,000.00 488,740.00 498,550.00 2.500 1,810 500 2.563 02/13/2024 3133ELNEO 1246 Federal Farm Credit Bank 02/14/2020 1,000,000.00 962,060.00 999,000.00 1.430 1,461 501 1.456 02/14/2024 3133ENYH7 1401 Federal Farm Credit Bank 06/10/2022 500,000.00 486,655.00 499,080.00 2.625 731 618 2.720 06/10/2024 3135GOV75 1206 Federal National Mtg Assn 07/15/2019 500,000.00 478,845.00 495,950.00 1.750 1,814 640 1.922 07/02/2024 3133EKWV4 1212 Federal Farm Credit Bank 08/02/2019 500,000.00 477,935.00 499,500.00 1.850 1,820 664 1.871 07/26/2024 3133EKP75 1224 Federal Farm Credit Bank 09/17/2019 500,000.00 475,770.00 498,750.00 1.600 1,827 717 1.652 09/17/2024 3133ELEA8 1242 Federal Farm Credit Bank 12/17/2019 1,000,000.00 953,360.00 998,600.00 1.700 1,736 717 1.731 09/17/2024 3135GO6E8 1291 Federal National Mtg Assn 11/18/2020 500,000.00 458,740.00 499,250.00 0.420 1,461 779 0.458 11/18/2024 3133ENGN4 1355 Federal Farm Credit Bank 12/09/2021 1,000,000.00 926,650.00 1,000,000.00 0.970 1,096 800 0.970 12/09/2024 Portfolio CITY CP Run Date: 12/07/2022 - 21:43 PM (PRF_PM2) 7.3.0 Report Ver. 7.3.6.1 114 City of La Quinta Portfolio Management Portfolio Details - Investments September 30, 2022 Page 2 CUSIP Investment # Average Issuer Balance Purchase Date Par Value Market Value Book Value Stated Rate Term Days to Maturity YTM 365 Maturity Date Federal Agency Coupon Securities 3135GAAW1 1300 Federal National Mtg Assn 12/30/2020 500,000.00 456,405.00 500,000.00 0.400 1,461 821 0.400 12/30/2024 3130AP21.18 1353 Federal Home Loan Bank 12/07/2021 1,000,000.00 914,210.00 987,100.00 0.550 1,127 829 0.976 01/07/2025 3130AQWY5 1374 Federal Home Loan Bank 02/25/2022 1,000,000.00 935,130.00 1,000,000.00 1.700 1,095 877 1.700 02/24/2025 3135G031.15 1365 Federal National Mtg Assn 01/28/2022 500,000.00 455,705.00 487,790.00 0.625 1,180 934 1.400 04/22/2025 3134GVYG7 1279 Federal Home Loan Mtg Corp 05/27/2020 1,000,000.00 909,650.00 1,000,000.00 0.625 1,826 969 0.625 05/27/2025 3133ELH23 1280 Federal Farm Credit Bank 06/09/2020 500,000.00 452,855.00 499,850.00 0.500 1,826 982 0.506 06/09/2025 3133ELH80 1282 Federal Farm Credit Bank 06/10/2020 500,000.00 451,840.00 500,000.00 0.680 1,826 983 0.680 06/10/2025 3130AJKW8 1281 Federal Home Loan Bank 06/03/2020 500,000.00 452,990.00 499,850.00 0.500 1,836 986 0.506 06/13/2025 3130AJRP6 1283 Federal Home Loan Bank 06/30/2020 300,000.00 270,186.00 300,000.00 0.680 1,826 1,003 0.680 06/30/2025 3137EAEU9 1297 Federal Home Loan Mtg Corp 12/07/2020 1,000,000.00 897,290.00 997,300.00 0.375 1,687 1,024 0.434 07/21/2025 3137EAEU9 1361 Federal Home Loan Mtg Corp 01/05/2022 500,000.00 448,645.00 487,090.00 0.375 1,293 1,024 1.120 07/21/2025 3135G05S8 1288 Federal National Mtg Assn 08/14/2020 500,000.00 446,425.00 500,000.00 0.500 1,826 1,048 0.500 08/14/2025 3136G4M75 1290 Federal National Mtg Assn 08/28/2020 500,000.00 449,155.00 499,750.00 0.520 1,816 1,052 0.530 08/18/2025 3136G4N74 1289 Federal National Mtg Assn 08/21/2020 1,000,000.00 895,990.00 1,000,000.00 0.560 1,826 1,055 0.560 08/21/2025 3137EAEX3 1307 Federal Home Loan Mtg Corp 02/23/2021 500,000.00 446,260.00 495,999.50 0.375 1,673 1,088 0.552 09/23/2025 3137EAEX3 1310 Federal Home Loan Mtg Corp 03/30/2021 1,000,000.00 892,520.00 983,940.00 0.375 1,638 1,088 0.740 09/23/2025 3130ARGJ4 1385 Federal Home Loan Bank 04/14/2022 500,000.00 470,955.00 500,000.00 2.500 1,279 1,109 2.500 10/14/2025 3134GW5R3 1362 Federal Home Loan Mtg Corp 01/05/2022 400,000.00 356,100.00 391,360.00 0.650 1,391 1,122 1.232 10/27/2025 3135G06G3 1354 Federal National Mtg Assn 12/07/2021 1,000,000.00 890,690.00 976,300.00 0.500 1,431 1,133 1.120 11/07/2025 3135GA2Z3 1292 Federal National Mtg Assn 11/17/2020 500,000.00 442,985.00 499,250.00 0.560 1,826 1,143 0.590 11/17/2025 3130AKFA9 1298 Federal Home Loan Bank 12/07/2020 500,000.00 442,720.00 497,400.00 0.375 1,831 1,168 0.480 12/12/2025 3135GA7D7 1299 Federal National Mtg Assn 12/23/2020 500,000.00 442,020.00 500,000.00 0.600 1,826 1,179 0.600 12/23/2025 3134GXGZ1 1301 Federal Home Loan Mtg Corp 12/30/2020 500,000.00 443,920.00 500,000.00 0.550 1,826 1,186 0.550 12/30/2025 3130AKMZ6 1302 Federal Home Loan Bank 01/14/2021 500,000.00 438,995.00 500,000.00 0.510 1,826 1,201 0.510 01/14/2026 313OAKN28 1304 Federal Home Loan Bank 01/29/2021 500,000.00 438,960.00 500,000.00 0.550 1,826 1,216 0.550 01/29/2026 3130ALV92 1312 Federal Home Loan Bank 03/30/2021 500,000.00 448,875.00 500,000.00 1.050 1,826 1,276 0.938 03/30/2026 3130AMFS6 1324 Federal Home Loan Bank 06/17/2021 1,000,000.00 882,490.00 993,420.00 0.750 1,821 1,350 0.885 06/12/2026 3133EM2C5 1330 Federal Farm Credit Bank 08/10/2021 500,000.00 434,490.00 498,000.00 0.710 1,826 1,409 0.792 08/10/2026 3133EM4X7 1338 Federal Farm Credit Bank 09/28/2021 1,000,000.00 874,840.00 991,080.00 0.800 1,808 1,440 0.985 09/10/2026 3130APBM6 1337 Federal Home Loan Bank 09/30/2021 1,000,000.00 873,770.00 999,000.00 1.000 1,826 1,460 1.021 09/30/2026 3130APB46 1339 Federal Home Loan Bank 10/13/2021 1,000,000.00 871,010.00 998,250.00 0.950 1,826 1,473 0.986 10/13/2026 3134GW6C5 1359 Federal Home Loan Mtg Corp 01/05/2022 500,000.00 433,640.00 486,000.00 0.800 1,757 1,488 1.403 10/28/2026 3133ENCQ1 1344 Federal Farm Credit Bank 11/02/2021 1,000,000.00 882,760.00 1,000,000.00 1.270 1,826 1,493 1.270 11/02/2026 3130APTV7 1347 Federal Home Loan Bank 11/24/2021 500,000.00 446,405.00 499,500.00 0.700 1,826 1,515 1.489 11/24/2026 313OAQF65 1358 Federal Home Loan Bank 12/22/2021 1,000,000.00 891,450.00 999,750.00 1.250 1,825 1,542 1.255 12/21/2026 3134GWUQ7 1366 Federal Home Loan Mtg Corp 02/10/2022 1,000,000.00 856,380.00 945,570.00 0.700 1,784 1,551 1.870 12/30/2026 Portfolio CITY CP Run Date: 12/07/2022 - 21:43 PM (PRF_PM2) 7.3.0 115 City of La Quinta Portfolio Management Portfolio Details - Investments September 30, 2022 Page 3 CUSIP Investment # Average Issuer Balance Purchase Date Par Value Market Value Book Value Stated Rate Days to Term Maturity YTM Maturity 365 Date Federal Agency Coupon Securities 3130AQJR5 1364 Federal Home Loan Bank 01/27/2022 1,000,000.00 883,990.00 1,000,000.00 1.500 1,826 1,579 1.500 01/27/2027 3130AQSA2 1367 Federal Home Loan Bank 02/10/2022 1,000,000.00 898,320.00 1,000,000.00 1.830 1,826 1,593 1.830 02/10/2027 3130ARGY1 1387 Federal Home Loan Bank 04/19/2022 1,000,000.00 926,090.00 1,000,000.00 2.700 1,826 1,661 2.700 04/19/2027 3130ASDV8 1409 Federal Home Loan Bank 06/28/2022 300,000.00 283,305.00 300,000.00 3.300 1,826 1,731 3.300 06/28/2027 3133ENL99 1426 Federal Farm Credit Bank 09/15/2022 1,000,000.00 966,890.00 997,492.55 3.375 1,826 1,810 3.430 09/15/2027 3133ENQ29 1433 Federal Farm Credit Bank 09/30/2022 1,000,000.00 996,400.00 996,400.00 4.000 1,825 1,824 4.080 09/29/2027 Subtotal and Average 39,205,998.77 39,750,000.00 36,386,736.00 39,536,729.09 1,615 1,089 1.317 Treasury Coupon Securities 91282CAR2 1393 U.S. Treasury 06/06/2022 4,000,000.00 3,991,960.00 3,979,880.00 0.125 147 30 1.391 10/31/2022 91282CAR2 1406 U.S. Treasury 06/13/2022 2,000,000.00 1,995,980.00 1,989,440.00 0.125 140 30 1.521 10/31/2022 9128283C2 1410 U.S. Treasury 06/29/2022 2,000,000.00 1,998,780.00 1,999,940.00 2.000 124 30 2.002 10/31/2022 9128283C2 1414 U.S. Treasury 06/30/2022 1,000,000.00 999,390.00 999,977.00 2.000 123 30 2.000 10/31/2022 91282CAX9 1403 U.S. Treasury 06/13/2022 4,000,000.00 3,980,640.00 3,972,031.25 0.125 170 60 1.642 11/30/2022 912828M80 1408 U.S. Treasury 06/28/2022 3,000,000.00 2,994,270.00 2,996,670.00 2.000 155 60 2.261 11/30/2022 912828M80 1413 U.S. Treasury 06/30/2022 2,000,000.00 1,996,180.00 1,997,980.00 2.000 153 60 2.240 11/30/2022 91282CBD2 1394 U.S. Treasury 06/06/2022 2,000,000.00 1,983,700.00 1,982,265.63 0.125 208 91 1.705 12/31/2022 91282CBD2 1402 U.S. Treasury 06/13/2022 3,000,000.00 2,975,550.00 2,972,578.13 0.125 201 91 1.812 12/31/2022 912828N30 1407 U.S. Treasury 06/28/2022 2,000,000.00 1,993,220.00 1,996,240.00 2.125 186 91 2.501 12/31/2022 912828N30 1412 U.S. Treasury 06/30/2022 2,000,000.00 1,993,220.00 1,996,680.00 2.125 184 91 2.461 12/31/2022 9128283U2 1428 U.S. Treasury 09/30/2022 3,000,000.00 2,986,860.00 2,988,390.00 2.375 123 122 3.533 01/31/2023 91282CBNO 1432 U.S. Treasury 09/30/2022 3,000,000.00 2,955,810.00 2,956,788.66 0.125 151 150 3.630 02/28/2023 91282CBU4 1349 U.S. Treasury 12/07/2021 1,000,000.00 981,680.00 996,718.75 0.125 479 181 0.376 03/31/2023 912828Q29 1431 U.S. Treasury 09/30/2022 2,000,000.00 1,976,480.00 1,977,200.00 1.500 182 181 3.824 03/31/2023 91282CCD1 1350 U.S. Treasury 12/07/2021 1,000,000.00 973,950.00 995,468.75 0.125 540 242 0.432 05/31/2023 91282CCN9 1341 U.S. Treasury 10/22/2021 500,000.00 483,495.00 497,792.97 0.125 647 303 0.375 07/31/2023 912828T26 1217 U.S. Treasury 08/21/2019 500,000.00 485,840.00 499,300.00 1.375 1,501 364 1.410 09/30/2023 91282CBA8 1351 U.S. Treasury 12/07/2021 1,000,000.00 951,760.00 990,000.00 0.125 738 440 0.623 12/15/2023 91282CBEO 1342 U.S. Treasury 10/22/2021 1,000,000.00 947,970.00 991,000.00 0.125 815 471 0.531 01/15/2024 91282CBR1 1352 U.S. Treasury 12/07/2021 1,000,000.00 943,200.00 989,800.00 0.250 829 531 0.704 03/15/2024 91282CBV2 1360 U.S. Treasury 01/05/2022 500,000.00 470,920.00 494,882.81 0.375 831 562 0.830 04/15/2024 912828XT2 1418 U.S. Treasury 05/04/2022 1,000,000.00 963,360.00 985,240.00 2.000 758 608 2.736 05/31/2024 9128282U3 1400 U.S. Treasury 06/09/2022 500,000.00 478,280.00 490,850.00 1.875 814 700 2.727 08/31/2024 91282CDB4 1343 U.S. Treasury 10/22/2021 1,000,000.00 929,920.00 996,320.00 0.625 1,089 745 0.750 10/15/2024 9128283DO 1390 U.S. Treasury 05/03/2022 1,000,000.00 960,630.00 985,190.00 2.250 912 761 2.870 10/31/2024 Run Date: 12/07/2022 - 21:43 Portfolio CITY CID PM (PRF_PM2) 7.3.0 116 City of La Quinta Portfolio Management Portfolio Details - Investments September 30, 2022 Page 4 Average Purchase Stated Days to YTM Maturity CUSIP Investment # Issuer Balance Date Par Value Market Value Book Value Rate Term Maturity 365 Date Treasury Coupon Securities 912828YV6 1241 U.S. Treasury 12/16/2019 1,000,000.00 943,710.00 989,687.50 1.500 1,811 791 1.718 11/30/2024 91282CAT8 1311 U.S. Treasury 03/30/2021 1,000,000.00 885,740.00 977,500.00 0.250 1,676 1,126 0.750 10/31/2025 91282CAZ4 1315 U.S. Treasury 04/22/2021 500,000.00 443,380.00 492,187.50 0.375 1,683 1,156 0.720 11/30/2025 91282CBC4 1303 U.S. Treasury 01/07/2021 500,000.00 442,205.00 498,632.81 0.375 1,819 1,187 0.431 12/31/2025 91282CBH3 1309 U.S. Treasury 02/23/2021 500,000.00 440,470.00 495,100.00 0.375 1,803 1,218 0.577 01/31/2026 91282CBQ3 1319 U.S. Treasury 05/28/2021 500,000.00 441,270.00 494,165.00 0.500 1,737 1,246 0.750 02/28/2026 91282CBQ3 1382 U.S. Treasury 03/23/2022 750,000.00 661,905.00 698,025.00 0.500 1,438 1,246 2.353 02/28/2026 91282CBT7 1320 U.S. Treasury 05/28/2021 500,000.00 444,045.00 499,525.00 0.750 1,768 1,277 0.770 03/31/2026 91282CBT7 1322 U.S. Treasury 06/17/2021 500,000.00 444,045.00 498,450.00 0.750 1,748 1,277 0.816 03/31/2026 9128286S4 1383 U.S. Treasury 03/23/2022 1,000,000.00 940,200.00 999,010.00 2.375 1,499 1,307 2.400 04/30/2026 91282CCF6 1321 U.S. Treasury 06/01/2021 1,000,000.00 883,400.00 997,060.00 0.750 1,825 1,338 0.810 05/31/2026 91282CCF6 1323 U.S. Treasury 06/17/2021 500,000.00 441,700.00 497,095.00 0.750 1,809 1,338 0.870 05/31/2026 91282CCP4 1335 U.S. Treasury 09/29/2021 1,000,000.00 874,960.00 983,750.00 0.625 1,766 1,399 0.970 07/31/2026 91282CCW9 1336 U.S. Treasury 09/29/2021 1,000,000.00 877,340.00 988,500.00 0.750 1,797 1,430 0.990 08/31/2026 91282CCW9 1380 U.S. Treasury 03/22/2022 500,000.00 438,670.00 466,454.17 0.750 1,623 1,430 2.350 08/31/2026 91282CDG3 1381 U.S. Treasury 03/22/2022 500,000.00 443,535.00 473,396.82 1.125 1,684 1,491 2.350 10/31/2026 912828Z78 1369 U.S. Treasury 02/10/2022 1,000,000.00 896,840.00 986,700.00 1.500 1,816 1,583 1.781 01/31/2027 91282CEF4 1391 U.S. Treasury 05/03/2022 1,000,000.00 934,730.00 976,860.00 2.500 1,793 1,642 3.010 03/31/2027 91282CEN7 1398 U.S. Treasury 06/08/2022 500,000.00 472,130.00 495,000.00 2.750 1,787 1,672 2.971 04/30/2027 912828X88 1397 U.S. Treasury 06/07/2022 1,000,000.00 927,420.00 969,687.50 2.375 1,803 1,687 3.041 05/15/2027 91282CET4 1399 U.S. Treasury 06/08/2022 500,000.00 469,630.00 491,842.18 2.625 1,818 1,703 2.980 05/31/2027 91282CFB2 1417 U.S. Treasury 08/15/2022 1,000,000.00 942,110.00 989,460.00 2.750 1,811 1,764 2.980 07/31/2027 91282CFB2 1422 U.S. Treasury 08/29/2022 1,000,000.00 942,110.00 979,645.67 2.750 1,797 1,764 3.200 07/31/2027 Subtotal and Average 62,176,092.08 62,250,000.00 60,024,590.00 61,656,358.10 700 511 1.978 Treasury Discount Notes 912796YB9 1423 U.S. Treasury 09/02/2022 3,000,000.00 2,953,860.00 2,951,409.30 3.221 181 152 3.366 03/02/2023 912796YB9 1424 U.S. Treasury 09/02/2022 2,000,000.00 1,969,240.00 1,967,621.12 3.220 181 152 3.365 03/02/2023 Certificate of Deposits 01859BAA3 1095 06740KLJ4 1097 62384RACO 1099 22766ACB9 1106 Run Date: 12/07/2022 - 21:43 Subtotal and Average 4,755,062.74 5,000,000.00 4,923,100.00 4,919,030.42 181 152 3.365 Alliance Credit Union 10/13/2017 245,000.00 244,896.98 245,000.00 2.250 1,826 12 2.251 10/13/2022 Barclays Bank 10/25/2017 240,000.00 239,814.75 240,000.00 2.300 1,826 24 2.291 10/25/2022 Mountain America Federal CU 11/08/2017 245,000.00 244,713.97 245,000.00 2.300 1,826 38 2.301 11/08/2022 CrossFirst Bank 11/20/2017 245,000.00 244,607.59 245,000.00 2.200 1,824 48 2.201 11/18/2022 Portfolio CITY CID PM (PRF_PM2) 7.3.0 117 City of La Quinta Portfolio Management Portfolio Details - Investments September 30, 2022 Page 5 CUSIP Investment # Average Issuer Balance Purchase Date Par Value Market Value Book Value Stated Rate Term Days to Maturity YTM 365 Maturity Date Certificate of Deposits 29367QCP1 1107 Enterprise Bank, NA 11/28/2017 245,000.00 244,508.09 245,000.00 2.150 1,826 58 2.151 11/28/2022 58404DCX7 1169 Medallion Bank 12/07/2018 248,000.00 247,962.33 248,000.00 3.400 1,461 67 3.402 12/07/2022 75701LAB3 1166 Red Rocks Credit Union 12/07/2018 248,000.00 247,939.02 248,000.00 3.350 1,461 67 3.352 12/07/2022 499724AB8 1110 Knoxville TVA Credit Union 12/29/2017 245,000.00 244,342.27 245,000.00 2.400 1,826 89 2.401 12/29/2022 49228XAK6 1239 Kern FCU 12/30/2019 248,000.00 246,922.08 248,000.00 1.900 1,096 90 1.902 12/30/2022 79772FACO 1240 San Francisco FCU 12/30/2019 248,000.00 246,890.93 248,000.00 1.850 1,096 90 1.852 12/30/2022 949495AT2 1244 Wells Fargo Natl Bank West 01/29/2020 248,000.00 246,407.62 248,000.00 1.900 1,097 121 1.900 01/30/2023 81768PAF3 1254 Servisfirst Bank 02/21/2020 248,000.00 245,827.43 248,000.00 1.600 1,096 143 1.601 02/21/2023 92535LCD4 1180 Verus Bank of Commerce 02/28/2019 248,000.00 246,856.35 248,000.00 2.700 1,461 150 2.700 02/28/2023 034577AH9 1119 Aneca Federal Credit Union 03/22/2018 245,000.00 243,587.95 245,000.00 2.800 1,826 172 2.802 03/22/2023 66704MEQO 1263 Northstar Bank 03/31/2020 248,000.00 243,981.26 248,000.00 1.150 1,095 181 1.150 03/31/2023 954444BS3 1265 West Michigan Cmnty Bk 03/31/2020 248,000.00 243,981.26 248,000.00 1.150 1,095 181 1.150 03/31/2023 17312QJ26 1123 Citibank NA 04/11/2018 245,000.00 243,285.40 245,000.00 2.900 1,826 192 2.902 04/11/2023 20726ABA5 1189 Congressional Bank 04/30/2019 248,000.00 245,532.08 248,000.00 2.500 1,459 209 2.502 04/28/2023 29278TAY6 1125 EnerBank USA 04/30/2018 240,000.00 238,232.88 240,000.00 2.950 1,824 209 2.952 04/28/2023 32117BCX4 1179 First National Bank 03/05/2019 248,000.00 245,647.94 248,000.00 2.800 1,522 216 2.802 05/05/2023 725404AB3 1194 Pittsfield Cooperative Bank 06/07/2019 245,000.00 241,560.43 245,000.00 2.500 1,461 249 2.502 06/07/2023 619165JD6 1173 Morton Community 03/20/2019 248,000.00 244,774.86 248,000.00 2.750 1,553 262 2.753 06/20/2023 74934YAH4 1144 RCB Bank 06/20/2018 245,000.00 242,516.65 245,000.00 3.150 1,826 262 3.152 06/20/2023 02616AAH2 1285 American First CU 06/26/2020 248,000.00 240,338.71 248,000.00 0.350 1,095 268 0.350 06/26/2023 02772JBD1 1205 American National Bank 07/19/2019 248,000.00 242,622.34 248,000.00 2.000 1,461 291 2.001 07/19/2023 32110YLK9 1147 First National Bank of America 07/20/2018 245,000.00 241,914.64 245,000.00 3.150 1,826 292 3.152 07/20/2023 06426KAN8 1151 Bank of New England 07/31/2018 249,000.00 245,885.89 249,000.00 3.250 1,826 303 3.252 07/31/2023 75472RAD3 1218 Raymond James Bank 08/23/2019 244,000.00 237,986.99 244,000.00 1.950 1,461 326 1.951 08/23/2023 89579NCD3 1262 Triad Bank 03/30/2020 248,000.00 239,658.42 248,000.00 1.350 1,278 363 1.352 09/29/2023 57116ARV2 1155 Cache Valley BK F/K/A Marlin 10/17/2018 248,000.00 244,206.53 248,000.00 3.300 1,826 381 3.302 10/17/2023 625925AR3 1160 Municipal Trust and Savings 10/17/2018 245,000.00 240,999.44 245,000.00 3.200 1,826 381 3.202 10/17/2023 90348JEJ5 1161 UBS Bank USA 10/17/2018 245,000.00 241,378.91 245,000.00 3.350 1,826 381 3.352 10/17/2023 474067AQ8 1154 Jefferson Financial CU 10/19/2018 245,000.00 241,385.18 245,000.00 3.350 1,826 383 3.352 10/19/2023 20143PDV9 1162 Commercial Bank 11/15/2018 248,000.00 244,272.28 248,000.00 3.400 1,826 410 3.402 11/15/2023 67054NAN3 1164 Numerica Credit Union 11/28/2018 248,000.00 244,583.54 248,000.00 3.550 1,826 423 3.552 11/28/2023 48115LAD6 1396 Jovia Financial Credit Union 06/07/2022 248,000.00 241,548.71 248,000.00 2.500 548 432 2.502 12/07/2023 635573AL2 1170 National Cooperative Bank, N.A 12/21/2018 245,000.00 241,089.06 245,000.00 3.400 1,826 446 3.402 12/21/2023 066851 WJ1 1172 Bar Harbor Bank and Trust 12/31/2018 248,000.00 243,812.25 248,000.00 3.350 1,824 454 3.352 12/29/2023 89269FDP7 1415 Tradition Capital 07/20/2022 246,000.00 240,628.50 246,000.00 3.000 551 478 3.008 01/22/2024 51210SQU4 1208 Lakeside Bank 07/30/2019 248,000.00 239,245.24 248,000.00 2.000 1,644 485 2.003 01/29/2024 Portfolio CITY CP Run Date: 12/07/2022 - 21:43 PM (PRF_PM2) 7.3.0 118 City of La Quinta Portfolio Management Portfolio Details - Investments September 30, 2022 Page 6 CUSIP Investment # Average Issuer Balance Purchase Date Par Value Market Value Book Value Stated Rate Term Days to Maturity YTM 365 Maturity Date Certificate of Deposits 77579ADFO 1251 Rollstone B&T 02/12/2020 245,000.00 235,119.42 245,000.00 1.650 1,461 499 1.651 02/12/2024 66736ABP3 1181 Northwest Bank 02/13/2019 248,000.00 242,236.39 248,000.00 2.950 1,826 500 2.951 02/13/2024 949763XY7 1174 Wells Fargo 02/27/2019 248,000.00 242,252.38 248,000.00 3.000 1,826 514 3.001 02/27/2024 50625LAW3 1384 Lafayette FCU 03/30/2022 248,000.00 238,584.68 248,000.00 2.050 729 544 2.053 03/28/2024 882213AB7 1260 Texas Bank Financial 03/31/2020 245,000.00 232,420.39 245,000.00 1.100 1,458 544 1.101 03/28/2024 472382AQ3 1272 The Jefferson Bank 04/15/2020 248,000.00 235,388.37 248,000.00 1.250 1,461 562 1.251 04/15/2024 08016PDQ9 1270 Belmont Bank and Trust 04/16/2020 248,000.00 235,366.77 248,000.00 1.250 1,461 563 1.251 04/16/2024 69506YRH4 1269 Pacific Western Bank 04/16/2020 245,000.00 232,812.49 245,000.00 1.300 1,461 563 1.301 04/16/2024 56065GAG3 1188 Main Street Bank 04/26/2019 248,000.00 240,287.52 248,000.00 2.600 1,827 573 2.603 04/26/2024 33640VDD7 1231 First Service Bank 11/15/2019 248,000.00 236,607.75 248,000.00 1.700 1,643 592 1.701 05/15/2024 48128HXU7 1185 JP Morgan Chase 05/16/2019 245,000.00 239,762.96 245,000.00 3.250 1,827 593 3.254 05/16/2024 46256YAZ2 1186 Iowa State Bank 05/23/2019 245,000.00 236,409.78 245,000.00 2.400 1,827 600 2.403 05/23/2024 538036GVO 1238 Live Oak Bank 11/27/2019 248,000.00 236,768.95 248,000.00 1.800 1,644 605 1.802 05/28/2024 156634AK3 1184 Century Next Bank 05/29/2019 248,000.00 239,562.36 248,000.00 2.500 1,827 606 2.503 05/29/2024 72651LCL6 1195 Plains Commerce Bank 06/07/2019 245,000.00 236,901.01 245,000.00 2.550 1,827 615 2.553 06/07/2024 299547AQ2 1196 Evansville Teachers Credit FCU 06/12/2019 248,000.00 239,890.16 248,000.00 2.600 1,827 620 2.603 06/12/2024 524661CB9 1197 Legacy Bank 06/19/2019 248,000.00 238,972.30 248,000.00 2.400 1,827 627 2.403 06/19/2024 176688CP2 1199 Citizens State Bank 06/21/2019 248,000.00 238,944.75 248,000.00 2.400 1,827 629 2.403 06/21/2024 20416TAQ5 1202 Communitywide FCU 06/28/2019 248,000.00 238,217.42 248,000.00 2.250 1,827 636 2.253 06/28/2024 761402BY1 1203 Revere Bank 06/28/2019 247,000.00 237,529.67 247,000.00 2.300 1,827 636 2.303 06/28/2024 00257TBD7 1207 Abacus Federal Savings 07/26/2019 248,000.00 236,596.65 248,000.00 1.950 1,827 664 1.952 07/26/2024 33625CCP2 1209 First Security Bank of WA 07/30/2019 248,000.00 236,863.66 248,000.00 2.000 1,827 668 2.002 07/30/2024 710571DS6 1210 People's Bank 07/31/2019 248,000.00 236,959.88 248,000.00 2.000 1,827 669 2.002 07/31/2024 740367HP5 1213 Preferred Bank 08/16/2019 249,000.00 237,546.09 249,000.00 2.000 1,827 685 2.002 08/16/2024 33766LAJ7 1216 FirsTier Bank 08/23/2019 249,000.00 237,205.30 249,000.00 1.950 1,827 692 1.952 08/23/2024 938828BH2 1215 Washington Federal 08/23/2019 248,000.00 236,480.85 248,000.00 2.000 1,827 692 2.002 08/23/2024 336460CX6 1222 First State Bk DeQueen 08/30/2019 248,000.00 235,564.98 248,000.00 1.800 1,827 699 1.802 08/30/2024 334342CD2 1221 First Natl Bk of Syracuse 08/30/2019 249,000.00 236,746.22 249,000.00 1.850 1,827 699 1.852 08/30/2024 15118RRH2 1220 Celtic Bank 08/30/2019 248,000.00 235,795.43 248,000.00 1.850 1,827 699 1.852 08/30/2024 05580AD50 1333 BMW Bank 09/10/2021 245,000.00 227,368.89 245,000.00 0.650 1,096 710 0.651 09/10/2024 06652CHBO 1227 BankWest Inc 09/27/2019 248,000.00 234,611.11 248,000.00 1.700 1,827 727 1.702 09/27/2024 84223QAN7 1286 Southern Bancorp Bk 06/26/2020 248,000.00 228,286.00 248,000.00 0.500 1,582 755 0.500 10/25/2024 804375DL4 1235 Sauk Valley B&T Co 11/07/2019 248,000.00 234,092.95 248,000.00 1.700 1,827 768 1.702 11/07/2024 61690UNX4 1237 Morgan Stanley Bank 11/20/2019 245,000.00 232,401.06 245,000.00 1.950 1,827 781 1.952 11/20/2024 61760A3B3 1236 Morgan Stanley Private Bk, NA 11/20/2019 245,000.00 232,150.28 245,000.00 1.900 1,827 781 1.902 11/20/2024 064520BG3 1287 Bank Princeton 06/30/2020 248,000.00 226,892.36 248,000.00 0.500 1,644 821 0.500 12/30/2024 Portfolio CITY CP Run Date: 12/07/2022 - 21:43 PM (PRF_PM2) 7.3.0 119 City of La Quinta Portfolio Management Portfolio Details - Investments September 30, 2022 Page 7 CUSIP Investment # Average Issuer Balance Purchase Date Par Value Market Value Book Value Stated Rate Term Days to Maturity YTM 365 Maturity Date Certificate of Deposits 89388CEYO 1328 Transportation Alliance Bk TAB 07/23/2021 248,000.00 225,754.71 248,000.00 0.400 1,280 845 0.401 01/23/2025 06417NZO9 1329 Bank OZK 07/29/2021 248,000.00 225,605.28 248,000.00 0.400 1,280 851 0.401 01/29/2025 90983WBT7 1249 United Community 02/07/2020 248,000.00 232,490.35 248,000.00 1.650 1,827 860 1.652 02/07/2025 32114VBT3 1250 First National Bank Michigan 02/14/2020 248,000.00 232,370.67 248,000.00 1.650 1,827 867 1.652 02/14/2025 35637RDC8 1248 Freedom Financial 02/14/2020 248,000.00 231,804.42 248,000.00 1.550 1,827 867 1.552 02/14/2025 029728BC5 1255 American State 02/21/2020 248,000.00 231,966.04 248,000.00 1.600 1,827 874 1.602 02/21/2025 17286TAGO 1252 Citadel FCU 02/27/2020 248,000.00 232,149.32 248,000.00 1.650 1,827 880 1.652 02/27/2025 00435JBH5 1256 Access Bank 03/13/2020 248,000.00 231,709.09 248,000.00 1.600 1,826 894 1.601 03/13/2025 849430BF9 1257 Spring Bank 03/20/2020 248,000.00 231,001.24 248,000.00 1.500 1,826 901 1.501 03/20/2025 05465DAE8 1258 Axos Bank 03/26/2020 248,000.00 231,781.11 248,000.00 1.650 1,826 907 1.651 03/26/2025 020080BX4 1267 Alma Bank 03/30/2020 248,000.00 230,266.73 248,000.00 1.400 1,824 909 1.399 03/28/2025 2027506M2 1268 Commonwealth Business Bk 03/31/2020 248,000.00 229,497.25 248,000.00 1.250 1,826 912 1.251 03/31/2025 654062JZ2 1266 Nicolet Natl Bank 03/31/2020 248,000.00 230,388.81 248,000.00 1.400 1,826 912 1.401 03/31/2025 14042TDD6 1271 Capital One USA FDIC33954 04/08/2020 245,000.00 228,688.98 245,000.00 1.600 1,826 920 1.601 04/08/2025 02007GPX5 1388 Ally Bank Midvale 04/21/2022 245,000.00 234,114.48 245,000.00 2.550 1,096 933 2.550 04/21/2025 52168UHY1 1389 Leader Bank 04/22/2022 245,000.00 234,103.09 245,000.00 2.550 1,096 934 2.552 04/22/2025 32112UDR9 1274 First Natl Bk McGregor 04/28/2020 248,000.00 229,478.97 248,000.00 1.350 1,826 940 1.351 04/28/2025 32027BALl 1273 First Freedom Bank 04/29/2020 249,000.00 229,463.89 249,000.00 1.200 1,826 941 1.201 04/29/2025 33847E3A3 1276 Flagstar 04/30/2020 248,000.00 229,076.39 248,000.00 1.250 1,826 942 1.251 04/30/2025 32056GDJ6 1278 1st Internet Bank 05/11/2020 248,000.00 227,143.38 248,000.00 1.000 1,827 954 0.985 05/12/2025 95960NKD8 1277 Western State Bank 05/13/2020 245,000.00 224,539.87 245,000.00 1.000 1,826 955 1.001 05/13/2025 254673E69 1392 Discover Bank Greenwood DE CF 05/24/2022 245,000.00 237,192.83 245,000.00 3.100 1,099 969 3.103 05/27/2025 169894AS1 1284 Chippewa Valley Bk 06/24/2020 248,000.00 223,772.27 248,000.00 0.600 1,826 997 0.600 06/24/2025 307811DF3 1363 Farmers & March 01/14/2022 249,000.00 226,294.82 249,000.00 0.900 1,277 1,017 0.900 07/14/2025 70962LAF9 1331 Pentagon FCU 09/01/2021 249,000.00 224,075.52 249,000.00 0.700 1,462 1,067 0.687 09/02/2025 914242AAO 1429 University Credit Union 09/26/2022 248,000.00 245,887.43 248,000.00 4.000 1,096 1,091 3.891 09/26/2025 51507LCC6 1305 Landmark Community Bank 01/22/2021 248,000.00 218,912.70 248,000.00 0.500 1,826 1,209 0.500 01/22/2026 87270LDL4 1306 TIAA FKA EverBank 02/12/2021 245,000.00 216,109.99 245,000.00 0.500 1,826 1,230 0.500 02/12/2026 64034KAZ4 1376 Nelnet Bank 03/02/2022 245,000.00 225,982.86 245,000.00 1.800 1,461 1,248 1.801 03/02/2026 39573LBC1 1313 Greenstate FCU 04/16/2021 249,000.00 221,912.32 249,000.00 0.950 1,826 1,293 0.951 04/16/2026 89235MKY6 1314 Toyota Financial Savings Bank 04/22/2021 245,000.00 218,038.39 245,000.00 0.900 1,826 1,299 0.900 04/22/2026 14622LAAO 1316 Carter FCU 04/27/2021 248,000.00 219,144.52 248,000.00 0.750 1,826 1,304 0.750 04/27/2026 31617CAV5 1317 Fidelity Homestead 04/30/2021 248,000.00 218,752.18 248,000.00 0.700 1,826 1,307 0.711 04/30/2026 501798RP9 1356 LCA Bank Corp 12/27/2021 248,000.00 220,485.42 248,000.00 1.000 1,642 1,364 1.000 06/26/2026 92559TAJ7 1325 Vibrant Credit Union 07/02/2021 249,000.00 219,432.76 248,377.50 0.800 1,824 1,368 0.852 06/30/2026 38149MXK4 1326 Goldman Sachs 07/28/2021 248,000.00 219,982.89 248,000.00 1.000 1,826 1,396 1.001 07/28/2026 Portfolio CITY CP Run Date: 12/07/2022 - 21:43 PM (PRF_PM2) 7.3.0 120 City of La Quinta Portfolio Management Portfolio Details - Investments September 30, 2022 Page 8 Average Purchase Stated Days to YTM Maturity CUSIP Investment # Issuer Balance Date Par Value Market Value Book Value Rate Term Maturity 365 Date Certificate of Deposits 795451AFO 1327 Sallie Mae Bank Salt Lake Clty 07/28/2021 248,000.00 219,982.89 248,000.00 1.000 1,826 1,396 1.001 07/28/2026 87165ET98 1332 Synchrony Bank Retail 09/03/2021 245,000.00 215,954.83 245,000.00 0.900 1,826 1,433 0.900 09/03/2026 20786ADL6 1334 Connect One 09/24/2021 248,000.00 217,050.34 248,000.00 0.800 1,826 1,454 0.800 09/24/2026 59013KPNO 1345 Merrick Bank 11/09/2021 249,000.00 220,049.88 249,000.00 1.100 1,826 1,500 1.101 11/09/2026 14042RQBO 1346 Capital One Natl Assn FDIC4297 11/17/2021 248,000.00 219,242.72 248,000.00 1.100 1,826 1,508 1.101 11/17/2026 20825WAR1 1357 Connexus CU 12/23/2021 249,000.00 220,813.92 249,000.00 1.250 1,826 1,544 1.250 12/23/2026 89786MAF1 1368 True Sky FCU 02/04/2022 245,000.00 220,335.36 245,000.00 1.600 1,826 1,587 1.601 02/04/2027 02357QAQO 1372 Amerant Bank 02/14/2022 245,000.00 220,167.48 245,000.00 1.600 1,828 1,599 1.601 02/16/2027 07371AYE7 1370 Beal Bank TX 02/23/2022 245,000.00 223,111.47 245,000.00 1.900 1,820 1,600 1.901 02/17/2027 073710E88 1371 Beal Bank USA 02/23/2022 245,000.00 223,111.47 245,000.00 1.900 1,820 1,600 1.901 02/17/2027 59161YAP1 1373 Metro Credit Union 02/18/2022 249,000.00 224,557.25 249,000.00 1.700 1,826 1,601 1.701 02/18/2027 24773RCR4 1377 Delta Natl B&T 03/09/2022 245,000.00 224,004.14 245,000.00 2.000 1,814 1,608 2.001 02/25/2027 27004PCM3 1375 Eaglemark Savings 03/02/2022 245,000.00 224,022.24 245,000.00 2.000 1,826 1,613 2.001 03/02/2027 91139LAB2 1378 United Roosevelt Savings 03/11/2022 248,000.00 225,480.00 248,000.00 1.900 1,826 1,622 1.901 03/11/2027 565819AG4 1379 Marathon Bnak 03/16/2022 248,000.00 224,395.00 248,000.00 1.800 1,826 1,627 1.801 03/16/2027 20033A3A2 1386 Comenity Capital Bank 04/14/2022 248,000.00 232,919.44 248,000.00 2.650 1,826 1,656 2.652 04/14/2027 397417AQ9 1419 Greenwoods State Bank 05/17/2022 248,000.00 236,958.86 248,000.00 3.050 1,826 1,689 3.052 05/17/2027 02589ADH2 1421 American Express, NB 08/29/2022 245,000.00 238,207.39 245,000.00 3.450 1,793 1,760 3.067 07/27/2027 88413QDN5 1420 Third Federal Savings and Loan 08/19/2022 245,000.00 236,584.68 245,000.00 3.300 1,826 1,783 3.302 08/19/2027 732329BD8 1425 Ponce Bank 09/15/2022 248,000.00 241,656.61 248,000.00 3.500 1,826 1,810 3.502 09/15/2027 052392BT3 1427 Austin Telco FCU 09/21/2022 248,000.00 245,027.63 248,000.00 3.800 1,826 1,816 3.770 09/21/2027 22258JAB7 1430 County Schools FCU 09/30/2022 248,000.00 251,905.08 248,000.00 4.400 1,826 1,825 4.325 09/30/2027 Subtotal and Average 32,339,844.17 33,101,000.00 31,430,853.63 33,100,377.50 1,666 788 1.982 Corporate Notes 931142DU4 1190 Wal-Mart Stores, Inc 04/16/2019 500,000.00 498,680.00 496,650.00 2.350 1,339 75 2.799 12/15/2022 19416QEA4 1175 Colgate-Palmolive 03/04/2019 500,000.00 496,700.00 485,250.00 1.950 1,430 123 2.751 02/01/2023 594918BQ6 1157 Microsoft Corporation 10/15/2018 400,000.00 392,436.00 378,360.00 2.000 1,758 311 3.222 08/08/2023 45950VPS9 1308 International Finance Corp. 02/26/2021 500,000.00 438,750.00 497,300.00 0.500 1,826 1,244 0.610 02/26/2026 Subtotal and Average 1,857,560.00 1,900,000.00 1,826,566.00 1,857,560.00 1,578 449 2.287 Money Market with Fiscal Agent SYS1058 1058 US Bank 07/01/2016 4,603.25 4,603.25 4,603.25 1 1 0.000 Subtotal and Average 14,474,223.68 4,603.25 4,603.25 4,603.25 1 1 0.000 Run Date: 12/07/2022 - 21:43 Portfolio CITY CID PM (PRF_PM2) 7.3.0 121 City of La Quinta Portfolio Management Page Portfolio Details - Investments September 30, 2022 Average Purchase Stated Days to YTM Maturity CUSIP Investment # Issuer Balance Date Par Value Market Value Book Value Rate Term Maturity 365 Date CERBT - OPEB Trust SYS1114 1114 CaIPERS CERBT Plan 07/01/2022 1,660,262.83 1,660,262.83 1,660,262.83 1 1 0.000 Subtotal and Average 1,787,756.62 1,660,262.83 1,660,262.83 1,660,262.83 1 1 0.000 PARS Pension Trust SYS1230 1230 Run Date: 12/07/2022 - 21:43 Pblc Agncy Rtrmnt Sery Subtotal and Average 10,189,930.12 Total and Average 222,696,962.10 9,673,786.39 9,673,786.39 9,673,786.39 9,673,786.39 9,673,786.39 1 1 0.000 9,673,786.39 1 1 0.000 206,937,687.63 199,082,737.08 206,006,742.74 806 496 1.718 Portfolio CITY CID PM (PRF_PM2) 7.3.0 122 t(VQr(lu GEM of the DESERT - City of La Quinta Total Earnings Sorted by Fund - Fund September 1, 2022 - September 30, 2022 City of La Quinta CUSIP Investment # Fund Issuer Ending Par Value Beginning Book Value Ending Book Value Current Rate Annualized Yield Interest Earned Adjusted Interest Earnings Amortization/ Realized Accretion Gainl/Loss Adjusted Interest Earnings Fund: General Fund 98-33-434 1055 101 LAIF 28,728,722.48 28,728,722.48 28,728,722.48 1.513 1.350 31,885.14 0.00 0.00 31,885.14 SYS1059 1059 101 CITYPC 3,300.00 3,300.00 3,300.00 0.00 0.00 0.00 0.00 01859BAA3 1095 101 ALLIAN 245,000.00 245,000.00 245,000.00 2.250 2.250 453.08 0.00 0.00 453.08 06740KLJ4 1097 101 BARCLY 240,000.00 240,000.00 240,000.00 2.300 2.300 453.70 0.00 0.00 453.70 62384RACO 1099 101 MTNAMR 245,000.00 245,000.00 245,000.00 2.300 2.300 463.15 0.00 0.00 463.15 22766ACB9 1106 101 CRS1ST 245,000.00 245,000.00 245,000.00 2.200 2.200 443.01 0.00 0.00 443.01 29367QCP1 1107 101 ENTRPR 245,000.00 245,000.00 245,000.00 2.150 2.150 432.95 0.00 0.00 432.95 499724AB8 1110 101 KNOX 245,000.00 245,000.00 245,000.00 2.400 2.400 483.29 0.00 0.00 483.29 SYS1114 1114 101 CALPRS 1,660,262.83 1,792,152.96 1,660,262.83 0.00 0.00 0.00 0.00 034577AH9 1119 101 ANECA 245,000.00 245,000.00 245,000.00 2.800 2.800 563.83 0.00 0.00 563.83 17312QJ26 1123 101 CITINA 245,000.00 245,000.00 245,000.00 2.900 2.900 583.97 0.00 0.00 583.97 29278TAY6 1125 101 ENER 240,000.00 240,000.00 240,000.00 2.950 2.950 581.92 0.00 0.00 581.92 74934YAH4 1144 101 RCB 245,000.00 245,000.00 245,000.00 3.150 3.150 634.32 0.00 0.00 634.32 32110YLK9 1147 101 1STNBA 245,000.00 245,000.00 245,000.00 3.150 3.150 634.32 0.00 0.00 634.32 06426KAN8 1151 101 NWENGL 249,000.00 249,000.00 249,000.00 3.250 3.250 665.14 0.00 0.00 665.14 SYS1153 1153 101 CAMP 18,010,695.46 17,972,088.30 18,010,695.46 2.610 2.614 38,607.16 0.00 0.00 38,607.16 474067AQ8 1154 101 JEFF 245,000.00 245,000.00 245,000.00 3.350 3.350 674.59 0.00 0.00 674.59 57116ARV2 1155 101 MARBUS 248,000.00 248,000.00 248,000.00 3.300 3.300 672.66 0.00 0.00 672.66 594918BQ6 1157 101 MCRSFT 400,000.00 378,360.00 378,360.00 2.000 2.144 666.67 0.00 0.00 666.67 3133EJYL7 1158 101 FFCB 250,000.00 247,275.00 247,275.00 2.800 2.870 583.34 0.00 0.00 583.34 625925AR3 1160 101 MUNTRS 245,000.00 245,000.00 245,000.00 3.200 3.200 644.38 0.00 0.00 644.38 90348JEJ5 1161 101 UBS 245,000.00 245,000.00 245,000.00 3.350 3.350 674.59 0.00 0.00 674.59 20143PDV9 1162 101 COMMBK 248,000.00 248,000.00 248,000.00 3.400 3.400 693.04 0.00 0.00 693.04 67054NAN3 1164 101 NMRCA 248,000.00 248,000.00 248,000.00 3.550 3.550 723.62 0.00 0.00 723.62 75701LAB3 1166 101 REDRCK 248,000.00 248,000.00 248,000.00 3.350 3.350 682.85 0.00 0.00 682.85 58404DCX7 1169 101 MEDBA 248,000.00 248,000.00 248,000.00 3.400 3.400 693.04 0.00 0.00 693.04 635573AL2 1170 101 NLCOOP 245,000.00 245,000.00 245,000.00 3.400 3.400 684.66 0.00 0.00 684.66 066851WJ1 1172 101 BARHAR 248,000.00 248,000.00 248,000.00 3.350 3.350 682.85 0.00 0.00 682.85 619165JD6 1173 101 MORTN 248,000.00 248,000.00 248,000.00 2.750 2.750 560.55 0.00 0.00 560.55 Run Date: 12/07/2022 - 22:12 Portfolio CITY CP TE (PRF_TE) 7.3.6 Report Ver. 7.3.6.1 123 City of La Quinta Total Earnings Page 2 September 1, 2022 - September 30, 2022 CUSIP Investment # Fund Issuer Ending Par Value Beginning Book Value Ending Book Value Current Rate Annualized Yield Interest Earned Adjusted Interest Earnings Amortization/ Realized Accretion Gainl/Loss Adjusted Interest Earnings Fund: General Fund 949763XY7 1174 101 WELLS 248,000.00 248,000.00 248,000.00 3.000 3.000 611.51 0.00 0.00 611.51 19416QEA4 1175 101 COLGTE 500,000.00 485,250.00 485,250.00 1.950 2.037 812.50 0.00 0.00 812.50 3130AFW94 1177 101 FHLB 500,000.00 498,550.00 498,550.00 2.500 2.542 1,041.67 0.00 0.00 1,041.67 9128282W9 1178 101 USTR 0.00 489,687.50 0.00 1.875 28.415 742.83 0.00 10,312.50 11,055.33 32117BCX4 1179 101 1STNBK 248,000.00 248,000.00 248,000.00 2.800 2.800 570.74 0.00 0.00 570.74 92535LCD4 1180 101 VERUS 248,000.00 248,000.00 248,000.00 2.700 2.700 550.35 0.00 0.00 550.35 66736ABP3 1181 101 NRTHWS 248,000.00 248,000.00 248,000.00 2.950 2.950 601.32 0.00 0.00 601.32 156634AK3 1184 101 CENTNX 248,000.00 248,000.00 248,000.00 2.500 2.500 509.60 0.00 0.00 509.60 48128HXU7 1185 101 JPMORG 245,000.00 245,000.00 245,000.00 3.250 3.250 654.45 0.00 0.00 654.45 46256YAZ2 1186 101 IOWAST 245,000.00 245,000.00 245,000.00 2.400 2.400 483.28 0.00 0.00 483.28 56065GAG3 1188 101 MAINST 248,000.00 248,000.00 248,000.00 2.600 2.600 529.97 0.00 0.00 529.97 20726ABA5 1189 101 CONGRS 248,000.00 248,000.00 248,000.00 2.500 2.500 509.59 0.00 0.00 509.59 931142DU4 1190 101 WALMRT 500,000.00 496,650.00 496,650.00 2.350 2.399 979.16 0.00 0.00 979.16 725404AB3 1194 101 PITTS 245,000.00 245,000.00 245,000.00 2.500 2.500 503.43 0.00 0.00 503.43 72651LCL6 1195 101 PLAINS 245,000.00 245,000.00 245,000.00 2.550 2.550 513.50 0.00 0.00 513.50 299547AQ2 1196 101 EVNSCU 248,000.00 248,000.00 248,000.00 2.600 2.600 529.97 0.00 0.00 529.97 524661CB9 1197 101 LEGCY 248,000.00 248,000.00 248,000.00 2.400 2.400 489.21 0.00 0.00 489.21 3133EKQP4 1198 101 FFCB 500,000.00 499,500.00 499,500.00 1.875 1.903 781.25 0.00 0.00 781.25 176688CP2 1199 101 CTZNST 248,000.00 248,000.00 248,000.00 2.400 2.400 489.20 0.00 0.00 489.20 20416TAQ5 1202 101 COMMW 248,000.00 248,000.00 248,000.00 2.250 2.250 458.63 0.00 0.00 458.63 761402BY1 1203 101 REVER 247,000.00 247,000.00 247,000.00 2.300 2.300 466.94 0.00 0.00 466.94 02772JBD1 1205 101 AMRNTL 248,000.00 248,000.00 248,000.00 2.000 2.000 407.67 0.00 0.00 407.67 3135GOV75 1206 101 FNMA 500,000.00 495,950.00 495,950.00 1.750 1.789 729.16 0.00 0.00 729.16 00257TBD7 1207 101 ABACUS 248,000.00 248,000.00 248,000.00 1.950 1.950 397.48 0.00 0.00 397.48 51210SQU4 1208 101 LKSIDE 248,000.00 248,000.00 248,000.00 2.000 2.000 407.67 0.00 0.00 407.67 33625CCP2 1209 101 1STSEC 248,000.00 248,000.00 248,000.00 2.000 2.000 407.67 0.00 0.00 407.67 710571DS6 1210 101 PEOPLE 248,000.00 248,000.00 248,000.00 2.000 2.000 407.67 0.00 0.00 407.67 3133EKWV4 1212 101 FFCB 500,000.00 499,500.00 499,500.00 1.850 1.878 770.83 0.00 0.00 770.83 740367HP5 1213 101 PREFRD 249,000.00 249,000.00 249,000.00 2.000 2.000 409.32 0.00 0.00 409.32 938828BH2 1215 101 WSHFED 248,000.00 248,000.00 248,000.00 2.000 2.000 407.67 0.00 0.00 407.67 33766LAJ7 1216 101 1STIER 249,000.00 249,000.00 249,000.00 1.950 1.950 399.08 0.00 0.00 399.08 912828T26 1217 101 USTR 500,000.00 499,300.00 499,300.00 1.375 1.373 563.63 0.00 0.00 563.63 75472RAD3 1218 101 RAYJAM 244,000.00 244,000.00 244,000.00 1.950 1.950 391.07 0.00 0.00 391.07 15118RRH2 1220 101 CELTIC 248,000.00 248,000.00 248,000.00 1.850 1.850 377.10 0.00 0.00 377.10 334342CD2 1221 101 1STNBS 249,000.00 249,000.00 249,000.00 1.850 1.850 378.62 0.00 0.00 378.62 336460CX6 1222 101 1STDQN 248,000.00 248,000.00 248,000.00 1.800 1.800 366.90 0.00 0.00 366.90 3133EKZK5 1223 101 FFCB 500,000.00 499,400.00 499,400.00 1.600 1.624 666.66 0.00 0.00 666.66 Run Date: 12/07/2022 - 22:12 Portfolio CITY CID TE (PRF_TE) 7.3.6 Report Ver. 7.3.6.1 124 City of La Quinta Total Earnings Page 3 September 1, 2022 - September 30, 2022 CUSIP Investment # Fund Issuer Ending Par Value Beginning Book Value Ending Book Value Current Rate Annualized Yield Interest Earned Adjusted Interest Earnings Amortization/ Realized Accretion Gainl/Loss Adjusted Interest Earnings Fund: General Fund 3133EKP75 1224 101 FFCB 500,000.00 498,750.00 498,750.00 1.600 1.626 666.67 0.00 0.00 666.67 06652CHBO 1227 101 BNKWST 248,000.00 248,000.00 248,000.00 1.700 1.700 346.52 0.00 0.00 346.52 059731851 1228 101 BOTW 3,201,929.33 5,048,779.42 3,201,929.33 0.01 0.00 0.00 0.01 SYS1230 1230 101 PARS 9,673,786.39 10,207,728.18 9,673,786.39 0.00 0.00 0.00 0.00 33640VDD7 1231 101 1STSER 248,000.00 248,000.00 248,000.00 1.700 1.700 346.52 0.00 0.00 346.52 3135GOW33 1233 101 FNMA 0.00 992,100.00 0.00 1.375 59.534 190.97 0.00 7,900.00 8,090.97 3133EK4X1 1234 101 FFCB 1,000,000.00 996,900.00 996,900.00 1.600 1.627 1,333.34 0.00 0.00 1,333.34 804375DL4 1235 101 SAUKVL 248,000.00 248,000.00 248,000.00 1.700 1.700 346.52 0.00 0.00 346.52 6176OA3133 1236 101 MSPRIV 245,000.00 245,000.00 245,000.00 1.900 1.900 382.60 0.00 0.00 382.60 6169OUNX4 1237 101 MORGST 245,000.00 245,000.00 245,000.00 1.950 1.950 392.67 0.00 0.00 392.67 538036GVO 1238 101 LIVEOK 248,000.00 248,000.00 248,000.00 1.800 1.800 366.90 0.00 0.00 366.90 49228XAK6 1239 101 KERNCU 248,000.00 248,000.00 248,000.00 1.900 1.900 387.29 0.00 0.00 387.29 79772FACO 1240 101 SF FCU 248,000.00 248,000.00 248,000.00 1.850 1.850 377.10 0.00 0.00 377.10 912828YV6 1241 101 USTR 1,000,000.00 989,687.50 989,687.50 1.500 1.511 1,229.50 0.00 0.00 1,229.50 3133ELEA8 1242 101 FFCB 1,000,000.00 998,600.00 998,600.00 1.700 1.726 1,416.67 0.00 0.00 1,416.67 949495AT2 1244 101 WFNBW 248,000.00 248,000.00 248,000.00 1.900 1.900 387.29 0.00 0.00 387.29 3133ELNEO 1246 101 FFCB 1,000,000.00 999,000.00 999,000.00 1.430 1.451 1,191.66 0.00 0.00 1,191.66 3133EGWJO 1247 101 FFCB 0.00 999,217.36 0.00 1.400 2.442 1,088.89 0.00 782.64 1,871.53 35637RDC8 1248 101 FRDMFI 248,000.00 248,000.00 248,000.00 1.550 1.550 315.95 0.00 0.00 315.95 90983WBT7 1249 101 UNTDCM 248,000.00 248,000.00 248,000.00 1.650 1.650 336.33 0.00 0.00 336.33 32114VBT3 1250 101 1STNM1 248,000.00 248,000.00 248,000.00 1.650 1.650 336.33 0.00 0.00 336.33 77579ADFO 1251 101 RLLSTN 245,000.00 245,000.00 245,000.00 1.650 1.650 332.26 0.00 0.00 332.26 17286TAGO 1252 101 CITADL 248,000.00 248,000.00 248,000.00 1.650 1.650 336.33 0.00 0.00 336.33 81768PAF3 1254 101 SERVIS 248,000.00 248,000.00 248,000.00 1.600 1.600 326.14 0.00 0.00 326.14 029728BC5 1255 101 AMERST 248,000.00 248,000.00 248,000.00 1.600 1.600 326.14 0.00 0.00 326.14 00435JBH5 1256 101 ACCSS 248,000.00 248,000.00 248,000.00 1.600 1.600 326.14 0.00 0.00 326.14 849430BF9 1257 101 SPRING 248,000.00 248,000.00 248,000.00 1.500 1.500 305.76 0.00 0.00 305.76 05465DAE8 1258 101 AXOS 248,000.00 248,000.00 248,000.00 1.650 1.650 336.33 0.00 0.00 336.33 882213AB7 1260 101 TEXAS 245,000.00 245,000.00 245,000.00 1.100 1.100 221.50 0.00 0.00 221.50 89579NCD3 1262 101 TRIAD 248,000.00 248,000.00 248,000.00 1.350 1.350 275.18 0.00 0.00 275.18 66704MEQO 1263 101 NRTHSR 248,000.00 248,000.00 248,000.00 1.150 1.150 234.41 0.00 0.00 234.41 954444BS3 1265 101 WESTMI 248,000.00 248,000.00 248,000.00 1.150 1.150 234.41 0.00 0.00 234.41 654062JZ2 1266 101 NCOLET 248,000.00 248,000.00 248,000.00 1.400 1.400 285.37 0.00 0.00 285.37 020080BX4 1267 101 ALMABK 248,000.00 248,000.00 248,000.00 1.400 1.400 285.37 0.00 0.00 285.37 2027506M2 1268 101 CMWBUS 248,000.00 248,000.00 248,000.00 1.250 1.250 254.79 0.00 0.00 254.79 69506YRH4 1269 101 PACWST 245,000.00 245,000.00 245,000.00 1.300 1.300 261.78 0.00 0.00 261.78 08016PDQ9 1270 101 BELB&T 248,000.00 248,000.00 248,000.00 1.250 1.250 254.79 0.00 0.00 254.79 Run Date: 12/07/2022 - 22:12 Portfolio CITY CP TE (PRF_TE) 7.3.6 Report Ver. 7.3.6.1 125 City of La Quinta Total Earnings Page 4 September 1, 2022 - September 30, 2022 CUSIP Investment # Fund Issuer Ending Par Value Beginning Book Value Ending Book Value Current Rate Annualized Yield Interest Earned Adjusted Interest Earnings Amortization/ Realized Accretion Gainl/Loss Adjusted Interest Earnings Fund: General Fund 14042TDD6 1271 101 CAPONE 245,000.00 245,000.00 245,000.00 1.600 1.600 322.19 0.00 0.00 322.19 472382AQ3 1272 101 THEJEF 248,000.00 248,000.00 248,000.00 1.250 1.250 254.80 0.00 0.00 254.80 32027BALl 1273 101 1STFDM 249,000.00 249,000.00 249,000.00 1.200 1.200 245.60 0.00 0.00 245.60 32112UDR9 1274 101 1STMCG 248,000.00 248,000.00 248,000.00 1.350 1.350 275.18 0.00 0.00 275.18 33847E3A3 1276 101 FLGSTR 248,000.00 248,000.00 248,000.00 1.250 1.250 254.80 0.00 0.00 254.80 95960NKD8 1277 101 WSTRNS 245,000.00 245,000.00 245,000.00 1.000 1.000 201.37 0.00 0.00 201.37 32056GDJ6 1278 101 1STINT 248,000.00 248,000.00 248,000.00 1.000 1.000 203.84 0.00 0.00 203.84 3134GVYG7 1279 101 FHLMC 1,000,000.00 1,000,000.00 1,000,000.00 0.625 0.634 520.84 0.00 0.00 520.84 3133ELH23 1280 101 FFCB 500,000.00 499,850.00 499,850.00 0.500 0.507 208.34 0.00 0.00 208.34 3130AJKW8 1281 101 FHLB 500,000.00 499,850.00 499,850.00 0.500 0.507 208.33 0.00 0.00 208.33 3133ELH80 1282 101 FFCB 500,000.00 500,000.00 500,000.00 0.680 0.689 283.33 0.00 0.00 283.33 3130AJRP6 1283 101 FHLB 300,000.00 300,000.00 300,000.00 0.680 0.689 170.00 0.00 0.00 170.00 169894AS1 1284 101 CHIPVA 248,000.00 248,000.00 248,000.00 0.600 0.600 122.30 0.00 0.00 122.30 02616AAH2 1285 101 AMR1ST 248,000.00 248,000.00 248,000.00 0.350 0.350 71.34 0.00 0.00 71.34 84223QAN7 1286 101 STHRNB 248,000.00 248,000.00 248,000.00 0.500 0.500 101.92 0.00 0.00 101.92 064520BG3 1287 101 BKPRNC 248,000.00 248,000.00 248,000.00 0.500 0.500 101.92 0.00 0.00 101.92 3135G05S8 1288 101 FNMA 500,000.00 500,000.00 500,000.00 0.500 0.507 208.33 0.00 0.00 208.33 3136G4N74 1289 101 FNMA 1,000,000.00 1,000,000.00 1,000,000.00 0.560 0.568 466.66 0.00 0.00 466.66 3136G4M75 1290 101 FNMA 500,000.00 499,750.00 499,750.00 0.520 0.527 216.67 0.00 0.00 216.67 3135G06E8 1291 101 FNMA 500,000.00 499,250.00 499,250.00 0.420 0.426 175.00 0.00 0.00 175.00 3135GA2Z3 1292 101 FNMA 500,000.00 499,250.00 499,250.00 0.560 0.569 233.33 0.00 0.00 233.33 SYS1293 1293 101 BNY 579,272.74 5,796,058.77 579,272.74 0.00 0.00 0.00 0.00 3137EAEU9 1297 101 FHLMC 1,000,000.00 997,300.00 997,300.00 0.375 0.381 312.50 0.00 0.00 312.50 3130AKFA9 1298 101 FHLB 500,000.00 497,400.00 497,400.00 0.375 0.382 156.25 0.00 0.00 156.25 3135GA7D7 1299 101 FNMA 500,000.00 500,000.00 500,000.00 0.600 0.608 250.00 0.00 0.00 250.00 3135GAAW1 1300 101 FNMA 500,000.00 500,000.00 500,000.00 0.400 0.406 166.67 0.00 0.00 166.67 3134GXGZ1 1301 101 FHLMC 500,000.00 500,000.00 500,000.00 0.550 0.558 229.17 0.00 0.00 229.17 3130AKMZ6 1302 101 FHLB 500,000.00 500,000.00 500,000.00 0.510 0.517 212.50 0.00 0.00 212.50 91282CBC4 1303 101 USTR 500,000.00 498,632.81 498,632.81 0.375 0.373 152.86 0.00 0.00 152.86 3130AKN28 1304 101 FHLB 500,000.00 500,000.00 500,000.00 0.550 0.558 229.17 0.00 0.00 229.17 51507LCC6 1305 101 LNDMRK 248,000.00 248,000.00 248,000.00 0.500 0.500 101.92 0.00 0.00 101.92 87270LDL4 1306 101 EVRBA 245,000.00 245,000.00 245,000.00 0.500 0.500 100.69 0.00 0.00 100.69 3137EAEX3 1307 101 FHLMC 500,000.00 495,999.50 495,999.50 0.375 0.383 156.25 0.00 0.00 156.25 45950VPS9 1308 101 IFC 500,000.00 497,300.00 497,300.00 0.500 0.499 203.81 0.00 0.00 203.81 91282CBH3 1309 101 USTR 500,000.00 495,100.00 495,100.00 0.375 0.376 152.86 0.00 0.00 152.86 3137EAEX3 1310 101 FHLMC 1,000,000.00 983,940.00 983,940.00 0.375 0.386 312.50 0.00 0.00 312.50 91282CAT8 1311 101 USTR 1,000,000.00 977,500.00 977,500.00 0.250 0.254 203.81 0.00 0.00 203.81 Run Date: 12/07/2022 - 22:12 Portfolio CITY CID TE (PRF_TE) 7.3.6 Report Ver. 7.3.6.1 126 City of La Quinta Total Earnings Page 5 September 1, 2022 - September 30, 2022 CUSIP Investment # Fund Issuer Ending Par Value Beginning Book Value Ending Book Value Current Rate Annualized Yield Interest Earned Adjusted Interest Earnings Amortization/ Realized Accretion Gainl/Loss Adjusted Interest Earnings Fund: General Fund 3130ALV92 1312 101 FHLB 500,000.00 500,000.00 500,000.00 1.050 1.065 437.50 0.00 0.00 437.50 39573LBC1 1313 101 GRNST 249,000.00 249,000.00 249,000.00 0.950 0.950 194.42 0.00 0.00 194.42 89235MKY6 1314 101 TOYFSB 245,000.00 245,000.00 245,000.00 0.900 0.900 181.24 0.00 0.00 181.24 91282CAZ4 1315 101 USTR 500,000.00 492,187.50 492,187.50 0.375 0.380 153.69 0.00 0.00 153.69 14622LAA0 1316 101 CARTER 248,000.00 248,000.00 248,000.00 0.750 0.750 152.88 0.00 0.00 152.88 31617CAV5 1317 101 FIDHMS 248,000.00 248,000.00 248,000.00 0.700 0.700 142.68 0.00 0.00 142.68 SYS1318 1318 101 DPME 649,720.32 649,117.42 649,720.32 0.00 0.00 0.00 0.00 91282CBQ3 1319 101 USTR 500,000.00 494,165.00 494,165.00 0.500 0.510 207.18 0.00 0.00 207.18 91282CBT7 1320 101 USTR 500,000.00 499,525.00 499,525.00 0.750 0.749 307.43 0.00 0.00 307.43 91282CCF6 1321 101 USTR 1,000,000.00 997,060.00 997,060.00 0.750 0.750 614.75 0.00 0.00 614.75 91282CBT7 1322 101 USTR 500,000.00 498,450.00 498,450.00 0.750 0.750 307.43 0.00 0.00 307.43 91282CCF6 1323 101 USTR 500,000.00 497,095.00 497,095.00 0.750 0.752 307.38 0.00 0.00 307.38 3130AMFS6 1324 101 FHLB 1,000,000.00 993,420.00 993,420.00 0.750 0.765 625.00 0.00 0.00 625.00 92559TAJ7 1325 101 VIBRNT 249,000.00 248,377.50 248,377.50 0.800 0.802 163.73 0.00 0.00 163.73 38149MXK4 1326 101 GLDMAN 248,000.00 248,000.00 248,000.00 1.000 1.000 203.83 0.00 0.00 203.83 795451AFO 1327 101 SALMAE 248,000.00 248,000.00 248,000.00 1.000 1.000 203.83 0.00 0.00 203.83 89388CEY0 1328 101 TABBK 248,000.00 248,000.00 248,000.00 0.400 0.400 81.53 0.00 0.00 81.53 06417NZQ9 1329 101 BKOZK 248,000.00 248,000.00 248,000.00 0.400 0.400 81.53 0.00 0.00 81.53 3133EM2C5 1330 101 FFCB 500,000.00 498,000.00 498,000.00 0.710 0.723 295.84 0.00 0.00 295.84 70962LAF9 1331 101 PENTGN 249,000.00 249,000.00 249,000.00 0.700 0.700 143.26 0.00 0.00 143.26 87165ET98 1332 101 SYNCHR 245,000.00 245,000.00 245,000.00 0.900 0.900 181.23 0.00 0.00 181.23 05580AD50 1333 101 BMW 245,000.00 245,000.00 245,000.00 0.650 0.650 130.89 0.00 0.00 130.89 20786ADL6 1334 101 CONNEC 248,000.00 248,000.00 248,000.00 0.800 0.800 163.06 0.00 0.00 163.06 91282CCP4 1335 101 USTR 1,000,000.00 983,750.00 983,750.00 0.625 0.630 509.51 0.00 0.00 509.51 91282CCW9 1336 101 USTR 1,000,000.00 988,500.00 988,500.00 0.750 0.765 621.55 0.00 0.00 621.55 3130APBM6 1337 101 FHLB 1,000,000.00 999,000.00 999,000.00 1.000 1.015 833.34 0.00 0.00 833.34 3133EM4X7 1338 101 FFCB 1,000,000.00 991,080.00 991,080.00 0.800 0.818 666.67 0.00 0.00 666.67 3130APB46 1339 101 FHLB 1,000,000.00 998,250.00 998,250.00 0.950 0.965 791.66 0.00 0.00 791.66 3133EMX64 1340 101 FFCB 500,000.00 499,002.04 499,002.04 0.170 0.173 70.83 0.00 0.00 70.83 91282CCN9 1341 101 USTR 500,000.00 497,792.97 497,792.97 0.125 0.125 50.95 0.00 0.00 50.95 91282CBE0 1342 101 USTR 1,000,000.00 991,000.00 991,000.00 0.125 0.125 101.91 0.00 0.00 101.91 91282CDB4 1343 101 USTR 1,000,000.00 996,320.00 996,320.00 0.625 0.626 512.30 0.00 0.00 512.30 3133ENCQ1 1344 101 FFCB 1,000,000.00 1,000,000.00 1,000,000.00 1.270 1.288 1,058.33 0.00 0.00 1,058.33 59013KPN0 1345 101 MRRCK 249,000.00 249,000.00 249,000.00 1.100 1.100 225.12 0.00 0.00 225.12 14042RQB0 1346 101 CAP1 NA 248,000.00 248,000.00 248,000.00 1.100 1.100 224.22 0.00 0.00 224.22 3130APTV7 1347 101 FHLB 500,000.00 499,500.00 499,500.00 0.700 0.710 291.66 0.00 0.00 291.66 3133ENBT6 1348 101 FFCB 1,000,000.00 998,530.00 998,530.00 0.180 0.183 150.00 0.00 0.00 150.00 Run Date: 12/07/2022 - 22:12 Portfolio CITY CID TE (PRF_TE) 7.3.6 Report Ver. 7.3.6.1 127 City of La Quinta Total Earnings Page 6 September 1, 2022 - September 30, 2022 CUSIP Investment # Fund Issuer Ending Par Value Beginning Book Value Ending Book Value Current Rate Annualized Yield Interest Earned Adjusted Interest Earnings Amortization/ Realized Accretion Gainl/Loss Adjusted Interest Earnings Fund: General Fund 91282CBU4 1349 101 USTR 1,000,000.00 996,718.75 996,718.75 0.125 0.125 102.47 0.00 0.00 102.47 91282CCD1 1350 101 USTR 1,000,000.00 995,468.75 995,468.75 0.125 0.125 102.46 0.00 0.00 102.46 91282CBA8 1351 101 USTR 1,000,000.00 990,000.00 990,000.00 0.125 0.126 102.46 0.00 0.00 102.46 91282CBR1 1352 101 USTR 1,000,000.00 989,800.00 989,800.00 0.250 0.253 205.61 0.00 0.00 205.61 3130AP21.18 1353 101 FHLB 1,000,000.00 987,100.00 987,100.00 0.550 0.565 458.33 0.00 0.00 458.33 3135G06G3 1354 101 FNMA 1,000,000.00 976,300.00 976,300.00 0.500 0.519 416.67 0.00 0.00 416.67 3133ENGN4 1355 101 FFCB 1,000,000.00 1,000,000.00 1,000,000.00 0.970 0.983 808.34 0.00 0.00 808.34 501798RP9 1356 101 LCA 248,000.00 248,000.00 248,000.00 1.000 1.000 203.84 0.00 0.00 203.84 20825WAR1 1357 101 CNNXS 249,000.00 249,000.00 249,000.00 1.250 1.250 255.82 0.00 0.00 255.82 3130AQF65 1358 101 FHLB 1,000,000.00 999,750.00 999,750.00 1.250 1.268 1,041.66 0.00 0.00 1,041.66 3134GW6C5 1359 101 FHLMC 500,000.00 486,000.00 486,000.00 0.800 0.834 333.33 0.00 0.00 333.33 91282CBV2 1360 101 USTR 500,000.00 494,882.81 494,882.81 0.375 0.378 153.69 0.00 0.00 153.69 3137EAEU9 1361 101 FHLMC 500,000.00 487,090.00 487,090.00 0.375 0.390 156.25 0.00 0.00 156.25 3134GW5R3 1362 101 FHLMC 400,000.00 391,360.00 391,360.00 0.650 0.674 216.66 0.00 0.00 216.66 307811DF3 1363 101 FARMER 249,000.00 249,000.00 249,000.00 0.900 0.900 184.19 0.00 0.00 184.19 3130AQJR5 1364 101 FHLB 1,000,000.00 1,000,000.00 1,000,000.00 1.500 1.521 1,250.00 0.00 0.00 1,250.00 3135G031.15 1365 101 FNMA 500,000.00 487,790.00 487,790.00 0.625 0.650 260.42 0.00 0.00 260.42 3134GWUQ7 1366 101 FHLMC 1,000,000.00 945,570.00 945,570.00 0.700 0.751 583.33 0.00 0.00 583.33 3130AQSA2 1367 101 FHLB 1,000,000.00 1,000,000.00 1,000,000.00 1.830 1.855 1,525.00 0.00 0.00 1,525.00 89786MAF1 1368 101 TRUSKY 245,000.00 245,000.00 245,000.00 1.600 1.600 322.19 0.00 0.00 322.19 912828Z78 1369 101 USTR 1,000,000.00 986,700.00 986,700.00 1.500 1.508 1,222.82 0.00 0.00 1,222.82 07371AYE7 1370 101 BEALTX 245,000.00 245,000.00 245,000.00 1.900 1.900 382.60 0.00 0.00 382.60 073710E88 1371 101 BEALUS 245,000.00 245,000.00 245,000.00 1.900 1.900 382.60 0.00 0.00 382.60 02357QAQ0 1372 101 AMRNT 245,000.00 245,000.00 245,000.00 1.600 1.600 322.19 0.00 0.00 322.19 59161YAP1 1373 101 METRO 249,000.00 249,000.00 249,000.00 1.700 1.700 347.92 0.00 0.00 347.92 3130AQWY5 1374 101 FHLB 1,000,000.00 1,000,000.00 1,000,000.00 1.700 1.724 1,416.66 0.00 0.00 1,416.66 27004PCM3 1375 101 EGLMRK 245,000.00 245,000.00 245,000.00 2.000 2.000 402.73 0.00 0.00 402.73 64034KAZ4 1376 101 NELNET 245,000.00 245,000.00 245,000.00 1.800 1.800 362.46 0.00 0.00 362.46 24773RCR4 1377 101 DELTA 245,000.00 245,000.00 245,000.00 2.000 2.000 402.74 0.00 0.00 402.74 91139LAB2 1378 101 URSVLT 248,000.00 248,000.00 248,000.00 1.900 1.900 387.29 0.00 0.00 387.29 565819AG4 1379 101 MRTHON 248,000.00 248,000.00 248,000.00 1.800 1.800 366.90 0.00 0.00 366.90 91282CCW9 1380 101 USTR 500,000.00 466,454.17 466,454.17 0.750 0.811 310.77 0.00 0.00 310.77 91282CDG3 1381 101 USTR 500,000.00 473,396.82 473,396.82 1.125 1.179 458.56 0.00 0.00 458.56 91282CBQ3 1382 101 USTR 750,000.00 698,025.00 698,025.00 0.500 0.542 310.77 0.00 0.00 310.77 912828654 1383 101 USTR 1,000,000.00 999,010.00 999,010.00 2.375 2.358 1,936.14 0.00 0.00 1,936.14 50625LAW3 1384 101 LFYTT 248,000.00 248,000.00 248,000.00 2.050 2.050 417.86 0.00 0.00 417.86 3130ARGJ4 1385 101 FHLB 500,000.00 500,000.00 500,000.00 2.500 2.535 1,041.67 0.00 0.00 1,041.67 Run Date: 12/07/2022 - 22:12 Portfolio CITY CID TE (PRF_TE) 7.3.6 Report Ver. 7.3.6.1 128 City of La Quinta Total Earnings Page 7 September 1, 2022 - September 30, 2022 CUSIP Investment # Fund Issuer Ending Par Value Beginning Book Value Ending Book Value Current Rate Annualized Yield Interest Earned Adjusted Interest Earnings Amortization/ Realized Accretion Gainl/Loss Adjusted Interest Earnings Fund: General Fund 20033A3A2 1386 101 CCBA 248,000.00 248,000.00 248,000.00 2.650 2.650 540.17 0.00 0.00 540.17 3130ARGY1 1387 101 FHLB 1,000,000.00 1,000,000.00 1,000,000.00 2.700 2.738 2,250.00 0.00 0.00 2,250.00 02007GPX5 1388 101 ALLY 245,000.00 245,000.00 245,000.00 2.550 2.550 513.49 0.00 0.00 513.49 52168UHY1 1389 101 LEADR 245,000.00 245,000.00 245,000.00 2.550 2.550 513.49 0.00 0.00 513.49 9128283D0 1390 101 USTR 1,000,000.00 985,190.00 985,190.00 2.250 2.265 1,834.24 0.00 0.00 1,834.24 91282CEF4 1391 101 USTR 1,000,000.00 976,860.00 976,860.00 2.500 2.553 2,049.55 0.00 0.00 2,049.55 254673E69 1392 101 DISCOV 245,000.00 245,000.00 245,000.00 3.100 3.100 624.25 0.00 0.00 624.25 91282CAR2 1393 101 USTR 4,000,000.00 3,979,880.00 3,979,880.00 0.125 0.125 407.61 0.00 0.00 407.61 91282CBD2 1394 101 USTR 2,000,000.00 1,982,265.63 1,982,265.63 0.125 0.125 203.80 0.00 0.00 203.80 91282CAN1 1395 101 USTR 0.00 3,985,625.00 0.00 0.125 4.665 396.17 0.00 14,375.00 14,771.17 48115LAD6 1396 101 JOVIA 248,000.00 248,000.00 248,000.00 2.500 2.500 509.60 0.00 0.00 509.60 912828X88 1397 101 USTR 1,000,000.00 969,687.50 969,687.50 2.375 2.429 1,936.14 0.00 0.00 1,936.14 91282CEN7 1398 101 USTR 500,000.00 495,000.00 495,000.00 2.750 2.755 1,120.93 0.00 0.00 1,120.93 91282CET4 1399 101 USTR 500,000.00 491,842.18 491,842.18 2.625 2.661 1,075.82 0.00 0.00 1,075.82 9128282U3 1400 101 USTR 500,000.00 490,850.00 490,850.00 1.875 1.926 776.93 0.00 0.00 776.93 3133ENYH7 1401 101 FFCB 500,000.00 499,080.00 499,080.00 2.625 2.666 1,093.75 0.00 0.00 1,093.75 91282CBD2 1402 101 USTR 3,000,000.00 2,972,578.13 2,972,578.13 0.125 0.125 305.71 0.00 0.00 305.71 91282CAX9 1403 101 USTR 4,000,000.00 3,972,031.25 3,972,031.25 0.125 0.126 409.84 0.00 0.00 409.84 91282CAN1 1404 101 USTR 0.00 1,992,780.00 0.00 0.125 4.685 198.09 0.00 7,220.00 7,418.09 91282CAR2 1406 101 USTR 2,000,000.00 1,989,440.00 1,989,440.00 0.125 0.125 203.81 0.00 0.00 203.81 912828N30 1407 101 USTR 2,000,000.00 1,996,240.00 1,996,240.00 2.125 2.112 3,464.67 0.00 0.00 3,464.67 912828M80 1408 101 USTR 3,000,000.00 2,996,670.00 2,996,670.00 2.000 1.997 4,918.03 0.00 0.00 4,918.03 3130ASDV8 1409 101 FHLB 300,000.00 300,000.00 300,000.00 3.300 3.346 825.00 0.00 0.00 825.00 9128283C2 1410 101 USTR 2,000,000.00 1,999,940.00 1,999,940.00 2.000 1.984 3,260.87 0.00 0.00 3,260.87 91282CAN1 1411 101 USTR 0.00 1,991,942.00 0.00 0.125 5.217 198.09 0.00 8,058.00 8,256.09 912828N30 1412 101 USTR 2,000,000.00 1,996,680.00 1,996,680.00 2.125 2.111 3,464.67 0.00 0.00 3,464.67 912828M80 1413 101 USTR 2,000,000.00 1,997,980.00 1,997,980.00 2.000 1.997 3,278.69 0.00 0.00 3,278.69 9128283C2 1414 101 USTR 1,000,000.00 999,977.00 999,977.00 2.000 1.984 1,630.44 0.00 0.00 1,630.44 89269FDP7 1415 101 TRADCP 246,000.00 246,000.00 246,000.00 3.000 3.000 606.58 0.00 0.00 606.58 91282CFB2 1417 101 USTR 1,000,000.00 989,460.00 989,460.00 2.750 2.757 2,241.85 0.00 0.00 2,241.85 912828XT2 1418 101 USTR 1,000,000.00 985,240.00 985,240.00 2.000 2.024 1,639.34 0.00 0.00 1,639.34 397417AQ9 1419 101 GRNWDS 248,000.00 248,000.00 248,000.00 3.050 3.050 621.69 0.00 0.00 621.69 88413QDN5 1420 101 3RD 245,000.00 245,000.00 245,000.00 3.300 3.300 664.52 0.00 0.00 664.52 02589ADH2 1421 101 AMEXNB 245,000.00 245,000.00 245,000.00 3.450 3.450 694.73 0.00 0.00 694.73 91282CFB2 1422 101 USTR 1,000,000.00 979,645.67 979,645.67 2.750 2.784 2,241.85 0.00 0.00 2,241.85 912796YB9 1423 101 USTR 3,000,000.00 0.00 2,951,409.30 3.221 0.00 0.00 0.00 0.00 912796YB9 1424 101 USTR 2,000,000.00 0.00 1,967,621.12 3.220 0.00 0.00 0.00 0.00 Run Date: 12/07/2022 - 22:12 Portfolio CITY CID TE (PRF_TE) 7.3.6 Report Ver. 7.3.6.1 129 City of La Quinta Total Earnings Page 8 September 1, 2022 - September 30, 2022 Adjusted Interest Earnings Ending Beginning Ending Current Annualized Interest Amortization/ Realized Adjusted Interest CUSIP Investment # Fund Issuer Par Value Book Value Book Value Rate Yield Earned Accretion Gainl/Loss Earnings Fund: General Fund 732329BD8 1425 101 PONCE 248,000.00 0.00 248,000.00 3.500 3.500 356.71 0.00 0.00 356.71 3133ENL99 1426 101 FFCB 1,000,000.00 0.00 997,492.55 3.375 3.430 1,500.00 0.00 0.00 1,500.00 052392BT3 1427 101 AUSTEL 248,000.00 0.00 248,000.00 3.800 3.800 232.37 0.00 0.00 232.37 9128283U2 1428 101 USTR 3,000,000.00 0.00 2,988,390.00 2.375 2.365 193.62 0.00 0.00 193.62 914242AAO 1429 101 UNIVCU 248,000.00 0.00 248,000.00 4.000 4.000 108.71 0.00 0.00 108.71 22258JAB7 1430 101 CNTYSC 248,000.00 0.00 248,000.00 4.400 0.00 0.00 0.00 0.00 912828Q29 1431 101 USTR 2,000,000.00 0.00 1,977,200.00 1.500 1.522 82.42 0.00 0.00 82.42 91282CBNO 1432 101 USTR 3,000,000.00 0.00 2,956,788.66 0.125 0.128 10.36 0.00 0.00 10.36 3133ENQ29 1433 101 FFCB 1,000,000.00 0.00 996,400.00 4.000 4.070 111.11 0.00 0.00 111.11 Subtotal 204,508,689.55 205,892,052.87 203,577,744.66 1.492 209,516.07 0.00 48,648.14 258,164.21 Fund: Fiscal Agent SYS1058 1058 231 USBANK 4,603.25 14,973,176.11 4,603.25 0.372 4,580.54 0.00 0.00 4,580.54 Subtotal 4,603.25 14,973,176.11 4,603.25 0.372 4,580.54 0.00 0.00 4,580.54 Fund: Housing Authority : WSA and LQ SYS1062 1062 241 LQPR 405,627.44 416,132.51 405,627.44 0.00 0.00 0.00 0.00 Subtotal 405,627.44 416,132.51 405,627.44 0.00 0.00 0.00 0.00 Fund: SA Low/Mod Bond Fund 25-33-005 1113 249 LAIF 2,018,767.39 2,018,767.39 2,018,767.39 1.513 1.350 2,240.57 0.00 0.00 2,240.57 Subtotal 2,018,767.39 2,018,767.39 2,018,767.39 1.350 2,240.57 0.00 0.00 2,240.57 Total 206,937,687.63 223,300,128.88 206,006,742.74 1.414 216,337.18 0.00 48,648.14 264,985.32 Run Date: 12/07/2022 - 22:12 Portfolio CITY CID TE (PRF_TE) 7.3.6 Report Ver. 7.3.6.1 130 i ta City of La Quinta City of LaQuinta Maturity Report GEM ofrhe DESERT — Sorted by Maturity Date Amounts due during July 1, 2022 - September 30, 2022 Sec. Maturity Purchase Rate Book Value Maturity Net CUSIP Investment # Fund Type Issuer Par Value Date Date at Maturity at Maturity Interest Proceeds Income 89269CBX9 1148 101 MC1 TRAD 245,000.00 08/08/2022 06/08/2018 3.000 245,000.00 624.25 245,624.25 624.25 12556LBA3 1219 101 MC1 CITBNK 245,000.00 08/23/2022 08/23/2019 1.900 245,000.00 2,308.37 247,308.37 2,308.37 02587CFU9 1096 101 MC1 AMFSB 240,000.00 08/29/2022 08/29/2017 2.400 240,000.00 2,856.33 242,856.33 2,856.33 85916VDC6 1201 101 MC1 STRLNG 245,000.00 08/29/2022 06/28/2019 2.150 245,000.00 894.75 245,894.75 894.75 91282CAG6 1405 101 TRC USTR 5,000,000.00 08/31/2022 06/13/2022 0.125 4,988,450.00 3,125.00 5,003,125.00 14,675.00 3135GOW33 1233 101 FAC FNMA 1,000,000.00 09/06/2022 10/29/2019 1.375 992,100.00 6,875.00 1,006,875.00 14,775.00 3133EGWJO 1247 101 FAC FFCB 1,000,000.00 09/29/2022 02/05/2020 1.400 999,217.36 7,000.00 1,007,000.00 7,782.64 9128282W9 1178 101 TRC USTR 500,000.00 09/30/2022 03/01/2019 1.875 489,687.50 4,687.50 504,687.50 15,000.00 91282CAN1 1395 101 TRC USTR 4,000,000.00 09/30/2022 06/06/2022 0.125 3,985,625.00 2,500.00 4,002,500.00 16,875.00 91282CAN1 1404 101 TRC USTR 2,000,000.00 09/30/2022 06/13/2022 0.125 1,992,780.00 1,250.00 2,001,250.00 8,470.00 91282CAN1 1411 101 TRC USTR 2,000,000.00 09/30/2022 06/29/2022 0.125 1,991,942.00 1,250.00 2,001,250.00 9,308.00 Total Maturities 16,475,000.00 Run Date: 12/07/2022 - 22:28 16,414,801.86 33,371.20 16,508,371.20 93,569.34 Portfolio CITY CIO MA (PRF_MA) 7.1.1 Report Ver. 7.3.6.1 131 1 City of La Quinta City of LaQuinta t(VPurchases Report GEM ofrhe DESERT - Sorted by Security Type - Fund July 1, 2022 - September 30, 2022 Sec. Original Purchase Principal Accrued Interest Rate at Maturity Ending CUSIP Investment # Fund Type Issuer Par Value Date Payment Periods Purchased at Purchase Purchase Date YTM Book Value Federal Agency Coupon Securities 3133ENL99 1426 101 FAC FFCB 1,000,000.00 09/15/2022 03/15 - 09/15 997,492.55 3.375 09/15/2027 3.430 997,492.55 3133ENQ29 1433 101 FAC FFCB 1,000,000.00 09/30/2022 03/29 - 09/29 996,400.00 Received 4.000 09/29/2027 4.080 996,400.00 Subtotal 2,000,000.00 1,993,892.55 0.00 1,993,892.55 Treasury Coupon Securities 91282CF132 1417 91282CF132 1422 9128283U2 1428 912828Q29 1431 91282CBNO 1432 Treasury Discount Notes 912796YB9 1423 912796YB9 1424 Certificate of Deposits 89269FDP7 1415 88413QDN5 1420 02589ADH2 1421 732329BD8 1425 052392BT3 1427 914242AAO 1429 22258JAB7 1430 101 TRC USTR 101 TRC USTR 101 TRC USTR 101 TRC USTR 101 TRC USTR Subtotal 101 ATD USTR 101 ATD USTR Subtotal 101 MC1 TRADCP 101 MC1 3RD 101 MC1 AMEXNB 101 MC1 PONCE 101 MC1 AUSTEL 101 MC1 UNIVCU 101 MC1 CNTYSC Subtotal 1,000,000.00 08/15/2022 01/31 - 07/31 1,000,000.00 08/29/2022 01/31 - 07/31 3,000,000.00 09/30/2022 01/31 - Final Pmt. 2,000,000.00 09/30/2022 03/31 - Final Pmt. 3,000,000.00 09/30/2022 02/28 - Final Pmt. 10,000,000.00 3,000,000.00 09/02/2022 03/02 - At Maturity 2,000,000.00 09/02/2022 03/02 - At Maturity 5,000,000.00 246,000.00 07/20/2022 01/20 - 07/20 245,000.00 08/19/2022 02/19 - 08/19 245,000.00 08/29/2022 01/27 - 07/27 248,000.00 09/15/2022 10/15 - Monthly 248,000.00 09/21/2022 10/01 - Monthly 248,000.00 09/26/2022 10/26 - Monthly 248,000.00 09/30/2022 10/30 - Monthly 1,728,000.00 989,460.00 Received 2.750 07/31/2027 2.980 989,460.00 979,645.67 Received 2.750 07/31/2027 3.200 979,645.67 2,988,390.00 Received 2.375 01/31/2023 3.533 2,988,390.00 1,977,200.00 1.500 03/31/2023 3.824 1,977,200.00 2,956,788.66 Received 0.125 02/28/2023 3.630 2,956,788.66 9,891,484.33 0.00 2,951,409.30 1,967,621.12 4,919,030.42 246,000.00 245,000.00 245,000.00 248,000.00 248,000.00 248,000.00 248,000.00 1,728,000.00 0.00 3.221 03/02/2023 3.320 3.220 03/02/2023 3.318 3.000 01 /22/2024 3.008 3.300 08/19/2027 3.302 Received 3.450 07/27/2027 3.067 3.500 09/15/2027 3.502 3.800 09/21 /2027 3.770 4.000 09/26/2025 3.891 4.400 09/30/2027 4.325 0.00 9,891,484.33 2,951,409.30 1,967,621.12 4,919,030.42 246,000.00 245,000.00 245,000.00 248,000.00 248,000.00 248,000.00 248,000.00 1,728,000.00 CERBT - OPEB Trust SYS1114 1114 101 LA2 CALPRS 1,792,152.96 07/01/2022 12/31 - Monthly 1,792,152.96 1,660,262.83 Subtotal 1,792,152.96 1,792,152.96 0.00 1,660,262.83 Total Purchases 20,520,152.96 20,324,560.26 0.00 20,192,670.13 Received = Accrued Interest at Purchase was received by report ending date. Run Date: 12/07/2022 - 22:24 Portfolio CITY CID PU (PRF_PU) 7.1.1 Report Ver. 7.3.6.1 132 City of La Quinta Purchases Report July 1, 2022 - September 30, 2022 Page 2 Sec. Original Purchase Principal Accrued Interest Rate at Maturity Ending CUSIP Investment # Fund Type Issuer Par Value Date Payment Periods Purchased at Purchase Purchase Date YTM Book Value Run Date: 12/07/2022 - 22:24 Portfolio CITY CP PU (PRF_PU) 7.1.1 Report Ver. 7.3.6.1 133 US Treasury Rates https://home.treasury.gov/resource-center/data-chart-center/interest-rates/TextView?type=daily treasury yield curve&field tdr date value=2022 Date 1 mo 2 mo 3 mo 6 mo 1 yr 2 yr 3 yr 5 yr 7/29/2022 2.22 2.28 2.41 2.91 8/31/2022 2.40 2.72 2.96 3.32 9/30/2022 2.79 3.20 3.33 3.92 2.98 2.89 2.83 3.50 3.45 3.46 4.05 4.22 4.25 Effective Effective Rate of Rate of 7 yr 10 yr 20 yr 30 yr Return Return City City Portfolio Portfolio (month) (YTD) 2.70 2.70 2.67 3.20 3.00 1.14 1.14 3.30 3.25 3.15 3.53 3.27 1.30 1.22 4.06 3.97 3.83 4.08 3.79 1.45 1.3 TREASURY RATES AND PORTFOLIO RETURNS +1-YrTreasury t5-YrTreasury -Effective Rate of Return City Portfolio (YTD) 4.25 4 3.75 3.5 3.25 3 2.75 2.5 2.25 2 1.75 1.5 1.25 1 0.75 0.5 0.25 0 ,tiD ,tiD ,tiD ,titi ,tit ,tit .tit .ti'ti ,tit ,tit titi titi titi '4ti ,tit ,ti'L ry'L ,ti'Y tiry ti~ titi titi tiry ryti ,y0 ,yD ,y0 ,tiD ,tiD ,tiD ,tiD ,tiD ,ti0 ti0 ,ti0 ,ti0 ,ti0 ,ti0 ,ti0 ,LO ,ti0 ,tiD ryD ,ti0 ,ti0 ,ti0 ,ti0 ,tiD 134 CONSENT CALENDAR ITEM NO. 9 City of La Quinta CITY COUNCIL MEETING: December 20, 2022 STAFF REPORT AGENDA 1.L, L- : RECEIVE AND FILE FISCAL YEAR 2021/22 MEASURE G SALES TAX COMPLIANCE REPORT RECOMMENDATION Receive and file fiscal year 2021/22 Measure G Sales Tax Compliance Report. EXECUTIVE SUMMARY • Measure G revenue for fiscal year 2021/22 was $15,615,802 and the Measure G reserve balance as of June 30, 2022 was $15,355,043. • The Financial Advisory Commission (FAC) provides oversight of Measure G revenue and prepares an annual Measure G Sales Tax Oversight Report (Report) to ensure Measure G revenue is used in compliance with the ballot initiative and the La Quinta Municipal Code (LQMC). • At the FAC's special meeting on December 14, 2022, the full Commission formally received and filed this Report. FISCAL IMPACT - None BACKGROUND/ANALYSIS In accordance with LQMC Section 2.70.040, the FAC provides oversight of Measure G funds, the 1% transactions and use tax instituted by voters in November 2016. This Measure G Report was prepared by the Finance Department with assistance from FAC members (Commissioners Batavick and Luettjohann). The Report was presented, received, and filed at a special FAC meeting on December 14, 2022; it will also be posted to the City's website. The Annual Measure G Sales Tax Oversight Report for Fiscal Year 2021/22 (Attachment 1) covers the period from July 1, 2021 through June 30, 2022, and provides a summary of the Measure G revenue and expenditures for the fiscal year, as well as an inception -to -date summary. 135 ALTERNATIVEF" Council may request additional information before filing this Report. Prepared by: Claudia Martinez, Finance Director Approved by: Jon McMillen, City Manager Attachment: 1. Annual Measure G Sales Tax Oversight Report for Fiscal Year Ended June 30, 2022 136 ATTACHEMENT 1 ANNUAL MEASURE G SALES TAX OVERSIGHT REPORT FOR FISCAL YEAR ENDED JUNE 30, 2022 [�util'G! -CALIFORNIA OVERVIEW The Financial Advisory Commission (FAC) provides oversight of Measure G tax revenue. This Annual Measure G Sales Tax Oversight Report covers the fiscal year beginning July 1, 2021 through June 30, 2022. Exhibit A includes a detailed summary of all Measure G activity. Measure G is a 1% transactions tax applied to sales of taxable goods and is part of the overall 8.75% sales tax rate in the City. It applies to goods transferred at the point of sale (businesses within La Quinta City limits), and to goods purchased in other jurisdictions that are delivered to addresses within the City. Measure G revenue continues to help La Quinta thrive and is integral to the future financial health of the City. These funds assist in realizing the Sacred Values of La Quinta now and in the future: Health and Wellness, High Quality Aesthetics, a Vibrant and Safe Community, a Visually Beautiful City and Cultural Diversity, to continue being recognized as the "The Gem of the Desert". REPORT HIGHLIGHTS • Since inception, over $29.8 million or 49% of Measure G funds have been allocated to improving citywide infrastructure and public recreational facilities. • Public safety services are a priority of La Quinta and have been supported with 26% of Measure G funds. • Fiscally responsible budgeting, prudent long-term financial projections, funds oversight, and financial transparency have strengthened the City's reserves with Measure G funds since the implementation of Measure G in April 2017. FISCAL YEAR 2021/22 REVENUES Total Measure G sales tax revenue for fiscal year 2021/22 was $15,615,802, which was greater than initially anticipated when budgeted. After experiencing effects of the COVID-19 pandemic, sales have bounced back significantly in 2021/22 and continue to show upward growth. Consumer spending has remained strong, and despite high inflation with rising prices, spending increased across most spending categories. These include general consumer goods and restaurants/hotels, followed by building/construction and fuel. Stronger than anticipated fiscal year-end Measure G sales tax revenues are a 137 result of this higher consumer spending and demonstrate La Quinta residents and visitors continue to support our local economy. REVENUES SINCE INCEPTION The chart below summarizes Measure G revenue received from fiscal years 2016/17 thru 2021/22. Revenue has continued to increase since the pandemic due to economic inflation and the previously noted higher consumer activity. However, this is anticipated to result in slower growth into 2023 as interest rates increase; resulting in downward pressure on sales of consumer goods, automobiles, and building materials. REVENUES SINCE INCEPTION $60,909,142 $16 $14 $12 c $10 $8 $6 $4 $2 16/17 17/18 18/19 19/20 20/21 21/22 Fiscal Year 138 FISCAL YEAR 2021/22 USES The fiscal year 2021/22 operational expenses and capital improvements were prioritized, and the budget included a prudent reserve allocation for operational flexibility. By allocating some Measure G revenue to reserves, the City is able to maintain ongoing service levels, while providing for any unforeseen decreases in revenues as were experienced in 2019/20. USES SINCE INCEPTION Annually, the City hosts a community workshop to either affirm or determine the following year's budget priorities. Staff then evaluates funding options such as grants, interagency cost sharing, or use of reserves. Public safety services have been a community priority since before Measure G, and with the support of this additional revenue, the City has been able to maintain the public safety service levels the community desires. The chart below summarizes the uses, since the inception, of Measure G funds. The majority ($29.8 million, or 49%) of these funds are for projects to improve citywide infrastructure and public recreational facilities. Resery $ 15,355 Recreation $ 5,073,850 USES SINCE INCEPTION $601909,142 blic Safety 15,708,000 ifrastructure _..iprovements $ 24,772,249 • Public Safety use shows the City's continuing commitment to provide all residents with a safe living environment. • Infrastructure improvement projects have included numerous road repairs, street striping projects, drainage improvements to avoid street flooding, an investment in Highway 111 (a crucial commercial corridor for our City where a majority of sales taxes are generated), an overhaul 139 of landscape medians north of Highway 111, design of an updated corporate yard administrative and crew quarters, and the recent advance funding for the Dune Palms bridge project. • Recreation projects have included funding for the new X-Park adjacent to the La Quinta high school, the SilverRock event site, design of a new future Village Art Plaza Promenade connected to the La Quinta Museum, and Fritz Burns Park improvements. • Measure G reserves reflect fiscal responsibility and allow for operational flexibility by ensuring cash is available for public safety services and capital improvement projects when they are most efficient to complete. The chart below summarizes citywide infrastructure improvements and recreational projects, totaling $29,846,099 funded with Measure G revenues. Infrastructure Improvements and Recreational Projects City Facilities $411,013 Highway 111 $2,250,000 Roads/Bridges $9,440,219 Drainage $3,352,103 Parks $5,073,850 Landscaping $9,318,914 $- $1 $2 $3 $4 $5 $6 $7 $8 $9 $10 Millions MEASURE G BACKGROUND AND COMPLIANCE SUMMARY Voters passed Ballot Measure G in November 2016. Measure G provides a permanent one percent transactions and use tax, effective April 1, 2017, which is fully allocated to the City of La Quinta and protected from State takeaways. All Measure G revenues shall be used in accordance with the ballot measure for costs including police protection, projects such as parks, streets, landscaping, and flood mitigation, programs attracting businesses, youth/senior services, sports recreation programs, and preserving property values and quality of life. This report confirms all Measure G tax revenues are properly recorded and are being used in accordance with the ballot measure. 140 City Council, management, and staff thank all residents for their continuing support and investment in our community. Prior oversight reports and information on Measure G are located online at https://www.laquintaca.gov/business/tax-measure. Questions regarding this report or the use of Measure G funds may be directed to the Finance Department by calling 760-777-7150 or by email at finance@laquintaca.gov. 141 142 EXHIBIT A Fiscal Year (FY) 2016/17 Actual $ 1,462,650 2017/18 Actual 9,967,657 2018/19 Actual 10,958,118 2019/20 Actual 10,310,526 2020/21 Actual 12,594,389 2021/22 Actual 15,615,802 TOTAL $ 60,909,142 Fiscal Year Project Description Operational Capital Reserves Total by Year 2016/17 Eisenhower Dr. Retention Basin 750,000 X-Park Funding 712,650 - 1,462,650 2017/18 Public Safety Fund 300,000 North La Quinta Landscape Improvements 1,802,576 Citywide Drainage Enhancements 2,407,373 La Quinta Village Road Diet Project 1,972,158 X-Park Funding 147,350 Alongi Building Improvements 800,000 SilverRock Event Site 321,900 SilverRock Event Site 244,700 Alongi Building at SilverRock Event Site 160,000 SilverRock Event Site 290,000 SilverRock Event Site Retention Basin 10,000 SilverRock Event Site Retention Basin 427,250 Measure G Reserves 2017/18 1,084,350 9,967,657 2018/19 Public Safety Fund 850,000 Public Safety Contract Services 2,100,000 Citywide Drainage Enhancements 194,730 North La Quinta Landscape Improvements 2,129,613 SilverRock Event Site 1,300,000 Measure G Reserves 2018/19 4,383,775 10,958,118 2019/20 Public Safety Contract Services 2,750,000 Corporate Yard Administration/Crew Quarters 411,013 Highway 111 Corridor Improvements 1,000,000 North La Quinta Landscape Improvements 3,703,369 Village Art Plaza Promenade 310,000 Measure G Reserves 2019/20 2,136,144 10,310,526 2020/21 Public Safety Contract Services 4,545,000 X-Park Landscaping 275,000 Highway 111 Corridor Improvements 250,000 Measure G Reserves 2020/21 7,524,389 12,594,389 2021/22 Public Safety Contract Services 5,163,000 Landscape Renovation Improvements 1,408,356 Highway 111 Corridor Improvements 1,000,000 Fritz Burns Park Improvements 350,000 Allocate Advance Bridge Funding 7,468,061 Measure G Reserves 2021/22 226,385 15,615,802 $ 60,909,142 TOTAL $ 15,708,000 $ 29,846,099 $ 15,355,043 26% 49% 25% 143 144 CONSENT CALENDAR ITEM NO. 10 City of La Quints CITY COUNCIL MEETING: December 20, 2022 STAFF REPORT AGENDA TI' APPROVE DEMAND REGISTERS DATED DECEMBER 2 AND DECEMBER 9, 2022 RECOMMENDATION Approve demand registers dated December 2 and December 9, 2022. EXECUTIVE SUMMAkY - None FISCAL IMPACT Demand of Cash: City Successor Agency of RDA Housing Authority BACKGROUND/ANALYSIS $ 2,395,151.32 $ 885.00 $ 37,097.96 $ 2,433,134.28 Routine bills and payroll must be paid between Council meetings. Attachment 1 details the weekly demand registers for December 2 and December 9, 2022. There was no check run the week of November 25, 2022, due to the holiday. Warrants Issued: 209516-209589 $ 1,041,769.31 209590-209658 $ 373, 525.27 Wire Transfers $ 458,072.25 Payroll Tax Transfers $ 106,316.34 Payroll Check #37662 $ 46.17 Payroll Direct Deposit $ 453,404.94 $ 2,433,134.28 145 The most significant expenditures on the demand registers are: Vendor Jacobsson Engineering Construction, Inc. Account Name(s) Amount Construction Imperial Irrigation District Various Coachella Valley Assoc of TUMF Payable to Government CVAG Paradise Chevrolet and Vehicles, Cadillac Purchased Coachella Valley MSHCP Mitigation Conservation Commission Fee Purpose $ 491,288.00 Jefferson & Ave 53 Roundabout Progress Payments $ 118,449.67 City Electricity Service & Shoo Fly for Dune Palms Bridge Project $ 99,036.00 Oct TUMF Fees $ 71,038.00 Purchased 2022 Chevy Silverado Truck $ 61,493.85 Oct MSHCP Mitigation Fee Wire Transfers: Sixteen transfers totaled $458,072. Of this amount, $232,801 was to Landmark, and $162,379 was to CalPERS. (See Attachment 2 for a complete listing). Investment Transactions: Full details of investment transactions as well as total holdings are reported quarterly in the Treasurer's Report. Settle Coupon Transaction Issuer Type Par Value Date Rate YTM Maturity Enterprise Bank CD $ 245,000.00 11/28/2022 2.15% Purchase Federal Farm Credit Bank Agency $1,000,000.00 11/29/2022 4.00% 4.03% Purchase University Bank CD $ 249,000.00 11/30/2022 4.20% 4.20% Maturity United States Treasury Treasury $ 3,000,000.00 11/30/2022 2.00% Maturity United States Treasury Treasury $ 2,000,000.00 11/30/2022 2.00% Maturity United States Treasury Treasury $4,000,000.00 11/30/2022 0.13% Purchase United States Treasury Treasury $ 3,000,000.00 12/2/2022 0.13% 4.36% Purchase United States Treasury Treasury $ 2,000,000.00 12/2/2022 0.13% 4.26% Purchase United States Treasury Treasury $4,000,000.00 12/2/2022 1.63% 4.51% Maturity Medallion Bank CD $ 248,000.00 12/7/2022 3.40% Maturity Red Rocks Credit Union CD $ 248,000.00 12/7/2022 3.35% Purchase Federal Farm Credit Bank Agency $1,000,000.00 12/7/2022 3.75% 3.79% Prepared by: Jesse Batres, Account Technician Approved by: Rosemary Hallick, Financial Services Analyst Attachments: 1. Demand Registers 2. Wire Transfers 146 ATTACHMENT 1 City of La Quinta Demand Register Packet: APPKT03319 - 12/02/2022 JB Vendor Name Payment Number Description (Item) Account Name Account Number Amount Fund: 101 - GENERAL FUND CHARTER COMMUNICATIONS ... 209530 11/16-12/15/22 - FS #70 INTERNET (1860) Cable/Internet - Utilities 101-2002-61400 41.72 ILLUSION PARTY ENTERTAIN... 209516 12/02/22 - CHRISTMAS CHARACTER REMA... Community Experiences 101-3003-60149 702.50 CHARTER COMMUNICATIONS ... 209530 10/16-11/15/22 - FS #32 CABLE (8152) Cable/Internet - Utilities 101-2002-61400 94.41 GALLS LLC 209546 11/02/22 - CODE OFFICER UNIFORMS Uniforms 101-6004-60690 168.24 CHARTER COMMUNICATIONS ... 209530 11/03-12/02/22 - FS #93 INTERNET (3514) Cable/Internet - Utilities 101-2002-61400 99.99 PALMS TO PINES PRINTING 209563 11/22/22 - PROCLAMATION CERTIFICATES.. Printing 101-3007-60410 2,790.41 PALMS TO PINES PRINTING 209563 11/03/22 - CITY BUSINESS CARDS LQ Police Volunteers 101-2001-60109 152.73 PALMS TO PINES PRINTING 209563 11/03/22 - CITY BUSINESS CARDS Printing 101-3007-60410 458.21 CAMARENA, REYNA 209528 10/18/2022 NOTARY PUBLIC TRAINING RE... Travel & Training 101-1002-60320 109.00 AYON, UBALDO 209522 11/17/22 - OUTLET TESTERS REIMBURSE... Operating Supplies 101-7006-60420 39.10 SOUTHWEST AQUATICS INC 209578 11/2022 - LAKE MAINTENANCE SERVICES Civic Center Lake Maintenance 101-3005-60117 1,350.00 SOUTHWEST AQUATICS INC 209578 11/2022 - LAKE MAINTENANCE SERVICES SilverRock Lake Maintenance 101-3005-60189 1,350.00 BURNS, ALICE QUIROZ 209524 12/2/22 - 500 CHRISTMAS TREATS FOR TR... Community Experiences 101-3003-60149 500.00 SPARKLETTS 209579 11/02/22 & 11/16/22 - DRINKING WATER Operating Supplies 101-7003-60420 190.61 LOGIC COMPENSATION GROU... 209553 11/03/22 - RECLASS CITY JOB DESCRIPTIO... Professional Services 101-1004-60103 1,200.00 WILDCAT WRAP COMPANY 209588 10/25/22 - FLAG BOX WRAP Professional Services 101-1002-60103 1,250.00 DATA TICKET, INC. 209537 10/2022 - POLICE CITATION PROCESSING Administrative Citation Services 101-6004-60111 255.93 DATA TICKET, INC. 209537 10/2022 - CODE CITIATION PROCESSING Administrative Citation Services 101-6004-60111 638.50 WILDCAT WRAP COMPANY 209588 11/16/22 - FLAG BOX WRAP Professional Services 101-1002-60103 500.00 SPARKLETTS 209580 11/02/22 & 11/16/22 - CITYWIDE DRINKN... Citywide Supplies 101-1007-60403 160.87 JOE A GONSALVES & SON 209549 12/2022 - LOBBYIST SERVICES Contract Services - Administrat.. 101-1002-60101 3,500.00 PALM SPRINGS AIR MUSEUM ... 209562 11/11/22 - AIRCRAFT FLYOVER FOR VET E... Community Experiences 101-3003-60149 1,000.00 PAX FITNESS REPAIR 209566 09/2022 - FITNESS EQUIPMENT MAINTEN... Operating Supplies 101-3002-60420 275.00 CACEO 209526 3/02/23 - WEBINAR K.MEREDITH Travel & Training 101-6004-60320 36.00 ROMON, DANA 209572 11/7/22 - WELLNESS CENTER CLASS REFU... Wellness Center Leisure Enric... 101-0000-42214 70.00 DESERT SANDS UNIFIED SCHO... 209543 08/25-09/21/22 - BP #3 SCHOOL RESOUR... School Officer 101-2001-60168 14,531.66 ALLIANT INSURANCE SERVICES.. 209519 12/6/22 - LQ HIST SOC RECEPTION EVENT ... Community Experiences 101-3003-60149 472.00 NI GOVERNMENT SERVICES INC 209559 10/2022 - SATELLITE PHONES Mobile/Cell Phones/Satellites 101-2002-61304 80.71 XPRESS GRAPHICS 209589 11/08/22 - POSTCARD MAILING EVENTS Special Enforcement/City Spec... 101-2001-60165 3,770.03 XPRESS GRAPHICS 209589 11/08/22 - POSTCARD MAILING EVENTS Special Enforcement/City Spec... 101-2001-60165 3,770.03 XPRESS GRAPHICS 209589 11/18/22 - FILMING SIGNS Printing 101-3007-60410 148.24 XPRESS GRAPHICS 209589 11/21/22 - POSTCARD MAILING FOR IRO... Community Experiences 101-3003-60149 405.36 LEAGUE OF CALIFORNIA CITIES 209551 09/7/22 - RIVERSIDE COUNTY DIVISION L... Travel & Training 101-1001-60320 150.00 LEAGUE OF CALIFORNIA CITIES 209551 09/7/22 - RIVERSIDE COUNTY DIVISION L... Travel & Training 101-1002-60320 150.00 LH PRODUCTIONS 209552 11/19/22 - FAKE MATTHEWS BAND CONC... Community Experiences 101-3003-60149 8,117.00 LH PRODUCTIONS 209552 11/11/22 - VETERAN'S DAY EVENT AV SER... Community Experiences 101-3003-60149 3,543.63 STAPLES ADVANTAGE 209581 10/12/22 - CITYWIDE PRINTING PAPER Forms, Copier Paper 101-1007-60402 461.54 STAPLES ADVANTAGE 209581 11/04/22 - OFFICE SUPPLIES Operating Supplies 101-6006-60420 138.88 STAPLES ADVANTAGE 209581 11/14/22 - FORKS (100) Operating Supplies 101-6006-60420 15.64 SMITH PIPE & SUPPLY CO 209577 10/31/22 - IRRIGATION SUPPLIES Materials/Supplies 101-3005-60431 486.70 SMITH PIPE & SUPPLY CO 209577 11/15/22 - IRRIGATION SUPPLIES Materials/Supplies 101-3005-60431 1,072.20 RASA/ERIC NELSON 209569 11/09/22 - PMER 2022-0008 ONCALL MAP.., Map/Plan Checking 101-7002-60183 350.00 RASA/ERIC NELSON 209569 11/10/22 - FTM 2022-0003 ONCALL MAP ... Map/Plan Checking 101-7002-60183 2,315.00 ROBERT HALF 209571 10/28/22 - TEMP AGENCY SERVICES T.SU... Temporary Agency Services 101-6006-60125 825.58 ROBERT HALF 209571 11/11/22 - TEMP AGENCY SERVICES G.HU Temporary Agency Services 101-6002-60125 1,084.32 ROBERT HALF 209571 11/11/22 - TEMP AGENCY SERVICES T.SU... Temporary Agency Services 101-6006-60125 423.54 DEPARTMENT OF JUSTICE 209540 10/2022 - ALCOHOL/BLOOD ANALYSIS Blood/Alcohol Testing 101-2001-60174 210.00 ALPHA MEDIA LLC 209520 10/2022 - IRONMAN DIGITAL ADS Community Experiences 101-3003-60149 2,666.67 ALPHA MEDIA LLC 209520 10/2022 - IRONMAN RADIO ADS Community Experiences 101-3003-60149 6,515.64 ALPHA MEDIA LLC 209520 10/2022 - IRONMAN DIGITAL BANNERS Community Experiences 101-3003-60149 275.00 MERCHANTS BUILDINGMAINT... 209555 10/2022-JANITORALSERVICES Janitorial 101-3008-60115 13,785.07 CURT PRINGLE AND ASSOCIAT... 209536 11/01/22 - MEASURE A EDUCATION CAM... Contingency for Operations 101-1002-60510 10,000.00 AMERICAN FORENSIC NURSES ... 209521 11/4/22 - BLOOD/ALCOHOL ANALYSIS Blood/Alcohol Testing 101-2001-60174 61.22 12/12/2022 11:39:31 AM Page 1 of 6 147 Demand Register Vendor Name Payment Number Description (Item) AMERICAN FORENSIC NURSES ... 209521 AMERICAN FORENSIC NURSES ... 209521 FEDEX 209544 FEDEX 209544 FEDEX 209544 MACIAS NURSERY, INC. 209554 PATTON DOOR & GATE 209565 ALARM MONITORING SERVICE... 209518 VERIZON WIRELESS 209585 DEPARTMENT OF ANIMAL SER... 209538 BELANICH,TOMM 209523 DESERT RESORT MANAGEMENT 209542 GOVOS, INC. 209547 DEPARTMENT OF CONSERVAT... 209539 DEPARTMENT OF CONSERVAT... 209539 QUADIENT FINANCE USA, INC. 209568 CALIFORNIA PARK & RECREAT... 209527 COACHELLA VALLEY CONSERV... 209532 COACHELLA VALLEY CONSERV... 209532 COUNTY OF RIVERSIDE PUBLIC... 209533 VINTAGE ASSOCIATES 209586 Fund: 201 - GAS TAX FUND CRAFCO, INC 209534 Fund: 202 - LIBRARY & MUSEUM FUND FERGUSON ENTERPRISES, INC 209545 USA DRAIN AND PLUMBING ... 209584 MERCHANTS BUILDING MAINT... 209555 MERCHANTS BUILDING MAINT... 209555 Fund: 215 - LIGHTING & LANDSCAPING FUND LANDMARK GOLF MANAGEM... 209550 LANDMARK GOLF MANAGEM... 209550 DESERT CONCEPTS CONSTRUC... 209541 VINTAGE ASSOCIATES 209586 CREATIVE LIGHTING & ELECTR... 209535 STAPLES ADVANTAGE 209581 ROTO-LITE, INC 209573 MACIAS NURSERY, INC. 209554 MACIAS NURSERY, INC. 209554 PWLC II, INC 209567 VINTAGE ASSOCIATES 209586 VINTAGE ASSOCIATES 209586 Fund: 221 - AB 939 - CALRECYCLE FUND BURRTEC WASTE & RECYCLING.. 209525 Fund: 224 - TUMF FUND COACHELLA VALLEY ASSOC OF... 209531 Packet: APPKT03319 - 12/02/2022 JB Account Name Account Number Amount 11/7/22 - BLOOD/ALCOHOL ANALYSIS Blood/Alcohol Testing 101-2001-60174 345.05 11/11/22 - BLOOD/ALCOHOL ANALYSIS Blood/Alcohol Testing 101-2001-60174 122.44 10/31/22 - OVERNIGHT MAIL Postage 101-1007-60470 11.01 10/28/22 & 11/4/22 - OVERNIGHT MAIL Postage 101-1007-60470 122.15 11/04/22 - OVERNIGHT MAIL Postage 101-1007-60470 11.07 10/26/22 - PLANTS Materials/Supplies 101-3005-60431 2,083.65 11/11/22 - PW YARD GATE SERVICE CALL Maintenance/Services 101-3008-60691 150.00 11/08/22 - CH ALARM WIRING INSTALLAT... Security & Alarm 101-3008-60123 93.53 10/14-11/13/22 - EOC CELL (7813) Mobile/Cell Phones/Satellites 101-2002-61304 159.63 10/2022 - ANIMAL SERVICES Animal Shelter Contract Service 101-6004-60197 30,124.69 12/2/22 - TREE LIGHTING Community Experiences 101-3003-60149 200.00 11/2022 - SECURITY PATROL SERVICES Professional Services 101-6004-60103 3,883.51 12/2022 - STVR PERMITTING SOFTWARE Professional Services 101-1005-60103 3,820.00 O1/01-03/31/22 - SEISMIC HAZARD MAPP... SMIP Fees Payable 101-0000-20308 4,689.52 O1/01-03/31/22 - SEISMIC HAZARD MAPP... SMIP Fees 101-0000-42610 -234.48 10/27/22- CITYWIDE POSTAGE MACHINE ... Postage 101-1007-60470 4,000.00 10/25/22 - CPRS ANNUAL MEMBERSHIP Membership Dues 101-3002-60351 555.00 10/2022 - MSCHP FEES MSHCP Mitigation Fee 101-0000-20310 62,115.00 10/2022 - MSCHP FEES CVMSHCP Admin Fee 101-0000-43631 -621.15 10/2022 - RADIO MAINTENANCE Operating Supplies 101-2001-60420 310.68 11/15/22 - PLANTS Materials/Supplies 101-3005-60431 619.56 Fund 101 - GENERAL FUND Total: 205,319.74 11/04/22 - ASPHALT PATCH BAGS (120) Asphalt 201-7003-60430 1,770.25 Fund 201- GAS TAX FUND Total: 1,770.25 11/14/22 - WATER FAUCET PARTS FOR LIB... Maintenance/Services 202-3004-60691 11/07/22- LIBRARY TOILET REPAIRS Maintenance/Services 202-3004-60691 10/2022-JANITORALSERVICES Janitorial 202-3004-60115 10/2022-JANITORALSERVICES Janitorial 202-3006-60115 Fund 202 - LIBRARY & MUSEUM FUND Total: 131.35 275.00 2,844.14 885.93 4,136.42 09/2022 - SRR PERIMETER LS MAINT SilverRock Way Landscape 215-7004-60143 5,478.00 10/2022 - SRR PERIMETER LS MAINT SilverRock Way Landscape 215-7004-60143 6,556.00 11/21/22 - VILLAGE STREET POTTERY REP... Maintenance/Services 215-7004-60691 8,750.00 10/31/22 SRR RETENTION BASIN TAMARI... Maintenance/Services 215-7004-60691 7,500.00 11/2022 - LIGHTING MAINTENANCE SERVI... Consultants 215-7004-60104 6,063.92 11/17/22 - OPERATION SUPPLIES Operating Supplies 215-7004-60420 267.22 11/22/22 - LANDSCAPE LIGHT CHANGING ... Maintenance/Services 215-7004-60691 600.00 11/07/22 - PLANTS Materials/Supplies 215-7004-60431 2,234.81 11/11/22 - PLANTS Materials/Supplies 215-7004-60431 2,465.91 11/14/22 & 11/17/22 - PLANT REPLACEM... Maintenance/Services 215-7004-60691 912.00 11/8/22 - PLANTS Materials/Supplies 215-7004-60431 686.37 11/10/22 - PLANTS Materials/Supplies 215-7004-60431 1,131.38 Fund 215 - LIGHTING & LANDSCAPING FUND Total: 42,645.61 10/2022 - AB393 ORGANICS PROGRAM AB 939 Recycling Solutions 221-0000-60127 6,890.38 Fund 221 - AB 939 - CALRECYCLE FUND Total: 6,890.38 10/2022 - TUMF FEES TUMF Payable to CVAG 224-0000-20320 99,036.00 Fund 224 - TUMF FUND Total: 99,036.00 Fund: 249 - SA 2011 LOW/MOD BOND FUND (Refinanced in 2016) NV5 209560 08/28-10/01/22 - SURVEY SERVICES MAN... Affordable Housing Project De... 249-0000-80050 885.00 Fund 249 - SA 2011 LOW/MOD BOND FUND (Refinanced in 2016) Total: 885.00 Fund: 270 - ART IN PUBLIC PLACES FUND SIGNATURE SCULPTURE 209576 11/23/22 - DESERT LEGACY SCULPTURE R... APP Maintenance 270-0000-60683 2,250.00 Fund 270 - ART IN PUBLIC PLACES FUND Total: 2,250.00 12/12/2022 11:39:31 AM -]� Page 2 of 6 Demand Register Packet: APPKT03319 - 12/02/202216 Vendor Name Payment Number Description (Item) Account Name Account Number Amount Fund: 401- CAPITAL IMPROVEMENT PROGRAMS NAI CONSULTING INC 209557 10/2022 - 2021-01 DUNE PALMS ROAD P... Professional Services 401-0000-60103 3,780.00 NAI CONSULTING INC 209557 10/2022 - LA QUINTA X PARK Professional Services 401-0000-60103 1,400.00 NAI CONSULTING INC 209557 10/2022 - 201709 JEFFERSON ST AT AVE 5... Professional Services 401-0000-60103 7,227.50 NAI CONSULTING INC 209557 10/2022 2019-23 WASHINGTON STAVE 5... Professional Services 401-0000-60103 825.00 NAI CONSULTING INC 209557 10/2022 - 2016-03 LANDSCAPE RENOVAT... Professional Services 401-0000-60103 8,665.00 NAI CONSULTING INC 209557 10/2022 - BLACKHAWK WAY SCHOOL CRO... Professional Services 401-0000-60103 4,617.50 NAI CONSULTING INC 209557 10/2022 - CITYWIDE MISC ADA IMPROVE... Professional Services 401-0000-60103 112.50 NAI CONSULTING INC 209557 10/2022 AVE 50 REHAB WASH ST TO EISE... Professional Services 401-0000-60103 350.00 NAI CONSULTING INC 209557 10/2022 - AVE 50 BRIDGE SPANNING THE ... Professional Services 401-0000-60103 1,120.00 NAI CONSULTING INC 209557 10/2022 MOON RIVER DRIVE PAVEMENT... Professional Services 401-0000-60103 4,427.50 NAI CONSULTING INC 209557 10/2022 - 2019-01 VILLAGE ART/CULTURA... Professional Services 401-0000-60103 300.00 NAI CONSULTING INC 209557 10/2022 - 2021-02 FRITZ BURNS PARK I ... Professional Services 401-0000-60103 75.00 NAI CONSULTING INC 209557 10/2022 - AVE 50 WIDENING IMPROVE JE... Professional Services 401-0000-60103 175.00 NAI CONSULTING INC 209557 10/2022 - CITYWIDE STRIPING REFRESH Professional Services 401-0000-60103 2,625.00 NAI CONSULTING INC 209557 10/2022 SILVERROCK RESORT INFRASTRU... Professional Services 401-0000-60103 112.50 NAI CONSULTING INC 209557 10/2022 - 2022-18 SR PARK VENUE WIFi/... Professional Services 401-0000-60103 2,257.50 NAI CONSULTING INC 209557 10/2022 - CITYWIDE MISC ADA IMPROVE... Professional Services 401-0000-60103 525.00 NAI CONSULTING INC 209557 10/2022 - 2011-05 DUNE PALMS BRIDGE Professional Services 401-0000-60103 5,620.00 NV5 209560 10/2022 - AVE 53 & JEFFERSON ROUNDA... Technical 401-0000-60108 5,902.50 JACOBSSON ENGINEERING CO... 209548 10/2022 - JEFFERSON AVE 53 ROUNDABO... Retention Payable 401-0000-20600 -5,305.40 JACOBSSON ENGINEERING CO... 209548 10/2022 - JEFFERSON AVE 53 ROUNDABO... Construction 401-0000-60188 106,108.02 JACOBSSON ENGINEERING CO... 209548 11/2022 - JEFFERSON AVE 53 ROUNDAB... Retention Payable 401-0000-20600 -20,551.86 JACOBSSON ENGINEERING CO... 209548 11/2022 - JEFFERSON AVE 53 ROUNDAB... Construction 401-0000-60188 411,037.24 Fund 401 - CAPITAL IMPROVEMENT PROGRAMS Total: 541,405.50 Fund: 501 - FACILITY & FLEET REPLACEMENT REYES, ARMANDO TORIBIO 209570 10/29/22 - INSTALL TOW HOOK MOUNTI... Parts, Accessories, and Upfits 501-0000-60675 326.25 PARADISE CHEVROLET AND C... 209564 11/17/22 - PURCHASE 2022 CHEVY SILVER... Vehicles, Purchased 501-0000-71031 71,038.00 SCHULTZ MOTORSPORTS LLC 209574 2022 FORD F-450 DUMP VIN NEC35724 Parts, Accessories, and Upfits 501-0000-60675 6,597.02 SCHULTZ MOTORSPORTS LLC 209574 2017 CHEVY 2500 UTILITY BED VIN HZ176... Parts, Accessories, and Upfits 501-0000-60675 6,618.48 WESTERN PACIFIC ROOFING C... 209587 10/27/22 - LQ PARK & REC ROOF REPAIRS City Bldg Repl/Repair 501-0000-71103 2,781.00 PACIFIC MOBILE STRUCTURES, .. 209561 12/2022 - PW TRAILER RENTAL Building Leases 501-0000-71032 3,088.51 THE GAS COMPANY 209582 10/2022 - SWEEPER FUEL Street Sweeper 501-0000-60678 13.00 Fund 501- FACILITY & FLEET REPLACEMENT Total: 90,462.26 Fund: 502 - INFORMATION TECHNOLOGY TYLER TECHNOLOGIES 209583 08/1-08/31/22 - SOFTWARE SERVICES Software Implementation/Enh... 502-0000-71049 7,076.25 TYLER TECH NOLOG I ES 209583 09-1-09/27/22 - SOFTWARE SERVICES Software Implementation/Enh... 502-0000-71049 7,770.00 NEWEGG BUSINESS INC. 209558 07/05/22 - IT SERVER PROTECTION SOFT... Software Licenses 502-0000-60301 657.00 ACORN TECHNOLOGY SERVICES 209517 11/2022 - IT SERVICES Consultants 502-0000-60104 26,475.00 MICROSOFT CORPORATION 209556 10/10-11/09/22 - MS AZURE ONLINE SVCS Software Licenses 502-0000-60301 783.47 CDW GOVERNMENT INC 209529 11/15/22 -ADOBE PROGRAMS FOR L.REY... Software Licenses 502-0000-60301 642.10 Fund 502 - INFORMATION TECHNOLOGY Total: 43,403.82 Fund: 503 - PARK EQUIP & FACILITY FUND SHADE STRUCTURES, INC 209575 10/12/22 - SEASONS PARK SHADE STRUC... Parks 503-0000-71060 3,564.33 Fund 503 - PARK EQUIP & FACILITY FUND Total: 3,564.33 Grand Total: 1,041,769.31 12/12/2022 11:39:31 AM 149 Page 3 of 6 Demand Register Packet: APPKT03319 - 12/02/20221B Fund Summary Fund 101 - GENERAL FUND 201 - GAS TAX FUND 202 - LIBRARY & MUSEUM FUND 215 - LIGHTING & LANDSCAPING FUND 221 - AB 939 - CALRECYCLE FUND 224-TUMF FUND 249 - SA 2011 LOW/MOD BOND FUND (Refinanced in 2016) 270 - ART IN PUBLIC PLACES FUND 401 - CAPITAL IMPROVEMENT PROGRAMS 501 - FACILITY & FLEET REPLACEMENT 502 - INFORMATION TECHNOLOGY 503 - PARK EQUIP & FACILITY FUND Account Number 101-0000-20308 101-0000-20310 101-0000-42214 101-0000-42610 101-0000-43631 101-1001-60320 101-1002-60101 101-1002-60103 101-1002-60320 101-1002-60510 101-1004-60103 101-1005-60103 101-1007-60402 101-1007-60403 101-1007-60470 101-2001-60109 101-2001-60165 101-2001-60168 101-2001-60174 101-2001-60420 101-2002-61304 101-2002-61400 101-3002-60351 101-3002-60420 101-3003-60149 101-3005-60117 101-3005-60189 101-3005-60431 101-3007-60410 101-3008-60115 101-3008-60123 101-3008-60691 101-6002-60125 101-6004-60103 101-6004-60111 101-6004-60197 101-6004-60320 101-6004-60690 101-6006-60125 101-6006-60420 101-7002-60183 101-7003-60420 101-7006-60420 Grand Total Account Summary Account Name SMIP Fees Payable MSHCP Mitigation Fee Wellness Center Leisure E... SMIP Fees CVMSHCP Admin Fee Travel & Training Contract Services - Admini.. Professional Services Travel & Training Contingency for Operatio... Professional Services Professional Services Forms, Copier Paper Citywide Supplies Postage LQ Police Volunteers Special Enforcement/City... School Officer Blood/Alcohol Testing Operating Supplies Mobile/Cell Phones/Satell... Cable/Internet - Utilities Membership Dues Operating Supplies Community Experiences Civic Center Lake Mainten... SilverRock Lake Maintena... Materials/Supplies Printing Janitorial Security & Alarm Maintenance/Services Temporary Agency Servic... Professional Services Administrative Citation Se... Animal Shelter Contract 5... Travel & Training Uniforms Temporary Agency Servic... Operating Supplies Map/Plan Checking Operating Supplies Operating Supplies Expense Amount 205,319.74 1,770.25 4,136.42 42, 645.61 6,890.38 99,036.00 885.00 2,250.00 541,405.50 90,462.26 43,403.82 3,564.33 1,041,769.31 Expense Amount 4,689.52 62,115.00 70.00 -234.48 -621.15 150.00 3,500.00 1,750.00 259.00 10,000.00 1,200.00 3,820.00 461.54 160.87 4,144.23 152.73 7,540.06 14,531.66 738.71 310.68 240.34 236.12 555.00 275.00 24,397.80 1,350.00 1,350.00 4,262.11 3,396.86 13,785.07 93.53 150.00 1,084.32 3,883.51 894.43 30,124.69 36.00 168.24 1,249.12 154.52 2,665.00 190.61 39.10 12/12/2022 11:39:31 AM 150 Page 4 of 6 Demand Register Packet: APPKT03319 - 12/02/20221B Account Summary Account Number Account Name Expense Amount 201-7003-60430 Asphalt 1,770.25 202-3004-60115 Janitorial 2,844.14 202-3004-60691 Maintenance/Services 406.35 202-3006-60115 Janitorial 885.93 215-7004-60104 Consultants 6,063.92 215-7004-60143 SilverRock Way Landscape 12,034.00 215-7004-60420 Operating Supplies 267.22 215-7004-60431 Materials/Supplies 6,518.47 215-7004-60691 Maintenance/Services 17,762.00 221-0000-60127 AB 939 Recycling Solutions 6,890.38 224-0000-20320 TUMF Payable to CVAG 99,036.00 249-0000-80050 Affordable Housing Projec... 885.00 270-0000-60683 APP Maintenance 2,250.00 401-0000-20600 Retention Payable -25,857.26 401-0000-60103 Professional Services 44,215.00 401-0000-60108 Technical 5,902.50 401-0000-60188 Construction 517,145.26 501-0000-60675 Parts, Accessories, and Up... 13,541.75 501-0000-60678 Street Sweeper 13.00 501-0000-71031 Vehicles, Purchased 71,038.00 501-0000-71032 Building Leases 3,088.51 501-0000-71103 City Bldg Repl/Repair 2,781.00 502-0000-60104 Consultants 26,475.00 502-0000-60301 Software Licenses 2,082.57 502-0000-71049 Software Implementation... 14,846.25 503-0000-71060 Parks 3,564.33 Grand Total: 1,041,769.31 Project Account Summary Project Account Key Project Account Name Project Name Expense Amount **None** **None** **None** 442,431.44 111205P Professional Expense Dune Palms Bridge Imp/BRLKS-543 5,620.00 141513P Professional Expense SilverRock Way Infra/Street Impro, 112.50 151609P Professional Expense La Quinta X Park 1,400.00 201603P Professional Expense La Quinta Landscape Renovation Ir 8,665.00 201709CT Construction Expense Ave 53 Jefferson St.Roundabout 517,145.26 201709P Professional Expense Ave 53 Jefferson St.Roundabout 7,227.50 201709RP Retention Payable Ave 53 Jefferson St.Roundabout -25,857.26 201709T Technical Expense Ave 53 Jefferson St.Roundabout 5,902.50 201901P Professional Expense Village Art Plaza Promenade & Cull 300.00 201902P Professional Expense Avenue 50 Bridge Spanning the Ew 1,120.00 201923P Professional Expense Washington St at Ave 50/Calle Tan 825.00 202101P Professional Expense Dune Palms Rd Pavement Rehab-F 3,780.00 202102P Professional Expense Fritz Burns Park Improvements 75.00 202103P Professional Expense Citywide Miscellaneous ADA Imprc 112.50 202104P Professional Expense Citywide Striping Refresh 2,625.00 202201P Professional Expense Avenue 50 Pavement Rehab (Was[ 350.00 202205P Professional Expense Avenue 50 Widening Improvement 175.00 202208P Professional Expense Citywide Miscellaneous ADA Imprc 525.00 202210P Professional Expense Moon River Drive Pavement Reha[ 4,427.50 202216E General PW Maint - Desert Concepts General PW Maintenance - Desert 8,750.00 202218P Professional Expense SilverRock Park Venue WIN and Ca 2,257.50 202222P Professional Expense Blackhawk Way School Crossing 4,617.50 AMEXE American Express Misc Expenses American Express Golf Tournamen 3,770.03 CONCERTE Concert Expense Master Account for all SRR Concern 8,117.00 CSA152E CSA 152 Expenses CSA 152 Project Tracking 13.00 IRONE Ironman Expense Ironman Event 13,632.70 STVRE Short Term Vacation Rental Expense Short Term Vacation Rental Trackit 17,703.51 12/12/2022 11:39:31 AM 151 Page 5 of 6 Demand Register Packet: APPKT03319 - 12/02/2022 JB Project Account Key TREEE VETSE Project Account Summary Project Account Name Tree Lighting Ceremony Expense Veterans Day Ceremony Expense Grand Total Project Name Tree Lighting Ceremony Veterans Day Ceremony 1,041,769.31 Expense Amount 1,402.50 4,543.63 12/12/2022 11:39:31 AM Page 6 of 6 152 Q4&r& City of La Quinta Al 7FtMIFN - Demand Register Packet: APPKT03328 - 12/09/2022 JB Vendor Name Payment Number Description (Item) Account Name Account Number Amount Fund: 101- GENERAL FUND ANSAFONE CONTACT CENTERS 209593 10/24-11/20/22 - PM 10 ANSWERING SER... PM 10 - Dust Control 101-7006-60146 137.25 UNITED WAY OF THE DESERT 209649 CONTRIBUTION United Way Deductions 101-0000-20981 37.00 UNITED WAY OF THE DESERT 209649 CONTRIBUTION United Way Deductions 101-0000-20981 37.00 WILLDAN 209656 09/2022-ONCALLTRAFFIC ENGINEERING ... Contract Traffic Engineer 101-7006-60144 6,680.00 WILLDAN 209656 09/2022 - PW ONCALL PLAN CHECKING 5... Map/Plan Checking 101-7002-60183 525.00 CHARTER COMMUNICATIONS ... 209601 11/16-12/15/22 - FS #32 CABLE (8152) Cable/Internet - Utilities 101-2002-61400 94.41 MODERNISM WEEK 209627 07/11/22 - MODERNISM SPONSORSHIP PIL Community Experiences 101-3003-60149 5,000.00 MAYSELS, SUSAN MULLIN 209625 09/13-11/28/22 - CLERK'S OFFICE ASSIST... Professional Services 101-1005-60103 2,677.50 SALAS, MICHAEL 209639 FY 22/23 ANNUAL WELLNESS DOLLARS M.... Annual Wellness Dollar Reimb... 101-1004-50252 200.00 ARVIZU, ERIKA 209594 FY 22/23 ANNUAL WELLNESS DOLLARS RE... Annual Wellness Dollar Reimb... 101-1004-50252 200.00 CASH/PETTY CASH 2O9599 08/22/22 - LAFCO MEETING PARKING Travel & Training 101-1001-60320 6.00 CASH/PETTY CASH 2O9599 09/07/22 - HEALTH FAIR DECOR/SUPPLIES Employee Recognition Events 101-1004-60340 42.51 CASH/PETTY CASH 2O9599 08/23/22 - FY 22/23 PLANNER Office Supplies 101-1004-60400 25.00 CASH/PETTY CASH 2O9599 08/25/22 - FY 22/23 PLANNERS Office Supplies 101-1004-60400 50.00 CASH/PETTY CASH 2O9599 07/19/22 - 4 KEYS FOR COP GOLF CART LQ Police Volunteers 101-2001-60109 23.71 CASH/PETTY CASH 2O9599 11/15/22 - BAGELS FOR CITIZENS ON PAT... LQ Police Volunteers 101-2001-60109 18.00 CASH/PETTY CASH 2O9599 11/03/22 - BAGELS FOR CULTURAL CAMP... Travel & Training 101-3001-60320 26.07 CASH/PETTY CASH 2O9599 11/02/22 - COFFEE FOR PLANNING MEETI... Travel & Training 101-3001-60320 40.00 PATRICIA A REYNAN INC 209632 12/02/22 - TOT REFUND STVR #S 064567.... TBID Due to VGPS 101-0000-20303 422.40 PATRICIA A REYNAN INC 209632 12/02/22 - TOT REFUND STVR #S 064567.... TOT - Short Term Vac. Rentals 101-0000-41401 2,804.00 COACHELLA VALLEY CATERING... 209604 12/06/22 - CATERING FOR HOILDAY OPEN... Community Special Events 101-1001-60137 3,817.11 BURNS, ALICE QUIROZ 209595 12/13/22 - CUPCAKES FOR EMPLOYEE EV... Employee Recognition Events 101-1004-60340 345.00 FROSTY'S AIR CONDITIONING ... 209614 11/28/22 - SHELVES FOR SPORTS COMPLEX Maintenance/Services 101-3008-60691 704.00 EISENHOWER OCCUPATIONAL... 209610 11/2022 - PRE EMPLOYMENT PHYSICALS Recruiting/Pre-Employment 101-1004-60129 570.00 POWERS AWARDS INC 209633 12/01/22 - NAME PLATE/PLAQUE FOR D.... Operating Supplies 101-1002-60420 50.64 CACEO 209597 02/7/23 - WEBINAR G.DUCHENE Travel & Training 101-6004-60320 36.00 CACEO 209597 03/2/23 - WEBINAR G.DUCHENE Travel & Training 101-6004-60320 36.00 CACEO 209597 02/7/23 - WEBINAR B.RODRIGUEZ Travel & Training 101-6004-60320 36.00 CACEO 209597 03/2/23 - WEBINAR B.RODRIGUEZ Travel & Training 101-6004-60320 36.00 CACEO 209597 02/7/23 - WEBINAR C.GAMEZ Travel & Training 101-6004-60320 36.00 CACEO 209597 03/2/23 - WEBINAR C.GAMEZ Travel & Training 101-6004-60320 36.00 CACEO 209597 02/7/23 - WEBINAR P.VILLANUEVA Travel & Training 101-6004-60320 36.00 CACEO 209597 3/2/23 - WEBINAR P.VILLANUEVA Travel & Training 101-6004-60320 36.00 CACEO 209597 02/7/23 - WEBINAR M.SALAS Travel & Training 101-6004-60320 36.00 CACEO 209597 03/2/23 - WEBINAR M.SALAS Travel & Training 101-6004-60320 36.00 GILL, JASKARN 209615 11/01/22 - WELLNESS CENTER MEMBERSH.. Wellness Center Memberships 101-0000-42218 150.00 MAHON, EMILY 209624 11/23/22 - WELLNESS CENTER MEMBERSH.. Wellness Center Memberships 101-0000-42218 75.00 RUDY, LORI A 209638 12/01/22 - ESSENTIAL FITNESS CLASSES Instructors 101-3002-60107 95.20 WILLIAMS, BILLEE 209657 12/01/22 - PILATES CLASS Instructors 101-3002-60107 252.00 SHIRY, TERESA 209640 12/01/22 - BALLROOM BEGINNING CLASS... Instructors 101-3002-60107 312.90 VIELHARBER, KAREN 209652 12/01/22 - GENTLE YOGA CLASSES Instructors 101-3002-60107 246.40 HEWETT, ATSUKO YAMANE 209617 12/01/22 -TAI CHI YANG CLASSES Instructors 101-3002-60107 347.20 NOVAK, JAN 209629 12/01/22 - PICKLEBALL 101 BEGINNER CL... Instructors 101-3002-60107 800.00 VERITAS TECHNOLOGIES LLC 209650 11/25/22 - DATA BACK-UP FOR LASERFICHE Professional Services 101-1005-60103 1,149.71 WELLNESS WORKS 209655 11/2022 - EAP SERVICES Consultants/Employee Services 101-1004-60104 391.60 VINTAGE ASSOCIATES 209653 11/12-11/13/22 - EXTRA CIVIC PARK MAI... Maintenance/Services 101-3005-60691 200.00 VINTAGE ASSOCIATES 209653 11/30/22 - TREES (4) Materials/Supplies 101-3005-60431 1,235.00 CIVICPLUS, LLC 209602 11/25/22 - MUNICIPAL CODE ONLINE COD... Professional Services 101-1005-60103 720.00 CMRTA 209603 01/01-12/31/23 - MEMBERSHIP DUES R.H... Membership Dues 101-1006-60351 150.00 CACEO 209597 11/28/22 - MEMBERSHIP DUES C.GAMEZ Membership Dues 101-6004-60351 100.00 CACEO 209597 11/28/22 - MEMBERSHIP DUES B.RODRIG... Membership Dues 101-6004-60351 100.00 DESERT RECREATION DISTRICT 209608 10/2022 - FB POOL OPERATIONS & PROG... Fritz Burns Pool Programming 101-3003-60184 12,885.10 SMITH PIPE & SUPPLY CO 209642 11/1/22 - IRRIGATION SUPPLIES FOR BEAR... Materials/Supplies 101-3005-60431 329.89 12/12/2022 11:35:31 AM Page 1 of 7 153 Demand Register Packet: APPKT03328 - 12/09/2022 JB Vendor Name Payment Number Description (Item) Account Name Account Number Amount SOUTH COAST AIR QUALITY M... 209643 9/2/22- CH GEN ANNUAL RENEWAL FEES ... Annual Permits/Inspections 101-3008-60196 937.52 SOUTH COAST AIR QUALITY M... 209643 FY 22/23 CH FLAT EMISSIONS FEE & LATE ... Annual Permits/Inspections 101-3008-60196 159.44 ALPHA MEDIA LLC 209592 11/2022 - IRONMAN DIGITAL ADS Community Experiences 101-3003-60149 2,666.67 ALPHA MEDIA LLC 209592 11/2022 - IRONMAN RADIO SPONSORSHIP.. Community Experiences 101-3003-60149 4,343.76 ALPHA MEDIA LLC 209592 11/2022 - IRONMAN DIGITAL BANNERS Community Experiences 101-3003-60149 275.00 MERCHANTS BUILDING MAINT... 209626 11/15/22 - CH COVID 19 CLEANING Janitorial 101-3008-60115 730.00 MERCHANTS BUILDING MAINT... 209626 07/01-09/01/22 - LQ PARK RESTROOM CL... Janitorial 101-3008-60115 453.96 MERCHANTS BUILDING MAINT... 209626 10/23/21-6/30/22 - LQ PARK RESTROOM ... Janitorial 101-3008-60115 1,271.08 VINTAGE E & S INC 209654 12/4/22 - SPORT COMPLEX PARKING LOT ... Maintenance/Services 101-3005-60691 825.40 VINTAGE E & S INC 209654 12/4/22 - CIVIC PARK GFCI RECEPTACLES I... Maintenance/Services 101-3005-60691 4,761.77 FEDEX 209612 11/14/22 - OVERNIGHT MAIL Postage 101-1007-60470 25.98 FEDEX 209612 11/22/22 - OVERNIGHT MAIL Postage 101-1007-60470 12.99 INTERWEST CONSULTING GR... 209622 10/2022 - INSPECTION SERVICES Plan Checks 101-6003-60118 20,736.25 ESPINOZA, DAVID C. 209611 11/11/22 - CHAIRS FOR VETERANS DAY EV... Community Experiences 101-3003-60149 475.00 ESPINOZA, DAVID C. 209611 12/2/22 - CHAIRS FOR TREE LIGHTING EV... Community Experiences 101-3003-60149 345.00 IMPERIAL IRRIGATION DIST 209620 11/28/22 - ELECTRICITY SERVICE Electricity - Utilities 101-2002-61101 658.77 IMPERIAL IRRIGATION DIST 209620 11/28/22 - ELECTRICITY SERVICE Electric - Velasco Park - Utilities 101-3005-61111 14.00 IMPERIAL IRRIGATION DIST 209620 11/28/22 - ELECTRICITY SERVICE Electricity - Utilities 101-3008-61101 361.53 IMPERIAL IRRIGATION DIST 209620 11/30/22 - ELECTRICITY SERVICE Electricity - Utilities 101-2002-61101 1,364.20 IMPERIAL IRRIGATION DIST 209620 11/30/22 - ELECTRICITY SERVICE Electric - Monticello Park - Utili.. 101-3005-61102 13.50 IMPERIAL IRRIGATION DIST 209620 11/30/22 - ELECTRICITY SERVICE Electric - Civic Center Park - Uti.. 101-3005-61103 3,909.48 IMPERIAL IRRIGATION DIST 209620 11/30/22 - ELECTRICITY SERVICE Electric - Fritz Burns Park - Utili... 101-3005-61105 1,470.86 IMPERIAL IRRIGATION DIST 209620 11/30/22 - ELECTRICITY SERVICE Electric - Sports Complex - Utili... 101-3005-61106 5,277.17 IMPERIAL IRRIGATION DIST 209620 11/30/22 - ELECTRICITY SERVICE Electric - Colonel Paige - Utiliti... 101-3005-61108 1,278.57 IMPERIAL IRRIGATION DIST 209620 11/30/22 - ELECTRICITY SERVICE Electric - Community Park - Util.. 101-3005-61109 9,301.78 IMPERIAL IRRIGATION DIST 209620 11/30/22 - ELECTRICITY SERVICE Electric - Adams Park - Utilities 101-3005-61110 39.83 IMPERIAL IRRIGATION DIST 209620 11/30/22 - ELECTRICITY SERVICE Electric - Eisenhower Park - Util.. 101-3005-61113 18.84 IMPERIAL IRRIGATION DIST 209620 11/30/22 - ELECTRICITY SERVICE Electric - Desert Pride - Utilities 101-3005-61114 13.84 IMPERIAL IRRIGATION DIST 209620 11/30/22 - ELECTRICITY SERVICE Electricity - Utilities 101-3008-61101 13,926.48 COACHELLA VALLEY WATER DI... 209605 11/28/22 - WATER SERVICE Water - Civic Center Park - Utili.. 101-3005-61202 2,684.24 COACHELLA VALLEY WATER DI... 209605 11/28/22 - WATER SERVICE Water -Community Park - Utilit.. 101-3005-61209 5,155.55 COACHELLA VALLEY WATER DI... 209605 11/30/22 - WATER SERVICE Water -Pioneer Park - Utilities 101-3005-61207 835.96 COACHELLA VALLEY WATER DI... 209605 11/30/22 - WATER SERVICE PM 10 - Dust Control 101-7006-60146 150.74 TRULY NOLEN INC 209647 07/01/22-06/30/23 - LQ PARK RODENT C... Pest Control 101-3008-60116 228.00 TRULY NOLEN INC 209647 07/01/22-06/30/23 - FS #32 RODENT CON... Pest Control 101-2002-60116 570.00 TRULY NOLEN INC 209647 07/01/22-06/30/23 - WC RODENT CONTR... Pest Control 101-3008-60116 581.40 TRULY NOLEN INC 209647 07/01/22-06/30/23 - CH RODENT CONTR... Pest Control 101-3008-60116 786.60 TRULY NOLEN INC 209647 07/01/22-06/30/23 - FS #70 RODENT CON... Pest Control 101-2002-60116 570.00 TRULY NOLEN INC 209647 07/01/22-06/30/23 - FS #93 RODENT CON... Pest Control 101-2002-60116 513.00 TRULY NOLEN INC 209647 07/01/22-06/30/23 - LQ PARK PEST CONT... Pest Control 101-3008-60116 741.00 TRULY NOLEN INC 209647 07/01/22-06/30/23 - FS #32 PEST CONTR... Pest Control 101-2002-60116 798.00 TRULY NOLEN INC 209647 7/1/22-6/30/23 - SPORTS COMPLEX PARK ... Pest Control 101-3008-60116 391.40 TRULY NOLEN INC 209647 07/01/22-06/30/23 - WC PEST CONTROL Pest Control 101-3008-60116 843.60 TRULY NOLEN INC 209647 07/01/22-06/30/23 - CH PEST CONTROL Pest Control 101-3008-60116 946.20 TRULY NOLEN INC 209647 07/01/22-06/30/23 - FS #70 PEST CONTR... Pest Control 101-2002-60116 820.80 TRULY NOLEN INC 209647 07/01/22-06/30/23 - FS #93 PEST CONTR... Pest Control 101-2002-60116 752.40 TRULY NOLEN INC 209647 07/01/22-06/30/23 - PW YARD PEST CON... Pest Control 101-3008-60116 570.00 TRULY NOLEN INC 209647 07/01/22-06/30/23 - FB PEST CONTROL Pest Control 101-3008-60116 456.00 TRULY NOLEN INC 209647 07/01/22-06/30/23 - SRR PARK PEST CON... Pest Control 101-3008-60116 855.00 BURRTEC WASTE & RECYCLING.. 209596 11/10/22 - TRASH SERVICES FOR LQ ART C... Professional Services 101-1002-60103 3,975.84 YOCKEY, JENNIFER LYNNE 209658 11/2022 STRETCHING & MEDIATION EMP... Professional Services 101-1004-60103 600.00 RIVERSIDE ASSESSOR 209635 11/2022 - RECORDING FEES Technical 101-6004-60108 20.00 RIVERSIDE ASSESSOR 209635 10/2022 - RECORDING FEES Due to County Recorder 101-0000-20325 424.00 INTERWEST CONSULTING GR... 209622 10/2022 - ONCALL BUILDING & SAFETY PL... Plan Checks 101-6003-60118 15,487.50 IMPERIAL IRRIGATION DIST 209620 11/28/22 - ELECTRICITY SERVICE Electric - SilverRock Event Site -.. 101-3005-61115 3,291.19 COACHELLA VALLEY WATER DI... 209605 11/28/22 - WATER SERVICE Water - Utilities 101-2002-61200 181.96 COACHELLA VALLEY WATER DI... 209605 11/28/22 - WATER SERVICE Water -Eisenhower Park - Utilit.. 101-3005-61203 246.75 COACHELLA VALLEY WATER DI... 209605 11/28/22 - WATER SERVICE Water -Velasco Park - Utilities 101-3005-61205 285.32 COACHELLA VALLEY WATER DI... 209605 11/30/22 - WATER SERVICE Water -Fritz Burns Park - Utiliti... 101-3005-61204 3,339.51 COACHELLA VALLEY WATER DI... 209605 11/30/22 - WATER SERVICE Water - Utilities 101-3008-61200 598.43 12/12/2022 11:35:31 AM Page 2 of 7 154 Demand Register Packet: APPKT03328 - 12/09/2022 JB Vendor Name Payment Number Description (Item) Account Name Account Number Amount NEIGHBORS FOR NEIGHBORH... 209628 12/O1/22 - POLITICAL SIGN DEP REFUND 5... Election Deposit 101-0000-22835 200.00 NEIGHBORS FOR NEIGHBORH... 209628 12/O1/22 - POLITICAL SIGN DEP REFUND 5... Election Deposit 101-0000-22835 200.00 SYLK, ROBERT F. 209644 12/1/22 - POLITICAL SIGN DEP REFUND SA... Election Deposit 101-0000-22835 200.00 CRH MANAGEMENT LLC 209606 11/21/22 GENERAL CONTRACTOR FEE RE... Over Payments, AR Policy 101-0000-20330 50.00 A&C WINDOW AND DOOR SPE... 209590 11/29/22 - BUSINESS LIC REFUND LIC 768... Over Payments, AR Policy 101-0000-20330 40.00 ROADPOST USA INC. 209636 11/23-12/22/22 - EOC SATELLITE PHONES Mobile/Cell Phones/Satellites 101-2002-61304 173.01 HINDERLITER DE LLAMAS & AS... 209618 10/O1/12/31/22 - SALES TAX/AUDIT SERVI... Consultants 101-1006-60104 2,624.11 QUINN COMPANY 209634 11/29/22 - CH GENERATOR REPAIR Machinery & Equipment 101-2002-80101 1,068.10 Fund 101 - GENERAL FUND Total: 172,356.88 Fund: 201 - GAS TAX FUND TOPS' N BARRICADES INC 209645 11/30/22 - TRAFFIC CONTROL SIGNS Materials/Supplies 201-7003-60431 482.00 UNDERGROUND SERVICE ALERT 209648 12/O1/2022 - DIG ALERT SERVICES Materials/Supplies 201-7003-60431 52.00 IMPERIAL IRRIGATION DIST 209620 11/30/22 - ELECTRICITY SERVICE Electricity - Utilities 201-7003-61101 834.25 Fund 201- GAS TAX FUND Total: 1,368.25 Fund: 202 - LIBRARY & MUSEUM FUND MERCHANTS BUILDING MAINT... 209626 11/14/22 - MUSEUM ENTRY BID CLEANING Janitorial 202-3006-60115 275.00 IMPERIAL IRRIGATION DIST 209620 11/28/22 - ELECTRICITY SERVICE Electricity - Utilities 202-3004-61101 3,797.70 IMPERIAL IRRIGATION DIST 209620 11/30/22 - ELECTRICITY SERVICE Electricity - Utilities 202-3006-61101 1,145.28 TRULY NOLEN INC 209647 07/O1/22-06/30/23 - MUSEUM PEST CON... Pest Control 202-3006-60116 592.80 TRULY NOLEN INC 209647 07/O1/22-06/30/23 - LIBRARY PEST CONT... Pest Control 202-3004-60116 843.60 PACIFIC WEST AIR CONDITION... 209630 11/03/22 - LIBRARY HVAC HVAC 202-3004-60667 1,014.00 Fund 202 - LIBRARY & MUSEUM FUND Total: 7,668.38 Fund: 215 - LIGHTING & LANDSCAPING FUND JERNIGAN'S, INC 209623 11/21/22 - SAFTEY BOOTS L.REGALADO Safety Gear 215-7004-60427 163.11 IMPERIAL IRRIGATION DIST 209620 11/28/22 - ELECTRICITY SERVICE Electric - Utilities 215-7004-61116 589.70 IMPERIAL IRRIGATION DIST 209620 11/28/22 - ELECTRICITY SERVICE Electric - Medians - Utilities 215-7004-61117 747.38 IMPERIAL IRRIGATION DIST 209620 11/30/22 - ELECTRICITY SERVICE Electric - Utilities 215-7004-61116 6,378.84 IMPERIAL IRRIGATION DIST 209620 11/30/22 - ELECTRICITY SERVICE Electric - Medians - Utilities 215-7004-61117 2,337.85 COACHELLA VALLEY WATER DI... 209605 11/28/22 - WATER SERVICE Water- Medians - Utilities 215-7004-61211 9,125.29 COACHELLA VALLEY WATER DI... 209605 11/30/22 - WATER SERVICE Water- Medians - Utilities 215-7004-61211 12,905.84 Fund 215 - LIGHTING & LANDSCAPING FUND Total: 32,248.01 Fund: 221 - AB 939 - CALRECYCLE FUND ALPHA MEDIA LLC 209592 11/2022 - RECYCLE RADIO ADS 93.7 KCLB AB 939 Recycling Solutions 221-0000-60127 1,790.52 ALPHA MEDIA LLC 209592 11/2022 - RECYCLE RADIO ADS MIX 100.5 AB 939 Recycling Solutions 221-0000-60127 1,781.82 Fund 221 - AB 939 - CALRECYCLE FUND Total: 3,572.34 Fund: 235 - SO COAST AIR QUALITY FUND IMPERIAL IRRIGATION DIST 209620 11/30/22 - ELECTRICITY SERVICE Electricity - Utilities 235-0000-61101 1,178.63 Fund 235 - SO COAST AIR QUALITY FUND Total: 1,178.63 Fund: 241 - HOUSING AUTHORITY CAHA, BECKY 209598 11/2022 - HOUSING CONSULTANT SERVIC... Professional Services 241-9101-60103 6,850.00 Fund 241- HOUSING AUTHORITY Total: 6,850.00 Fund: 270 - ART IN PUBLIC PLACES FUND SIGNATURE SCULPTURE 209641 12/5/22 - DESERT LEGACY SCULPTURE RE... APP Maintenance 270-0000-60683 2,250.00 POWERS AWARDS INC 209633 10/22/22 - NAME PLATES FOR APP Art Purchases 270-0000-74800 126.61 Fund 270 - ART IN PUBLIC PLACES FUND Total: 2,376.61 Fund: 401 - CAPITAL IMPROVEMENT PROGRAMS HAMMEL, GREEN, AND ABRA... 209616 09/2022 - CULTURAL CAMPUS DESIGN Design 401-0000-60185 17,230.00 HAMMEL, GREEN, AND ABRA... 209616 10/2022 - CULTURAL CAMPUS DESIGN Design 401-0000-60185 17,230.00 DAVID EVANS AND ASSOCIATE... 209607 07/31-08/27/22 - 2016-03 TOPAZ STREET... Design 401-0000-60185 472.40 DAVID EVANS AND ASSOCIATE... 209607 08/28-09/24/22 - 2016-03 TOPAZ STREET... Design 401-0000-60185 2,916.88 VINTAGE E & S INC 209654 11/11/22 - X-PARK ONCALL ELECTRICAL 5... Construction 401-0000-60188 330.16 IMPERIAL IRRIGATION DIST 209621 12/08/22 - 2011-05 SHOO FLY Construction 401-0000-60188 60,500.00 Fund 401- CAPITAL IMPROVEMENT PROGRAMS Total: 98,679.44 Fund: 501 - FACILITY & FLEET REPLACEMENT PARKHOUSE TIRE INC 209631 11/04/22 - WATER TRUCK TIRE REPAIR Vehicle Repair & Maintenance 501-0000-60676 581.67 PARKHOUSE TIRE INC 209631 11/07/22 - TIRE DISPOSAL Vehicle Repair & Maintenance 501-0000-60676 182.50 PARKHOUSE TIRE INC 209631 11/17/22 - CAT SKIPLOADER FLAT TIRE RE... Vehicle Repair & Maintenance 501-0000-60676 295.00 12/12/2022 11:35:31 AM Page 3 of 7 155 Demand Register Vendor Name Payment Number HWY 111 LA QUINTA CAR WA... 209619 DURABLE COATING, INC. 209609 DURABLE COATING, INC. 209609 TOWER ENERGY GROUP 209646 Fund: 502 - INFORMATION TECHNOLOGY CHARTER COMMUNICATIONS ... 209601 CHARTER COMMUNICATIONS ... 209601 ACORN TECHNOLOGY SERVICES 209591 ACORN TECHNOLOGY SERVICES 209591 ACORN TECHNOLOGY SERVICES 209591 VERIZON WIRELESS 209651 VERIZON WIRELESS 209651 VERIZON WIRELESS 209651 CDW GOVERNMENT INC 209600 FRONTIER COMMUNICATIONS... 209613 Fund: 601 - SILVERROCK RESORT ROTO ROOTER PLUMBERS INC 209637 ROTO ROOTER PLUMBERS INC 209637 ROTO ROOTER PLUMBERS INC 209637 VINTAGE E & S INC 209654 Packet: APPKT03328 - 12/09/2022 JB Description (Item) Account Name Account Number Amount 10/2022 - CAR WASH SERVICES Vehicle Repair & Maintenance 501-0000-60676 24.00 11/02/22 - BED LINERS FOR TRUCKS VINS ... Parts, Accessories, and Upfits 501-0000-60675 1,616.25 11/16/22 - BED LINER FOR VIN 6783 Parts, Accessories, and Upfits 501-0000-60675 777.13 11/01-11/15/22 - FUEL Fuel & Oil 501-0000-60674 4,575.93 Fund 501 - FACILITY & FLEET REPLACEMENT Total: 8,052.48 10/15-11/14/22 - WC CABLE (8105) Cable/Internet - Utilities 502-0000-61400 154.52 11/12-12/11/22 - CITY YARD CABLE (4080) Cable/Internet - Utilities 502-0000-61400 81.70 10/2022 -TRAFFIC SERVER MAINTENANCE Consultants 502-0000-60104 765.00 10/2022 - IT SERVICES Consultants 502-0000-60104 26,325.00 10/2022 - SHADOW PROTECT LICENSES (4) Consultants 502-0000-60104 954.00 10/02-11/01/22 - BACKUP SERVER (2183) Cable/Internet - Utilities 502-0000-61400 66.17 10/02-11/01/22 - CITY IPADS (5587) Cell/Mobile Phones 502-0000-61301 1,153.22 10/02-11/01/22 - CITY CELL SVC (5496) Cell/Mobile Phones 502-0000-61301 3,034.83 10/20/22 - ADOBE PRO SOFTWARE J.NELS... Software Licenses 502-0000-60301 490.50 11/12-12/11/22 - X-PARK INTERNET Cable/Internet - Utilities 502-0000-61400 904.07 Fund 502 - INFORMATION TECHNOLOGY Total: 33,929.01 11/3/22 - PUMP 6000 GALLONS FROM SRR.. Repair & Maintenance 601-0000-60660 2,100.00 11/9/22 - PUMP 5000 GALLONS SRR SEPTI... Repair & Maintenance 601-0000-60660 2,014.00 11/16/22 - PUMP 1000 GALLONS SRR SEPT.. Repair & Maintenance 601-0000-60660 350.00 10/25/22 - SRR CLUBHOUSE ELECTRICALS Repair & Maintenance 601-0000-60660 781.24 Fund 601 - SILVERROCK RESORT Total: 5,245.24 Grand Total: 373,525.27 12/12/2022 11:35:31 AM 156 Page 4 of 7 Demand Register Packet: APPKT03328 - 12/09/20221B Fund Summary Fund 101 - GENERAL FUND 201 - GAS TAX FUND 202 - LIBRARY & MUSEUM FUND 215 - LIGHTING & LANDSCAPING FUND 221 - AB 939 - CALRECYCLE FUND 235 - SO COAST AIR QUALITY FUND 241 - HOUSING AUTHORITY 270 - ART IN PUBLIC PLACES FUND 401 - CAPITAL IMPROVEMENT PROGRAMS 501 - FACILITY & FLEET REPLACEMENT 502 - INFORMATION TECHNOLOGY 601 - SILVERROCK RESORT Account Number 101-0000-20303 101-0000-20325 101-0000-20330 101-0000-20981 101-0000-22835 101-0000-41401 101-0000-42218 101-1001-60137 101-1001-60320 101-1002-60103 101-1002-60420 101-1004-50252 101-1004-60103 101-1004-60104 101-1004-60129 101-1004-60340 101-1004-60400 101-1005-60103 101-1006-60104 101-1006-60351 101-1007-60470 101-2001-60109 101-2002-60116 101-2002-61101 101-2002-61200 101-2002-61304 101-2002-61400 101-2002-80101 101-3001-60320 101-3002-60107 101-3003-60149 101-3003-60184 101-3005-60431 101-3005-60691 101-3005-61102 101-3005-61103 101-3005-61105 101-3005-61106 101-3005-61108 101-3005-61109 101-3005-61110 101-3005-61111 101-3005-61113 Grand Total Account Summary Account Name TBID Due to VGPS Due to County Recorder Over Payments, AR Policy United Way Deductions Election Deposit TOT - Short Term Vac. Ren.. Wellness Center Member... Community Special Events Travel & Training Professional Services Operating Supplies Annual Wellness Dollar Re... Professional Services Consultants/Employee Se... Recruiting/Pre-Employme... Employee Recognition Ev... Office Supplies Professional Services Consultants Membership Dues Postage LQ Police Volunteers Pest Control Electricity - Utilities Water - Utilities Mobile/Cell Phones/Satell... Cable/Internet - Utilities Machinery & Equipment Travel & Training Instructors Community Experiences Fritz Burns Pool Program... Materials/Supplies Maintenance/Services Electric - Monticello Park -.. Electric - Civic Center Park... Electric - Fritz Burns Park -... Electric - Sports Complex -... Electric - Colonel Paige - U... Electric - Community Park.. Electric - Adams Park - Util.. Electric - Velasco Park - Uti.. Electric - Eisenhower Park.. Expense Amount 172,356.88 1,368.25 7,668.38 32,248.01 3,572.34 1,178.63 6,850.00 2,376.61 98,679.44 8,052.48 33,929.01 5,245.24 373,525.27 Expense Amount 422.40 424.00 90.00 74.00 600.00 2,804.00 225.00 3,817.11 6.00 3,975.84 50.64 400.00 600.00 391.60 570.00 387.51 75.00 4,547.21 2,624.11 150.00 38.97 41.71 4,024.20 2,022.97 181.96 173.01 94.41 1,068.10 66.07 2,053.70 13,105.43 12,885.10 1,564.89 5,787.17 13.50 3,909.48 1,470.86 5,277.17 1,278.57 9,301.78 39.83 14.00 18.84 12/12/2022 11:35:31 AM 157 Page 5 of 7 Demand Register Packet: APPKT03328 - 12/09/20221B Account Summary Account Number Account Name Expense Amount 101-3005-61114 Electric - Desert Pride - Uti.. 13.84 101-3005-61115 Electric - SilverRock Event... 3,291.19 101-3005-61202 Water - Civic Center Park -.. 2,684.24 101-3005-61203 Water -Eisenhower Park-... 246.75 101-3005-61204 Water -Fritz Burns Park-... 3,339.51 101-3005-61205 Water -Velasco Park - Utili.., 285.32 101-3005-61207 Water-PioneerPark- Utili.. 835.96 101-3005-61209 Water -Community Park-... 5,155.55 101-3008-60115 Janitorial 2,455.04 101-3008-60116 Pest Control 6,399.20 101-3008-60196 Annual Permits/Inspectio... 1,096.96 101-3008-60691 Maintenance/Services 704.00 101-3008-61101 Electricity -Utilities 14,288.01 101-3008-61200 Water -Utilities 598.43 101-6003-60118 Plan Checks 36,223.75 101-6004-60108 Technical 20.00 101-6004-60320 Travel & Training 360.00 101-6004-60351 Membership Dues 200.00 101-7002-60183 Map/Plan Checking 525.00 101-7006-60144 Contract Traffic Engineer 6,680.00 101-7006-60146 PM 10 - Dust Control 287.99 201-7003-60431 Materials/Supplies 534.00 201-7003-61101 Electricity -Utilities 834.25 202-3004-60116 Pest Control 843.60 202-3004-60667 HVAC 1,014.00 202-3004-61101 Electricity -Utilities 3,797.70 202-3006-60115 Janitorial 275.00 202-3006-60116 Pest Control 592.80 202-3006-61101 Electricity -Utilities 1,145.28 215-7004-60427 Safety Gear 163.11 215-7004-61116 Electric - Utilities 6,968.54 215-7004-61117 Electric - Medians - Utiliti... 3,085.23 215-7004-61211 Water - Medians - Utilities 22,031.13 221-0000-60127 AB 939 Recycling Solutions 3,572.34 235-0000-61101 Electricity -Utilities 1,178.63 241-9101-60103 Professional Services 6,850.00 270-0000-60683 APP Maintenance 2,250.00 270-0000-74800 Art Purchases 126.61 401-0000-60185 Design 37,849.28 401-0000-60188 Construction 60,830.16 501-0000-60674 Fuel & Oil 4,575.93 501-0000-60675 Parts, Accessories, and Up... 2,393.38 501-0000-60676 Vehicle Repair & Mainte... 1,083.17 502-0000-60104 Consultants 28,044.00 502-0000-60301 Software Licenses 490.50 502-0000-61301 Cell/Mobile Phones 4,188.05 502-0000-61400 Cable/Internet - Utilities 1,206.46 601-0000-60660 Repair & Maintenance 5,245.24 Grand Total: 373,525.27 Project Account Summary Project Account Key Project Account Name Project Name Expense Amount **None** **None** **None** 262,034.56 111205CT Construction Expense Dune Palms Bridge Imp/BRLKS-543 60,500.00 151609CT Construction Expense La Quinta X Park 330.16 201603D Design Expense La Quinta Landscape Renovation Ir 3,389.28 201901D Design Expense Village Art Plaza Promenade & Cull 34,460.00 CORONANR Corona Non Reimbursable Corona Virus Emergency Response 730.00 12/12/2022 11:35:31 AM 158 Page 6 of 7 Demand Register Packet: APPKT03328 - 12/09/2022 JB Project Account Key IRONE MACE TREEE VETSE Project Account Summary Project Account Name Ironman Expense La Quinta Art Celebration - Expense Tree Lighting Ceremony Expense Veterans Day Ceremony Expense Grand Total: Project Name Ironman Event La Quinta Art Celebration Tree Lighting Ceremony Veterans Day Ceremony 373,525.27 Expense Amount 7,285.43 3,975.84 345.00 475.00 12/12/2022 11:35:31 AM 159 Page 7 of 7 160 ATTACHMENT 2 City of La Quinta Bank Transactions 11/21 - 12/9/2022 Wire Transaction Listed below are the wire transfers from 11/21 - 12/9/2022. Wire Transfers: 11/21/2022 - WIRE TRANSFER - COLONIAL LIFE 11/23/2022 - WIRE TRANSFER - AMERITAS LIFE 11/23/2022 - WIRE TRANSFER - AMERITAS LIFE 11/23/2022 - WIRE TRANSFER - AMERITAS LIFE 11/23/2022 - WIRE TRANSFER - AMERITAS LIFE 11/25/2022 - WIRE TRANSFER - CALPERS 11/25/2022 - WIRE TRANSFER - CALPERS 11/25/2022 - WIRE TRANSFER - CALPERS 11/25/2022 - WIRE TRANSFER - LQCEA 11/25/2022 - WIRE TRANSFER - ICMA 11/29/2022 - WIRE TRANSFER - STERLING HEALTH 12/01/2022 - WIRE TRANSFER - MIDAMERICA 12/08/2022 - WIRE TRANSFER - CALPERS 12/08/2022 - WIRE TRANSFER - LANDMARK 12/09/2022 - WIRE TRANSFER - LQCEA 12/09/2022 - WIRE TRANSFER - ICMA TOTAL WIRE TRANSFERS OUT $5,763.33 $89.66 $414.96 $1,972.12 $12,681.96 $5,183.26 $14,916.86 $23,068.54 $423.00 $4,606.83 $1,325.30 $14,817.53 $119,210.33 $232,801.41 $423.00 $20,374.16 $458,072.25 161 162 1�bII11;X19;M1to] 1f1002RAW City of La Quinta CITY COUNCIL MEETING: December 20, 2022 STAFF REPORT AGENDA TITLE: RECEIVE AND FILE FISCAL YEAR 2021/22 GENERAL FUND YEAR-END BUDGET REPORT AND APPROVE THE AMENDED BUDGET CARRYOVERS RECOMMENDATION Receive and file Fiscal Year 2021/22 General Fund Year -End Budget Report and approve the amended budget carryovers from 2021/22 to 2022/23. EXECUTIVE SUMMARY • After closing the prior fiscal year, Finance presents a year-end summary that compares the final budget to actual transactions. • Revenue was nearly $7.7 million higher than budgeted. • Expenditures (including approved carryovers from 2020/21 into 2021/22) were $37.1 million under budget. Of these savings, approximately $31.9 million will be carried over to 2022/23 for General Fund capital improvements and operations, and $226,385 was allocated to Measure G reserves for net savings of $5.1 million. FISCAL IMPACT Amended budget carryovers from 2021/22 to 2022/23 total $32,973,647 for all Funds and are funded with budgetary savings from 2021/22. CARRYOVER TOTALS BY FUND General Fund (101) - Operating General Fund (101) - Capital Improvements Lighting & Landscape Fund (215) RDA Low -Mod Housing Fund (243) Housing Grants Fund (244) Art in Public Places Fund (270) Facility and Fleet Replacement Fund (501) Information Technology Fund (502) Park Equipment & Facility Fund (503) SilverRock Resort Fund (601) ESTIMATED REVISED $ 1,404,100 $ 1,209,100 $ 15,000,000 $ 30,761,847 $ 300,000 $ 157,000 $ - $ 55,000 $ - $ 90,000 $ 24,000 $ 36,700 $ 335,000 $ 344,000 $ 100,000 $ 100,000 $ 90,000 $ 200,000 $ - $ 20,000 OVERS BY FUND $ 17,253,100 $ 32,973,647 163 BACKGROUND/ANALYSIS The Fiscal Year 2021/22 General Fund Year -End Budget Report (Report) focuses on the General Fund. Revenues were over budget by $7,723,190 mostly due to tax revenues. Overall, most department expenditures were under budget with total savings of $37,106,393. Of these savings, $31,970,947 will be carried over to 2022/23 for multi -year capital projects and operations. Revenues, expenditures, carryovers, reserve balances, and a year -over -year comparison are discussed in the Fiscal Year 2021/22 General Fund Year -End Budget Report (Attachment 1). ALTERNATIVES Council may request additional information regarding this report before approving the recommended amended budget carryovers. Prepared by: Claudia Martinez, Finance Director Approved by: Jon McMillen, City Manager Attachment: 1. Fiscal Year 2021/22 General Fund Year -End Budget Report 164 ATTACHMENT 1 oca Qa�fra C;AUFORNIA FISCAL YEAR 2021/22 GENERAL FUND YEAR-END BUDGET REPORT OVERVIEW The City oversees multiple sources of funds which are reported in the Annual Comprehensive Financial Report (ACFR) issued annually and presented at a public meeting shortly thereafter. This Fiscal Year 2021/22 Budget Report (Report) focuses on the General Fund and summarizes the overall financial activities of fiscal year (FY) 2021/22 and the City's financial position through June 30, 2022. The chart below provides a summary comparison of the FY 2021/22 final budget versus actual revenues and expenses. Operational Revenues BudgetFinal 72,377,532 80,100,722 * 7,723,190 Capital/Operational Carryovers 14,640,959 14,640,959 - Measure G Reserves 7,468,061 7,468,061 - CIP Savings/Use of Reserves 10,123,350 10,123,350 - Total Revenues 104,609,902 112,333,092 7,723,190 Operational/CIP Expenses Multi -Year Capital Improvements 35,491,882 4,415,303 (31,076,579) Operational 53,448,766 47,418,952 * 6 029 814 88,940,648 51,834,255 (37,106,393) Expenses Before Carryovers Plus Carryovers to 2022/23 Multi -Year Capital Improvements 30,761,847 30,761,847 Operational 1,209,100 1,209,100 88,940,648 83,805,202 (5,135,446) Adjusted Expenditures Plus Measure G Reserves 3,578,644 226,385 (3,35 259 92,519292 84,031,587(8,487,705) Total Ex enditures Surplus/ (Deficit) After Carryovers 12,090,610 28,301,505 16,210,895 *Reduced by non -cash transactions described in the 2021/22 Year -End Budget Report The General Fund is fiscally resilient, with strong reserves, revenues exceeding budgetary projections, and expenditure savings. Moving forward, supporting the economic health and safety of the community and employees remains a high priority in the decision -making process for the City. As the City continues to remain fiscally strong, staff will closely monitor economic conditions as we face ongoing inflationary pressures and will make recommendations as necessary. 165 Operational revenues were $7,723,190 over budget, and expenses after adjustments, carryovers, and reserve savings were $8,487,705 under budget resulting in a budget surplus of $16,210,895. Measure G Reserves and Use of Assigned Reserves in the amount of $14,936,122 is being used to fund the Highway Bridge Program advanced construction funding for the Dune Palms Bridge project. REVENUE VARIANCES As detailed in Exhibit A and summarized on the chart below, most General Fund revenues experienced positive variances when compared to the final budget. General Fund Revenues 2021/22 2021/22 Variance Variance Final Tax Revenue Budget 58,047,000 Actuals 63,010,284 4,963,284 9% Licenses & Permits 3,572,000 4,521,424 949,424 27% Intergovernmental 8,099,422 8,636,751 537,329 7% Charges for Services 876,010 1,625,339 749,329 86% Fines, Forfeitures & Abatements 609,000 657,589 48,589 8% Use of Money & Property 545,000 (2,876,934) (3,421,934) -628% Miscellaneous/Transfers In 629,100 1,049,059 419,959 67% Total Revenues 72,377,532 76,623,512 4,245,980 6% Investments Fair Market Value Adjustment 3,964,823 3,964,823 RDA Loan Interest Earned, Extraordinary Gain (487,613) (487,613) 3,477,210 3,477,210 Total Adjusted Revenues 72,377,532 80,100,722 7,723,190 • Taxes represent 82% of all General Fund revenues and include the three largest funding sources for the City - sales taxes $28,204,906, transient occupancy taxes (TOT) $17,055,601, and property taxes $9,674,674. Combined, these top three revenues account for $54,935,181 or 87% of all taxes. • Licenses and permits continued to overperform as a result of new housing projects accelerating as residential and commercial property values rise. In addition, lumber prices have decreased from prior year highs which has resulted in additional demand for projects. • Use of Money and Property includes the annual fair market value adjustment to the City's investments. In FY 2021/22 the portfolio holdings were valued less than book value due to market conditions, therefore a negative adjustment in the amount of $3,964,823 was recorded. The City's investments have a five-year horizon with laddered maturities. The City has worked diligently to leverage highly restricted investments under volatile market conditions. On June 30, 2021, the 166 portfolio was earning a 0.95% rate of return and on June 30, 2022 the return was 0.79%. • Miscellaneous and Transfers In revenue includes $487,613 to record the annual former Redevelopment Agency loan repayment interest earned in FY 2021/22. The loan repayments are structured to pay all principal first, then interest. Each year the City records the payment received and interest earned in accordance with the State Department of Finance approved loan repayment schedule. This amount is also reduced from revenues as an adjustment because it is earned, but not received until a future date. EXPENSE VARIANCES General Fund expenses are summarized in the chart below by department, and details by department and expense category are located in Exhibit B. Overall, despite inflationary impacts on the economy, most departments remained within budget. Savings were derived from the prudent management of contract and professional services, as well as salary and benefits savings from vacant positions. General Fund Expenditures 2021/22 2021/22 Variance Carryovers City Council Final Budget 302,200 Actuals 251,153 (51,047) to 2022/23 - City Manager 1,096,000 796,578 (299,422) City Attorney 796,000 370,189 (425,811) - Human Resources 411,000 269,015 (141,985) 53,700 City Clerk 667,200 586,861 (80,339) - Finance 1,444,100 1,241,161 (202,939) - Centralized Services 41,547,054 9,738,291 (31,808,763) 30,961,847 Police 17,865,100 16,868,265 (996,835) 22,900 Fire 8,582,275 8,008,530 (573,745) 443,100 Community Resources Admin. 888,500 661,768 (226,732) - Wellness Center Operations 677,900 612,277 (65,623) - Recreational Programs & Events 1,078,300 640,734 (437,566) 240,000 Parks Maintenance 2,656,900 2,445,674 (211,226) 14,000 Marketing & Community Relations 1,540,900 1,389,343 (151,557) 10,000 Public Buildings 1,378,700 1,374,563 (4,137) - Design & Development Admin. 746,200 816,867 70,667 Planning 748,600 559,340 (189,260) Building 1,094,800 960,672 (134,128) Code Compliance/Animal Control 1,559,320 1,312,923 (246,397) The Hub 1,066,000 834,387 (231,613) Public Works Administration 739,900 535,839 (204,061) Public Works Dev. Services 448,200 374,998 (73,202) Streets 503,600 426,354 (77,246) - Engineering Services 1,101,900 758,472 (343,428) 225,400 Total Operating/CIP Expenditures 88,940,648 51,834,255 (37,106,393) 31,970,947 Carryovers to 2022123 Estimated Actual Variance Capital Improvements 30,761,847 30,761,847 Operational 1 209 100 1,209,100 Total Carryovers - 31,970,947 31,970,947 Adjusted Expenditures before Reserves Plus Ma -'- r P.--- 88,940,648 3,578,644 :0 226,385 (3,352,259) 167 • Centralized Services (CS) represents the largest budget variance in the amount of $31.8 million. CS captures citywide expenses such as pension liabilities, retiree medical benefits, and transfers out to other funds such as the Gas Tax Fund for street improvements, Lighting and Landscape Fund, SilverRock Golf Course Fund, Public Safety Fund, Economic Development Fund and the Capital Improvement Project Fund. This department also has the greatest amount of carryovers to FY 2022/23 to fund multi -year capital improvement projects in the amount of $30,961,847 as detailed in Exhibit C, which is largely attributed to the one-time advance funding for the Dune Palms Bridge project. The majority of capital improvement carryover funding ($16,788,709 or 55%) is provided from Measure G sales tax revenue. • To ensure funds are available for critical services such as Police and Fire, the City budget incorporates the rates originally disclosed by the County. FY 2021/22 savings are derived from enhancing and modifying resources post pandemic. o For Police services, savings of $996,835 were a result of prudent management of contract service costs, along with carryovers totaling $22,900 for vehicle equipment upgrades. o For Fire services, savings of $573,745 include $443,100 for vehicle equipment upgrades and emergency operations center equipment which are being carried over to FY 2022/23, the remaining $130,645 were the result of prudent management of contract service costs. • The Recreational Programs and Events savings of $437,566 were a result of postponed citywide events combined with reduced staffing including carryovers totaling $240,000. • The Design and Development Administration department had an overage of $70,667 due to additional staffing needed due to vacancies and an unanticipated increase in credit card fees. • The Engineering Services department savings of $343,428 were derived from contract service savings and La Quinta's share of the CVAG Art & Music Line in the amount of $225,400 which is being carried over to FY 2022/23. Operational carryovers, detailed in Exhibit D, from FY 2021/22 to FY 2022/23 decreased by $195,000 from the original anticipated amount of $1,404,100 to $1,209,100. Carryovers allow for operational flexibility due to the unforeseen impacts of inflation brought on by supply chain issues, increased consumer demand, and interest rate fluctuations. Funds not being carried over are recognized as Unassigned Reserve Fund balance in the General Fund. CIP revenue commitments are reflected in assigned reserves and operational carryovers are noted in committed reserves. RESERVES The chart below depicts reserve balances by category and the value change from June 30, 2021 to June 30, 2022. These reserve balances reflect the financial health of the City at fiscal -year end. • Non -spendable balance decreased by a total of $2,133,531 and included a slight increase in prepaid costs. The FY 2021/22 Redevelopment Agency loan repayment of $2,642,888 and interest . •j earnings of $487,613 resulted in a decrease of $2,155,275 in Due from Other Governments. • The Due from Other Governments balance of $21,915,347 represents the principal ($10,428,388) and interest ($11,486,959) owed to the General Fund (80% of total loan repayments). Non -spendable reserves cannot be used to fund ongoing operations and primarily represent commitments due to the General Fund. • Restricted reserves are limited to funds held in a Section 115 Pension Trust set aside to fund the City's pension obligations. The trust balance resulted in a decrease in total value of $1,244,034 due to financial market conditions. • Committed reserves decreased by $770 due to operational carryovers as detailed in Exhibit D. At this time, all four of the City's reserve categories (Natural Disaster, Economic Disaster, Cash Flow and Capital Replacement) are fully funded to policy targets. The Finance department in conjunction with the Financial Advisory Commission are currently reviewing the Reserve Policy to update target levels which will be presented to Council during the FY 2022/23 Mid - Year Budget report. • An increase of $17.3 million in assigned reserves was primarily due to multi -year capital improvement project funding of $17,330,758, which includes the one-time advance funding for the Dune Palms Bridge project. The 2022/23 Mid -Year Budget report will be presented to Council by March of 2023. The Mid -Year Budget Report may include funding options for Council to consider an allocation of unassigned reserves into Restricted or Committed reserve categories based on recommendations from the Reserve Policy update, as well as options for paying down the unfunded pension liability. In addition, staff will continue to monitor current economic impacts and operating expenses and request additional reserve funding if necessary. 170 MEASURE G SUMMARY The Financial Advisory Commission oversees and audits the use of Measure G sales tax revenues and prepares the annual Measure G Sales Tax Oversight Report. The summary below provides a preview of the revenues and expenditures to date. The Measure G reserve balance ended the fiscal year at $15,355,043. Fiscal Year (FY) 2016/17 Actual $ 1,462,650 2017/18 Actual 9,967,657 2018/19 Actual 10,958,118 2019/20 Actual 10,310,526 2020/21 Actual 12,594,389 2021/22 Actual 15,615,802 TOTAL $ 60,909,142 Fiscal Year Project Description Operational Capital Reserves Total by Year 2016/17 Eisenhower Dr. Retention Basin 750,000 X-Park Funding 712,650 1,462,650 2017/18 Public Safety Fund 300,000 North La Quinta Landscape Improvements 1,802,576 Citywide Drainage Enhancements 2,407,373 La Quinta Village Road Diet Project 1,972,158 X-Park Funding 147,350 Alongi Building Improvements 800,000 SilverRock Event Site 321,900 SilverRock Event Site 244,700 Alongi Building at SilverRock Event Site 160,000 SilverRock Event Site 290,000 SilverRock Event Site Retention Basin 10,000 SilverRock Event Site Retention Basin 427,250 Measure G Reserves 2017/18 1,084,350 9,967,657 2018/19 Public Safety Fund 850,000 Public Safety Contract Services 2,100,000 Citywide Drainage Enhancements 194,730 North La Quinta Landscape Improvements 2,129,613 SilverRock Event Site 1,300,000 Measure G Reserves 2018/19 4,383,775 10,958,118 2019/20 Public Safety Contract Services 2,750,000 Corporate Yard Administration/Crew Quarters 411,013 Highway 111 Corridor Improvements 1,000,000 North La Quinta Landscape Improvements 3,703,369 Village Art Plaza Promenade 310,000 Measure G Reserves 2019/20 2,136,144 10,310,526 2020/21 Public Safety Contract Services 4,545,000 X-Park Landscaping 275,000 Highway 111 Corridor Improvements 250,000 Measure G Reserves 2020/21 7,524,389 12,594,389 2021/22 Public Safety Contract Services 5,163,000 Landscape Renovation Improvements 1,408,356 Highway 111 Corridor Improvements 1,000,000 Fritz Burns Park Improvements 350,000 Allocate Advance Bridge Funding 7,468,061 Measure G Reserves 2021/22 226,385 15,615,802 $ 60,909,142 TOTAL $ 15,708,000 $ 29,846,099 $ 15,355,043 26% 49% 25% 171 The FY 2021/22 Year -End Budget Report provides the City Council and residents with an overview of significant variances and reflects the City's commitment to fiscal discipline and transparency. As impacts from the uncertainties of the economy are ever -changing, the City will need to continue to make fiscally responsible and strategic decisions to address the financial challenges ahead. Questions regarding this report may be directed to the Finance Department by calling 760-777-7150 or by email at finance@laquintaca.gov. i 172 CITY OF LA QUINTA GENERAL FUND REVENUE DETAILS BY CATEGORY 2020/21 2021/22 Actuals Original Budget EXHIBIT A 2021/22 YEAR-END BUDGET REPORT 2021/22 2021/22 Final Budget Actuals 101 - GENERAL FUND 310 - Tax Revenues 101-0000-40310 Property Tax Revenue 2,578,492 2,605,000 2,605,000 2,741,127 101-0000-40311 No -Low City Property Tax 4,769,373 4,706,000 4,706,000 4,805,049 101-0000-40315 RPTTF Pass Through 1,884,546 1,616,000 2,016,000 2,128,498 101-0000-41320 State Sales Tax 10,729,160 10,000,000 11,500,000 12,589,104 101-0000-41326 Measure G Sales Tax 12,594,389 11,500,000 13,500,000 15,615,802 101-0000-41327 Document Transfer Tax 1,568,997 750,000 1,240,000 1,352,585 101-0000-41400 TOT - Hotels 4,545,117 5,000,000 9,000,000 9,448,099 101-0000-41401 TOT - Short Term Vac. Rentals 6,213,353 3,000,000 6,700,000 7,144,654 101-0000-41402 TOT - Bed and Breakfast 69,987 90,000 90,000 104,426 101-0000-41416 TOT - Resort Fees 243,520 250,000 250,000 358,422 101-0000-41505 Franchise Taxes - Burrtec 894,559 785,000 785,000 966,467 101-0000-41508 Southern California Gas Franchise 173,961 140,000 140,000 206,498 101-0000-41509 Cable Television Franchise Fee 644,058 650,000 650,000 676,143 101-0000-41510 Communications Franchise Fees 229,886 250,000 250,000 210,081 101-0000-41800 Property Tax in Lieu of VLF 4,376,455 4,615,000 4,615,000 4,663,327 310 - Tax Revenues Totals: 51,515,856 45,957,000 58,047,000 63,010,284 320 - Licenses & Permits 101-0000-41411 STVR Inspection Fee 5,850 9,000 9,000 1,300 101-0000-41415 STVR Registration Fee 355,690 894,000 894,000 1,022,050 101-0000-41600 Business Licenses 373,801 350,000 350,000 378,882 101-0000-41602 STVR Business Licenses 0 0 0 57,824 101-0000-41610 Film Permits 2,800 1,000 1,000 1,428 101-0000-42400 Building Permits 437,209 210,000 1,050,000 1,185,352 101-0000-42401 Plumbing Permits 75,101 90,000 165,000 201,028 101-0000-42402 Mechanical Permits 90,394 100,000 175,000 198,643 101-0000-42403 Electrical Permits 65,016 80,000 80,000 159,331 101-0000-42404 Miscellaneous Permits 216,745 180,000 180,000 312,182 101-0000-42405 Garage Sale Permits 3,630 5,000 5,000 5,670 101-0000-42406 Golf Cart Permits 250 0 0 0 101-0000-42408 Grading Permits 18,237 10,000 10,000 66,928 101-0000-42410 Driveway Permits 0 1,000 1,000 0 101-0000-42420 Fire Plan Review Fee 55,610 60,000 60,000 99,228 101-0000-42421 Fire Inspection Fee 60,030 40,000 40,000 119,607 101-0000-42430 Transportation Permits 2,850 2,000 2,000 1,151 101-0000-42431 Conditional Use Permits 8,828 10,000 10,000 29,573 101-0000-42433 Minor Use Permit 5,400 5,000 5,000 13,564 101-0000-42434 Sign Permit 11,616 15,000 15,000 26,161 101-0000-42435 Site Development Permit 56,228 40,000 40,000 72,028 101-0000-42436 Final Landscaping Plans 5,313 12,000 12,000 24,901 101-0000-42437 Development Agreement 6,154 0 0 3,446 101-0000-42439 Temporary Use Permit 800 10,000 10,000 36,588 101-0000-43632 Public Works Permits 154,626 120,000 450,000 493,861 101-0000-43638 NPDES Inspections 12,431 8,000 8,000 10,697 320 - Licenses & Permits Totals: 2,024,611 2,252,000 3,572,000 4,521,424 330 - Intergovernmental 101-0000-41710 State Gov't Revenue 502,034 0 203,322 0 101-0000-42500 Fire Service Credit 7,591,078 7,047,900 7,047,900 7,587,538 101-0000-42501 Fire Service Reserves 70,110 800,200 570,200 561,645 101-0000-43100 FEMA 0 0 0 24,516 101-0000-43633 CSA 152 Assessments 367,882 400,000 275,000 460,052 101-0000-43634 CVWD 17,859 0 0 0 101-0000-43650 Contributions from Other Agencie! 3,000 3,000 3,000 3,000 330 - Intergovernmental Totals: 8,551,963 8,251,100 8,099,422 8,636,751 340 - Charges for Services 101-0000-42200 Leisure Enrichment 6,891 16,200 16,200 11,658 101-0000-42202 Gift Shop 84 0 0 0 101-0000-42210 Youth Sports 0 16,200 16,200 41,045 101-0000-42211 Adult Sports 75 2,160 2,160 5,755 101-0000-42212 Facility Rentals (50) 12,600 12,600 7,301 Unaudited, final amounts will be reported in the 2021/22 Financial Statements 173 CITY OF LA QUINTA EXHIBIT A GENERAL FUND REVENUE DETAILS BY CATEGORY 2021/22 YEAR-END BUDGET REPORT 2020/21 2021/22 2021/22 2021/22 Actuals Original Budget Final Budget Actuals 101-0000-42213 Special Events 0 7,200 7,200 0 101-0000-42214 Wellness Center Leisure Enrichme 6,979 19,800 19,800 12,652 101-0000-42216 Wellness Center Special Events 0 550 550 (105) 101-0000-42218 Wellness Center Memberships 10,425 54,000 54,000 52,260 101-0000-42300 Cash Over/Short 2,296 0 0 1,363 101-0000-42303 NSF Charges 95 200 200 25 101-0000-42412 Minor Adjustment, Plan Checks 38,000 3,000 3,000 28,324 101-0000-42415 Tentative Tract Map 55,357 25,000 25,000 25,414 101-0000-42416 Digitization/Records Management 29,685 20,000 20,000 53,188 101-0000-42417 Modification by Applicant 4,400 2,000 2,000 5,712 101-0000-42440 Appeals - Permits, Licenses, Proje 8,750 6,000 6,000 1,725 101-0000-42441 Planning Compliance Review 405 0 0 0 101-0000-42443 Zone Change 1,052 10,000 10,000 21,772 101-0000-42445 Environmental Assessment 11,753 5,000 5,000 5,635 101-0000-42446 General Plan Amendment 0 10,000 10,000 10,465 101-0000-42447 Home Occupations 9,750 8,000 8,000 10,039 101-0000-42448 Tentative Parcel Map 3,005 15,000 15,000 5,224 101-0000-42451 Specific Plan 14,329 10,000 10,000 4,946 101-0000-42460 Pre -Application Review 9,016 5,000 5,000 11,798 101-0000-42600 Building Plan Check Fees 521,451 475,000 475,000 929,874 101-0000-42610 SMIP Fees 498 600 600 554 101-0000-42615 CBSC Administrative Fees 473 500 500 410 101-0000-42810 Public Works Dev. Plan Check Fee 225,852 150,000 150,000 334,644 101-0000-43631 CVMSHCP Admin Fee 1,787 2,000 2,000 8,603 101-0000-43635 VGPS TBID Admin Fee 0 0 0 35,057 340 - Charges for Services Totals: 962,358 876,010 876,010 1,625,339 350 - Fines, Forfeitures & Abatements 101-0000-42700 Administrative Citations 504,205 60,000 375,000 400,708 101-0000-42701 Lot Abatement 5,812 5,000 5,000 188 101-0000-42702 Vehicle Abatement 33,669 30,000 30,000 47,293 101-0000-42703 Vehicle Impound Fee 67,962 50,000 50,000 50,870 101-0000-42705 Motor Vehicle Code Fines 110,045 110,000 110,000 62,927 101-0000-42706 Parking Violations 48,726 20,000 20,000 29,183 101-0000-42707 Misc Fines 941 1,000 1,000 9,413 101-0000-42708 Graffiti Removal 8,246 5,000 5,000 8,675 101-0000-42709 False Alarm Fees - Police 0 10,000 10,000 32,295 101-0000-42710 False Alarm Fees - Fire (600) 3,000 31000 16,038 350 - Fines, Forfeitures & Abatements Totals: 779,006 294,000 609,000 657,589 360 - Use of Money & Property 101-0000-41900 Allocated Interest 897,509 400,000 400,000 931,973 101-0000-41910 GASB 31 Interest (666,023) * 0 0 (3,964,823) 101-0000-42120 Lease Revenue 147,720 145,000 145,000 155,915 360 - Use of Money & Property Totals: 379,206 545,000 545,000 (2,876,934) 370 - Miscellaneous 101-0000-41410 Zoning Change Mitigation Fees 419,472 400,000 400,000 287,773 101-0000-41504 AMR Compliance 0 20,000 20,000 21,632 101-0000-41507 Burrtec Admin Cost Reimburseme 113,041 114,000 114,000 181,278 101-0000-42000 Insurance Recoveries 3,196 5,000 5,000 3,448 101-0000-42140 Sales of Publications & Materials 15 100 100 30 101-0000-42301 Miscellaneous Revenue 1,233 40,000 40,000 3,557 101-0000-42305 Miscellaneous Reimbursements 104,930 50,000 50,000 62,243 101-0000-45000 Sale of Other Assets 0 0 0 1,486 101-0000-48500 Extraordinary Gain 591,946 * 0 0 487,613 370 - Miscellaneous Totals: 1,233,835 629,100 629,100 1,049,059 101 - GENERAL FUND Totals: 65,446,835 58,804,210 72,377,532 76,623,512 Non -Cash Transactions Adjusted Operating Revenues 74,077 65,520,912 3,477,210 80,100,722 Unaudited, final amounts will be reported in the 2021/22 Financial Statements 174 *Non -Cash Transactions CITY OF LA QUINTA EXHIBIT B GENERAL FUND EXPENSE SUMMARY BY DEPARTMENT 2021/22 YEAR-END BUDGET REPORT 2020/21 2021/22 2021/22 2021/22 Actuals Original Budget Final Budget Actuals 1001 - City Council 233,538 302,200 302,200 251,153 Salaries and Benefits 228,115 276,700 276,700 233,149 Maintenance & Operations 5,423 25,500 25,500 18,004 1002 - City Manager 669,515 1,076,000 1,096,000 796,578 Salaries and Benefits 468,904 496,100 496,100 500,384 Contract Services 44,029 100,000 120,000 89,320 Maintenance & Operations 92,882 115,000 115,000 95,974 Other Expenses 0 300,000 300,000 46,000 Internal Service Charges 63,700 64,900 64,900 64,900 1003 - City Attorney 457,354 696,000 796,000 370,189 Contract Services 457,354 696,000 796,000 370,189 1004 - Human Resources 215,251 376,000 411,000 269,015 Salaries and Benefits 149,396 183,000 198,000 175,125 Contract Services 9,906 90,000 90,000 28,107 Maintenance & Operations 37,150 83,900 103,900 46,683 Internal Service Charges 18,800 19,100 19,100 19,100 1005 - City Clerk 494,173 625,200 667,200 586,861 Salaries and Benefits 346,786 444,600 464,600 446,644 Contract Services 62,728 90,000 102,000 48,057 Maintenance & Operations 11,660 16,200 26,200 17,760 Internal Service Charges 73,000 74,400 74,400 74,400 1006 - Finance 1,304,355 1,444,100 1,444,100 1,241,161 Salaries and Benefits 986,090 1,060,400 1,060,400 940,346 Contract Services 139,743 190,000 190,000 117,464 Maintenance & Operations 11,922 25,200 25,200 14,851 Internal Service Charges 166,600 168,500 168,500 168,500 1007 - Central Services 9,503,897 10,458,206 41,547,054 9,738,291 Salaries and Benefits 2,192,550 2,163,100 4,279,100 3,773,246 Maintenance & Operations 154,011 208,200 378,200 166,068 Other Expenses 40,291 0 0 0 Capital Expenses 371,760 410,000 613,322 599,125 Internal Service Charges 702,900 784,550 784,550 784,550 Transfers Out 6,042,385 6,892,356 35,491,882 4,415,303 2001 - Police 16,479,907 17,855,100 17,865,100 16,868,265 Contract Services 16,395,945 17,706,000 17,706,000 16,745,378 Maintenance & Operations 14,594 18,000 18,000 7,428 Utilities 14,968 20,000 20,000 17,348 Capital Expenses 0 50,000 60,000 37,010 Internal Service Charges 54,400 61,100 61,100 61,100 2002 - Fire 7,037,802 7,660,800 8,582,275 8,008,530 Salaries and Benefits 270,532 288,600 313,600 263,818 Contract Services 6,164,684 6,988,000 6,988,000 6,962,420 Maintenance & Operations 51,326 148,100 148,100 115,487 Utilities 70,552 71,500 77,000 80,798 Capital Expenses 57,472 45,000 573,000 103,395 Internal Service Charges 110,200 119,600 119,600 119,600 Transfers Out 313,037 0 362,975 363,012 3001 - Community Resources Administration 699,783 808,500 888,500 661,768 Salaries and Benefits 494,944 520,900 520,900 513,569 Contract Services 12,646 72,000 92,000 38,081 Maintenance & Operations 126,692 148,800 208,800 43,318 Internal Service Charges 65,500 66,800 66,800 66,800 3002 - Wellness Center Operations 495,568 597,900 677,900 612,277 Salaries and Benefits 374,073 411,200 491,200 476,972 Unaudited, final amounts will be reported in the 2021/22 Financial Statements 175 CITY OF LA QUINTA EXHIBIT B GENERAL FUND EXPENSE SUMMARY BY DEPARTMENT 2021/22 YEAR-END BUDGET REPORT 2020/21 2021/22 2021/22 2021/22 Actuals Original Budget Final Budget Actuals Contract Services 13,875 48,000 48,000 21,545 Maintenance & Operations 29,119 56,700 56,700 31,761 Internal Service Charges 78,500 82,000 82,000 82,000 3003 - Recreation Programs & Special Events 208,501 908,300 1,078,300 640,734 Salaries and Benefits 77,563 167,600 197,600 101,002 Contract Services 23,678 310,000 330,000 243,964 Maintenance & Operations 57,250 377,500 497,500 242,568 Other Expenses 1,610 0 0 0 Internal Service Charges 48,400 53,200 53,200 53,200 3005 - Parks Maintenance 1,782,193 2,530,900 2,656,900 2,445,674 Salaries and Benefits 348,682 355,900 355,900 340,651 Contract Services 455,927 603,600 603,600 582,436 Maintenance & Operations 376,216 634,000 697,000 634,026 Utilities 292,167 452,500 515,500 403,660 Internal Service Charges 309,200 484,900 484,900 484,900 3007 - Marketing & Community Relations 1,105,482 1,325,900 1,540,900 1,389,343 Salaries and Benefits 224,786 244,000 244,000 238,729 Contract Services 223,963 234,100 449,100 436,633 Maintenance & Operations 619,232 809,600 809,600 675,781 Internal Service Charges 37,500 38,200 38,200 38,200 3008 - Public Buildings 1,119,812 1,321,200 1,378,700 1,374,563 Salaries and Benefits 465,083 499,600 499,600 506,901 Contract Services 159,208 215,500 215,500 207,930 Maintenance & Operations 115,158 178,100 193,100 187,230 Utilities 145,363 156,000 198,500 200,502 Internal Service Charges 235,000 272,000 272,000 272,000 6001 - Design & Development Administration 639,565 656,200 746,200 816,867 Salaries and Benefits 392,319 383,500 383,500 448,748 Contract Services 130,192 120,000 210,000 222,248 Maintenance & Operations 1,753 10,300 10,300 3,471 Internal Service Charges 115,300 142,400 142,400 142,400 6002 - Planning 520,082 678,600 748,600 559,340 Salaries and Benefits 355,610 392,800 392,800 376,017 Contract Services 93,147 210,000 280,000 113,128 Maintenance & Operations 15,126 18,600 18,600 12,995 Internal Service Charges 56,200 57,200 57,200 57,200 6003 - Building 717,997 919,800 1,094,800 960,672 Salaries and Benefits 485,828 608,800 633,800 547,698 Contract Services 92,067 140,000 290,000 246,380 Maintenance & Operations 2,102 7,500 7,500 3,095 Internal Service Charges 138,000 163,500 163,500 163,500 6004 - Code Compliance/Animal Control 1,138,317 1,506,320 1,559,320 1,312,923 Salaries and Benefits 648,166 814,620 842,620 686,027 Contract Services 265,571 408,500 433,500 349,121 Maintenance & Operations 8,580 15,300 15,300 9,874 Internal Service Charges 216,000 267,900 267,900 267,900 6006 - The Hub 830,952 986,000 1,066,000 834,387 Salaries and Benefits 580,499 691,300 761,300 600,711 Contract Services 114,027 150,000 160,000 95,036 Maintenance & Operations 5,426 11,200 11,200 5,140 Internal Service Charges 131,000 133,500 133,500 133,500 7001 - Public Works Administration 509,466 739,900 739,900 535,839 Salaries and Benefits 432,718 505,100 505,100 454,607 Contract Services 1,254 150,000 150,000 0 Unaudited, final amounts will be reported in the 2021/22 Financial Statements 176 CITY OF LA QUINTA EXHIBIT B GENERAL FUND EXPENSE SUMMARY BY DEPARTMENT 2021/22 YEAR-END BUDGET REPORT 2020/21 2021/22 2021/22 2021/22 Actuals Original Budget Final Budget Actuals Maintenance & Operations 594 8,500 8,500 4,932 Internal Service Charges 74,900 76,300 76,300 76,300 7002 - Public Works Development Services 354,895 431,200 448,200 374,998 Salaries and Benefits 142,493 158,300 158,300 147,359 Contract Services 162,958 200,000 215,000 155,250 Maintenance & Operations 1,044 2,700 4,700 2,189 Internal Service Charges 48,400 70,200 70,200 70,200 7003 - Streets 437,000 496,600 503,600 426,354 Salaries and Benefits 293,784 328,400 328,400 277,298 Contract Services 58,389 80,000 80,000 64,753 Maintenance & Operations 17,369 26,000 33,000 27,104 Other Expenses 0 5,000 5,000 0 Capital Expenses 11,257 0 0 0 Internal Service Charges 56,200 57,200 57,200 57,200 7006 - Engineering Services 640,737 761,800 1,101,900 758,472 Salaries and Benefits 300,006 335,300 335,300 322,004 Contract Services 276,711 360,000 375,000 271,577 Maintenance & Operations 7,820 9,300 10,300 9,002 Other Expenses 0 0 324,100 98,689 Internal Service Charges 56,200 57,200 57,200 57,200 GENERAL FUND EXPENSES 47,596,141 55,162,726 88,940,648 51,834,255 Unaudited, final amounts will be reported in the 2021/22 Financial Statements 177 178 EXHIBIT C GENERAL FUND Capital Improvement Project Carryovers from 2021/22 to 2022/23 Project # Project Name General Fund Measure G TOTAL 111205 Dune Palms Bridge Improvements 8,001,949 7,468,061 15,470,010 2122DRA Citywide Drainage Enhancements 942,727 - 942,727 2122ADA ADA Improvements 40,000 - 40,000 2122PMP Pavement Management 2,276,271 - 2,276,271 2122STI Sidewalk Improvements 95,012 - 95,012 201603 Landscape Renovations 131,782 6,369,879 6,501,661 201606 Civic Center Campus Lake 522,740 - 522,740 201608 SilverRock Event Space - - - 201704 Eisenhower Retention Basin - - - 201709 Ave. 53/Jefferson Roundabout 630,650 - 630,650 201805 Corporate Yard Admin. Offices - 355,240 355,240 201901 Village Art Plaza Promenade - 308,208 308,208 201905 Highway 111 Corridor - 1,785,296 1,785,296 201907 Fire Station 70 Revitalization - - - 201908 Citywide Catch Basin Modifications 250,000 - 250,000 201923 Washington St. at Ave. 50 74,785 - 74,785 202007 SilverRock Retention Basin Soil Stabilization - 206,196 206,196 202102 Fritz Burns Park Improvements - 295,828 295,828 202210 Moon River Drive Pavement Rehabilitation (48,074) - (48,074) 202217 Storm Drain Maintenance 583,585 - 583,585 SAVINGS Prior CIP Project Savings 436,725 - 436,725 999902 Jefferson Interchange 34,987 - 34,987 TOTAL $ 13,973,138 $ 16,788,709 $ 30,761,847 45% 55% 100% (Negative balances represent temporary funding until grants are received 179 EXHIBIT D AMENDED CARRYOVERS Estimated carryovers from the 2021/22 to 2022/23 budget were estimated based on projected invoices in the Spring of 2022. Upon completion of the final audit, Finance verifies account balances and carryovers and amended carryovers will be added to the 2022/23 budget. - Revised Continuing Appropriations/Carryovers from 2021/22 to 2022/23 1 Description/Program Account Number Account Name Estimated Revised Class and Compensation study Marketing efforts to attract group business to hotels Vehicle purchase/improvements Vehicle purchase/improvements Emergency Operations Center equipment Postponement of citywide events X-Park programming Park landscape Improvements & tree removal Additional marketing materials La Quinta's share of the CVAG Art & Music Line Park lighting upgrades Homelessness assistance Software licenses Gold Star Family Monument Vehicle upgrades Vehicle purchase/improvements Heavy machinery/equipment purchase Council Chambers A/V equipment Playground replacement Lake pump repairs 101-1004-60103 Professional Services $ 60,000 $ 53,700 101-1007-60536 TOT Resort Rebate Program $ 200,000 $ 200,000 101-2001-71031 Vehicles $ 40,000 $ 22,900 101-2002-71031 Vehicles $ 40,000 $ 43,100 101-2002-80101 Machinery & Equipment $ 400,000 $ 400,000 101-3003-60149 Community Experiences $ 150,000 $ 180,000 101-3003-60190 X-Park Programming $ 90,000 $ 60,000 101-3005-60691 Maintenance/Services $ 100,000 $ 14,000 101-3007-60461 Marketing and Tourism Promotions $ - $ 10,000 101-7006-60480 Contributions to Other Agencies $ 324,100 $ 225,400 GENERAL FUND CARRYOVERS $ 1,404,100 $ 1,209,100 215-7004-60431 Materials & Supplies $ 300,000 $ 157,000 243-0000-60532 Homelessness Assistance $ - $ 55,000 244-0000-60301 Software Licenses $ - $ 90,000 270-0000-74800 Art Purchases $ 24,000 $ 36,700 501-0000-60675 Parts, Accessories, and Uplifts $ - $ 65,000 501-0000-71031 Vehicles, Purchased $ 135,000 $ 79,000 501-0000-80100 Machinery & Equipment $ 200,000 $ 200,000 502-0000-80100 Machinery & Equipment $ 100,000 $ 100,000 503-0000-71060 Parks $ 90,000 $ 200,000 601-0000-80100 Machinery & Equipment $ - $ 20,000 SPECIAL FUNDS CARRYOVERS $ 849,000 $ 1,002,700 TOTAL CARRYOVERS FOR ALL FUNDS $ 2,253,100 $ 2,211,800 NOTE: In June 2022 when the budget is adopted, all carryovers are estimates based on projected invoices to end fiscal year 2021122. Upon completion of the final audit, Finance verifies account balances and makes additional carryover recommendations based on current budgetary needs. In no event shall a carryover exceed the revised per account amount above. 181 182 BUSINESS SESSION ITEM NO. 2 City of La Quints CITY COUNCIL MEETING December 20, 2022 STAFF REPORT AGENDA TITLE: APPROPRIATE FUNDING FROM UNASSIGNED RESERVES AND APPROVE AGREEMENT FOR CONTRACT SERVICES WITH NV5, INC., TO PREPARE THE VILLAGE UNDERGROUNDING FEASIBILITY STUDY PROJECT NO. 2022-06 RECOMMENDATION Appropriate $24,315 in unassigned reserves; approve Agreement for Contract Services with NV5, Inc. in the amount of $124,315 to prepare the Undergrounding Feasibility Study Project No. 2022-06; and authorize the City Manager to execute the agreement. EXECU i lyt SUMMAKY • In 2010 a feasibility study was prepared to assess the undergrounding of utilities in the La Quinta Village Area (Attachment 1). • Undergrounding of utilities in the Village was identified as a priority at the 2021 and 2022 Community Workshops and funding was appropriated for the feasibility study update in the Fiscal Year 2022/23 Capital Improvement Program (CIP). • A request for proposals (RFP) to prepare a Village Undergrounding Feasibility Study was issued in both August and October 2022 when two proposals were received. • NV5, Inc. was selected as the most qualified firm to provide the requested services (Attachment 2). • Additional financial analysis services for the study were requested by staff to include as an optional task. FISCAL IMPACT The 2022/23 CIP includes funding in the amount of $100,000 in the project budget (401-0000-60185 202206D) to complete the Village Undergrounding Feasibility Study for the Project. Additional funding is needed to include the optional task for financial analysis and funding options. The initial proposal 183 cost was $99,975, and cost for the optional task is $24,340, for a total contract cost of $124,315. Staff requests the appropriation of unassigned reserves in the amount of $24,315. SACKGROUND/ANALYSIS In 2010 a Village Undergrounding Feasibility Study was prepared. This Study included the assessment of costs to underground overhead utilities within six areas in the La Quinta Village. The costs prepared for this Study are now out of date and need to be reassessed. A phasing plan is also needed to prioritize the undergrounding of the Village's commercial area and Francis Hack Lane. During the 2021 and 2022 La Quinta Community Workshops, undergrounding utilities in the La Quinta Village was identified as a community priority. Subsequently, funding was included in the 2022/23 CIP to prepare a Village Undergrounding Feasibility Study. The additional financial analysis proposed as an optional task, includes specific financing options for undergrounding the existing overhead utilities within the Village. Preliminary cost estimates per area for average parcels will be provided and a separate "Financial Options" City Council session will be conducted. The proposed Village Undergrounding Feasibility Study includes: o Current Planning Level Dry Utility Cost Estimate Update o Phasing Plan for Area 2 (commercial area and Francis Hac Lane) o Identifying Special Construction Practices o City Council Sessions / Findings o Stakeholder Meetings o Optional: Financial Analysis/Options Staff circulated an RFP for preparation of a Village Undergrounding Feasibility Study in August and October 2022. Staff received two proposals; Kimley Horn, Inc. and NV5, Inc. The selection committee, comprised of the City Manager and Public Works staff, selected NV5, Inc. as the most qualified firm. ALTERNATIVES Council may elect not to approve the optional financial analysis task. Prepared by: Julie Mignogna, Management Analyst Approved by: Bryan McKinney, Public Works Director/City Engineer Attachments: 1. 2010 Undergrounding Feasibility Study 2. NV5, Inc. Agreement ATTACHMENT 1 L11LITM City of La Quinta Undergrounding Feasibility Study Prepared for: City of La Quinta 78-495 CaIle Tampico La Quinta., CA 92253 February 17, 2009 Prepared by: Butsko Utility Design, Inc. 74-130 Country Club Drive Palm Desert, CA 92260 ii■IPBUTS K0 185 ■ UT ll.,11 `r ilt;tiit.::V, INC. Table of Contents Section 1: Project Overview Section 2: Description of Study Areas Section 3: Summary of Cost Estimates Section 4: Study Area Reviews & Detailed Cost Estimates Section 5: Review of Rules, Regulations, & Franchises Agreements :. Section 1: Project Description The project consisted of conducting a feasibility study for the possible undergrounding of existing overhead distribution utility lines within the City of La Quinta. The existing overhead utilities involved include: Imperial Irrigation District — Electric, Verizon — Telephone, and Time Warner — Cable Television. Planning level cost estimates were prepared for six study areas within the City. The study areas evaluated include: • Area 1—The Cove ® Area 2 - Downtown Commercial Area 9 Area 3 - Downtown Residential Area Q Area 4 — Sagebrush 0 Area 5 — Highland Palms • Area 6 —Westward Ho A map of the Study Areas is included at the end of this section. Field reviews were performed on each Study Area. Smaller sample areas were then selected within each larger Study Area for additional detailed field review and preparation of the cost estimates. The smaller sample areas were selected for their field conditions that made them representative of the larger respective Study Areas. The sample area cost estimates were then used as the basis of costs for the larger corresponding Study Areas. Upon completion of the field work, written descriptions and cost estimates were prepared for each unique Study Area. A summary spread sheet with all of the Study Areas was prepared which includes an estimate of each utility's costs, contractor charges for trench and substructure installation, engineering and administrative costs, and potential project financing costs. The estimates were further broken down in to three categories: Backbone, Public Right of Way, and Private Property. A more detailed explanation of these terms can be found within this report at the end of Section 4. Section 2: Description of Study Areas Study Area 1 - The Cove Area: This study area assesses the existing conditions, overall costs, and issues associated with the conversion of the overhead utilities within the residential area of The Cove. Study Area 1 is bordered by Avenida Montezuma to the west, Avenida Bermudas to the east, Calle Tampico to the north, and Calle Tecate to the south. Study Area 2 - Downtown Commercial Area: This study area assesses the existing conditions, overall costs, and issues associated with the conversion of the overhead utilities within the downtown commercial area. The downtown area has both commercial and residential customers. Study Area 2 is bordered by Avenida Bermudas to the west, Calle Guatemala to the east, Avenida La Fonda to the north and Calle Amigo to the south. Study Area 3 - Downtown Residential Area: This study area assesses the existing conditions, overall costs, and issues associated with the conversion of the overhead utilities within the downtown residential area. The western portion of Study Area 3 is bordered by Calle Guatemala to the west, Washington Street to the east, Avenida La Fonda to the north and Avenida Nuestra to the south. The eastern portion of Study Area 3 is bordered by Washington Street to the west, Calle Rondo to the east, Avenida Ultimo to the north, and Avenida Nuestra to the south. Study Area 4 — Sagebrush: This study area assesses the existing conditions, overall costs, and issues associated with the conversion of the overhead utilities within the residential area of Sagebrush. Study Area 4 is bordered by Washington Street to the west, Date Palm Drive to the east, Sagebrush Avenue to the north, and Saguaro Road to the south. Area 4 also includes the eastern side of Washington Street between Saguaro Road and 50th Avenue. Study Area 5 - Highland Palms: This study area assesses the existing conditions, overall costs, and issues associated with the conversion of the overhead utilities within the residential area of Highland Palms. Study Area 5 is bordered by Highland Palms Drive to the west and south, Washington Street to the east, and Singing Palms Drive to the north. Study Area 6 - Westward Ho: This study area assesses the existing conditions, overall costs, and issues associated with the conversion of the overhead utilities within the residential area of Westward Ho. Study Area 6 is bordered by Roudel Lane to the west, Jefferson Street to the east, Westward Ho Drive to the north, and Cortez Lane and Fiesta Drive to the south. Study Area 6 also includes the eastern side of Dune Palms Road between Westward Ho Drive and the flood channel. City Of La Quinta Overall Summary Area 1 Area 27-7 Area 3 Area 4 Area 5 Area 6 TOTALS PUBLIC RIGHT OF WAY Utility Costs $56,194,426.59 $3.489.613.50 $7.978.302.951 r1.830.604.78 $3.189.379.00 $2.617.542.70 $75.299.869.52 Contractor Costs $23.633,708.64 $1.501.785.00 $2.646,230.00 $889.305.85 $1.467.310.00 $1.046.786.61 $31,185,126.10 Engineering, Admin. Inspection 7%) $5,587,969.47 $349,397.90 $743,717.311 $190,393.74 $325,968.231 $256,503.05 $7,453,949.69 Financing (9.5%) $7,583,672.85 $474,182.86 $1,009,330.63. S258,391.51 S442,385.461 $348.111.28 $10,116,074.58 Public Right Of Way Sub-Totais $92,999,777.54 $5.814.979.25 $12,377,580.88 $3,168,695.89 $5,425,042.69 $4,268,943.64 $124,055,019.89 f 1 I PRIVATE PROPERTY Utility Costs $22.796,590.911 $471.750.00 $532.776.32 $537.885.37 $482.220.001 $236.550.00 $25,057,772.59 Contractor Costs $9,940,909.091 $933,300.00 $336,078.95 $338,165.85 $303,150.001 $176,078.57 $12,027,682.46 Engineering, Admin, Inspection (7%) $2,165,676.141 $44.816.25 $50,613.75 $51,099.11 $45.810.901 $22.472.25 $2,380,488.40 Financing (9.5%) $3,110,062.50 $133.479.75 $82.541.25 $83.224.87 574,610.151 $39.199.71 $3.523.118.23 Private Property Sub -Totals $38.013,238.64 $1,583,346.00 $1,002,010.26 $1.010,375.20 $905,791.05 $474,300.54 $42,989,061.68 AREA TOTALS $131,013,016.18 $7,398,326.25 $13,379,591.15 $4,179,071.08 $6,330,833.74 $4,743,244.17 $167,044,081.57 190 Section 4: Study Area Detailed Cost Estimates and Reviews Study Area 1 - The Cove Area: is bordered by Avenida Montezuma to the west, Avenida Bermudas to the east, Calle Tampico to the north, and Calle Tecate to the south. The majority of the existing electrical, telephone, and cable television infrastructure within Study Area 1 are overhead facilities. The utility's main overhead feeder systems run east and west. The utility's local distribution systems primarily run north and south along the rear property lines of the homes. The Public Right of Way and Private Property cost estimates were based on a sample study area of 22 homes. The sample study area is Avenida Carranza between Calle Temecula and Calle Madrid. The homes in this area are served by a combination of overhead and underground services. ® The type of home and front and rear yard landscaping varies, but the block is typical for The Cove. 6 No vacant lots on this block. Gas has not been extended this far so a cost is shown, as an optional item, for extending the gas. 191 Exhibit A City Of La Quinta Study Area 1 Area #1 The Cove Sample Area Avenida Carranza between Calle Temecula and Calle Madrid Description of Sample Area Number of Lots in sample area: 22 Linear Footage: 750 Description of existing utilties: The existing overhead utilities include: Imperial Irrigation District (electric), Verizon (phone), Time Warner (cable TV). The existing overhead facilities and poles are in the back yards of the homes along the rear lot line. Description of existing services: The existing utility services are underground/overhead from the overhead poles to the homes... Description of new underground utilties: The new underground utiliies will be placed in a shared joint trench. It is assumed that the utilities will install the new underground facilties in a shared joint trench in the existing streets Estimate of Costs - Backbone (22 Homes) Total Cost Per Lot Utility Costs $83,953.31 $3,816.06 Contractor Costs $43,742.58 $1,988.30 Sub -Total $127,695.88 $5,804.36 Estimate of Costs - Right Of Way (22 Homes) Total Utility Costs $190,775.00 Contractor Costs $71.800.00 Sub -Total $262,575.00 Estimate of Costs - Private Property (22 Homes) Total Utility Costs $111,450.00 Contractor Costs $48,600.00 Sub -Total $160,050.00 Sample Area Total: Sample Area Cost Per Lot: $550,320.88 Cost Per Lot $8,671.59 $3,263.64 $11,935.23 Cost Per Lot $5,065.91 $2,209.09 $7,275.00 $25,014.59 2/17/2009 Butsko Utility Design, Inc. 192 Exhibit A Area #1 OVERALL ESTIMATE Area 1 Description of Area Number of Lots in sample area: Description of existing utilties: Description of existing services: Description of new underground utilties: City Of La Quinta Study Area 1 The Cove 4500 The existing overhead utilities include: Imperial Irrigation District (electric), Verizon (phone), Time Warner (cable TV). The existing overhead facilities and poles are in the back yards of the homes along the rear lot line. The utility services are underground/overhead from the overhead poles to the homes... The new underground utiliies will be placed in a shared joint trench. It is assumed that the utilities will approve placement of their new underground facilties in the existing streets Estimate of Costs - Backbone (4500 Homes) Total Utility Costs $17,172,267.50 Contractor Costs $8,947,345.00 Sub -Total $26,119,612.50 Estimate of Costs - Right Of Way (4500 Homes) Total Utility Costs $39,022,159.09 Contractor Costs $14,686,363.64 Sub -Total $53,708,522.73 Estimate of Costs - Private Property (4500 Homes) Total Utility Costs $22,796,590.91 Contractor Costs $9,940,909.09 Sub -Total $32,737,500.00 Overall Area Total: Overall Area Cost Per Lot: $112,565.635.23 Cost Per Lot $3,816.06 $1,988.30 $5,804.36 Cost Per Lot $8,671.59 $3,263.64 $11,935.23 Cost Per Lot $5,065.91 $2,209.09 $7,275.00 $25,014.59 2/17/2009 Butsko Utility Design, Inc. 193 VW-B UT(�� 74-130 Country Club Drive, Suite 102 s7 Palm Desert, CA 92260 Date: 12/11/08 UnLITY MIGN, IIiC. Phone: (760) 601-3390, Fax (760) 346-8518 Exhibit B Dry Utility Opinion Of Cost Backbone Overall Estimate Client: City of La Quinta Project: La Quinta - Study Address: 78-495 Calle Tampico Area 1 - Cove La Quinta, CA 92562 Avenida Carranza - From Calle Attn: Nick Nickerson Temecula to Calle Madrid Telephone: (760) 346-7481 Type: Residential Fax: 60 346-8315 City/County: La Quinta, Riverside Co Avenida Carranza - From Calle Temecula to Calle Madrid Summary Estimated Costs: Description Quantity Unit Cost Per Cost Electric IID Distribution 200 Ft. $45.00 $9,000.00 IID Back Bone Footage 83969 Ft. $85,00 $7,137,365.00 IID Overhead Removals 60709 Ft. $50.00 $3,035,450.00 IID Service Conversion with UG Service 0 Ea $950,00 $0.00 IID Service Conversion with OH Service 0 Ea $1,750,00 $0.00 Total $10,181,815.00 Telephone Telephone Conversion/Relocation 41985 Ft. $50.00 $2,099,250.00 Telephone Service Conversion with UG Service 0 Ea $950.00 $0.00 Telephone Service Conversion with OH Service 0 Ea $1,750.00 $0.00 ITCC Charges 0 Ea. 33% $692,752.50 Total $2,792,002.50 CAN CAN Conversion 83969 Ft. $50.00 $4,198,450.00 CAN Service Conversion with UG Service 0 Ea. $950.00 $0 00 CAN Service Conversion with OH Service 0 Ea. $1,750.00 $0.00 Total $4,198,450.00 Subtotal Utility Costs $17,172,267.50 Contractor BB Trench, Backfill, Conduit, Full Encasement 83969 Ft. $105.00 $8,816,745 00 BB Trench, Backfill, Conduit, Semi Encasement 200 Ea $85.00 $17,000 00 Local Distribution Trench, Backfill, Conduit, No Encasement 1000 Ft. $65.00 $65,000.00 Convert Service with existing UG Service 16 Ea $1,800 00 $28,800 00 Convert Service with existing OH Service 6 Ea $3,300.00 $19,800.00 Mainline Services 0 Ft. $35.00 $0.00 Total $8,947,345.00 Subtotal Contractor Costs $83947,345.00 Total Backbone Cost $26,119,612.50 Total Number of Lots 4500 Backbone Surcharge Per Lot $51804.36 This estimate performed to obtain a per lot cost for the overall backbone system feeding the area. 194 ��BUTSK0 Exhibit B Dry Utility Opinion Of Cost Optional Items Date: 12/11/2008 Client: Gily of La Quinta Project: La Quinta - Study Address: 78-495 Calle Tampico Area 1 - Cove La Quinta, CA 92562 Avenida Carranza - From Calle Attn: Nick Nickerson Temecula to Calle Madrid Telephone: (760) 346-7481 Type: Residential Fax: (760) 346-8315 CitylCounty: La Quinta, Riverside Co Gas Distribution Main 671752 Ft. $15.00 $1,007,628.00 Distribution Main/Bring - Up 0 Ft. $17.00 $0 00 Gas Main Relocation 0 Ft. $25 00 $0.00 Service Stubs 0 Ea $150 00 $0.00 Joint Trench Credit 671752 Ft. ($1.00) ($67,175 20) ITCC Charges 0 Ea 35% $352,669.80 Total $1,293,122.60 Street Lights Eiectroliers/Heads In -Tract 0 Ea. $1,700 00 $0 00 Electroliers/Heads Backbone 210 Ea $2,200 00 $461,829 50 Meter Pedestal 10 Ea $3,655.00 $36,550.00 Total $498,379.50 195 ,- BUTSK0 74-130 Country Club Drive, Suite 102 li ►► Palm Desert, CA 92260 Date: 12/11108 E!'RI.I'iY DESIGN, INC, Palm (760) 601-3390, Fax (760) 346-8518 Exhibit C Dry Utility Opinion Of Cost Sample Area Right Of Way Client: City of La Quinta Project: La Quinta - Study Address: 78-495 Calle Tampico Area 1 - Cove La Quinta, CA 92562 Avenida Carranza - From Calle Altn: Nick Nickerson Temecula to Calle Madrid Telephone: (760) 346-7481 Type: Residential Fax: (760) 346-8315 City/County: La Quinta, Riverside Co Avenida Carranza - From Calle Temecula to Calle Madrid Summary Estimated Costs: Description Quantity Unit Cost Per Cost Electric III) Distribution 920 Ft. $45.00 $41,400.00 IID Back Bone Footage 100 Ft. $85.00 $8,500.00 IID Overhead Removals 820 Ft. $50.00 $41,000.00 IID Service Conversion with UG Service 0 Ea $950.00 $0.00 IID Service Conversion with OH Service 0 Ea $1,750.00 $0.00 Total $90,900.00 Telephone Telephone Conversion/Relocation 850 Ft. $50.00 $42,500.00 Telephone Service Conversion with UG Service 0 Ea $950.00 $0.00 Telephone Service Conversion with OH Service 0 Ea $1,750.00 $0 00 ITCC Charges 0 Ea 35% $14,875,00 Total $57,375.00 CAN CAN Conversion 850 Ft. $50 00 $42,500.00 CAN Service Conversion with UNDG Service 0 Ea $950.00 $0 00 CAN Service Conversion with OH Service 0 Ea $1,750.00 $0.00 Total $42,500.00 Contractor BB Trench, Backfill, Conduit, Full Encasement 0 Ft. $105.00 $0.00 BB Trench, Backfill, Conduit, Semi Encasement 100 Ea $85 00 $8,500.00 Local DistributionTrench, Backfill, Conduit, No Encasement 920 Ft $65.00 $59,800.00 Convert Service with existing UG Service 0 Ea $1,800.00 $0.00 Convert Service with existing OH Service 0 Ea $3,300.00 $0.00 Mainline Services 100 Ft. $35.00 $3,600.00 Total $71,800.00 Tatal Backbone Cast $262,575.00 Total Number of Lots 22 Rlght of Way Surcharge Per Lot $11,935.23 196 VWBUTSKO Exhibit C Dry Utility Opinion Of Cost Optional Items Date: 12/1112008 Gas Distribution Main 850 Ft. $15.00 $12,750.00 Distribution Main/Bring - Up 100 Ft. $17.00 $1,700.00 Gas Main Relocation 0 Ft. $25.00 $0.00 Service Stubs Ea $150 00 $0.00 Joint Trench Credit 850 Ft. ($1.00) ($850.00) ITCC Charges 0 Ea 35% $5,057.50 Total $18,657.60 Street Lights Electroliers/Heads In -Tract 2 Ea $1,700.00 $3,400.00 Electroliers/Heads Backbone 2 Ea $2,200.00 $4,400 00 Meter Pedestal 1 Ea $9,655.00 $9,655.00 Total $17,455.00 197 ,V BU'�`(' jj 74-130 Country Club Drive, Suite 102 kA1 SK Palm Desert, CA 92260 Date: 12111/08 Li11LETY U15IG[ti, INC, Phone: (760) 601-3390, Fax (760) 346-8518 Exhibit D Dry Utility Opinion Of Cost Sample Area Private Property Estimate Client: City of La Quinta Project: La QUinta • Study Addross: 78-495 Calle Tampico Area 1 - Cove La Quinta, CA 92562 Avenida Carranza - From Calle Attn: Nick Nickerson Temecula to Calle Madrid Telephone: (760) 346-7481 Type: Residential Fax: (760) 346-8315 CitylCounty: La Quinta. Riverside Co Avenida Carranza - From Calle Temecula to Calls Madrid Summary Estimated Costs: Description Quantity Unit Cost Per Cost Electric IID Distribution 0 Ft. $45.00 $0.00 IID Back Bone Footage 0 Ft. $85.00 $0 00 IID Overhead Removals 1540 Ft. $50.00 $77,000.00 IID Service Conversion with UG Service 16 Ea $950 00 $15,200.00 IID Service Conversion with OH Service 6 Ea $1,750.00 $10,500.00 Total $77,000.00 Telephone Telephone Conversion/Relocation 0 Ft. $50 00 $0.00 Telephone Service Conversion with UG Service 0 Ea $950 00 $0.00 Telephone Service Conversion with OH Service 5 Ea $1,750.00 $8,750.00 ITCC Charges 0 Ea 33% $0.00 Total $8,750.00 CAN CAN Conversion 0 Ft. $50 00 $0 00 CATV Service Conversion with UG Service 16 Ea $950 00 $15,200.00 CAN Service Conversion with OH Service 6 Ea $1,750.00 $10,500.00 Total $25,700.00 Contractor BB Trench, Backfill, Conduit, Full Encasement 0 Ft. $105.00 $0.00 BB Trench, Backfill, Conduit, Semi Encasement 0 Ea $85 00 $0.00 Local Distribution Trench, Backfill, Conduit, No Encasement 0 Ft. $65.00 $0 00 Convert Service with existing UG Service 16 Ea $1,800.00 $28,800.00 Convert Service with existing OH Service 6 Ea $3,300.00 $19,800 00 Mainline Services 0 Ft. $35.00 $0.00 Total $48,600.00 Total Backbone Cost $160,050.00 Total Number of Lots 22 Private Property Per Lot $7,275.00 4A 11-FILITY DESIGN, INC Exhibit D Dry Utility Opinion Of Cost Optional Items Date: 12/11/2008 Gas Distribution Main 0 Ft. $15.00 $0.00 Distribution Main/Bring - Up 0 Ft. $17.00 $0.00 Gas Main Relocation 0 Ft. $25.00 $0.00 Service Stubs 22 Ea $150.00 $3,300.00 Joint Trench Credit 0 Ft. ($1.00) $0.00 ITCC Charges 0 Ea 35% $1,155.00 Total $4,455.00 Street Lights Electroliers/Heads In -Tract 0 Ea $1,700.00 $0.00 Electroliers/Heads Backbone 0 Ea $2,200.00 $0.00 Meter Pedestal 0 Ea $3,655.00 $0.00 Total $0.00 •e Study Area 2 - Downtown Commercial Area: is bordered by Avenida Bermudas to the west, Calle Guatemala to the east, Avenida La Fonda to the north and Calle Amigo to the south. The majority of the electrical, telephone, and cable TV facilities in Study Area 2 are overhead facilities. The utility's main feeder systems primarily run overhead north and south. The utility's local distribution systems primarily run east and west along the alleyways and/or rear property lines of the businesses and homes. The Public Right of Way and Private Property cost estimates were based on a sample study area of 8 businesses. The sample study area is the alley between Avenida La Fonda and Calle Estado from Avenida Bermudas to Desert Club Dr. ® The businesses in this area are served by overhead and underground services. • Electric service equipment on the buildings varies significantly. • The size of lot, hardscape, and landscaping conditions vary. + The area is not very dense and there are many of vacant lots in the area causing the cost per lot to increase dramatically. 200 Exhibit A Area #2 Sample Area Description of Sample Area Number of Lots in sample area: Linear Footage: Description of existing utilties: Description of existing services: Description of new underground utilties: Estimate of Costs - Backbone (8 Commercial Lots) Utility Costs Contractor Costs Sub -Total Estimate of Costs - Right Of Way (8 Commercial Lots) Utility Costs Contractor Costs Sub -Total City Of La Quinta Study Area 2 Downtown Commercial Alley between Avenida La Fonda and Calle Estado 8 720 The existing overhead utilities include: Imperial Irrigation District (electric), Verizon (phone), Time Warner (cable TV). The existing overhead facilities and poles are located along the rear property line in the alleyways between the businesses. There are also existing overhead facilities on the street frontage of Desert Club Drive. The existing utility services are underground/overhead from the overhead poles to the businesse. The new underground utiliies will be placed in a shared joint trench. It is assumed that the utilities will install the new underground facilties in a shared joint trench in the existing alleys and streets. Total $387,416.24 $159,974.12 $547,390.35 Total $169,180.00 $75,600.00 $244,780.00 Estimate of Costs - Private Property (8 Commercial Lots) Total Utility Costs $74,000.00 Contractor Costs $146,400.00 Sub -Total $220,400.00 Sample Area Total: Sample Area Cost Per Lot: $1,012.570.35 Cost Per Lot $48,427.03 $19,996.76 $68,423.79 Cost Per Lot $21,147.50 $9,450.00 $30,597.50 Cost Per Lot $9,250.00 $18,300.00 $27,550.00 $126,571.29 2/17/2009 Butsko Utility Design, Inc. 201 Exhibit A Area #2 OVERALL ESTIMATE Area 2 Description of Area Description of existing utilties: Description of existing services: Description of new underground utilties: Estimate of Costs - Backbone (51 Developed Parcels) Utility Costs Contractor Costs Sub -Total Estimate of Costs - Right Of Way (51 Developed Parcels) Utility Costs Contractor Costs Sub -Total City Of La Quinta Study Area 2 Downtown Commercial Calle Amigo, Calle Barcelona, Calle Estado, Calle Fortuna, Calle Cadiz, Avenida la Fonda from Avenida Bermudas to Calle Guatamala, Avenida Bermudas from Calle Amigo to Avenida la Fonda, Desert Club Drive from Avenue 52 to Main Street. The existing overhead utilities include: Imperial Irrigation District (electric), Verizon (phone), Time Warner (cable TV). The existing overhead facilities and poles are located along the rear property line in the alleyways between the businesses. There are also existing overhead facilities on the street frontage of Desert Club Drive. The existing utility services are underground/overhead from the overhead poles to the businesse. The new underground utiliies will be placed in a shared joint trench It is assumed that the utilities will install the new underground facilties in a shared joint trench in the existing alleys and streets Total $2,469,778 50 $1,019,835.00 $3,489,613.50 Total $1,078,522.50 $481,950.00 $1,560,472.50 Estimate of Costs - Private Property (51 Developed Parcels) Total Utility Costs $471,750.00 Contractor Costs $933,300.00 Sub -Total $1,405,050.00 Overall Area Total: Overall Area Cost Per Lot: $6.455.136.00 Cost Per Lot $48,427 03 $19,996.76 $68,423.79 Cost Per Lot $21,147.50 $9,450 00 $30,597 50 Cost Per Lot $9,250.00 $18,300.00 $27, 550.00 $126,571.29 2/17/2009 Butsko Utility Design, Inc. 202 ,V B UTSHO 74-130 Country Club Drive, Suite 102 1 Palm Desert, CA 92260 Date: 116109 ill lillY DES)Cii ItiC, Phone: (760) 601-3390, Fax (760) 346-8518 Exhibit B Dry Utility Opinion Of Cost Backbone Overall Estimate Client: City of La Qulnta Project: La Quinta - Study Address: 78-495 Calle Tampico Area 2 - Downtown Commercial La Quinta, CA 92562 Attn: Nick Nickerson Telephone: (760) 346-7481 Type: Commercial Fax: (760) 346-6315 CitylCounty: La Quinta, Riverside Co Calls Amigo, Calle Barcelona, Calle Estado, Calle Fortuna, Calle Cadiz, Avenida la Fonda from Avenida Bermudas to Calle Guatamala, Avenida Bermudas from Calle Amigo to Avenida la Fonda, Desert Club Drive from Avenue 52 to Main Street. Summary Estimated Costs: Description Electric IID Distribution - Commercial IID Distribution - Residential IID Back Bone Footage IID Overhead Removals IID Service Conversion with UG Service IID Service Conversion with OH Service Total Telephone Quantity Unit Cost Per Cost 4776 Ft. $55.00 $262,680.00 2400 Ft $45.00 $108,000.00 4263 Ft $85.00 $362,355 00 8082 Ft. $50.00 $404,100.00 0 Ea $950 00 $0 00 0 Ea $1,750.00 $0 00 $1,137,135.00 Telephone Conversion/Relocation 11439 Ft. $50 00 $571,950.00 Telephone Service Conversion with UG Service 0 Ea $950.00 $0 00 Telephone Service Conversion with OH Service 0 Ea $1,750.00 $0.00 ITCC Charges 0 Ea. 33% $188,743.50 Total $760,693.50 CAN CATV Conversion 11439 Ft. $50.00 $571,950.00 CAN Service Conversion with UG Service 0 Ea $950.00 $0 00 CAN Service Conversion with OH Service 0 Ea $1,750.00 $0.00 Total $571,960.00 Subtotal Utility Costs $2,469,778.60 Contractor BB Trench, Backfill, Conduit, Full Encasement 4776 Ft. $105.00 $501,480.00 BB Trench, Backfill, Conduit, Semi Encasement 4263 Ea $85.00 $362,355.00 Local Distribution Trench, Backfill, Conduit, No Encasement 2400 Ft. $65.00 $156,000.00 Convert Service with existing UG Service 0 Ea $1,800.00 $0 00 Convert Service with existing OH Service 0 Ea $3,300.00 $0.00 Mainline Services 0 Ft. $35,00 $0.00 Total $1,019,835.00 Subtotal Contractor Costs $1,019,835.00 Total Backbone Cast $3,489,613,50 Total Number of tots 51 Backbone Surcharge Per Lot $68.423.79 203 FIBUTSK0 Exhibit B Dry Utility Opinion Of Cost Optional Items Date: 1/6/2009 Client: City of La Quinla Project, La Quinla - Study Address: 78-495 Calle Tampico Area 2 - Downtown Commercial La Quinta, CA 92562 Backbone AIM Nick Nickerson Telephone: (760) 346-7481 Type: Commercial Fax: (760) 346-8315 City/County: La Quirila. Riverside Cc Gas Distribution Main 0 Ft. $15.00 $0 00 Distribution Main/Bring - Up 0 Ft. $17.00 $0.00 Gas Main Relocation 0 Ft. $26.00 $0 00 Service Stubs 0 Ea $150.00 $0.00 Joint Trench Credit 0 Ft. ($1.00) $0.00 ITCC Charges 0 Ea 35% $0.00 Total $0.00 Street Lights Electroliers/Heads In -Tract 11 Ea $1,700.00 $18,117.75 Electroliers/Heads Backbone 12 Ea $2,200.00 $26,268.00 Meter Pedestal 4 Ea $3,655.00 $14,620.00 Total $59,005.75 204 R BUT[' KO 74-130 Country Club Drive, Suite 102 1 ►7 Palm Desert, CA 92260 Date: 1/6109 iE7'Il.17Y DESIGN, INC. Phone: (760) 601-3390, Fax (760) 346-8518 Exhibit C Dry Utility Opinion Of Cost Commercial Ri ht of Way Estimate Client: City of La Quints Project: La Quints - Study Address: 78-495 Calle Tampico Area 2 - Downtown Commercial La Quints, CA 92562 Attn: Nick Nickerson Telephone: (760) 346-7481 Type: Commercial Fax: (760) 346-8315 CityfCounty: La Quinta, Riverside Co Sample Area - Alley between Avenida La Fonda and Calle Estado Summary Estimated Costs: Description Electric IID Distribution - Commercial IID Distribution - Residential IID Back Bone Footage IID Overhead Removals IID Service Conversion with UG Service IID Service Conversion with OH Service Quantity Unit Cost Per Cost 720 Ft. $65.00 $46,800.00 0 Ft. $45 00 $0.00 0 Ft. $85.00 $0.00 770 Ft. $50.00 $38,500.00 0 Ea $950.00 $0.00 0 Ea $1.750.00 $0.00 Total $85,300.00 Telephone Telephone Conversion/Relocation 720 Ft. $50.00 $36,000.00 Telephone Service Conversion with UG Service 0 Ea $950,00 $0.00 Telephone Service Conversion with OH Service 0 Ea $1,750.00 $0 00 ITCC Charges 0 Ea 33% $11.880 00 Total $47,880.00 CATV CATV Conversion 720 Ft. $50 00 $36,000.00 CAN Service Conversion with UG Service 0 Ea $950.00 $0.00 CAN Service Conversion with OH Service 0 Ea $1,750.00 $0.00 Total $36,000.00 Subtotal Utility Costs $169,180.00 Contractor BB Trench, Backfill, Conduit, Full Encasement 720 Ft. $105.00 $75,600.00 BB Trench, Backfill, Conduit, Semi Encasement 0 Ea $85.00 $0.00 Local Distribution Trench, Backfill, Conduit, No Encasement 0 Ft. $65.00 $0.00 Convert Service with existing UG Service 0 Ea $1,800.00 $0.00 Convert Service with existing OH Service 0 Ea $3,300.00 $0.00 Mainline Services 0 Ft. $35 00 $0 00 Total $75,600.00 Subtotal Contractor Costs $75,600.00 Total Right Of Way Cost S244,780.00 Total Number of Lots 6 Right of Way Surcharge Per Lot $30,597.50 205 VIPBUTSKO Exhibit C Dry Utility Opinion Of Cost Optional Items Date: 11612009 Client: City of La Quinta Protect: La Quinta - Study Address: 78-495 Calle Tampico Area 2 - Downtown Commercial La Quinta, CA 92562 Right Of Way Attn: Nick Nickerson Telephone: (760) 346-7481 Type: Commercial Fax: (760) 346-8315 CitylCounty: La Quinta, Riverside Co Gas Distribution Main 0 Ft. $15.00 $0.00 Distribution Main/Bring - Up 0 Ft. $17.00 $0.00 Gas Main Relocation 0 Ft. $25.00 $0.00 Service Stubs 0 Ea $150.00 $0.00 Joint Trench Credit 0 Ft. ($1.00) $0.00 ITCC Charges 0 Ea 35% $0.00 Total $0.00 Street Lights Electroliers/Heads In -Tract 2 Ea. $1.700.00 $3,060.00 Electroliers/Heads Backbone 0 Ea. $2,200.00 0 Meter Pedestal 1 Ea $3.655.00 $3,655 00 Total $6,716.00 206 UPBUTSK0 74-130 Country Club Drive, Suite 102 Palm Desert, CA 92260 Date: 116109 iI11I.17Y I}CSEGti, INC. Palm (760) 601-3390, Fax (760) 346-8518 Exhibit D Dry Utility Opinion Of Cost Commercial Private Property Estimate Client: City of La Quinta Project: La Quinta - Study Address: 78-495 Calle Tampico Area 2 - Commercial/Residential La Quinta, CA 92562 Attu: Nick Nickerson Telephone: (760) 346-7481 Type: Commercial/Residential Fax: (760) 346-8315 CitylCourtty. La Quinta, Riverside Co Sample Area - Alley between Avenida La Fonda and Calle Estado Summary Estimated Costs: Description Quantity Unit Cost Per Cost Electric III) Distribution - Commercial 800 Ft. $55.00 $44,000 00 IID Distribution - Residential 0 Ft. $45.00 $0.00 IID Back Bone Footage 0 Ft. $85.00 $0.00 IID Overhead Removals 0 Ft. $50 00 $0.00 IID Service Conversion with UG Service 5 Ea $950 00 $4,750.00 IID Service Conversion with OH Service 3 Ea $1,750.00 $5,250.00 Total $54,000.00 Telephone Telephone Conversion/Relocation 0 Ft. $50.00 $0.00 Telephone Service Conversion with UG Service 5 Ea $950.00 $4,750.00 Telephone Service Conversion with OH Service 3 Ea $1,750.00 $5,250.00 ITCC Charges 0 Ea 33% $0.00 Total $10,000.00 CAN CAN Conversion 0 Ft. $50.00 $0.00 CAN Service Conversion with UG Service 5 Ea. $960.00 $4,750 00 CAN Service Conversion with OH Service 3 Ea. $1,750.00 $5,250.00 Total $10,000.00 Subtotal Utility Costs $74,000.00 Contractor BB Trench, Backfill, Conduit, Full Encasement 800 Ft. $105.00 $84,000 00 BB Trench, Backfill, Conduit, Semi Encasement 200 Ea $85.00 $17.000.00 Local Distribution Trench, Backfill, Conduit, No Encasement 0 Ft. $65.00 $0.00 Convert Service with existing UG Service 5 Ea $3,800.00 $19,000.00 Convert Service with existing OH Service 3 Ea $8,800.00 $26,400.00 Mainline Services 0 Ft. $35.00 $0 00 Total $146.400.00 Subtotal Contractor Costs $146,400.00 Total Private Pro a Cost $220o400.00 Total Number of Lots 8 Private Property Surcharge Per Lot $27,560.00 207 Date: 11612009 Exhibit D Dry Utility Opinion Of Cost Optional Items Client: City of La Quinta Project: La Qu€nla - Study Address: 78-495 Calle Tampico Area 2 - Downtown Commercial La Quinta, CA 92562 Private Prop Atln: Nick Nickerson Telephone: (760) 346-7481 Type: Commercial Fax: (760) 346-8315 CitylCounty: La Quinta, Riverside Co Gas Distribution Main 0 Ft. $15 00 $0.00 Distribution Main/Bring - Up 0 Ft. $17.00 $0.00 Gas Main Relocation 0 Ft. $25.00 $0 00 Service Stubs 0 Ea $150.00 $0.00 Joint Trench Credit 0 Ft. ($1.00) $0.00 ITCC Charges 0 Ea 35% $0.00 Total $0.00 Street Lights ElectrolierslHeads In -Tract 0 Ea $1,700.00 ElectrolierslHeads Backbone 0 Ea $2,200.00 Meter Pedestal 0 Ea $3,655 00 Total $0.00 $0.00 $0 00 $0.00 I Study Area 3 - Down Town Residential Area: the western portion of Area 3 is bordered by Calle Guatemala to the west, Washington Street to the east, Avenida La Fonda to the north and Avenida Nuestra to the south. The eastern portion of Area 3 is bordered by Washington Street to the west, Calle Rondo to the east, Avenida Ultimo to the north, and Avenia Nuestra to the south. The majority of the electrical, telephone, and cable TV facilities in Area 3 are overhead facilities. The utility's main overhead feeder systems run east and west. The utility's local distribution systems primarily run north and south along the rear property lines of the homes. The public Right of Way and Private Property cost estimates were based on a sample study area of 16 homes, 2 lots, and a church. The sample study area is Calle Quito between Avenida Tujunga and Calle Tampico. • The homes in this area are served by overhead and underground services. ■ The type of home and front and rear yard landscaping varies. 41 The residential lot frontage is greater than the Cove. m The area is not as dense as the Cove. There are vacant lots in the area causing the cost per lot to increase. Along Calle Rando there appear to be idle de -energized electric facilities at Ultimo and Rando. ZIOJ Exhibit A City Of La Quinta Study Area 3 Area #3 Downtown Residential Sample Area Calle Paloma between Avenida Tujunga and Calle Tampico Description of Sample Area Number of Lots in sample area: 19 Linear Footage: 1010 Description of existing utilties: The existing overhead utilities include: Imperial Irrigation District (electric), Verizon (phone), Time Warner (cable TV). The existing overhead facilities and poles are located along the rear property line of the homes. There are also existing overhead transmission facilities on the street frontage of Calle Rondo that appear to be idle. Description of existing services: The existing utility services are underground/overhead from the overhead poles to the homes... Description of new underground utilties: The new underground utiliies will be placed in a shared joint trench. It is assumed that the utilities will install the new underground facilties in a shared joint trench in the existing streets Estimate of Costs - Backbone (19 Homes) Total Cost Per Lot Utility Costs $689,348.67 $36,281.51 Contractor Costs $304,717.39 $16,037.76 Sub -Total $994,066.07 $52,319.27 Estimate of Costs -Right Of Way (19 Homes) Total Cost Per Lot Utility Costs $229,365.00 $12,071.84 Contractor Costs $119,850.00 $6,307.89 Sub -Total $349,215.00 $18,379.74 Estimate of Costs - Private Property (19 Homes) Total Cost Per Lot Utility Costs $61,350.00 $3,228.95 Contractor Costs $38,700.00 $2,036.84 Sub -Total $100,050.00 $5,265.79 Sample Area Total: $1,443,331.07 Sample Area Cost Per Lot: $75,964.79 2/17/2009 Butsko Utility Design, Inc. 210 Exhibit A City Of La Quinta Study Area 3 Area #3 Downtown Residential OVERALL ESTIMATE Area 3 Description of Area Area south of Avenida La Fonda, North of Avenida Nuestra, East of Washington Street and west of Calle Cadiz And the area east of Washington Street west of Calle Rondo, south of Avenida Ultimo and north of Avenida Nuestra Description of existing utilties: The existing overhead utilities include: Imperial Irrigation District (electric), Verizon (phone), Time Warner (cable TV). The existing overhead facilities and poles are located along the rear property line of the homes. There are also existing overhead transmission facilities on the street frontage of Calle Rondo that appear to be idle. Description of existing services: The utility services are underground/overhead from the overhead poles to the homes. Description of new underground utilties: The new underground utiliies will be placed in a shared joint trench. It is assumed that the utilities will approve placement of their new underground facilties in the existing streets Estimate of Costs - Backbone (165 Homes) Total Cost Per Lot Utility Costs $5,986,449.00 $36,281.51 Contractor Costs $2,646,230.00 $16,037.76 Sub -Total $8,632,679.00 $52,319.27 Estimate of Costs -Right Of Way (165 Homes) Total Utility Costs $1,991,853.95 Contractor Costs $1.040.802.63 Sub -Total $3,032,656.58 Estimate of Costs - Private Property (165 Homes) Total Utility Costs $532,776.32 Contractor Costs $336,078.95 Sub -Total $868,855.26 Overall Area Total: Overall Area Cost Per Lot: $12,534,190.84 Cost Per Lot $12,071.84 $6,307.89 $18,379.74 Cost Per Lot $3,228.95 $2,036.84 $5,265.79 $75.964.79 2/17/2009 Butsko Utility Design, Inc. 211 VWBU TSK0 74-130 Country Club Drive, Suite 102 Palm Desert, CA 92260 Date: 1128109 LiTIi 1TY DESIGN, INC. Phone: (760) 601-3390, Fax (760) 346-8618 Exhibit B Dry Utility Opinion Of Cost Backbone Overall Estimate 7llent: City of La Quinta Project: La Quinta - Study address: 78-495 Calls Tampico Area 3 - Downtown Residential La Quinta, CA 92562 Utn: Nick Nickerson telephone: (760) 346-7481 Type: Residential :ax: (760) 346-8315 City./County: La Quinta, Riverside Co Sample Area - Calls Paloma from Avenida Tujunga to Calle Tampico Summary Estimated Costs: Description Quantity Unit Cost Per Cost Electric IID Distribution - Commercial 0 Ft. $55.00 $0 00 IID Distribution - Residential 12510 Ft. $45.00 $562,950.00 IID Back Bone Footage 14456 Ft. $85 00 $1,228,760.00 IID Overhead Removals 21064 Ft. $50.00 $1,053,200.00 IID Service Conversion with UG Service 0 Ea. $950.00 $0 00 IID Service Conversion with OH Service 0 Ea. $1,750.00 $0.00 Total $2,844,910.00 Telephone Telephone Conversion/Relocation 26966 Ft. $50.00 $1,348,300.00 Telephone Service Conversion with UG Service 0 Ea. $950.00 $0.00 Telephone Service Conversion with OH Service 0 Ea. $1,750.00 $0 00 ITCC Charges 0 Ea. 33% $444,939 00 Total $1,793,239.00 CAN CATV Conversion 26966 Ft. $50.00 $1,348,300 00 CATV Service Conversion with UG Service 0 Ea. $950.00 $0 00 CAN Service Conversion with OH Service 0 Ea. $1,750 00 $0 00 Total $1,348,300.00 Subtotal Utility Costs $6.986.449.00 Contractor BB Trench, Backfill, Conduit, Full Encasement 14456 Ft. $105.00 $1,517,880.00 BB Trench, Backfill, Conduit, Semi Encasement 12510 Ea $85 00 $1,063,350 00 Local Distribution Trench, Backfill, Conduit, No Encasement 1000 Ft. $65 00 $65,000.00 Convert Service with existing UG Service Ea $1,800.00 $0 00 Convert Service with existing OH Service Ea $3,300.00 $0.00 Mainline Services 0 Ft. $35.00 $0.00 Total $2,646,230.00 Subtotal Contractor Costs $2,646,230.00 Total Backbone Cost $8.632,679.00 Total Number of lots 166 Backbone 9urchar a per Lot $62,319.27 212 VrB�UTSKO Exhibit B Dry Utility Opinion Of Cost Optional Items Date: 1/28/2009 Client: City of La Quinta Project. La Quinta - Study Address: 78-495 Calle Tampico Area 3 - Downtown Residential La Quinta, CA 92562 Backbone Attn: Nick Nickerson Telephone: (760) 346-7481 Type: Residential Fax: (760} 346-8315 City/Count: La Quinta, Riverside Co Gas Distribution Main Distribution Main/Bring - Up Gas Main Relocation Service Stubs Joint Trench Credit ITCC Charges Total Street Lights Electroliers/Heads In -Tract Electroliers/Heads Backbone Meter Pedestal Total 0 Ft. $15.00 $0.00 0 Ft. $17.00 $0.00 0 Ft $25.00 $0.00 0 Ea. $150.00 $0.00 0 Ft. ($1.00) $0.00 0 Ea. 35% $0.00 $0.00 31 Ea. $1,700 00 $0.00 36 Ea. $2,200.00 $79,508.00 4 Ea. $3,655 00 $14,620.00 $94,128.00 213 ,IF- BUTSK0 74-130 Country Club Drive, Suite 102 jj Palm Desert, CA 92260 Date: 1/28/09 UTILITY DESIGN, INC. Phone: (760) 601-3390, Fax (760) 346-8518 Exhibit C Dry Utility Opinion Of Cost Residential Right of Way Estimate .IkenE: City at La Quinta Project; La Quinta • Sludy address: 78-495 Calle Tampico Area 3 - Residential La Quinta, CA 92562 Vtn Nick Nickerson Folophone: (760) 346-7481 Type: Residential °ax: (760) 346-8315 City/Count: La Quinta. Riverside Co Sample Area - Calle Paloma from Avenida Tujunga to Calle Tampico Summary Estimated Costs: Description Electric IID Distribution - Commercial IID Distribution - Residential IID Back Bone Footage IID Overhead Removals IID Service Conversion with UG Service IID Service Conversion with OH Service Total Telephone Telephone Conversion/Relocation Telephone Service Conversion with UG Service Telephone Service Conversion with OH Service ITCC Charges Total CAN CAN Conversion CAN Service Conversion with UG Service CAN Service Conversion with OH Service Total Subtotal Utility Costs Quantity Unit Cost Per 0 Ft. $55.00 1010 Ft. $45.00 200 Ft. $85 00 985 Ft. $50.00 0 Ea $950.00 0 Ea $1,750.00 1010 Ft. $50 00 0 Ea $950.00 0 Ea $1,750 00 0 Ea 33% i 010 Ft. $50.00 0 Ea $950.00 0 Ea $1,750.00 Contractor BB Trench, Backfill, Conduit, Full Encasement 200 Ft. $105.00 BB Trench, Backfill, Conduit, Semi Encasement 1010 Ea $85.00 Local Distribution Trench, Backfill, Conduit, No Encasement 200 Ft. $65.00 Convert Service with existing UG Service 0 Ea $1,800.00 Convert Service with existing OH Service 0 Ea $3,300.00 Mainline Services 0 Ft $35.00 Cost $0.00 $45,450.00 $17,000.00 $49,250.00 $0.00 $0.00 $111,700.00 $50,500.00 $0.00 $0.00 $16,665.00 $67,165.00 $50,600.00 $0 00 $0.00 $50,500.00 $229,365.00 $21,000.00 $85,850.00 $13,000.00 $0 00 $0.00 $0.00 Total $119,850.00 Subtotal Contractor Costs $119,850.00 Total Right Of Way Cost $349,216.00 Total Number of Lots 19 Right of Way Surcharge Per Lot $18,379.74 214 FAB�UTsxo Exhibit C Dry Utility Opinion Of Cost Optional Items Date: 1/28/2009 Client: City of La Quinta Project: La Quinta - Study Address: 78-495 Calle Tampico Area 3 - Residential La Quinta, CA 92562 Right Of Way Attn: Nick Nickerson Telephone: (760) 346-7481 Type: Commercial Fax: (760) 346-8315 City/Coun : La Quinta, Riverside Co Gas Distribution Main 0 Ft. $15.00 $0.00 Distribution Main/Bring - Up 0 Ft. $17.00 $0.00 Gas Main Relocation 0 Ft. $25.00 $0.00 Service Stubs 0 Ea $150.00 $0.00 Joint Trench Credit 0 Ft. ($1.00) $0.00 ITCC Charges 0 Ea 35% $0.00 Total $0.00 Street Lights Electroliers/Heads In -Tract 3 Ea $1,700 00 $4,292.50 Electroliers/Heads Backbone 0 Ea $2,200.00 $0.00 Meter Pedestal 1 Ea $3,655.00 $3,655.00 Total $7,947.50 215 VABUTSKD 74-130 Country Club Drive, Suite 102 kA1 Palm Desert, CA 92260 Date: 1/28109 �i'I'IE.['IY UFSIG, INC. Phone: (760) 601-3390, Fax (760) 346-8518 Exhibit D Dry Utility Opinion Of Cost Residential Private Property Estimate Client: City of La Qulnta Project: La Quinta - Study Address: 78-495 Calle Tampico Area 3 - Residential La Quinta, CA 92562 Attn: Nick Nickerson Telephone: (760) 346-7481 Type: Residential Fax: (760) 346-8315 City/County: La Quinta, Riverside Co Sample Area - Calle Paloma from Avenida Tujunga to Calle Tampico Summary Estimated Costs: Description Electric IID Distribution - Commercial IID Distribution - Residential IID Back Bone Footage IID Overhead Removals IID Service Conversion with UG Service IID Service Conversion with OH Service Total Telephone Quantity Unit Cost Per Cost 0 Ft. $55.00 $0 00 0 Ft. $45.00 $0.00 0 Ft. $85.00 $0.00 0 Ft. $50.00 $0 00 16 Ea $950 00 $15,200.00 3 Ea $1,750.00 $5.250 00 $20,450.00 Telephone ConversionlRelocation 0 Ft. $50.00 $0.00 Telephone Service Conversion with UG Service 16 Ea. $950.00 $15,200.00 Telephone Service Conversion with OH Service 3 Ea. $1,750.00 $5,250.00 ITCC Charges 0 Ea. 33% $0 00 Total $20,450.00 CAN CAN Conversion 0 Ft. $50.00 $0.00 CAN Service Conversion with UG Service 16 Ea $950 00 $15,200.00 CAN Service Conversion with OH Service 3 Ea $1,750.00 $5,250.00 Total $20,450.00 Subtotal Utility Costs $61,350.00 Contractor BB Trench, Backfill, Conduit, Full Encasement 0 Ft. $105.00 $0.00 BB Trench, Backfill, Conduit, Semi Encasement 0 Ea $85.00 $0.00 Local Distribution Trench, Backfill, Conduit, No Encasement 0 Ft. $65.00 $0 00 Convert Service with existing UG Service 16 Ea $1,600 00 $28,800.00 Convert Service with existing OH Service 3 Ea $3,300.00 $9,900 00 Mainline Services 0 Ft. $35.00 $0.00 Total $38,700.00 Subtotal Contractor Costs $38,700.00 Total Private Property Cost $100,050.00 Total Number of Lots 19 Private Propaq Surchar a Per Lot $5,265.79 216 VWBUTsx0 Exhibit D Dry Utility Opinion Of Cost Date: 1/28/2009 Cllent: City of La Quinta Project: La Quinta - Study Address: 78-495 Calle Tampico Area 3 - Residential La Quinta, CA 92562 Private Property Attn: Nick Nickerson Telephone: (760) 346-7481 Type: Commercial Fax: (760) 346-8315 CitylCounty: La Quinta, Riverside Co Gas Distribution Main 0 Ft. $15.00 $0.00 Distribution Main/Bring - Up 0 Ft. $17.00 $0.00 Gas Main Relocation 0 Ft. $25 00 $0.00 Service Stubs 0 Ea $150.00 $0.00 Joint Trench Credit 0 Ft. ($1 00) $0.00 ITCC Charges 0 Ea 35% $0.00 Total $0.00 Street Lights Electroliers/Heads In -Tract 3 Ea $1,700.00 $5.100.00 Electroliers/Heads Backbone 0 Ea $2,200 00 $0 00 Meter Pedestal 0 Ea $3,655 00 $0.00 Total $5,100.00 217 Study Area 4 — Sagebrush: is residential and identified as Sagebrush, it is bordered by Washington Street to the west, Date Palm Drive to the east, Sagebrush Avenue to the north, and Saguaro Road to the south. Area 4 also includes the eastern side of Washington Street between Saguaro Road and 50th Avenue. The majority of the electrical, telephone, and cable TV facilities in Study Area 4 are overhead facilities. The utility's main overhead feeder systems run north and south along Washington Street. The utility's local distribution systems primarily run east and west along the rear property lines of the homes. The Public Right of Way and Private Property cost estimates were based on a sample study area of Bottlebrush Drive east of Date Palm Drive. 9 The type of home and front and rear yard landscaping varies. 0 Few vacant lots on this block ■ The homes in this area are served by overhead and underground services. Y The type of home and front and rear yard landscaping varies. • The estimates include the conversion of overhead facilities along the east side of Washington Street. 218 Exhibit A City Of La Quinta Study Area 4 Area #4 Sagebrush Sample Area Sample Area - Bottlebrush Drive East of Date Palm Drive Description of Sample Area Number of Lots in sample area: 41 Linear Footage: 1299 Description of existing utilties: The existing overhead utilities include: Imperial Irrigation District (electric), Verizon (phone), Time Warner (cable TV). The existing overhead facilities and poles are located along the rear property line of the homes and businesses. There are also existing overhead facilities on the street frontage of Washington Street Description of existing services: The existing utility services are underground/overhead from the overhead poles to the homes... Description of new underground utilties: The new underground utiliies will be placed in a shared joint trench. It is assumed that the utilities will install the new underground facilties in a shared joint trench in the existing streets Estimate of Costs - Backbone (41 Homes) Total Cost Per Lot Utility Costs $423.775.61 $10,335.99 Contractor Costs $212,561.79 $5,184.43 Sub -Total $636,337.41 $15,520.42 Estimate of Costs - Right Of Way (41 Homes) Utility Costs Contractor Costs Sub -Total Total $284,288.50 $131,415.00 $415,703.50 Estimate of Costs - Private Property (41 Homes) Total Utility Costs $208,050.00 Contractor Costs $130,800.00 Sub -Total $338,850.00 Sample Area Total: Sample Area Cost Per Lot: $1.390.890.91 Cost Per Lot $6,933.87 $3,205.24 $10,139.11 Cost Per Lot $5,074.39 $3,190.24 $8,264.63 $33,924.17 2/17/2009 Butsko Utility Design, Inc. 219 Exhibit A City of La Quinta Study Area 4 Area #4 Sagebrush OVERALL ESTIMATE Area 4 Description of Area Streets included are Sagebrush Avenue, Bottlebrush Avenue, and Saguaro Road, including Date Palm Drive to the east and Washington Street to the west. Description of existing utilties: The existing overhead utilities include: Imperial Irrigation District (electric), Verizon (phone), Time Warner (cable TV). The existing overhead facilities and poles are located along the rear property line of the homes and businesses. There are also existing overhead facilities on the street frontage of Desert Club Drive Description of existing services: The utility services are underground/overhead from the overhead poles to the homes.. Description of new underground utilties: The new underground utiliies will be placed in a shared joint trench. It is assumed that the utilities will approve placement of their new underground facilties in the existing streets Estimate of Costs - Backbone (106 Homes) Total Utility Costs $1,095,615.00 Contractor Costs $549.550.00 Sub -Total $1,645.165 00 Estimate of Costs -Right Of Way (106 Homes) Total Utility Costs $734,989.78 Contractor Costs $339,755.85 Sub -Total $1,074,745.63 Estimate of Costs - Private Property (106 Homes) Total Utility Costs $537,885.37 Contractor Costs $338,165.85 Sub -Total $876,051.22 Overall Area Total: Overall Area Cost Per Lot: $3,695,961.85 Cost Per Lot $10,335.99 $5.184 43 $15,520.42 Cost Per Lot $6,933 87 $3,205.24 $10,139.11 Cost Per Lot $5,074.39 $3,190.24 $8,264.63 $33,924.17 2/1712009 Butsko Utility Design, Inc 220 ►PBUTSK0 74-130 Country Club Drive, Suite 102 kI UTILITY DESIGN, INC. Palm Desert, CA 92260 Date: 1/28109 Phone: (760) 601-3390, Fax (760) 346-8518 Exhibit B Dry Utility Opinion Of Cost Backbone Overall Estimate client: City of La 001117 Projcct: La Quinta - Study 4ddress: 78-495 Calle Tampico Area 4 - Sagebrush La Quinta, CA 92562 %ttn: Nick Nickerson relephone: (760) 346-7481 Type: Residential tax: [760] 346-8315 CitylCount : La Quinta, Riverside Co Sample Area - Bottlebrush Drive East of Date Palm Drive Summary Estimated Costs: Description Quantity Unit Cost Per Cost Electric IID Distribution - Commercial 0 Ft. $55 00 $0.00 IID Distribution - Residential 2410 Ft. $45.00 $108.450.00 IID Back Bone Footage 2600 Ft. $85.00 $221,000.00 IID Overhead Removals 3650 Ft. $50 00 $182,500.00 IID Service Conversion with UG Service 0 Ea. $950.00 $0.00 IID Service Conversion with OH Service 0 Ea. $1.750.00 $0.00 Total $511,950.00 Telephone Telephone Conversion/Relocation 5010 Ft. $50.00 $250,500 00 Telephone Service Conversion with UG Service 0 Ea. $950.00 $0.00 Telephone Service Conversion with OH Service 0 Ea. $1,750.00 $0.00 ITCC Charges 0 Ea. 33% $82,665.00 Total $333,165.00 CAN CATV Conversion 5010 Ft. $50 00 $250,500 00 CAN Service Conversion with UG Service 0 Ea. $950.00 $0.00 CAN Service Conversion with OH Service 0 Ea. $1,750.00 $0.00 Total $250,600.00 Subtotal Utility Costs $1,096,616.00 Contractor BB Trench, Backfill, Conduit, Full Encasement 2410 Ft. $105 00 $253,050.00 BB Trench, Backfill, Conduit, Semi Encasement 2600 Ea $85 00 $221,000.00 Local Distribution Trench, Backfill, Conduit, No Encasement 1000 Ft. $65 00 $65,000.00 Convert Service with existing UG Service Ea $1,800.00 $0.00 Convert Service with existing OH Service Ea $3,300 00 $0 00 Miscellaneous Services 300 Ft. $35 00 $10.500.00 Total $649,660.00 Subtotal Contractor Costs $649,660.00 Total Backbone Cost $1,646,166.00 Total Number of Lots 166 Backbone Surcharge Per Lot $9.970.70 221 FABUTsx0 Exhibit B Dry Utility Opinion Of Cost Optional Items Date: 1/28/2009 Client: City of La Quinta Project: La Quinta - Study Address: 78-495 Calle Tampico Area 4 - Sagebrush La Quinta, CA 92562 Backbone Attm Nick Nickerson Telephone: (760) 346-7481 Type: Residential Fax: (760) 346-8315 CitylCounty: La Cuinla, Riverside Co Gas Distribution Main 0 Ft. $15.00 $0.00 Distribution Main/Bring - Up 0 Ft. $17.00 $0 00 Gas Main Relocation 0 Ft. $25.00 $0.00 Service Stubs 0 Ea. $150 00 $0.00 Joint Trench Credit 0 Ft. ($1.00) $0 00 ITCC Charges 0 Ea. 35% $0.00 Total $0.00 Street Lights Electroliers/Heads In -Tract 0 Ea. $1,700 00 $0.00 Electroliers/Heads Backbone 6 Ea $2,200 00 $13,255.00 Meter Pedestal 10 Ea. $3,655.00 $36,550.00 Total $49,806.00 222 ,P-BU'�`� 74-130 Country Club Drive, Suite 102 11 K Palm Desert, CA 92260 Date: 1/28/09 IFI-II.rIY DES IC"N' ItiC. Phone: (760) 601-3390, Fax (760) 346-8518 Exhibit C Dry Utility Opinion Of Cost Residential Ri ht of Way Estimate Client: City of La Quinla Project: La Quinta - Study Address: 78-495 Calle Tampico Area 4 - Sagebrush La Quinta, CA 92562 Altn Nick Nickerson Telephone: (760) 346-7481 Type: Residential Fax: (760) 346-8315 City!Caun : La Quinta, Riverside Co Sample Area - Bottlebrush Drive East of Date Palm Drive Summary Estimated Costs: Description Quantity Unit Cost Per Cost Electric IID Distribution - Commercial 0 Ft. $55.00 $0.00 IID Distribution - Residential 1299 Ft. $45.00 $58,455.00 IID Back Bone Footage 200 Ft. $85 00 $17,000.00 IID Overhead Removals 1150 Ft. $50.00 $57,500.00 IID Service Conversion with LIG Service 0 Ea. $950.00 $0.00 IID Service Conversion with OH Service 0 Ea. $1,750.00 $0.00 Total $132,955.00 Telephone Telephone Conversion/Relocation 1299 Ft. $50,00 $64,950.00 Telephone Service Conversion with UG Service 0 Ea. $950.00 $0 00 Telephone Service Conversion with OH Service 0 Ea. $1,750.00 $0.00 ITCC Charges 0 Ea. 33% $21.433.50 Total $86,363.60 CAN CATV Conversion 1299 Ft. $50.00 $64,950.00 CAN Service Conversion with UG Service 0 Ea $950.00 $0,00 CAN Service Conversion with OH Service 0 Ea $1,750.00 $0.00 Total $64,950.00 Subtotal Utility Costs $284,288.60 Contractor BB Trench, Backfill, Conduit, Full Encasement 200 Ft. $105,00 $21,000.00 BB Trench, Backfill, Conduit, Semi Encasement 1299 Ea $85.00 $110,415.00 Local Distribution Trench, Backfill, Conduit, No Encasement 0 Ft. $65.00 $0.00 Convert Service with existing UG Service 0 Ea $1,800.00 $0.00 Convert Service with existing OH Service 0 Ea $3,300.00 $0.00 Mainline Services 0 Ft. $35.00 $0.00 Total $131,415.00 Subtotal Contractor Costs $131,415.00 Total Right Of Way Cost $416,703.50 Total Number of Lots 41 Ri ht of Way Surchar a Per Lot $10,139.11 223 Fr BUTSK0 IMLITY DESIGN, INC. Exhibit C Dry Utility Opinion Of Cost vptionai items Date: 1128/2009 Client: City of La Quinta Project: La Quinta - Study Address: 78-495 Calle Tampico Area 4 - Sagebrush La Quinta, CA 92562 Right Of Way Attn: Nick Nickerson Telephone: (760) 346-7481 Type: Residential Fax: (760) 346-8315 City/County: La Quinta. Riverside Co Gas Distribution Main Distribution Main/Bring - Up Gas Main Relocation Service Stubs Joint Trench Credit ITCC Charges Total Street Lights Electroliers/Heads In -Tract Electroliers/Heads Backbone Meter Pedestal Total 0 Ft. $15.00 $0.00 0 Ft. $17.00 $0.00 0 Ft. $25,00 $0.00 0 Ea $150.00 $0.00 0 Ft. ($100) $0.00 0 Ea 35% $0.00 $0.00 3 Ea $1,700.00 $5,100.00 0 Ea $2,200.00 $0.00 0 Ea $3,655.00 $0.00 $5,100.00 224 ,W BUT� 74-130 Country Club Drive, Suite 102 kAS Palm Desert, CA 92260 Date: 1/28109 ii i ILLY DESIGN, INC. Phone: (760) 601-3390, Fax (760) 346-8518 Exhibit D Dry Utility Opinion Of Cost Residential Private Property Estimate -lient: City of La Quinta Project: La Quinta - Study 4ddress: 78-495 Calle Tampico Area 4 - Sagebrush La Quinta, CA 92562 Mtn: Nick Nickerson reiephone: (760) 346-7481 Type: Residential Fax: (760) 346-8315 City/County: La Quinta, Riverside Co Sample Area - Bottlebrush Drive East of Date Palm Drive Summary Estimated Costs: Description Quantity Unit Cost Per Cost Electric IID Distribution - Commercial 0 Ft. $55.00 $0 00 IID Distribution - Residential 0 Ft. $45.00 $0 00 IID Back Bone Footage 0 Ft. $85.00 $0 00 IID Overhead Removals 0 Ft. $50 00 $0 00 IID Service Conversion with UG Service 3 Ea $950 00 $2,850.00 IID Service Conversion with OH Service 38 Ea $1,750 00 $66,500.00 Total $69,350.00 Telephone Telephone Conversion/Relocation 0 Ft. $50 00 $0.00 Telephone Service Conversion with UG Service 3 Ea $950 00 $2,850.00 Telephone Service Conversion with OH Service 38 Ea $1,750.00 $66,500.00 ITCC Charges 0 Ea 33% $0.00 Total $69,350.00 CAN CAN Conversion 0 Ft. $50.00 $0.00 CATV Service Conversion with UG Service 3 Ea $950.00 $2,850.00 CAN Service Conversion with OH Service 38 Ea $1,750.00 $66,500.00 Total $69,350.00 Subtotal Utility Costs $208,050.00 Contractor BB Trench, Backfill, Conduit, Full Encasement 0 Ft. $105.00 $0.00 BB Trench, Backfill, Conduit, Semi Encasement 0 Ea $85.00 $0.00 Local Distribution Trench, Backfill, Conduit, No Encasement 0 Ft. $65.00 $0 00 Convert Service with existing UG Service 3 Ea $1,800.00 $5,400.00 Convert Service with existing OH Service 38 Ea $3,300.00 $125,400.00 Mainline Services 0 Ft. $35.00 $0.00 Total $130,800.00 Subtotal Contractor Costs $130,800.00 Total Private Property Cost $338.850.00 Total !Number of Lots 41 Private Property Surcharge Per Lot $8,264.63 225 VABUTSK0 Exhibit D Dry Utility Opinion Of Cost Optional Items Date: 1/28/2009 Client: City of La Quinta Project: La Quinta - Study Address: 78-495 Calle Tampico Area 4 - Sagebrush La Quinta, CA 92562 Private Property Attn: Nick Nickerson Telephone: (760) 346-7481 Type: Residential Fax: (760) 346-8315 City/County: La Quinta, Riverside Co Gas Distribution Main 0 Ft. $15.00 $0.00 Distribution Main/Bring - Up 0 Ft. $17.00 $0.00 Gas Main Relocation 0 Ft. $25.00 $0.00 Service Stubs 0 Ea. $150.00 $0.00 Joint Trench Credit 0 Ft. ($1.00) $0.00 ITCC Charges 0 Ea. 35% $0.00 Total $0.00 Street Lights Electroliers/Heads In -Tract 3 Ea. $1,700.00 $5,100.00 Electroliers/Heads Backbone 0 Ea $2,200.00 $0.00 Meter Pedestal 0 Ea. $3,655.00 $0 00 Total $5,100.00 226 Study Area 5- Highland Palms: is residential and identified as Highland Palms, it is bordered by Highland Palms Drive to the west and south, Washington Street to the east, and Singing Palms Drive to the north. The majority of the electrical, telephone, and cable TV facilities in Area 5 are overhead facilities. The utility's main overhead feeder systems run along Highland Palms Drive, as well as north and south along the rear property lines of the homes on Washington Street. The utility's local distribution systems primarily run east and west along the rear property lines of the homes. The Public Right of Way and Private Property cost estimates were based on a sample study area of Highland Palms Drive. A The homes in this area are predominately served by overhead services. The type of home and front and rear yard landscaping varies. ® Few vacant lots in this area. 0 The residential lot frontage is greater than the Cove. • The facilities along Highland Palms Drive run along the lot frontages. 227 Exhibit A City Of La Quinta Study Area 5 Area #5 Highland Palms Sample Area Highland Palms Drive from Washington Street west to area limits Description of Sample Area Number of Lots in sample area: 20 Linear Footage: 1280 Description of existing utilties: The existing overhead utilities include: Imperial Irrigation District (electric), Verizon (phone), Time Warner (cable TV). The existing overhead facilities and poles are located primarily along the rear property line of the homes. There are also existing overhead facilities on the street frontage of Highland Palms Drive. Description of existing services: The existing utility services are underground/overhead from the overhead poles to the homes... Description of new underground utilties: The new underground utiliies will be placed in a shared joint trench. It is assumed that the utilities will install the new underground facilties in a shared joint trench in the existing streets Estimate of Costs - Backbone (20 Homes) Total Cost Per Lot Utility Costs $379,871.28 $18,993.56 Contractor Costs $169,393.62 $8,469.68 Sub -Total $549,264.89 $27,463.24 Estimate of Costs - Right Of Way (20 Homes) Total Utility Costs $298,720.00 Contractor Costs $142,800.00 Sub -Total $441,520.00 Estimate of Costs - Private Property (20 Homes) Total Utility Costs $102.600.00 Contractor Costs $64,500.00 Sub -Total $167,100.00 Sample Area Total: Sample Area Cost Per Lot: $1,157,884.89 Cost Per Lot $14,936.00 $7,140.00 $22,076.00 Cost Per Lot $5,130.00 $3,225.00 $8,355.00 $57,894.24 2/17/2009 Butsko Utility Design, Inc. 228 Exhiud A City Ot L-a Quinta Study Area 5 Area #5 Highland Palms OVERALL ESTIMATE Area 5 Description of Area Area south of Singing Palms Drive, west of Washington Streets, east and north of Highland Palms Drive Description of existing utilties: The existing overhead utilities include: Imperial Irrigation District (electric), Verizon (phone), Time Warner (cable TV). The existing overhead facilities and poles are located along the rear property line of the homes and businesses. There are also existing overhead facilities on the street frontage of Desert Club Drive. Description of existing services: The utility services are underground/overhead from the overhead poles to the homes... Description of new underground utilties: The new underground utiliies will be placed in a shared joint trench. It is assumed that the utilities will approve placement of their new underground facilties in the existing streets Estimate of Costs - Backbone (94 Homes) Total Cost Per Lot Utility Costs $1,785,395.00 $18,993.56 Contractor Costs $796,150.00 $8,469.68 Sub -Total $2,581,545.00 $27,463.24 Estimate of Costs - Right Of Way (94 Homes) Total Utility Costs $1,403,984.00 Contractor Costs $671,160.00 Sub -Total $2, 075,144.00 Estimate of Costs - Private Property (94 Homes) Total Utility Costs $482,220.00 Contractor Costs $303,150.00 Sub -Total $785,370.00 Overall Area Total: Overall Area Cost Per Lot: $5,442,059.00 Cost Per Lot $14,936.00 $7,140.00 $22,076.00 Cost Per Lot $5,130.00 $3,225.00 $8,355.00 $57,894.24 2/17/2009 Butsko Utility Design, Inc. 229 U-BUTSK0 74-130 Country Club Drive, Suite 102 UTILITY D ism, INC. Palm Desert, CA 92260 Date: 1/28/09 Phone: (760) 601-3390, Fax (760) 346-8518 Exhibit B Dry Utility Opinion Of Cost Backbone Overall Estimate client: City of La Quinta Project: La Quinta - Study kddress: 78-495 Calle Tampico Area 5 - Highland Palms Residential La Quinta, CA 92562 %ttn: Nick Nickerson Telephone: (760) 346-7481 Type: Residential =ax: - (760) 346-8315 _ Ci 1County: La Quinta, Riverside Co Sample Area - Highland Palms Drive Summary Estimated Costs: Description Quantity Unit Cost Per Cost Electric III) Distribution - Commercial 0 Ft. $55.00 $0.00 IID Distribution - Residential 3705 Ft. $45.00 $166.725 00 IID Back Bone Footage 4025 Ft. $85.00 $342,125.00 IID Overhead Removals 7520 Ft. $50 00 $376,000 00 IID Service Conversion with UG Service 0 Ea $950 00 $0 00 IID Service Conversion with OH Service 0 Ea $1,750.00 $0.00 Total $884,860.00 Telephone Telephone Conversion/Relocation 7730 Ft. $50 00 $386,500.00 Telephone Service Conversion with UG Service 0 Ea $950.00 $0.00 Telephone Service Conversion with OH Service 0 Ea $1,750.00 $0.00 ITCC Charges 0 Ea 33% $127,545.00 Total $514,046.00 CAN CAN Conversion 7730 Ft. $50.00 $386,500.00 CATV Service Conversion with UG Service 0 Ea $950 00 $0 00 CATV Service Conversion with OH Service 0 Ea $1,750.00 $0 00 Total $386,500.00 Subtotal Utility Costs $1,785,395.00 Contractor BB Trench, Backfill, Conduit, Full Encasement 3705 Ft. $105.00 $389,025 00 BB Trench, Backfill, Conduit, Semi Encasement 4025 Ea $85 00 $342,125.00 Local Distribution Trench, Backfill, Conduit, No Encasement 1000 Ft. $65 00 $65,000.00 Convert Service with existing UG Service Ea $1,800 00 $0.00 Convert Service with existing OH Service Ea $3,300.00 $0.00 Mainline Services 0 Ft. $35.00 $0.00 Total $796,150.00 Subtotal Contractor Costs $796,160.00 Total Backbone Cost $2,681,645.00 Total Number of Lots 94 Backbone Surcharge Per Lot $27,463.24 230 ,P BUTS K0 Date: 1128/2009 kA tmtrnr DESIGN' INC Exhibit B Dry Utility Opinion Of Cost Optional Items Client: City of La Quirlla Project: La QUinla - Study Address: 78-495 Calle Tampico Area 5 - Highland Palms Residential La Quinta, CA 92562 Backbone Alin Nick Nickerson To,ephono: (760) 346-7481 Type: Residential Fax: (760) 346-8315 City/County: La Quinta. Riverside Co Gas Distribution Main 0 Ft. $15.00 $0 00 Distribution Main/Bring - Up 0 Ft. $17 00 $0.00 Gas Main Relocation 0 Ft. $25.00 $0.00 Service Stubs 0 Ea $150.00 $0.00 Joint Trench Credit 0 Ft. ($1.00) $0.00 ITCC Charges 0 Ea. 35% $0.00 Total $0.00 Street Lights Electroliers/Heads In -Tract 0 Ea. $1,700.00 Electroliers/Heads Backbone 9 Ea. $2,200.00 Meter Pedestal 10 Ea. $3,655.00 Total $0.00 $20,377 50 $36,550 00 $66,927.50 231 ,W BUTS K0 74-130 Country Club Drive, Suite 102 kAi ►] Palm Desert, CA 92260 Date: 1128109 Li'1'jLl'!Y DESIGN, INC, Palm (760) 601-3390, Fax (760) 346-8518 Exhibit C Dry Utility Opinion Of Cost Residential Right of Way Estimate Aient: City of La Quinta Project: La Quinta - Study kddress: 78-495 Calle Tampico Area 5 - Highland Palms Residential La Quinta, CA 92562 Mw Nick Nickerson Telephone: (760) 346-7481 Type: Residential =ax: (760) 346-8315 City/Count y_ La Quinta, Riverside Co Sample Area - Highland Palms Drive Summary Estimatetl Costs: Description Quantity Unit Cost Per Cost Electric IID Distribution - Commercial 200 Ft. $55.00 $11,000.00 IID Distribution - Residential 1280 Ft $45.00 $57,600.00 IID Back Bone Footage 200 Ft. $85.00 $17,000.00 IID Overhead Removals 1280 Ft $50.00 $64,000 00 IID Service Conversion with UG Service 0 Ea $950 00 $0 00 IID Service Conversion with OH Service 0 Ea $1,750 00 $0 00 Total $149,600.00 Telephone Telephone Conversion/Relocation 1280 Ft. $50 00 $64,000.00 Telephone Service Conversion with UG Service 0 Ea $950.00 $0.00 Telephone Service Conversion with OH Service 0 Ea $1,750 00 $0.00 ITCC Charges 0 Ea 33% $21,120.00 Total $85,120.00 CAN CAN Conversion 1280 Ft. $50 00 $64,000.00 CAN Service Conversion with UG Service 0 Ea $950.00 $0 00 CAN Service Conversion with OH Service 0 Ea $1,750.00 $0.00 Total $64,000.00 Subtotal Utility Costs $298,720.00 Contractor BB Trench, Backfill, Conduit, Full Encasement 200 Ft. $105.00 $21,000.00 BB Trench, Backfill, Conduit, Semi Encasement 1280 Ea $85.00 $108,800 00 Local Distribution Trench, Backfill, Conduit, No Encasement 200 Ft. $65 00 $13,000.00 Convert Service with existing UG Service 0 Ea $1,600.00 $0 00 Convert Service with existing OH Service 0 Ea $3,300 00 $0.00 Mainline Services 0 Ft $35 00 $0.00 Total $142,800.00 Subtotal Contractor Costs $142,800.00 Total Right Of Way Cost $441,520.00 Total Number of Lots 20 Right of Way Surcharge Per Lot $22,070.00 232 PB UTSKOF Exhibit C Dry Utility Opinion Of Cost Optional Items Date: 1/2812009 Client: City of La Quinta Project: La Quinta - Study Address: 78-495 Calle Tampico Area 5 - Highland Palms Residential La Quinta, CA 92562 Right Of Way Attn: Nick Nickerson Telephone: (760) 346-7481 Type: Residential Fax: (7130) 346-8315 Ci 1Coun : La Quinta, Riverside Co Gas Distribution Main Distribution Main/Bring - Up Gas Main Relocation Service Stubs Joint Trench Credit ITCC Charges Total Street Lights Electroliers/Heads In -Tract Electroliers/Heads Backbone Meter Pedestal Total 0 Ft. $15.00 $0.00 0 Ft. $17.00 $0.00 0 Ft. $25.00 $0.00 0 Ea $150.00 $0 00 0 Ft. ($1.00) $0.00 0 Ea 35% $0.00 3 Ea $1,700.00 0 Ea $2,200.00 0 Ea $3,655.00 $0.00 $5,100.00 $0.00 $0.00 $5,100.00 233 ,I BU"�(�� 74-130 Country Club Drive, Suite 102 iiAi ►7 Palm Desert, CA 92260 Date: 1128/09 UT[Li1Y DESIGN, INC Phone: (760) 601-3390, Fax (760) 346-8518 Exhibit D Dry Utility Opinion Of Cost Residential Private Property Estimate client: City of La Quinta Project: La Quinta - Study 4ddress: 78-495 Calle Tampico Area 5 - Highland Palms Residential La Quinta, CA 92562 Mtn: Nick Nickerson relephone-, (760) 346-7481 Type: Residential Fax: (760) 346-8315 CitylCounty: La Quinta, Riverside Cc Sample Area - Highland Palms Drive Summary Estimated Costs: Description Quantity Unit Cost Per Cost Electric IID Distribution - Commercial 0 Ft. $55 00 $0 00 IID Distribution - Residential 0 Ft. $45.00 $0 00 IID Back Bone Footage 0 Ft. $85.00 $0.00 IID Overhead Removals 0 Ft. $50.00 $0 00 IID Service Conversion with UG Service 1 Ea $950.00 $950 00 IID Service Conversion with OH Service 19 Ea $1,750.00 $33,250.00 Total $34,200.00 Telephone Telephone Conversion/Relocation 0 Ft $50 00 $0.00 Telephone Service Conversion with UG Service 1 Ea $950.00 $950.00 Telephone Service Conversion with OH Service 19 Ea. $1,750 00 $33,250 00 ITCC Charges 0 Ea. 33% $0.00 Total $34,200.00 CAN CAN Conversion 0 Ft. $50.00 $0.00 CAN Service Conversion with UG Service 1 Ea $950.00 $950 00 CAN Service Conversion with OH Service 19 Ea $1,750 00 $33,250 00 Total $34,200.00 Subtotal Utility Costs $102,600.00 Contractor BB Trench, Backfill, Conduit, Full Encasement 0 Ft. $105.00 $0.00 BB Trench, Backfill, Conduit, Semi Encasement 0 Ea $85 00 $0 00 Local Distribution Trench, Backfill, Conduit, No Encasement 0 Ft. $65.00 $0.00 Convert Service with existing UG Service 1 Ea $1,800.00 $1,800 00 Convert Service with existing OH Service 19 Ea $3,300.00 $62,700.00 Mainline Services 0 Ft. $35 00 $0.00 Total $64,500.00 Subtotal Contractor Costs $64,500.00 Total Private Propen Cost $167,100.00 Total Number of Lots 20 Private Property Surcharge Per Lot $8,365.00 234 UPBUISK0 Date: 1/2812009 Exhibit D Dry Utility Opinion Of Cost nai items 78-495 Calle Tampico Area 5 - Highland Palms Residential La Quinta, CA 92562 Private Property Nick Nickerson (760) 346-7481 Type: Residential (760) 346-8315 City/County: La Quinta, Riverside Co Gas Distribution Main 0 Ft. $15 00 $0.00 Distribution Main/Bring - Up 0 Ft. $17.00 $0.00 Gas Main Relocation 0 Ft. $26.00 $0.00 Service Stubs 0 Ea. $150.00 $0.00 Joint Trench Credit 0 Ft. ($1.00) $0.00 ITCC Charges 0 Ea. 35% $0.00 Total $0.00 Street Lights Electroliers/Heads In -Tract 3 Ea $1,700 00 $5,100 00 Electroliers/Heads Backbone 0 Ea. $2,200.00 $0.00 Meter Pedestal 0 Ea. $3,655.00 $0.00 Total $5,100.00 235 Study Area 6 - Westward Ho: is residential and is bordered by Roudel Lane to the west, Jefferson Street to the east, Westward Ho Drive to the north, and Cortez Lane and Fiesta Drive to the south. Study Area 6 also includes the eastern side of Dune Palms Road between Westward Ho Drive and the flood channel. The utility's main overhead feeder systems run north and south along Dune Palms Road and Roadrunner Lane. The utility's local distribution systems primarily run along the rear property lines of the homes. The Public Right of Way and Private Property cost estimates were based on a sample study area of Fiesta Drive from Roadrunner Lane to Jefferson Street. • The homes in this area are predominately served by underground services. G The type of home and front and rear yard landscaping varies. O Few vacant lots in this area. • The residential lot frontage is greater than the Cove. • The facilities along Fiesta Drive run along the lot frontages. • 6 of the homes in this area are served by freestanding meters poles which will require existing underground customer cable feeds will have to be intercepted. 236 Exhibit A City Of La Quinta Study Area 6 Area #6 Westward Ho Sample Area Fiesta Drive, from Roadrunner Lane to Jefferson Street Description of Sample Area Number of Lots in sample area: 28 Linear Footage: 1371 Description of existing utilties: The existing overhead utilities include: Imperial Irrigation District (electric), Verizon (phone), Time Warner (cable TV). The existing overhead facilities and poles are located along the front property line of the homes. There are also existing overhead facilities on the street frontage of Dune Palms Drive. Description of existing services: The existing utility services are underground/overhead from the overhead poles to the homes... Description of new underground utilties: The new underground utiliies will be placed in a shared joint trench. It is assumed that the utilities will install the new underground facilties in a shared joint trench in the existing streets Estimate of Costs - Backbone (28 Homes) Total Cost Per Lot Utility Costs $538,309.95 $19,225.36 Contractor Costs $220.597.83 $7,878.49 Sub -Total $758, 907.78 $27,103.85 Estimate of Costs - Right Of Way (28 Homes) Total Utility Costs $344,716.50 Contractor Costs $132,535.00 Sub -Total $477,251.50 Estimate of Costs - Private Property (28 Homes) Total Utility Costs $79,800.00 Contractor Costs $59,400.00 Sub -Total $139,200.00 Sample Area Total: Sample Area Cost Per Lot: $1,375,359.28 Cost Per Lot $12,311.30 $4,733.39 $17,044.70 Cost Per Lot $2,850.00 $2,121.43 $4,971.43 $49,119.97 2/17/2009 Butsko Utility Design, Inc. 237 Exhibit A City of La Quinta Study Area 6 Area #6 Westward Ho OVERALL ESTIMATE Area 6 Description of Area Fiesta Drive, from Roadrunner Lane to Jefferson Street Description of existing utilties: The existing overhead utilities include: Imperial Irrigation District (electric), Verizon (phone), Time Warner (cable TV). The existing overhead facilities and poles are located along the rear property line and the front property lines of the homes. There are also existing overhead facilities on the street frontage of Dune Palms Drive. Description of existing services: The utility services are underground/overhead from the overhead poles to the homes... Description of new underground utilties: The new underground utiliies will be placed in a shared joint trench. It is assumed that the utilities will approve placement of their new underground facilties in the existing streets Estimate of Costs - Backbone (83 Homes) Total Cost Per Lot Utility Costs $1,595,704.50 $19,225.36 Contractor Costs $653,915.00 $7.878.49 Sub -Total $2,249,619.50 $27,103.85 Estimate of Costs - Right Of Way (83 Homes) Utility Costs Contractor Costs Sub -Total Total $1,021,838.20 $392,871.61 $1,414,709.80 Estimate of Costs - Private Property (83 Homes) Total Utility Costs $236,550.00 Contractor Costs $176.078.57 Sub -Total $412,628.57 Sample Area Total: Sample Area Cost Per Lot: $4,076,957.88 Cost Per Lot $12.3t1.3G $4,733.39 $17,044.70 Cost Per Lot 52.850.00 $2,121.43 $4,971.43 $49,119.97 2/17/2009 Butsko Utility Design, Inc. 238 rW BU i S �j 0 74-130 Country Club Drive, Suite 102 iAi �7�1 Palm Desert, CA 92260 Date: 1/28/09 i1 F[I.1�' aE51Gi�,1C, Phone: (760) 601-3390, Fax (760) 346-8518 Exhibit B Dry Utility Opinion Of Cost Backbone Overall Estimate ;iient: City of La Quinta Project: La Quints - Study %ddress: 78-495 Calle Tampico Area 6 - Westward Ho La Quints, CA 92562 kttn: Nick Nickerson Telephone: (760) 346-7481 Type: Residential -ax: (760) 346-8315 CitylCounty: La Quints, Riverside Co Sample Area - Fiesta Drive from Roadrunner Lane to Jefferson Street Summary Estimated Costs: Description Electric IID Distribution - Commercial IID Distribution - Residential IID Back Bone Footage IID Overhead Removals IID Service Conversion with UG Service IID Service Conversion with OH Service Total Telephone Telephone Conversion/Relocation Telephone Service Conversion with UG Service Telephone Service Conversion with OH Service ITCC Charges Total CAN CATV Conversion CATV Service Conversion with UG Service CAN Service Conversion with OH Service Total Subtotal Utility Costs Quantity Unit Cost Per 0 Ft. $55.00 4570 Ft. $45.00 2033 Ft. $85.00 8960 Ft. $50.00 0 Ea. $950.00 0 Ea. $1,750.00 6603 Ft. $50 00 0 Ea. $950.00 0 Ea. $1,750.00 0 Ea. 33% 6603 Ft. $50.00 0 Ea. $950.00 0 Ea. $1,750 00 Contractor BB Trench, Backfill, Conduit, Full Encasement 2033 Ft. $105.00 BB Trench, Backfill, Conduit, Semi Encasement 4570 Ea $85.00 Local Distribution Trench, Backfill, Conduit, No Encasement 800 Ft. $65.00 Convert Service with existing UG Service Ea $1,800.00 Convert Service with existing OH Service Ea $3,300.00 Mainline Services 0 Ft. $35.00 Cost $0, 00 $205,650.00 $172,805.00 $448,000.00 $0.00 $0 00 $826,455.00 $330,150 00 $0.00 $0.00 $108,949 50 $439,099.50 $330,150.00 $0 00 $0.00 $330,150.00 $1,696,704.60 $213,465.00 $388,450.00 $52,000.00 $0.00 $0.00 $0.00 Total $653.916.00 Subtotal Contractor Costs $663,915.00 Total Backbone Cost $2.249,619.50 Total Number of Lots 83 £iackbone Surcharge Per Lot $27,103.86 239 FI BUTS1111 Ll TV DE Ko Exhibit B Dry Utility Opinion Of Cost Optional Items Date: 1 /2812009 (Client: City of La Quinta Projoct: La Quinta - 5turly Address: 78-495 Calle Tampico Area 6 - Westward Ho La Quinta, CA 92562 Backbone Attn: Nick Nickerson Telephone- (760) 346-7481 Type: Residential Fax: (760) 346-8315 CitylCounty: La Quinta, Riverside Co Gas Distribution Main 0 Ft. $15.00 $0.00 Distribution Main/Bring - Up 0 Ft. $17.00 $0.00 Gas Main Relocation 0 Ft. $25.00 $0.00 Service Stubs 0 Ea. $150.00 $0.00 Joint Trench Credit 0 Ft. ($1.00) $0.00 ITCC Charges 0 Ea. 35% $0.00 Total $0.00 Street Lights Electroliers/Heads In -Tract 0 Ea $1,700.00 $0 00 Electroliers/Heads Backbone 5 Ea $2,200.00 $11,181.50 Meter Pedestal 10 Ea $3,655.00 $36,550.00 Total $47,731.60 240 FABUTSK0 74-130 Country Club Drive, Suite 102 ■ WILr)Y DESIGN, INC. Palm Desert, CA 92260 Date: 1128109 Phone: (760) 601-3390, Fax (760) 346-8518 Exhibit C Dry Utility Opinion Of Cost Residential Right of Way Estimate Client: City of La Quinta Project: La Quinta . Study Address: 78-495 Calle Tampico Area 6 - Westward Ho La Quinta, CA 92562 Mtn: Nick Nickerson Telephone: (760) 346-7481 Type: Residential Fax: (760) 346-8315 CIty[County: La Quinta, Riverside Co Sample Area - Fiesta Drive from Roadrunner Lane to Jefferson Street Summary Estimates! Costs: Description Quantity Unit Cost Per Cost Electric IID Distribution - Commercial 0 Ft. $55.00 $0.00 IID Distribution - Residential 571 Ft. $45.00 $25,695 00 IID Back Bone Footage 800 Ft. $85.00 $68,000.00 IID Overhead Removals 1826 Ft. $50 00 $91,300 00 IID Service Conversion with UG Service 0 Ea $950.00 $0.00 IID Service Conversion with OH Service 0 Ea $1,750.00 $0.00 Total $184,995.00 Telephone Telephone Conversion/Relocation 1371 Ft. $50.00 $68,550.00 Telephone Service Conversion with UG Service 0 Ea. $950.00 $0.00 Telephone Service Conversion with OH Service 0 Ea $1,750 00 $0 00 ITCC Charges 0 Ea 33% $22,621.50 Total $91,171.50 CAN CAN Conversion 1371 Ft. $50 00 $68,550 00 CAN Service Conversion with UG Service 0 Ea. $950.00 $0.00 CAN Service Conversion with OH Service 0 Ea. $1,750.00 $0.00 Total $68,550.00 Subtotal Utility Costs $344,716.50 Contractor BB Trench, Backfill, Conduit, Full Encasement 800 Ft. $105.00 $84,000.00 BB Trench, Backfill, Conduit, Semi Encasement 571 Ea $85.00 $48,536.00 Local Distribution Trench, Backfill, Conduit, No Encasement 0 Ft. $65 00 $0.00 Convert Service with existing UG Service 0 Ea $1,800.00 $0.00 Convert Service with existing OH Service 0 Ea $3,300.00 $0 00 Mainline Services 0 Ft. $35.00 $0 00 Total $132,536.00 Subtotal Contractor Costs $132,535.00 Total Right of Way Cost $132,535.00 Total Number of Lots 28 Right of Way Surcharge Per Lot $4,733.39 241 FVB1UTSHO Exhibit C Dry Utility Opinion Of Cost Optional Items Date: 1/28/2009 Client: City of La Quinta PrajeCt La Quinta - Study Address: 78-495 Calle Tampico Area 6 - Westward Ho La Quinta, CA 92562 Right Of Way Attn-. Nick Nickerson Telephone: (760) 346-7481 Type: Residential Fax: (760) 346-8315 CitylCounty. La Quinta, Riverside Co Gas Distribution Main 0 Ft. $15.00 $0.00 Distribution Main/Bring - Up 0 Ft. $17.00 $0 00 Gas Main Relocation 0 Ft. $25.00 $0.00 Service Stubs 0 Ea $150.00 $0 00 Joint Trench Credit 0 Ft. ($1.00) $0 00 ITCC Charges 0 Ea 35% $0.00 Total $0.00 Street Lights Electroliers/Heads In -Tract 3 Ea $1,700.00 $5,100.00 Electroliers/Heads Backbone 0 Ea. $2,200.00 $0.00 Meter Pedestal 0 Ea $3,655.00 $0.00 Total $5,100.00 242 B���(0 � 74-130 Country Club Drive, Suite 202 11. U iY DESIGN, Palm Desert, CA 92260 Date: 1/28/09 UITPhone: (760) 601-3390, Fax (760) 346-8518 Exhibit D Dry Utility Opinion Of Cost Residential Private Property Estimate :lient: City of La Quinta Project: La Quinta - Study Iddress: 78-495 Calle Tampico Area 6 - Westward Ho La Quinta, CA 92562 1ttn. Nick Nickerson "elephone: (760) 346-7481 Type: Residential °ax: (76i7) 346 8315 Cit yLCounN-. La Quinta. Riverside Co Sample Area - Fiesta Drive from Roadrunner Lane to Jefferson Street Summary Estimated Costs: Description Quantity Unit Cost Per Cost Electric IID Distribution - Commercial 0 Ft. $55 00 $0 00 IID Distribution - Residential 0 Ft. $45.00 $0 00 IID Back Bone Footage 0 Ft. $85.00 $0.00 IID Overhead Removals 0 Ft. $50 00 $0.00 IID Service Conversion with UG Service 28 Ea $950.00 $26,600 00 IID Service Conversion with OH Service 0 Ea $1,750.00 $0 00 Total $26,600.00 Telephone Telephone Conversion/Relocation 0 Ft. $50.00 $0.00 Telephone Service Conversion with UG Service 28 Ea $950 00 $26,600.00 Telephone Service Conversion with OH Service 0 Ea $1,750.00 $0.00 ITCC Charges 0 Ea 33% $0.00 Total $26,600.00 CATV CATV Conversion 0 Ft. $50.00 $0.00 CATV Service Conversion with UG Service 28 Ea. $950.00 $26,600.00 CATV Service Conversion with OH Service 0 Ea. $1,750.00 $0.00 Total $26,600.00 Subtotal Utility Costs $79,800.00 Contractor BB Trench, Backfill, Conduit, Full Encasement 0 Ft. $105.00 $0.00 BB Trench, Backfill, Conduit, Semi Encasement 0 Ea $85 00 $0.00 Local Distribution Trench, Backfill, Conduit, No Encasement 0 Ft. $65.00 $0.00 Convert Service with existing UG Service 22 Ea $1,800.00 $39,600.00 Convert Service with existing UG - SPECIAL Service 6 Ea $3,300.00 $19,800.00 Mainline Services 0 Ft. $35 00 $0.00 Total $69,400.00 Subtotal Contractor Costs $59,400.00 Total Private Prope Cost $139.200.00 Total Number of Lots 28 Private Property Surchar a Per Lot $4,971.43 243 VABU SK0 Exhibit D Dry Utility Opinion Of Cost Optional Items Date: 1/28/2009 Client: City of La Quinta Project: La Quinta - Study Address: 78-495 Calle Tampico Area 6 - Westward Ho La Quinta, CA 92562 Private Property Attn: Nick Nickerson Telephone: (760) 346-7481 Type: Residential Fax: (760) 346-8315 City/County. La Quinta, Riverside Co Gas Distribution Main Distribution Main/Bring - Up Gas Main Relocation Service Stubs Joint Trench Credit ITCC Charges Total Street Lights Electroliers/Heads In -Tract Electroliers/Heads Backbone Meter Pedestal Total 0 Ft. $15 00 $0.00 0 Ft. $17 00 $0.00 0 Ft. $25 00 $0.00 0 Ea. $150.00 $0.00 0 Ft. ($100) $0.00 0 Ea. 35% $0.00 $0.00 3 Ea. $1,700 00 $5,100.00 0 Ea. $2,200 00 $0.00 0 Ea. $3,655 00 $0.00 $6,100.00 244 Definitions and Terminology: III) Electric — These are the direct IID costs associated with this work. These costs include the total installed cost of all cable, connections, and equipment associated with the work. IID Distribution (Local Distribution) - This is the cost associated with the cable to be placed in the street in front of the homes from transformer to transformer. IID Backbone (Backbone) - This is the cost associated with the cable to be placed from the backbone system to the distribution system. IID Overhead Removals - Identifies estimated costs associated with the removal of IID's overhead cable and poles and associated facilities. These fees have been shown as separate line item to show the costs that IID may participate in under Regulation 20. IID Service Conversion with Existing Underground (UG) Service- Cost associated with reconnecting existing underground service to the new underground service. IID Service Conversion with Existing Overhead (OH) Service - Cost associated with connecting a new underground service to the new underground system. Verizon Telephone - These are the direct utility costs associated with this work. These costs include the total installed cost of all cable, connections, and equipment associated with the work. Telephone Conversion/Relocation - This is the cost associated with the cable to be placed in the street in front of the homes from terminal to terminal. Telephone Service Conversion with Existing UG Service - Cost associated with reconnecting existing service to the new underground service. Telephone Service Conversion with Existing OH Service - Cost associated with connecting a new service to the new underground system. Income Tax Component of Contribution (ITCC) Charges - The city should be able to petition the utility so that this tax is waived. The tax is shown and should be included in budget numbers until this is verified at time of design and construction. 245 CATV (Time Warner) - These are the direct utility costs associated with this work. These costs include the total installed cost of all cable, connections, and equipment associated with the work. CATV Conversion/Relocation - This is the cost associated with converting the existing overhead system to an underground system. This cost includes the placement of the new cable and the removals. CATV Service Conversion with Existing UG Service - Cost associated with reconnecting existing service to the new underground service. CATV Service Conversion with Existing OH Service - Cost associated with connecting a new service to the new underground system. Contractor - These costs are the costs the city would pay directly to a contractor to install all substructures (ie trenching, surface restoration, conduit installation, concrete substructures installations as required by each utility). These costs include: traffic control, dust and erosion control, mobilization and based upon a prevailing wage contract. Optional items not included in standard cost estimate per the request of the City of La Quinta: Gas —These are the direct utility costs associated with this work. These costs include the fees to the Southern California Gas Company for installation of its facilities. Southern California Gas Company may grant allowances based on the estimated usage and revenue allowance formulas. Distribution Main (In -tract) - Cost to have the Southern California Gas Company install pipe in a trench provided by the City. This cost is for the main distribution facilities in the street fronting the houses. Distribution Main/Bring Up (Backbone) - Cost to have the Southern California Gas Company install pipe in a trench provided by the City. This cost would be for the facilities running east/west from Avenida Bermudas to Avenida Montezuma. Service Stubs - Cost for the number of gas service lateral stubs tapped in from the gas main. Joint Trench Credit - If the City provides the gas trench Southern California Gas Company grant a credit per foot for their share of the trench. 246 Street Lights —These are the estimated costs associated with placing the cable and the street light for this work. Electroliers/Heads in -tract - The number of lights is based on placing two lights along each segment of the in -tract street and at intersections. Electroliers/Heads Backbone - The number of lights is based on placing a light at the end of each street and at intersections. This cost would be for the lights to be placed east/west from Avenida Bermudas to Avenida Montezuma. Meter Pedestal - Cost for the City's contractor to place a electric meter pedestal to power the lights. 247 Section 5: Review of Rules, Regulations, and Franchise Agreements Imperial Irrigation District (IID) - electric, Verizon- telephone, and Time Warner - cable television each have different Rules, Regulations, and Franchise Agreements which dictate how each respective utility participates in undergrounding project. This section of the study will address the specifics of each utility's requirements. Imperial Irrigation District's participate in City initiated undergrounding projects is done in accordance with IID's Regulation 20A. A copy of IID's Regulation 20 is included in this report at the end of this section. Regulation 20A general provisions are: • The city must submit the requested project to IID for consideration and consultation. • The city must hold public hearings and adopt an ordinance establish an undergrounding district. ■ The undergrounding area should be an area extensively used by the public with a heavy volume of pedestrian or vehicle traffic. The undergrounding district must be a minimum of one block or 600 feet in length. IID's financial participation is based upon it annual operating budgets and pre -determined allocations for underground projects. In the event there is no available budget for an undergrounding project the city should be able to at least qualify for a credit equal to an equivalent overhead system in accordance with Section B. Verizon's participate in City initiated undergrounding projects are done in accordance with Verizon's General Exchange Tariff Section 2 is included in this report at the end of this section. Section 2 general provisions are: The city must submit the requested project to Verizon for consideration and consultation. The city must hold public hearings and adopt an ordinance establish an undergrounding district. • The undergrounding area should be an area extensively used by the public with a heavy volume of pedestrian or vehicle traffic. Verizon will underground its facilities at the time and to the extent that the overhead electric distribution facilities are replace. Verizon at its expense, will replace the existing overhead facilities with underground along public streets, roads, or on private land with easements. Time Warner's participate in City initiated undergrounding projects should be in accordance with it's Franchise Agreement with the City. Typically the cable television provider will participate financially in a similar manor as the incumbent phone company. In reviewing Time Warner's current Franchise Agreement with the City of La Quinta, no provisions for undergrounding were found. It is very likely that Time Warner will cooperate with the City and also underground it facilities in conjunction with the other utilities. Recommendations: Begin meeting with the utilities as early once it is determined if the City will proceed with a project area. ® IID budget more than a year in advance on major infrastructure projects. It will be important to work closely with IID very early in the planning process and in order to negotiate a satisfactory participation level with IID. IID has hinted that it will someday be discontinuing its Regulation 20A financial participation. Shared IID funding may not be available at some time in the future. • Confirm with Time Warner they will participate financially in a manor equivalent to Verizon. • The City will need to solicit community input, hold public workshops/hearings, and pass ordinances establishing the undergrounding districts in each area. A REGULATION NO.20 ELECTRIC LINE CONVERSION REPLACEMENT OF OVERHEAD WITH UNDERGROUND DISTRIBUTION FACILITIES Q 5-KV OR LESS) The District will, at its expense, replace its existing overhead distribution facilities with underground distribution facilities along public streets and roads, provided that: 1. The governing body of the city or county in which such distribution facilities are and will be located has: a. Determined, after consultation with the District and after holding public hearings on the subject, that such undergrounding is in the general public interest for one or more of the following reasons: Such undergrounding will avoid or eliminate an unusually heavy concentration of overhead distribution facilities; Said street or road or right-of-way is extensively used by the general public and carries a heavy volume of pedestrian or vehicular traffic; b. Adopted an ordinance creating an underground district in the area in which both the existing and new facilities are and will be located requiring, among other things (i) that all existing overhead communication and electric distribution facilities in such district shall be removed, and (ii) that each property owner served from such electric overhead distribution facilities shall provide, in accordance with the District's regulations for underground service, all electrical facility changes on his premises necessary to receive service from the underground facilities of the District as soon as it is available, and (iii) authorizing the District to discontinue its overhead service. 2. The District's total annual budgeted amount for undergrounding within any city or the unincorporated area of any county shall be allocated in the same ratio that the number of customers in such city or unincorporated area bears to the total system customers. The amounts so allocated may be exceeded where the District establishes that additional participation on a project is warranted. Such allocated amounts may be carried over for a reasonable and necessary period of time in communities with active undergrounding programs. In order to qualify as a community with an active undergrounding program the governing body must have adopted an ordinance or ordinances creating underground district and/or districts as set forth in Section A. L of this regulation. Where there is a carry-over, the District has the right to set, as determined by its capability, reasonable limits on the rate of performance of the work to be financed by the funds carried over. Where amounts are not expended or 50 250 REGULATION NO.20 - ELECTRIC LINE CONVERSION REPLACEMENT OF OVERHEAD WITH UNDERGROUND DISTRIBUTION FACILITIES (15-KV OR LESS (Continued) carried over for the community to which they are initially allocated they shall be assigned where additional participation on a project is warranted or be reallocated to communities with active undergrounding programs. 3. The undergrounding extends for a minimum distance of one block or 600 feet, whichever is the lesser. B. In circumstances other than those covered by A.1. above, the District will replace its existing overhead distribution facilities with underground distribution facilities along public streets and roads or other locations mutually agreed upon when requested by an applicant or applicants where all of the following conditions are met: 1. All property owners served from the overhead facilities to be removed first agree in writing to perform the wiring changes on their premises so that service may be furnished from the underground distribution system in accordance with the District's regulations and that the District may discontinue its overhead service upon completion of the underground facilities, or 2. Suitable legislation is in effect requiring such property owners to make such necessary wiring changes and authorizing the District to discontinue its overhead service. 3. The applicant has: a. Furnished and installed the pads and vaults for transformers and associated equipment, conduits, ducts, boxes, pole bases and performed other work related to structures and substructures including breaking of pavement, trenching, back -filling and repaving required in connection with the installation of the underground system, all in accordance with the District's specifications, or in lieu thereof, paid the District to do so; b. Transferred ownership of such facilities, in good condition, to the District; and C. Paid a nonrefundable sum equal to the excess, if any, of the estimated costs, exclusive of transformers, meters and services, of completing the underground system and building a new equivalent overhead system. 4. The area to be underground included both sides of a street for at least one block or 600 feet, whichever is the lesser, and all existing overhead communication and electric distribution facilities within the area will be removed. 5. In circumstances other than those covered by 1. or 2. above, where mutually agreed upon by the District and an applicant, overhead distribution facilities may be re- 51 251 REGULATION NO.20 - ELECTRIC LINE CONVERSION REPLACEMENT OF OVERHEAD WITH UNDERGROUND DISTRIBUTION FACILITIES (15-KV OR LESS) (Continued) placed with underground distribution facilities, provided the applicant requesting the change pays, in advance, a nonrefundable sum equal to the estimated cost of the underground facilities less the estimated net salvage value and depreciation of the replaced overhead facilities. Underground services will be installed and maintained as provided in District's regulations applicable thereto. 6. The term "underground distribution system" means an electric distribution system (15-kV or less) with all wires installed underground, except those wires in surface mounted equipment enclosures. Passed and adopted September 6, 1988, 52 252 GTE WEST COAST INCORPORATED Everett, Washington RULES AND REGULATIONS INTERRUPTIONS AND FAILURES OF SERVICE (Continued) GENERAL EXCHANGE TARIFF Section 2 Original Cal. P.U.C. Sheet No. 39 C. ERRORS IN TRANSMITTING, RECEIVING OR DELIVERING ORAL MESSAGES BY TELEPHONE The Utility shall not be liable for errors in transmitting, receiving or delivering oral messages by telephone over the lines of the Utility and oonnecting utilities. D. LOSS ARISING FROM NONDELIVERY OF WRITTEN MESSAGES The Utility shall be liable for loss or damage which may occur in the course of the employment of any messenger not to exceed twenty times the charge for such messenger service, and shall be liable for loss or damage that may occur in the transmission of any message over its lines not to exceed the amount received for sending same. FACILITIES TO PROVIDE REPLACEMENT OF AERIAL WITH UNDERGROUND FACILITIES A. IN AREAS AFFECTED BY GENERAL PUBLIC INTEREST The Utility will, at its expense, replace its existing aerial facilities with underground facilities along public streets and roads, and on public lands and private property across which rights -of --way satisfactory to the Utility have been obtained, or may be obtained without cost or condemnation, by the Utility, provided that: Advice Letter No. 408E Decision No. 94-09-065 Issued By Lida C. Tong, State Director External Affairs Date Filed APR 28,1997 Effective MAY 01,1997 Resolution No, T-16000 253 GTE WEST COAST INCORPORATED Everett, Washington RULES AND REGULATIONS GENERAL EXCHANGE TARIFF Section 2 Original Cal. P.U.C. Sheet No. 40 FACILITIES TO PROVIDE REPLACEMENT OF AERIAL WITH UNDERGROUND FACILITIES (Continued) A. IN AREAS AFFECTED BY GENERAL PUBLIC INTEREST (Continued) 1. The governing body of the city or county in which such facilities are located has determined, after consultation with the Utility and after holding public hearings on the subject, that undergrounding is in the general public interest in a specified area for one or more of the following reasons: o Such undergrounding will avoid or eliminate an unusually heavy concentration of aerial facilities; o Said street, or road or right -of --way is in an area extensively used by the general public and carries a heavy volume of pedestrian or vehicular traffic; o Said street, road or right-of-way adjoins or passes through a civic area or public recreation area or an area of unusual scenic interest to the general public. 2. The governing body adopted an ordinance creating an underground district in the area requiring, among other things, o That all existing and future electric and communication distribution facilities will be placed underground, and o That each property owner will provide and maintain the underground supporting structure needed on his property to furnish service to him from the underground facilities of the Utility when such are available. 3. The Utility will replace its aerial facilities at the time and only to the extent that the overhead electric distribution facilities are replaced. Advice Letter No. 408E Decision No. 94-09-065 Issued By Lida C. Tong, State Director External Affairs Date Filed APR 28,1997 Effective MAY 01,1997 Resolution No. T-16000 254 GTE WEST COAST INCORPORATED GENERAL EXCHANGE TARIFF Everett, Washington Section 2 Original Cal, P.U.C. Sheet No. 41 RULES AND REGULATIONS FACILITIES TO PROVIDE REPLACEMENT OF AERIAL WITH UNDERGROUND FACILITIES (Continued) B, AT THE REQUEST OF GOVERNMENTAL AGENCIES OR GROUPS OF APPLICANTS In circumstances other than those covered by A. above, the Utility will replace its aerial facilities located in a specified area with underground facilities along public streets and roads, and on public lands and private property across which rights -of -way satisfactory to the Utility have been obtained, or may be obtained without cost or condemnation, by the Utility upon request by a responsible party representing a governmental agency or group of applicants where all of the following conditions are met: 1 All property owners served by the aerial facilities to be replaced within a specific area designated by the governmental agency or group of applicants first agree in writing, or are required by suitable legislation, to pay the cost or to provide and to transfer ownership to the Utility, of the underground supporting structure along the public way and other utility rights -of -way in the area, and 2. All property owners in the area are required by ordinance or other legislation, or all agree in writing, to provide and maintain the underground supporting structure on their property, and 3. The area to be undergrounded includes both sides of a street for at least one block, and 4. Arrangements are made for the concurrent removal of all electric and communication aerial distribution facilities in the area. Advice Letter No. 408E Decision No. 94-09-065 Issued By Lida C. Tong, State Director External Affairs Date Filed APR 28, 1997 Effective MAY 01,1997 Resolution No. T-16000 255 GTE WEST COAST INCORPORATED GENERAL EXCHANGE TARIFF Everett, Washington Section 2 Original Cal. P.U.C. Sheet No, 42 RULES AND REGULATIONS FACILITIES TO PROVIDE REPLACEMENT OF AERIAL WITH UNDERGROUND FACILITIES (Continued) C. AT THE REQUEST OF INDIVIDUAL APPLICANTS In circumstances other than those covered by A, B, or C above, where mutually agreed upon by the Utility and an applicant, aerial facilities may be replaced with underground facilities, provided the applicant requesting the change pays, in advance, a nonrefundable sum equal to the estimated cost of construction less the estimated net salvage value of the replaced aerial facilities. D. AT UTILITY INITIATIVE The Utility may, from time to time, replace sections of its aerial facilities with underground facilities at Utility expense for structural design considerations or its operating convenience. LINE EXTENSIONS, SERVICE CONNECTIONS AND FACILITIES ON PREMISES OF CUSTOMER A. LINE EXTENSIONS AND SERVICE CONNECTIONS 1 General a, Except as otherwise provided in these Rules, the Utility will, at its expense, construct, own and maintain all facilities necessary to serve applicants in accordance with its rates, rules and current construction standards, provided dedicated streets are available or acceptable easements can be obtained without charge or condemnation. b. Where an applicant requests a route or type of construction which is feasible but differs from that determined by the utility, he will be required to pay the estimated additional cost involved. Advice Letter No. 408E Decision No. 94-09-066 Issued By Lida C. Tong, State Director External Affairs Date Filed APR 28,1997 Effective MAY 01, 1997 Resolution No. T-16000 256 AGREEMENT RELATING TO THE CONSENT OF THE CITY A. OF LA QUINTA, CALIFORNIA TO THE TRANSFER OF THE FRANCHISE AGREEKENT HELD BY MEDIA ONE ENTERPRISES, INC. This Agreement (the "Transfer Agreement") is entered into this 0_ day of July, 1999, between and among the City of La Quinta, California (the "City"), and Media One Enterprises, Inc., (the "Transferor"), Summit Cable Services of Georgia, Inc., (the "Transferee"), and TWI Cable Inc.(the "Guarantor"). WHEREAS, City Council entered into a Franchise Agreement (the "Franchise") with a predecessor -in -interest of the Transferor pursuant to the provisions of the La Quinta Municipal Code (the "Ordinance") to operate a cable television system within the City (the "System"); and WHEREAS, the Transferor has filed a written application to the City, (the "Application") wherein it has requested the consent of the City to the assignment of the Franchise to the Transferor (the "Transfer"); and WHEREAS, it is the intent of the City to approve the transaction whereby ownership and control of the Franchise and the cable system (the "System") shall be held by the Transferee and guaranteed by the Guarantor; and WHEREAS, the City Council of the City has reviewed the Transfer as well as all relevant documents, Staff Reports and recommendations; and WHEREAS, pursuant to the Ordinance, the Transfer is subject to written consent of the City Council; and WHEREAS, based upon the evidence presented to the City 124/013610-0004/3273421.3 wvdskte><ti". 257 Council, it has determined that it would be in the public interest to conditionally approve the Transfer. NOW, THEREFORE, it is agreed by and between the parties as follows : 1. The City Council of the City hereby gives its consent and approval to the Transfer as described herein. 2. The granting of this consent to the Transfer does not render or waive the right of the City to approve any subsequent change in the ownership of the Franchise or the ownership or legal or operating control of the Transferee where required by the Ordinance and there shall be no further material change, amendment, or modification of the ownership or equity composition of the Transferee which requires advance consent of the City pursuant to the Ordinance without further written consent of the City Council. 3. By executing this Transfer Agreement, the Transferee agrees and acknowledges that (1) this Transfer Agreement and the approving resolution is not a new franchise agreement, the granting of a franchise, or the renewal of the existing franchise, but rather is exclusively an agreement to transfer control of the franchise and said Transfer Agreement neither affects nor prejudices in any way the City's or Transferee's rights under the Franchise; (2) under Section 625 of the Cable Act, the term "commercially impracticable" means, with respect to a cable operator, that it is commercially impracticable for the operator to comply with such requirement as a result of a change in conditions which is beyond the control of the operator and the nonoccurrence of which was a basic assumption on which the requirement was based. Transferee agrees that in judging whether particular obligations are commercially impracticable, the parties will not consider the economic burden of debt service and 124/QLS610-0004/3273421.3 a<d&t—<tLer> -2- equity requirements incurred directly or indirectly to fund the Transfer to the extent such debt service and equity exceeds the debt service and equity requirements of the Transferor as they existed prior to the Transfer. 4. By executing this Transfer Agreement, the Transferee hereby accepts all the terms and conditions of the Franchise, the Ordinance, that "Agreement relating to the Consent of the City of La Quinta, California to the Transfer of Control of the Franchise Agreement Granted to Providence Journal Company", dated as of October 17, 1995, (the 111995 Transfer Agreement"), that "Agreement Relating to the Consent of the City of La Quinta, California to the Transfer of Control of the Franchise Agreement Granted to Continental Cablevision, Inc., to U.S. West, Inc.", approved as of August 6, 1996 (the 111996 Transfer Agreement"), any lawful orders or directives of any administrative agency relating to the Franchise or the System including, but not limited to, the Federal Communications Commission (the -''Commission") and.this Transfer Agreement (collectively, the "Franchise Documents") and Transferee represents and warrants that it has examined the requirements of the Franchise Documents as well as the applicable federal, state, or local laws or regulations, and agrees to abide by all the terms and conditions thereof. The Transferee agrees and acknowledges that it has found the Franchise Documents specified herein to be legally sufficient, enforceable, valid, and binding and accept the same without condition or reservation. Transferee shall assume all rate refund obligations and possessory interest tax refund liability, if any, both actual and contingent, of the Transferor. The Transferor agrees to cooperate and furnish relevant information in relation to any audit and/or investigation relative to any audit and/or investigation relative to breaches and/or defaults accruing subsequent to the Transfer. 124/015G10-0004/3273421.3 a<data><Cim . — 3 i To the extent that the Transferee or Guarantor, or any related person or entity, challenges the validity or interpretation of the Franchise Documents in the future in any administrative proceeding or court of law, such a challenge shall be subject to all defenses which would have been available to the City had the Transferor, or any related person or entity, brought said challenge(s) including, but not limited to, waiver, estoppel, consent, unclean hands and accord and satisfaction, as well as any and all defenses independently available to the Transferee or Guarantor. 5. The parties expressly agree and acknowledge that Paragraph 5 of the 1996 Transfer Agreement, and the terms and conditions thereof, are applicable and binding upon, the Transferee in relation to this Transfer for the period from the Effective Date of this Transfer Agreement until the earlier of a substantive modification of the Federal Communications Commission's existing Cost -of -Service Regulations so that Transfer Goodwill, or a portion thereof, is expressly provided as being includable in the calculation of any Regulated Rate or the Fifth Anniversary of the Effective Date of this Transfer Agreement. 6. On or before the Effective Date, the Transferor, or its designee, shall pay to the City up to the sum of Five Thousand Dollars ($5,000.00), as invoiced by the City, which amount is paid in, and only in, complete satisfaction and reimbursement of all thin: -party costs incurred by the City in relation to the Transfer (the "Payment"). In regard to said Payment, the parties expressly agree and covenant as follows: A. The Payment is within the exclusions from the term "franchise fee" set forth in Section 622(g)(2) of the Cable Act (47 U.S.C. §542(g)(2); and 124/015610-0004/3273421.3 a<d^te-<tiwA> - 4 - 260 B. The Payment shall not be deemed to be in the nature of a tax, and shall be in addition to any and all taxes of general applicability or other fees or charges which the Transferor, the Transferee, or the Guarantor shall be required to pay to the City or to any state or federal agency or authority; and C. Neither the Transferor, the Transferee nor the Guarantor shall have or make any claim or any deduction or other credit of all or any part of the amount of the Payment to be made pursuant to the franchise from or against any City or other governmental taxes of general applicability (including any such tax, fee, or assessment imposed on both utilities and cable operators or their services but not including a tax, fee, or assessment which is duly discriminatory against cable operators or cable subscribers or income taxes) or other fees or charges which the Transferor, the Transferee, or the Guarantor is _-required to pay to -the City or other governmental agency; and D. Neither the Transferor, the Transferee, nor the Guarantor shall apply or seek to apply all or any part of the amount of the Payment to be made pursuant to this Transfer Agreement as a deduction or other credit from or against any City or other government taxes of general applicability (other than income taxes) or other fees or charges; and E. Neither the Transfer, the Transferee nor the Guarantor'shall apply or seek to apply all or any part of the amount of any City or other government taxes or other fees or charges of general applicability (including any such tax, fee, or assessment imposed on both utilities and cable operators or their services) as a deduction or other credit from or against the Payment to be made pursuant to this Transfer Agreement; and 124/015610-0004/3213421.3 ■<date­ti", - 5 - 261 7. In regard to the Payment made to the City pursuant to this Transfer Agreement, the Transferor, Transferee, Guarantor, or any affiliate party will not pass through, externalize, or otherwise attempt to add the costs of the Payment pursuant to Paragraph 6 hereof, to any regulated rate. 8. Transferee represents that the letter of credit, insurance and bonding required by the Franchise Documents have been obtained, and that there will be no gaps in required coverages or liabilities. Transferee will continue to maintain the letter of credit and bonds that it was required to maintain under the Franchise notwithstanding the Transfer. 9. Transferor and Transferee agree to defend, indemnify and hold the City harmless against any loss, claim, damage, liability or expense (including, without limitation, reasonable attorney's fees) arising out of this Transfer Agreement and/or incurred as a result of any representation or warranty made by _ Transferor or Transferee herein or in the application or in connection with the City's Review of the Transfer which proves to be untrue or inaccurate in any material respect. In the event the City receives any such notice of a loss, claim, damage, liability or expense, the City shall promptly notify Transferor and Transferee which shall, at the sole discretion of the City assume sole and direct responsibility for defending against any such loss, claim, damage, liability or expense. 10. This consent is not an affirmation that Transferor is currently in compliance with the Franchi�.e Agreement. Any consent given by the City in this Transfer Agreement and any resolution approving this Transfer Agreement is not a finding that, after the Transfer, Transferor or Transferee will be financially, technically or legally qualified, and no inference will be drawn, positively or negatively, as a result of the absence of a finding on this issue. Any consent is therefore 124/015610-0004/3273421.3 ■<dat-�ctima> — 6 — 262 made without prejudice to, or waiver of, the City's right to fully investigate and consider Transferor or Transferee's financial, technical and legal qualifications and any other relevant considerations during any proceeding including by way of example and not limitation, any future transfer or renewal proceeding. Without limiting the foregoing, any approval of the Transfer is not a finding or representation that the Franchise will be renewed or extended (and approval shall not create an obligation to renew or extend the Franchise); that Transferor or Transferee is "financially, technically or legally" qualified to hold a franchise; or that any other renewal issue that may arise with respect to past performance or future cable -related needs and interests will be resolved in a manner favorable to Transferor or Transferee. Unless provided for within this Transfer Agreement, nothing in this Transfer Agreement shall constitute a waiver of any of Transferor's, Transferee's, Guarantor's, or City's rights or remedies under federal, state or local law. 11. The Transferee and Guarantor expressly agree that any litigation arising from or relating to the Franchise Documents shall be filed and litigated exclusively in the Superior Court, County of Riverside, State of California or, if jurisdictional requirements are otherwise met, the Federal District Court for the Central District, California. Transferee and Guarantor hereby jointly accept service of process by way of service upon the General Manager of the local office of the Transferee. 12. Guarantor hereby guarantees all of the obligations of the Franchise Documents as a joint and several primary liable party. Guarantor hereby waives any obligation which the City might possess to exhaust its remedies against the Transferee as a condition of enforcing obligations against the Guarantor pursuant to the Franchise Documents. 124/015610-0004/3273421.3 acdata><tima> - % - 263 13. Any violation of this Transfer Agreement or any of the terms contained in the Franchise Documents shall be deemed to be a violation of the Franchise and the Ordinance. 14. Transferee shall maintain a local office, staffed by live personnel which are employees of the Transferee, at which, at a minimum, subscribers can pay bills, receive or exchange equipment, and receive information within a six (6) mile radius of the intersection of Washington Street and Highway 111. 15. In addition to the Payment and any other payment required by this Transfer Agreement, Transferor shall reimburse the City the actual costs of an independent franchise fee audit for Fiscal Years 1995-1996 through 1998-1999 within thirty (30) days of the submission of a City invoice if, and only if, the audit concludes that the City has been underpaid franchise fees by one percent (1%) or more, as provided by Section 5.10.230(C) of the Ordinance. Transferor and Transferee shall cooperate with the City's audit of franchise fees. The City shall reasonably attempt to complete a final audit report (the "Audit Report") of franchise fees owed by Transferor within ninety (90) days of the Effective Date of this Agreement assuming that the Transferor and/or Transferee expeditiously respond to the City's Information Requests. If the Audit Report finds that Transferor owes the City underpaid franchise fees under the Franchise, and the difference between the amount paid and -the amount determined by the City's audit is less than five percent (5%) of the amount paid to the City, or if Transferor does not dispute the results of the City's audit, then Transferor shall pay the City the difference in the amount determined to be owed by the Audit Report. This obligation is guaranteed by the Transferee. If the Audit Report determines that the amount due and owing is more than five percent (5%) greater than the amount paid to the City and Transferor disputes the audit results, the dispute shall be submitted to a mutually agreed upon, independent certified public 124/015610-0004/3273421.3 a<daca><t LMOI 264 accountant ("CPA") whose determination of amount of franchise fees due shall be final and binding on the parties. The costs of hiring the CPA shall be borne by Transferor. Any amounts determined by the independent CPA to be owed to the City shall be paid to the City within thirty (30) days of such determination. 16. Transferor represents and warrants that it has received cash refunds from Riverside County relating to possessory interest tax payments for tax years to (the "Tax Years"). All, or a portion of these tax payments, were collected from subscribers as line item surcharges on monthly cable bills. Not later than four (4) months from the Effective Date, Transferee agrees to provide a written accounting to the City of the total amount collected from La Quinta subscribers for the Tax Years (the "Subscriber Payments"), the amount of the total refund received from Riverside County for the Tax Years (the "Total Refund"), the amount of the Total Refund allocable to La Quinta Subscribers on a pro rata subscriber basis (the "Gross La Quinta Refund"), the amount of expenses allocable to La Quinta Subscribers (the "Expense Allocation"), and the "Net Refund" due La Quinta Subscribers, which is the Gross La Quinta Refund less the Expense Allocation. The Expense Allocation shall not exceed ten percent (10%) of the Gross La Quinta Refund. The Net Refund shall be credited to current subscribers no later than six (6) months from the Effective Date and written proof of said refund shall be submitted to City no later than eight (8) months from the Effective Date. 17. Transferee will provide interactive high speed cable modem sezvices to buildings owned or controlled by the City at most favorable commercial or governmental rate offered anywhere in its San Diego Division systems by the Transferee, the Guarantor, or any Affiliate thereof. 18. The City hereby gives the Transferee notice that the Grant or transfer of the Franchise may create a taxable 124/015610-0004/3273421.3 a<data>ctime, - 9 - n possessory interest upon which the Transferee may be liable for the payment of certain property taxes. The Transferee hereby acknowledges that it has received actual notice as provided by Revenue and Taxation Code Section 107.6 19. This Transfer Agreement shall be deemed effective upon the closing of the Transfer (the "Effective Date"). 20. This Transfer Agreement may be executed in any number of counterparts, each of which shall be an original, but all of which together shall constitute one instrument. The parties agree that this Transfer Agreement will be considered signed when the signature of a party if delivered by facsimile transmission. Such facsimile signature shall be treated in all respects as having the same effect as an original signature. [SIGNATURE BLOCK NEXT PAGE] 124/01S610-0004/3273421.3 ■<date><time> — 10 - 266 ATTE T : r ' y Clerk APPROVED: rd 1.W. � w _ , NOW lb, i CITY OF LA QUINTA, CALIFORNIA (the "City") By: � JpL Its: MWIA ONE ENTERPRISES, INC. (the "Transferor") By: Its: SIINNIT CABLE SERVICES OF GEORGIA, INC. (the "Transferee") By: Its: TWI CABLE INC. (the "Guarantor") By: 124/015610-0004/3273421.3 &<date>ctie > — 1 1 — Its: 267 JW -19-99 01.31pm From-RUTAN Z TUCKER CM, ATTEST: City Clerk 7APPROVED: titan Tucker, LLP Special Counsel 11u015610 MV327U21 3 a07r19199 -11- 7145469035 T-111 P.02/02 F-698 CITY OY La QUINT&, CALIFORNIA (the °City") By: ts: MIA ONE ENTERPRISES, INC. (the "Transferor") By: SMINIT CABLE SRRVICES OF GROSGIA, INC. (tile "Transferee") By: Trs: TNI CABLE INC. (the "Guarantor") By : -- TL8 07-19-99 13:31 RECEIVED FROM:7145469935 P-82 268 --07/19/99 MON 15:37 FAX 310 647 3036 07-19-99 15:15 City of La Auinta MediaOne ID-769 777 7161 0002 P.93 ATTEST: ty Clerk APPROVED: Rutan & Tucker, LLP Special Counsel 124/015i1a-0004,;t772421.3 aed.t—et111p+ CITY OF LA QUINTA, CALIFORNIA (the "City") By; Its: MEDIA ONE ENTERPRISES, INC_ (the "Transferor") By.- 1( ~' It J��L tiGLi►op� SUMIT CABLE SERVICES OF C3090IA, Me. (the "Transferee") -11- By. Its: TWI CABLE INC. (the "Guarantor") By: Its: 97-19-99 15:46 RECEIVED FROM:310 547 3036 26' 02 50:80 66-9Z-L0 ur: VY rna gu3 qaa - Z0'd 8bZ999S6i9:i40ilti Q$Al���:i BOOS vrifvr ■s _RE>il, _ P• i■ ATI'i ST t F.� .1 ?-j SLUC;4m a %4ACkar, LLt ■PaoSal COADSal tN/q�a�-■M�/a7�lraas�� �d■�■ar■f+aw Ci't■!C Df La W3'ruf C Zvoma taha scityw) .BY r ut -11- XWZL an xIms• sm. (the "Tgandfamr a ? moms CAMA 22*wt J of (raft STrametar "W ) WX OLVA =a. COO "ouarmtorm ) 33SND W831S3MHiFP-)S b UGO :80 E,6. Oi.��' -Iflf ATTACHMENT 2 AGREEMENT FOR CONTRACT SERVICES THIS AGREEMENT FOR CONTRACT SERVICES (the "Agreement") is made and entered into by and between the CITY OF LA QUINTA, ("City"), a California municipal corporation, and NV5, Inc. ("Contracting Party"). The parties hereto agree as follows: 1. SERVICES OF CONTRACTING PARTY. 1.1 Scope of Services. In compliance with all terms and conditions of this Agreement, Contracting Party shall provide those services related La Quinta Village Undergrounding Feasibility Study Update Project No. 2022-06, as specified in the "Scope of Services" attached hereto as "Exhibit A" and incorporated herein by this reference (the "Services"). Contracting Party represents and warrants that Contracting Party is a provider of first-class work and/or services and Contracting Party is experienced in performing the Services contemplated herein and, in light of such status and experience, Contracting Party covenants that it shall follow industry standards in performing the Services required hereunder, and that all materials, if any, will be of good quality, fit for the purpose intended. For purposes of this Agreement, the phrase "industry standards" shall mean those standards of practice recognized by one or more first-class firms performing similar services under similar circumstances. 1.2 Compliance with Law. All Services rendered hereunder shall be provided in accordance with all ordinances, resolutions, statutes, rules, regulations, and laws of the City and any Federal, State, or local governmental agency of competent jurisdiction. 1.3 Wage and Hour Compliance, Contracting Party shall comply with applicable Federal, State, and local wage and hour laws. 1.4 Licenses, Permits, Fees and Assessments. Except as otherwise specified herein, Contracting Party shall obtain at its sole cost and expense such licenses, permits, and approvals as may be required by law for the performance of the Services required by this Agreement, including a City of La Quinta business license. Contracting Party and its employees, agents, and subcontractors shall, at their sole cost and expense, keep in effect at all times during the term of this Agreement any licenses, permits, and approvals that are legally required for the performance of the Services required by this Agreement. Contracting Party shall have the sole obligation to pay for any fees, assessments, and taxes, plus applicable penalties and interest, which may be imposed by law and arise from or are necessary for the performance of the Services required by this Agreement, and shall indemnify, defend (with counsel selected by City), and hold City, its elected officials, officers, 271 employees, and agents, free and harmless against any such fees, assessments, taxes, penalties, or interest levied, assessed, or imposed against City hereunder. Contracting Party shall be responsible for all subcontractors' compliance with this Section. 1.5 Familiarity with Work. By executing this Agreement, Contracting Party warrants that (a) it has thoroughly investigated and considered the Services to be performed, (b) it has investigated the site where the Services are to be performed, if any, and fully acquainted itself with the conditions there existing, (c) it has carefully considered how the Services should be performed, and (d) it fully understands the facilities, difficulties, and restrictions attending performance of the Services under this Agreement. Should Contracting Party discover any latent or unknown conditions materially differing from those inherent in the Services or as represented by City, Contracting Party shall immediately inform City of such fact and shall not proceed except at Contracting Party's risk until written instructions are received from the Contract Officer, or assigned designee (as defined in Section 4.2 hereof). 1.6 Standard of Care. Contracting Party acknowledges and understands that the Services contracted for under this Agreement require specialized skills and abilities and that, consistent with this understanding, Contracting Party's work will be held to an industry standard of quality and workmanship. Consistent with Section 1.5 hereinabove, Contracting Party represents to City that it holds the necessary skills and abilities to satisfy the industry standard of quality as set forth in this Agreement. Contracting Party shall adopt reasonable methods during the life of this Agreement to furnish continuous protection to the Services performed by Contracting Party, and the equipment, materials, papers, and other components thereof to prevent losses or damages, and shall be responsible for all such damages, to persons or property, until acceptance of the Services by City, except such losses or damages as may be caused by City's own negligence. The performance of Services by Contracting Party shall not relieve Contracting Party from any obligation to correct any incomplete, inaccurate, or defective work at no further cost to City, when such inaccuracies are due to the negligence of Contracting Party. 1.7 Additional Services. In accordance with the terms and conditions of this Agreement, Contracting Party shall perform services in addition to those specified in the Scope of Services ("Additional Services") only when directed to do so by the Contract Officer, or assigned designee, provided that Contracting Party shall not be required to perform any Additional Services without compensation. Contracting Party shall not perform any Additional Services until receiving prior written authorization (in the form of a written -2 272 change order if Contracting Party is a contractor performing the Services) from the Contract Officer, or assigned designee, incorporating therein any adjustment in (i) the Contract Sum, and/or (ii) the time to perform this Agreement, which said adjustments are subject to the written approval of Contracting Party. It is expressly understood by Contracting Party that the provisions of this Section shall not apply to the Services specifically set forth in the Scope of Services or reasonably contemplated therein. It is specifically understood and agreed that oral requests and/or approvals of Additional Services shall be barred and are unenforceable. Failure of Contracting Party to secure the Contract Officer's, or assigned designee's written authorization for Additional Services shall constitute a waiver of any and all right to adjustment of the Contract Sum or time to perform this Agreement, whether by way of compensation, restitution, quantum meruit, or the like, for Additional Services provided without the appropriate authorization from the Contract Officer, or assigned designee. Compensation for properly authorized Additional Services shall be made in accordance with Section 2.3 of this Agreement. 1.8 Special Requirements. Additional terms and conditions of this Agreement, if any, which are made a part hereof are set forth in "Exhibit D" (the "Special Requirements"), which is incorporated herein by this reference and expressly made a part hereof. In the event of a conflict between the provisions of the Special Requirements and any other provisions of this Agreement, the provisions of the Special Requirements shall govern. 2. COMPENSATION. 2.1 Contract Sum. For the Services rendered pursuant to this Agreement, Contracting Party shall be compensated in accordance with "Exhibit B" (the "Schedule of Compensation") in a total amount not to exceed One Hundred Twenty -Four Thousand Three Hundred and Fifteen Dollars ($124,315) (the "Contract Sum"), except as provided in Section 1.7. The method of compensation set forth in the Schedule of Compensation may include a lump sum payment upon completion, payment in accordance with the percentage of completion of the Services, payment for time and materials based upon Contracting Party's rate schedule, but not exceeding the Contract Sum, or such other reasonable methods as may be specified in the Schedule of Compensation. The Contract Sum shall include the attendance of Contracting Party at all project meetings reasonably deemed necessary by City; Contracting Party shall not be entitled to any additional compensation for attending said meetings. Compensation may include reimbursement for actual and necessary expenditures for reproduction costs, transportation expense, telephone expense, and similar costs and expenses when and if specified in the Schedule of Compensation. Regardless of the method of -3- 273 compensation set forth in the Schedule of Compensation, Contracting Party's overall compensation shall not exceed the Contract Sum, except as provided in Section 1.7 of this Agreement. 2.2 Method of Billing & Payment. Any month in which Contracting Party wishes to receive payment, Contracting Party shall submit to City no later than the tenth (10th) working day of such month, in the form approved by City's Finance Director, an invoice for Services rendered prior to the date of the invoice. Such invoice shall (1) describe in detail the Services provided, including time and materials, and (2) specify each staff member who has provided Services and the number of hours assigned to each such staff member. Such invoice shall contain a certification by a principal member of Contracting Party specifying that the payment requested is for Services performed in accordance with the terms of this Agreement. Upon approval in writing by the Contract Officer, or assigned designee, and subject to retention pursuant to Section 8.3, City will pay Contracting Party for all items stated thereon which are approved by City pursuant to this Agreement no later than thirty (30) days after invoices are received by the City's Finance Department. 2.3 Compensation for Additional Services. Additional Services approved in advance by the Contract Officer, or assigned designee, pursuant to Section 1.7 of this Agreement shall be paid for in an amount agreed to in writing by both City and Contracting Party in advance of the Additional Services being rendered by Contracting Party. Any compensation for Additional Services amounting to five percent (5%) or less of the Contract Sum may be approved by the Contract Officer, or assigned designee. Any greater amount of compensation for Additional Services must be approved by the La Quinta City Council, the City Manager, or Department Director, depending upon City laws, regulations, rules and procedures concerning public contracting. Under no circumstances shall Contracting Party receive compensation for any Additional Services unless prior written approval for the Additional Services is obtained from the Contract Officer, or assigned designee, pursuant to Section 1.7 of this Agreement. 3. PERFORMANCE SCHEDULE. 3.1 Time of Essence. Time is of the essence in the performance of this Agreement. If the Services not completed in accordance with the Schedule of Performance, as set forth in Section 3.2 and "Exhibit C", it is understood that the City will suffer damage. 3.2 Schedule of Performance. All Services rendered pursuant to this Agreement shall be performed diligently and within the time period established in "Exhibit C" (the "Schedule of Performance"). Extensions to the _4_ 274 time period specified in the Schedule of Performance may be approved in writing by the Contract Officer, or assigned designee. 3.3 Force Majeure. The time period specified in the Schedule of Performance for performance of the Services rendered pursuant to this Agreement shall be extended because of any delays due to unforeseeable causes beyond the control and without the fault or negligence of Contracting Party, including, but not restricted to, acts of God or of the public enemy, fires, earthquakes, floods, epidemic, quarantine restrictions, riots, strikes, freight embargoes, acts of any governmental agency other than City, and unusually severe weather, if Contracting Party shall within ten (10) days of the commencement of such delay notify the Contract Officer, or assigned designee, in writing of the causes of the delay. The Contract Officer, or assigned designee, shall ascertain the facts and the extent of delay, and extend the time for performing the Services for the period of the forced delay when and if in the Contract Officer's judgment such delay is justified, and the Contract Officer's determination, or assigned designee, shall be final and conclusive upon the parties to this Agreement. Extensions to time period in the Schedule of Performance which are determined by the Contract Officer, or assigned designee, to be justified pursuant to this Section shall not entitle the Contracting Party to additional compensation in excess of the Contract Sum. 3.4 Term. Unless earlier terminated in accordance with the provisions in Article 8.0 of this Agreement, the term of this agreement shall commence on December 21, 2022, and terminate on June 30, 2024 ("Initial Term"). This Agreement may be extended for two (1) additional year upon mutual agreement by both parties ("Extended Term"), and executed in writing. 4. COORDINATION OF WORK. 4.1 Representative of Contracting Party. The following principals of Contracting Party ("Principals") are hereby designated as being the principals and representatives of Contracting Party authorized to act in its behalf with respect to the Services specified herein and make all decisions in connection therewith: (a) Jeffrey Cooper, P.E., Senior Vice President Tel No. 858.531.6666 E-mail: jeff.cooper@nv5.com (b) Gregg Butsko Email: gregg.butsko@nv5.com It is expressly understood that the experience, knowledge, capability, and reputation of the foregoing Principals were a substantial inducement for -5- 275 City to enter into this Agreement. Therefore, the foregoing Principals shall be responsible during the term of this Agreement for directing all activities of Contracting Party and devoting sufficient time to personally supervise the Services hereunder. For purposes of this Agreement, the foregoing Principals may not be changed by Contracting Party and no other personnel may be assigned to perform the Services required hereunder without the express written approval of City. 4.2 Contract Officer. The "Contract Officer", otherwise known as Bryan McKinney, Public Works Director/City Engineer, or assigned designee may be designated in writing by the City Manager of the City. It shall be Contracting Party's responsibility to assure that the Contract Officer, or assigned designee, is kept informed of the progress of the performance of the Services, and Contracting Party shall refer any decisions, that must be made by City to the Contract Officer, or assigned designee. Unless otherwise specified herein, any approval of City required hereunder shall mean the approval of the Contract Officer, or assigned designee. The Contract Officer, or assigned designee, shall have authority to sign all documents on behalf of City required hereunder to carry out the terms of this Agreement. 4.3 Prohibition Against Subcontracting or Assignment. The experience, knowledge, capability, and reputation of Contracting Party, its principals, and its employees were a substantial inducement for City to enter into this Agreement. Except as set forth in this Agreement, Contracting Party shall not contract or subcontract with any other entity to perform in whole or in part the Services required hereunder without the express written approval of City. In addition, neither this Agreement nor any interest herein may be transferred, assigned, conveyed, hypothecated, or encumbered, voluntarily or by operation of law, without the prior written approval of City. Transfers restricted hereunder shall include the transfer to any person or group of persons acting in concert of more than twenty five percent (25%) of the present ownership and/or control of Contracting Party, taking all transfers into account on a cumulative basis. Any attempted or purported assignment or contracting or subcontracting by Contracting Party without City's express written approval shall be null, void, and of no effect. No approved transfer shall release Contracting Party of any liability hereunder without the express consent of City. 4.4 Independent Contractor. Neither City nor any of its employees shall have any control over the manner, mode, or means by which Contracting Party, its agents, or its employees, perform the Services required herein, except as otherwise set forth herein. City shall have no voice in the selection, discharge, supervision, or control of Contracting Party's employees, servants, representatives, or agents, or in fixing their number or hours of service. _6_ 276 Contracting Party shall perform all Services required herein as an independent contractor of City and shall remain at all times as to City a wholly independent contractor with only such obligations as are consistent with that role. Contracting Party shall not at any time or in any manner represent that it or any of its agents or employees are agents or employees of City. City shall not in any way or for any purpose become or be deemed to be a partner of Contracting Party in its business or otherwise or a joint venture or a member of any joint enterprise with Contracting Party. Contracting Party shall have no power to incur any debt, obligation, or liability on behalf of City. Contracting Party shall not at any time or in any manner represent that it or any of its agents or employees are agents or employees of City. Except for the Contract Sum paid to Contracting Party as provided in this Agreement, City shall not pay salaries, wages, or other compensation to Contracting Party for performing the Services hereunder for City. City shall not be liable for compensation or indemnification to Contracting Party for injury or sickness arising out of performing the Services hereunder. Notwithstanding any other City, state, or federal policy, rule, regulation, law, or ordinance to the contrary, Contracting Party and any of its employees, agents, and subcontractors providing services under this Agreement shall not qualify for or become entitled to any compensation, benefit, or any incident of employment by City, including but not limited to eligibility to enroll in the California Public Employees Retirement System ("PERS") as an employee of City and entitlement to any contribution to be paid by City for employer contributions and/or employee contributions for PERS benefits. Contracting Party agrees to pay all required taxes on amounts paid to Contracting Party under this Agreement, and to indemnify and hold City harmless from any and all taxes, assessments, penalties, and interest asserted against City by reason of the independent contractor relationship created by this Agreement. Contracting Party shall fully comply with the workers' compensation laws regarding Contracting Party and Contracting Party's employees. Contracting Party further agrees to indemnify and hold City harmless from any failure of Contracting Party to comply with applicable workers' compensation laws. City shall have the right to offset against the amount of any payment due to Contracting Party under this Agreement any amount due to City from Contracting Party as a result of Contracting Party's failure to promptly pay to City any reimbursement or indemnification arising under this Section. 4.5 Identity of Persons Performing Work. Contracting Party represents that it employs or will employ at its own expense all personnel required for the satisfactory performance of any and all of the Services set forth herein. Contracting Party represents that the Services required herein will be performed by Contracting Party or under its direct supervision, and that all personnel engaged in such work shall be fully qualified and shall be -7- 277 authorized and permitted under applicable State and local law to perform such tasks and services. 4.6 City Cooperation. City shall provide Contracting Party with any plans, publications, reports, statistics, records, or other data or information pertinent to the Services to be performed hereunder which are reasonably available to Contracting Party only from or through action by City. 5. INSURANCE. 5.1 Insurance. Prior to the beginning of any Services under this Agreement and throughout the duration of the term of this Agreement, Contracting Party shall procure and maintain, at its sole cost and expense, and submit concurrently with its execution of this Agreement, policies of insurance as set forth in "Exhibit E" (the "Insurance Requirements") which is incorporated herein by this reference and expressly made a part hereof. 5.2 Proof of Insurance. Contracting Party shall provide Certificate of Insurance to Agency along with all required endorsements. Certificate of Insurance and endorsements must be approved by Agency's Risk Manager prior to commencement of performance. 6. INDEMNIFICATION. 6.1 Indemnification. To the fullest extent permitted by law, Contracting Party shall indemnify, protect, defend (with counsel selected by City), and hold harmless City and any and all of its officers, employees, agents, and volunteers as set forth in "Exhibit F" ("Indemnification") which is incorporated herein by this reference and expressly made a part hereof. 7. RECORDS AND REPORTS. 7.1 Reports. Contracting Party shall periodically prepare and submit to the Contract Officer, or assigned designee, such reports concerning Contracting Party's performance of the Services required by this Agreement as the Contract Officer, or assigned designee, shall require. Contracting Party hereby acknowledges that City is greatly concerned about the cost of the Services to be performed pursuant to this Agreement. For this reason, Contracting Party agrees that if Contracting Party becomes aware of any facts, circumstances, techniques, or events that may or will materially increase or decrease the cost of the Services contemplated herein or, if Contracting Party is providing design services, the cost of the project being designed, Contracting Party shall promptly notify the Contract Officer, or assigned designee, of said fact, circumstance, technique, or event and the estimated increased or decreased cost related thereto and, if Contracting Party is -8 278 providing design services, the estimated increased or decreased cost estimate for the project being designed. 7.2 Records. Contracting Party shall keep, and require any subcontractors to keep, such ledgers, books of accounts, invoices, vouchers, canceled checks, reports (including but not limited to payroll reports), studies, or other documents relating to the disbursements charged to City and the Services performed hereunder (the "Books and Records"), as shall be necessary to perform the Services required by this Agreement and enable the Contract Officer, or assigned designee, to evaluate the performance of such Services. Any and all such Books and Records shall be maintained in accordance with generally accepted accounting principles and shall be complete and detailed. The Contract Officer, or assigned designee, shall have full and free access to such Books and Records at all times during normal business hours of City, including the right to inspect, copy, audit, and make records and transcripts from such Books and Records. Such Books and Records shall be maintained for a period of three (3) years following completion of the Services hereunder, and City shall have access to such Books and Records in the event any audit is required. In the event of dissolution of Contracting Party's business, custody of the Books and Records may be given to City, and access shall be provided by Contracting Party's successor in interest. Under California Government Code Section 8546.7, if the amount of public funds expended under this Agreement exceeds Ten Thousand Dollars ($10,000.00), this Agreement shall be subject to the examination and audit of the State Auditor, at the request of City or as part of any audit of City, for a period of three (3) years after final payment under this Agreement. 7.3 Ownership of Documents. All drawings, specifications, maps, designs, photographs, studies, surveys, data, notes, computer files, reports, records, documents, and other materials plans, drawings, estimates, test data, survey results, models, renderings, and other documents or works of authorship fixed in any tangible medium of expression, including but not limited to, physical drawings, digital renderings, or data stored digitally, magnetically, or in any other medium prepared or caused to be prepared by Contracting Party, its employees, subcontractors, and agents in the performance of this Agreement (the "Documents and Materials") shall be the property of City and shall be delivered to City upon request of the Contract Officer, or assigned designee, or upon the expiration or termination of this Agreement, and Contracting Party shall have no claim for further employment or additional compensation as a result of the exercise by City of its full rights of ownership use, reuse, or assignment of the Documents and Materials hereunder. Any use, reuse or assignment of such completed Documents and Materials for other projects and/or use of uncompleted documents without _g_ 279 specific written authorization by Contracting Party will be at City's sole risk and without liability to Contracting Party, and Contracting Party's guarantee and warranties shall not extend to such use, revise, or assignment. Contracting Party may retain copies of such Documents and Materials for its own use. Contracting Party shall have an unrestricted right to use the concepts embodied therein. All subcontractors shall provide for assignment to City of any Documents and Materials prepared by them, and in the event Contracting Party fails to secure such assignment, Contracting Party shall indemnify City for all damages resulting therefrom. 7.4 In the event City or any person, firm, or corporation authorized by City reuses said Documents and Materials without written verification or adaptation by Contracting Party for the specific purpose intended and causes to be made or makes any changes or alterations in said Documents and Materials, City hereby releases, discharges, and exonerates Contracting Party from liability resulting from said change. The provisions of this clause shall survive the termination or expiration of this Agreement and shall thereafter remain in full force and effect. 7.5 Licensing of Intellectual Property. This Agreement creates a non- exclusive and perpetual license for City to copy, use, modify, reuse, or sublicense any and all copyrights, designs, rights of reproduction, and other intellectual property embodied in the Documents and Materials. Contracting Party shall require all subcontractors, if any, to agree in writing that City is granted a non-exclusive and perpetual license for the Documents and Materials the subcontractor prepares under this Agreement. Contracting Party represents and warrants that Contracting Party has the legal right to license any and all of the Documents and Materials. Contracting Party makes no such representation and warranty in regard to the Documents and Materials which were prepared by design professionals other than Contracting Party or provided to Contracting Party by City. City shall not be limited in any way in its use of the Documents and Materials at any time, provided that any such use not within the purposes intended by this Agreement shall be at City's sole risk. 7.6 Release of Documents. The Documents and Materials shall not be released publicly without the prior written approval of the Contract Officer, or assigned designee, or as required by law. Contracting Party shall not disclose to any other entity or person any information regarding the activities of City, except as required by law or as authorized by City. 7.7 Confidential or Personal Identifying Information. Contracting Party covenants that all City data, data lists, trade secrets, documents with personal identifying information, documents that are not public records, draft documents, discussion notes, or other information, if any, developed or -10- 280 received by Contracting Party or provided for performance of this Agreement are deemed confidential and shall not be disclosed by Contracting Party to any person or entity without prior written authorization by City or unless required by law. City shall grant authorization for disclosure if required by any lawful administrative or legal proceeding, court order, or similar directive with the force of law. All City data, data lists, trade secrets, documents with personal identifying information, documents that are not public records, draft documents, discussions, or other information shall be returned to City upon the termination or expiration of this Agreement. Contracting Party's covenant under this section shall survive the termination or expiration of this Agreement. 8. ENFORCEMENT OF AGREEMENT. 8.1 California Law. This Agreement shall be interpreted, construed, and governed both as to validity and to performance of the parties in accordance with the laws of the State of California. Legal actions concerning any dispute, claim, or matter arising out of or in relation to this Agreement shall be instituted in the Superior Court of the County of Riverside, State of California, or any other appropriate court in such county, and Contracting Party covenants and agrees to submit to the personal jurisdiction of such court in the event of such action. 8.2 Disputes. In the event of any dispute arising under this Agreement, the injured party shall notify the injuring party in writing of its contentions by submitting a claim therefore. The injured party shall continue performing its obligations hereunder so long as the injuring party commences to cure such default within ten (10) days of service of such notice and completes the cure of such default within forty-five (45) days after service of the notice, or such longer period as may be permitted by the Contract Officer, or assigned designee; provided that if the default is an immediate danger to the health, safety, or general welfare, City may take such immediate action as City deems warranted. Compliance with the provisions of this Section shall be a condition precedent to termination of this Agreement for cause and to any legal action, and such compliance shall not be a waiver of any party's right to take legal action in the event that the dispute is not cured, provided that nothing herein shall limit City's right to terminate this Agreement without cause pursuant to this Article 8.0. During the period of time that Contracting Party is in default, City shall hold all invoices and shall, when the default is cured, proceed with payment on the invoices. In the alternative, City may, in its sole discretion, elect to pay some or all of the outstanding invoices during any period of default. 8.3 Retention of Funds. City may withhold from any monies payable to Contracting Party sufficient funds to compensate City for any losses, costs, liabilities, or damages it reasonably believes were suffered by City due to the default of Contracting Party in the performance of the Services required by this Agreement. 8.4 Waiver. No delay or omission in the exercise of any right or remedy of a non -defaulting party on any default shall impair such right or remedy or be construed as a waiver. City's consent or approval of any act by Contracting Party requiring City's consent or approval shall not be deemed to waive or render unnecessary City's consent to or approval of any subsequent act of Contracting Party. Any waiver by either party of any default must be in writing and shall not be a waiver of any other default concerning the same or any other provision of this Agreement. 8.5 Rights and Remedies are Cumulative. Except with respect to rights and remedies expressly declared to be exclusive in this Agreement, the rights and remedies of the parties are cumulative and the exercise by either party of one or more of such rights or remedies shall not preclude the exercise by it, at the same or different times, of any other rights or remedies for the same default or any other default by the other party. 8.6 Legal Action. In addition to any other rights or remedies, either party may take legal action, at law or at equity, to cure, correct, or remedy any default, to recover damages for any default, to compel specific performance of this Agreement, to obtain declaratory or injunctive relief, or to obtain any other remedy consistent with the purposes of this Agreement. 8.7 Termination Prior To Expiration of Term. This Section shall govern any termination of this Agreement, except as specifically provided in the following Section for termination for cause. City reserves the right to terminate this Agreement at any time, with or without cause, upon thirty (30) days' written notice to Contracting Party. Upon receipt of any notice of termination, Contracting Party shall immediately cease all Services hereunder except such as may be specifically approved by the Contract Officer, or assigned designee. Contracting Party shall be entitled to compensation for all Services rendered prior to receipt of the notice of termination and for any Services authorized by the Contract Officer, or assigned designee, thereafter in accordance with the Schedule of Compensation or such as may be approved by the Contract Officer, or assigned designee, except amounts held as a retention pursuant to this Agreement. 8.8 Termination for Default of Contracting Party. If termination is due to the failure of Contracting Party to fulfill its obligations under this Agreement, Contracting Party shall vacate any City -owned property which Contracting Party is permitted to occupy hereunder and City may, after compliance with the provisions of Section 8.2, take over the Services and prosecute the same -12- 282 to completion by contract or otherwise, and Contracting Party shall be liable to the extent that the total cost for completion of the Services required hereunder exceeds the compensation herein stipulated (provided that City shall use reasonable efforts to mitigate such damages), and City may withhold any payments to Contracting Party for the purpose of setoff or partial payment of the amounts owed City. 8.9 Attorneys' Fees. If either party to this Agreement is required to initiate or defend or made a party to any action or proceeding in any way connected with this Agreement, the prevailing party in such action or proceeding, in addition to any other relief which may be granted, whether legal or equitable, shall be entitled to reasonable attorneys' fees; provided, however, that the attorneys' fees awarded pursuant to this Section shall not exceed the hourly rate paid by City for legal services multiplied by the reasonable number of hours spent by the prevailing party in the conduct of the litigation. Attorneys' fees shall include attorneys' fees on any appeal, and in addition a party entitled to attorneys' fees shall be entitled to all other reasonable costs for investigating such action, taking depositions and discovery, and all other necessary costs the court allows which are incurred in such litigation. All such fees shall be deemed to have accrued on commencement of such action and shall be enforceable whether or not such action is prosecuted to judgment. The court may set such fees in the same action or in a separate action brought for that purpose. 9. CITY OFFICERS AND EMPLOYEES; NONDISCRIMINATION. 9.1 Non -liability of City Officers and Employees. No officer, official, employee, agent, representative, or volunteer of City shall be personally liable to Contracting Party, or any successor in interest, in the event or any default or breach by City or for any amount which may become due to Contracting Party or to its successor, or for breach of any obligation of the terms of this Agreement. 9.2 Conflict of Interest. Contracting Party covenants that neither it, nor any officer or principal of it, has or shall acquire any interest, directly or indirectly, which would conflict in any manner with the interests of City or which would in any way hinder Contracting Party's performance of the Services under this Agreement. Contracting Party further covenants that in the performance of this Agreement, no person having any such interest shall be employed by it as an officer, employee, agent, or subcontractor without the express written consent of the Contract Officer, or assigned designee. Contracting Party agrees to at all times avoid conflicts of interest or the appearance of any conflicts of interest with the interests of City in the performance of this Agreement. -13- 283 No officer or employee of City shall have any financial interest, direct or indirect, in this Agreement nor shall any such officer or employee participate in any decision relating to this Agreement which effects his financial interest or the financial interest of any corporation, partnership or association in which he is, directly or indirectly, interested, in violation of any State statute or regulation. Contracting Party warrants that it has not paid or given and will not pay or give any third party any money or other consideration for obtaining this Agreement. 9.3 Covenant against Discrimination. Contracting Party covenants that, by and for itself, its heirs, executors, assigns, and all persons claiming under or through them, that there shall be no discrimination against or segregation of, any person or group of persons on account of any impermissible classification including, but not limited to, race, color, creed, religion, sex, marital status, sexual orientation, national origin, or ancestry in the performance of this Agreement. Contracting Party shall take affirmative action to ensure that applicants are employed and that employees are treated during employment without regard to their race, color, creed, religion, sex, marital status, sexual orientation, national origin, or ancestry. 10. MISCELLANEOUS PROVISIONS. 10.1 Notice. Any notice, demand, request, consent, approval, or communication either party desires or is required to give the other party or any other person shall be in writing and either served personally or sent by prepaid, first-class mail to the address set forth below. Either party may change its address by notifying the other party of the change of address in writing. Notice shall be deemed communicated forty-eight (48) hours from the time of mailing if mailed as provided in this Section. To City: CITY OF LA QUINTA Attention: Bryan McKinney 78495 Calle Tampico La Quinta, California 92253 To Contracting Party: NV5, Inc. Jeff Cooper, P.E., Senior Vice President 163 Technology Drive, Suite 100, Irvine, California 92618 10.2 Interpretation. The terms of this Agreement shall be construed in accordance with the meaning of the language used and shall not be construed for or against either party by reason of the authorship of this Agreement or any other rule of construction which might otherwise apply. 10.3 Section Headings and Subheadings. The section headings and subheadings contained in this Agreement are included for convenience only and shall not limit or otherwise affect the terms of this Agreement. -14- 284 10.4 Counterparts. This Agreement may be executed in counterparts, each of which shall be deemed to be an original, and such counterparts shall constitute one and the same instrument. 10.5 Integrated Agreement. This Agreement including the exhibits hereto is the entire, complete, and exclusive expression of the understanding of the parties. It is understood that there are no oral agreements between the parties hereto affecting this Agreement and this Agreement supersedes and cancels any and all previous negotiations, arrangements, agreements, and understandings, if any, between the parties, and none shall be used to interpret this Agreement. 10.6 Amendment. No amendment to or modification of this Agreement shall be valid unless made in writing and approved by Contracting Party and by the City Council of City. The parties agree that this requirement for written modifications cannot be waived and that any attempted waiver shall be void. 10.7 Severability. In the event that any one or more of the articles, phrases, sentences, clauses, paragraphs, or sections contained in this Agreement shall be declared invalid or unenforceable, such invalidity or unenforceability shall not affect any of the remaining articles, phrases, sentences, clauses, paragraphs, or sections of this Agreement which are hereby declared as severable and shall be interpreted to carry out the intent of the parties hereunder unless the invalid provision is so material that its invalidity deprives either party of the basic benefit of their bargain or renders this Agreement meaningless. 10.8 Unfair Business Practices Claims. In entering into this Agreement, Contracting Party offers and agrees to assign to City all rights, title, and interest in and to all causes of action it may have under Section 4 of the Clayton Act (15 U.S.C. § 15) or under the Cartwright Act (Chapter 2, (commencing with Section 16700) of Part 2 of Division 7 of the Business and Professions Code), arising from purchases of goods, services, or materials related to this Agreement. This assignment shall be made and become effective at the time City renders final payment to Contracting Party without further acknowledgment of the parties. 10.9 No Third -Party Beneficiaries. With the exception of the specific provisions set forth in this Agreement, there are no intended third -party beneficiaries under this Agreement and no such other third parties shall have any rights or obligations hereunder. 10.10Authority. The persons executing this Agreement on behalf of each of the parties hereto represent and warrant that (i) such party is duly organized and existing, (ii) they are duly authorized to execute and deliver -15- 285 this Agreement on behalf of said party, (iii) by so executing this Agreement, such party is formally bound to the provisions of this Agreement, and (iv) that entering into this Agreement does not violate any provision of any other Agreement to which said party is bound. This Agreement shall be binding upon the heirs, executors, administrators, successors, and assigns of the parties. [SIGNATURES ON FOLLOWING PAGE] -16- 286 IN WITNESS WHEREOF, the parties have executed this Agreement as of the dates stated below. CITY OF LA QUINTA, CONTRACTING PARTY: a California Municipal Corporation Bv: Name: Jeffrey M. Cooper, P.E. Title: Senior Vice President JON McMILLEN, City Manager City of La Quinta, California Dated: ATTEST: MONIKA RADEVA, City Clerk City of La Quinta, California APPROVED AS TO FORM: WILLIAM H. IHRKE, City Attorney City of La Quinta, California EXHIBIT A Scope of Services 1. Current Planning Level Dry Utility Cost Estimate Update NV5 will provide a comprehensive review, analysis and update to the previous undergrounding feasibility study to include planning level cost estimates to underground the existing overhead distribution system in the six (6) locations identified. NV5's cost estimate will include the average cost per property for reconnection, plus cost components or factors that cause individual property costs to fluctuate from the average cost, in addition to the cost for improvements in the public right-of-way. Cost estimates will include all costs associated with converting all overhead utility lines (i.e. electric, telephone, and cable television) to underground systems. Deliverable: Updated dry utility cost estimate. 2. Phasing Plan — Area 2 NV5 will prepare a recommended phasing plan for Area No. 2 for the proposed conversion of overhead utility lines to underground facilities. This will be based upon the existing field conditions and the utility company system's direction of feed in their mainline systems and building/ home services. Deliverable: Updated utility phasing map based upon the City's desired/priority phasing and utility company direction of feed. 3. Identify Special Construction Practices NV5 will identify any special construction standards or practices that would be required, in addition to any additional right-of-way/easements that might be necessary. Deliverable: Narrative of utility company and industry probable design and construction methodologies. 4. City Council Sessions / Findings NV5 will prepare and present our findings and the proposed conversion phasing plan at one (1) City Council Study Session. 5. Stakeholder Meetings NV5 will conduct stakeholder meetings with Imperial Irrigation District (IID) and any other necessary utility companies and/or business stakeholders. 6. Project Development Team Meetings NV5 will participate in monthly Project Development Team (PDT) Meetings with all stakeholders. 7. Project Management NV5 will provide project management of tasks 1-6. 8. Optional Services 8a. Financial Options, 8b. Financial Options Project Management, 8c. Financial Options City Council Session: Financing options will be prepared for undergrounding the existing overhead utilities in the City. Cost estimates will be utilized from Task 1. The 6 areas of the study will be addressed with specific financial options. Preliminary cost estimates per area for average parcels will be provided for 20B projects. Any 20A and/or 20C areas will be addressed as well. A separate "Financial Options" City Council session will be conducted. Exhibit A Page 1 of 5 289 Deliverable: Report with financial options for the undergrounding of overhead utilities in the City. ADDENDUM TO AGREEMENT Re: Scope of Services If the Scope of Services include construction, alteration, demolition, installation, repair, or maintenance affecting real property or structures or improvements of any kind appurtenant to real property, the following apply: 1. Prevailing Wage Compliance. If Contracting Party is a contractor performing public works and maintenance projects, as described in this Section 1.3, Contracting Party shall comply with applicable Federal, State, and local laws. Contracting Party is aware of the requirements of California Labor Code Sections 1720, et seq., and 1770, et seq., as well as California Code of Regulations, Title 8, Sections 16000, et seq., (collectively, the "Prevailing Wage Laws"), and La Quinta Municipal Code Section 3.12.040, which require the payment of prevailing wage rates and the performance of other requirements on "Public works" and "Maintenance" projects. If the Services are being performed as part of an applicable "Public works" or "Maintenance" project, as defined by the Prevailing Wage Laws, and if construction work over twenty-five thousand dollars ($25,000.00) and/or alterations, demolition, repair or maintenance work over fifteen thousand dollars ($15,000.00) is entered into or extended on or after January 1, 2015 by this Agreement, Contracting Party agrees to fully comply with such Prevailing Wage Laws including, but not limited to, requirements related to the maintenance of payroll records and the employment of apprentices. Pursuant to California Labor Code Section 1725.5. no contractor or subcontractor may be awarded a contract for public work on a "Public works" project unless registered with the California Department of Industrial Relations ("DIR") at the time the contract is awarded. If the Services are being performed as part of an applicable "Public works" or "Maintenance" project, as defined by the Prevailing Wage Laws, this project is subject to compliance monitoring and enforcement by the DIR. Contracting Party will maintain and will require all subcontractors to maintain valid and current DIR Public Works contractor registration during the term of this Agreement. Contracting Party shall notify City in writing immediately, and in no case more than twenty-four (24) hours, after receiving any information that Contracting Party's or any of its subcontractor's DIR registration status has been suspended, revoked, expired, or otherwise changed. It is understood that it is the responsibility of Contracting Party to determine the correct salary scale. Contracting Party shall make copies of the prevailing rates of per diem wages for each craft, classification, or type of worker needed to execute the Services available to Exhibit A Page 2of5 290 interested parties upon request, and shall post copies at Contracting Party's principal place of business and at the project site, if any. The statutory penalties for failure to pay prevailing wage or to comply with State wage and hour laws will be enforced. Contracting Party must forfeit to City TWENTY- FIVE DOLLARS ($25.00) per day for each worker who works in excess of the minimum working hours when Contracting Party does not pay overtime. In accordance with the provisions of Labor Code Sections 1810 et seq., eight (8) hours is the legal working day. Contracting Party also shall comply with State law requirements to maintain payroll records and shall provide for certified records and inspection of records as required by California Labor Code Section 1770 et seq., including Section 1776. In addition to the other indemnities provided under this Agreement, Contracting Party shall defend (with counsel selected by City), indemnify, and hold City, its elected officials, officers, employees, and agents free and harmless from any claim or liability arising out of any failure or alleged failure to comply with the Prevailing Wage Laws. It is agreed by the parties that, in connection with performance of the Services, including, without limitation, any and all `Public works" (as defined by the Prevailing Wage Laws), Contracting Party shall bear all risks of payment or non-payment of prevailing wages under California law and/or the implementation of Labor Code Section 1781, as the same may be amended from time to time, and/or any other similar law. Contracting Party acknowledges and agrees that it shall be independently responsible for reviewing the applicable laws and regulations and effectuating compliance with such laws. Contracting Party shall require the same of all subcontractors. 2. Retention. Payments shall be made in accordance with the provisions of Article 2.0 of the Agreement. In accordance with said Sections, City shall pay Contracting Party a sum based upon ninety-five percent (95%) of the Contract Sum apportionment of the labor and materials incorporated into the Services under this Agreement during the month covered by said invoice. The remaining five percent (5%) thereof shall be retained as performance security to be paid to Contracting Party within sixty (60) days after final acceptance of the Services by the City Council of City, after Contracting Party has furnished City with a full release of all undisputed payments under this Agreement, if required by City. In the event there are any claims specifically excluded by Contracting Party from the operation of the release, City may retain proceeds (per Public Contract Code § 7107) of up to one hundred fifty percent (150%) of the amount in dispute. City's failure to deduct or withhold shall not affect Contracting Party's obligations under the Agreement. 3. Utility Relocation. City is responsible for removal, relocation, or protection of existing main or trunk -line utilities to the extent such utilities were not identified in the invitation for bids or specifications. City shall Exhibit A Page 3 of 5 291 reimburse Contracting Party for any costs incurred in locating, repairing damage not caused by Contracting Party, and removing or relocating such unidentified utility facilities. Contracting Party shall not be assessed liquidated damages for delay arising from the removal or relocation of such unidentified utility facilities. 4. Trenches or Excavations. Pursuant to California Public Contract Code Section 7104, in the event the work included in this Agreement requires excavations more than four (4) feet in depth, the following shall apply: (a) Contracting Party shall promptly, and before the following conditions are disturbed, notify City, in writing, of any: (1) material that Contracting Party believes may be material that is hazardous waste, as defined in Section 25117 of the Health and Safety Code, that is required to be removed to a Class I, Class II, or Class III disposal site in accordance with provisions of existing law; (2) subsurface or latent physical conditions at the site different from those indicated by information about the site made available to bidders prior to the deadline for submitting bids; or (3) unknown physical conditions at the site of any unusual nature, different materially from those ordinarily encountered and generally recognized as inherent in work of the character provided for in the Agreement. (b) City shall promptly investigate the conditions, and if it finds that the conditions do materially so differ, or do involve hazardous waste, and cause a decrease or increase in Contracting Party's cost of, or the time required for, performance of any part of the work shall issue a change order per Section 1.8 of the Agreement. (c) in the event that a dispute arises between City and Contracting Party whether the conditions materially differ, or involve hazardous waste, or cause a decrease or increase in Contracting Party's cost of, or time required for, performance of any part of the work, Contracting Party shall not be excused from any scheduled completion date provided for by this Agreement, but shall proceed with all work to be performed under this Agreement. Contracting Party shall retain any and all rights provided either by contract or by law which pertain to the resolution of disputes and protests between the contracting Parties. 5. Safety. Contracting Party shall execute and maintain its work so as to avoid injury or damage to any person or property. In carrying out the Services, Contracting Party shall at all times be in compliance with all applicable local, state, and federal laws, rules and regulations, and shall exercise all necessary precautions for the safety of employees appropriate to the nature of the work and the conditions under which the work is to be performed. Safety precautions as applicable shall include, but shall not be Exhibit A Page 4of5 292 limited to: (A) adequate life protection and lifesaving equipment and procedures; (B) instructions in accident prevention for all employees and subcontractors, such as safe walkways, scaffolds, fall protection ladders, bridges, gang planks, confined space procedures, trenching and shoring, equipment and other safety devices, equipment and wearing apparel as are necessary or lawfully required to prevent accidents or injuries; and (C) adequate facilities for the proper inspection and maintenance of all safety measures. 6. Liquidated Damages. Since the determination of actual damages for any delay in performance of the Agreement would be extremely difficult or impractical to determine in the event of a breach of this Agreement, Contracting Party shall be liable for and shall pay to City the sum of One Thousand dollars ($1,000.00) as liquidated damages for each working day of delay in the performance of any of the Services required hereunder, as specified in the Schedule of Performance. In addition, liquidated damages may be assessed for failure to comply with the emergency call out requirements, if any, described in the Scope of Services. City may withhold from any moneys payable on account of the Services performed by Contracting Party any accrued liquidated damages. Exhibit A Page 5of5 293 294 EXHIBIT B Schedule of Compensation With the exception of compensation for Additional Services, provided for in Section 2.3 of this Agreement, the maximum total compensation to be paid to Contracting Party under this Agreement is not to exceed One Hundred Twenty -Four Thousand Three Hundred and Fifteen Dollars ($124,315.00) ("Contract Sum"). The Contract Sum shall be paid to Contracting Party in installment payments made on a monthly basis and in an amount identified in Contracting Party's schedule of compensation attached hereto for the work tasks performed and properly invoiced by Contracting Party in conformance with Section 2.2 of this Agreement. Exhibit B Page 1 of 1 295 FEE PROPOSAL CITY OF LA QUINTA VILLAGE UNDERGROUNDING FEASIBILITY STUDY PROJECT WORK DESCRIPTION Project Manager/ QA/QC Jeffrey M. Cooper $260 Managing Principal g g P Oscar Lazaro Gregg Butsko $206 Project Manager 3 9 Patty Nadeau $170 Project Coordinator 2 / Jennifer Shah $127 Senior Designer g Chris Beeman $170 Designer 2 g Mike Hall $159 Project Analyst/ CAD Designer Rafael Gutierrez $135 Project Admin / Kendra Duncan $105 HR GREEN Director Tim Jonasson $250 TOTAL FEE HOURS $ HOURS $ HOURS $ HOURS $ HOURS $ HOURS $ HOURS $ HOURS $ HOURS $ Task 1 - Current Planning Level Dry Utility Cost Estimate Li 4 $1,040 68 $14,008 15 $2,550 $17,598 Task 2-Phasing Plan - Area 2 8 $2,080 24 $4,944 15 $2,550 8 $1,272 8 $2,000 $12,846 Task 3 - Identify Special Construction Practices 8 $2,080 18 $3,708 15 $2,550 $8,338 Task 4- City Council Sessions /Findings 8 $2,080 10 $2,060 6 $1,500 $5,640 Task 5 - Stake Holder Meetings 14 $3,640 24 $4,944 18 $4,500 $13,084 Task 6 - Project Development Team Meetings 14 $3,640 15 $3,090 $6,730 Task 7 - Project Management 24 $6,240 50 $10,300 57 $9,690 67 $8,509 $34,739 Other Miscellaneous Eenses $1,000 80 $20,800 209 $43,054 57 $9,690 67 $8,509 45 $7,650 8 $1,272 0 $0 0 $0 32 $8,000 $99,975 0Subtotal OPTIONAL SERVICES Task 8 Financial Options 48 $12,480 40 $5,400 12 $1,260 $19,140 Task 8B Project Management 12 $3,120 $3,120 Task 8C City Council Session 8 $2,080 $2,080 Fee Schedule Rates are effective through the initial term of the contract. If contract assignment extends beyond that date, NV5 may request a rate increase. N V 5 ENGINEERING SERVICES HOURLY RATE** Principal/Director (Jeffrey M. Cooper) $260 Managing Principal (Gregg Butsko, Oscar Lazaro) $206 Project Manager 3 (Patty Nadeau) $170 Project Coordinator 2 (Jennifer Shah) $127 Senior Designer (Chris Beeman) $170 Designer 2 (Mike Hall) $159 HR Green Director (Tim Jonasson) $250 ADDITIONAL SERVICES* HOURLY RATE** Assessment Engineer $260 Design Reviewer $225 Project Analyst/CAD Designer (Rafael Gutierrez) $135 Construction Manager $185 Construction Inspector $145 Project Administration (Kendra Duncan) $105 *NV5 offers a wide range of complementary services that may be desired by the City for it's utility undergrounding projects, including design review, assessment engineering, project management, and construction management and inspection services. Cost proposals for these various complementary services can be provided upon request, according to the hourly rates outlined above, with the total cost depending on the scope and size of the project. REIMBURSABLE EXPENSES COST Reproduction Cost Consultant Services Cost + 15% Automobile Transportation Delivery, Freight, Courier Agency Fees Commercial Travel per IRS standard Cost Cost Cost ** Regular rates. Work in excess of 8 hours and work on Saturdays will be billed at 1.5 times the regular rate. Work in excess of 12 hours and work on Sundays and Holidays will be billed at 2 times the regular rate. ME: EXHIBIT C Schedule of Performance Contracting Party shall complete all services identified in the Scope of Services, Exhibit A of this Agreement, in accordance with the Project Schedule, attached hereto and incorporated herein by this reference. Exhibit C Page 1of1 Tentative Schedule ID Task Name NTP Current Planning Level Dry Utility Cost Estimate Update Phasing Plan - Area 2 Identify Special Construction Practices City Council Sessions/Findings Stake Holder Meetings (Ongoing) Project Development Team Meetings Project Management (Ongoing) Financial Options City Council Session Duration 0 edays 76 days 26 days 16 days 124 days 124 days 124 days 124 days 40 days 60 days Start Tue 1/3/23 Tue 1/3/23 Fri 4/21/23 Fri 6/2/23 Tue 1/3/23 Tue 1/3/23 Tue 1/3/23 Tue 1/3/23 Mon 5/1/23 Mon 5/1/23 Finish Dec Tue 1/3/23 Tue 4/18/23 Fri 5/26/23 Fri 6/23/23 Fri 6/23/23 Fri 6/23/23 Fri 6/23/23 Fri 6/23/23 Fri 6/23/23 Fri 7/21/23 Qtr 1, 2023 Jan I Feb I Mar Qtr 2, 2023 Apr May Jun Qtr 3, 202 Jul 1 1/3 II 2 3 4 5 6 7 8 9 10 Task Inactive Summary External Tasks Split .................. I Manual Task I I External Milestone Milestone ♦ Duration -only Deadline n Project: Tentative Schedule Dra Date: Fri 12/2/22 Summary Ir'-i Manual Summary Rollup Progress Project Summary 0 Manual Summary Manual Progress Inactive Task Start -only E Inactive Milestone Finish -only 7 Page 1 EXHIBIT D None. Special Requirements Exhibit D Page 1 of 1 301 302 EXHIBIT E Insurance Requirements E.1 Insurance. Prior to the beginning of and throughout the duration of this Agreement, the following policies shall be maintained and kept in full force and effect providing insurance with minimum limits as indicated below and issued by insurers with A.M. Best ratings of no less than A -VI: Commercial General Liability (at least as broad as ISO CG 0001) $1,000,000 (per occurrence) $2,000,000 (general aggregate) Must include the following endorsements: General Liability Additional Insured General Liability Primary and Non-contributory Commercial Auto Liability (at least as broad as ISO CA 0001) $1,000,000 (per accident) Auto Liability Additional Insured Personal Auto Declaration Page if applicable Errors and Omissions Liability $1,000,000 (per claim and aggregate) Workers' Compensation (per statutory requirements) Must include the following endorsements: Workers Compensation with Waiver of Subrogation Workers Compensation Declaration of Sole Proprietor if applicable Cyber Liability $1,000,000 (per occurrence) $2,000,000 (general aggregate) Contracting Party shall procure and maintain, at its cost, and submit concurrently with its execution of this Agreement, Commercial General Liability insurance against all claims for injuries against persons or damages to property resulting from Contracting Party's acts or omissions rising out of or related to Contracting Party's performance under this Agreement. The insurance policy shall contain a severability of interest clause providing that the coverage shall be primary for losses arising out of Contracting Party's performance hereunder and neither City nor its insurers shall be required to contribute to any such loss. An endorsement evidencing the foregoing and naming the City and its officers and employees as additional insured (on the Exhibit E Page 1 of 6 303 Commercial General Liability policy only) must be submitted concurrently with the execution of this Agreement and approved by City prior to commencement of the services hereunder. Contracting Party shall carry automobile liability insurance of $1,000,000 per accident against all claims for injuries against persons or damages to property arising out of the use of any automobile by Contracting Party, its officers, any person directly or indirectly employed by Contracting Party, any subcontractor or agent, or anyone for whose acts any of them may be liable, arising directly or indirectly out of or related to Contracting Party's performance under this Agreement. If Contracting Party or Contracting Party's employees will use personal autos in any way on this project, Contracting Party shall provide evidence of personal auto liability coverage for each such person. The term "automobile" includes, but is not limited to, a land motor vehicle, trailer or semi -trailer designed for travel on public roads. The automobile insurance policy shall contain a severability of interest clause providing that coverage shall be primary for losses arising out of Contracting Party's performance hereunder and neither City nor its insurers shall be required to contribute to such loss. Professional Liability or Errors and Omissions Insurance as appropriate shall be written on a policy form coverage specifically designed to protect against acts, errors or omissions of the Contracting Party and "Covered Professional Services" as designated in the policy must specifically include work performed under this agreement. The policy limit shall be no less than $1,000,000 per claim and in the aggregate. The policy must "pay on behalf of" the insured and must include a provision establishing the insurer's duty to defend. The policy retroactive date shall be on or before the effective date of this agreement. Contracting Party shall carry Workers' Compensation Insurance in accordance with State Worker's Compensation laws with employer's liability limits no less than $1,000,000 per accident or disease. If coverage is maintained on a claims -made basis, Contracting Party shall maintain such coverage for an additional period of three (3) years following termination of the contract. Contracting Party shall provide written notice to City within ten (10) working days if: (1) any of the required insurance policies is terminated; (2) the limits of any of the required polices are reduced; or (3) the deductible or self -insured retention is increased. In the event any of said policies of insurance are cancelled, Contracting Party shall, prior to the cancellation date, submit new evidence of insurance in conformance with this Exhibit to the Contract Officer. The procuring of such insurance or the delivery of policies Exhibit E Page 2 of 6 304 or certificates evidencing the same shall not be construed as a limitation of Contracting Party's obligation to indemnify City, its officers, employees, contractors, subcontractors, or agents. E.2 Remedies. In addition to any other remedies City may have if Contracting Party fails to provide or maintain any insurance policies or policy endorsements to the extent and within the time herein required, City may, at its sole option: a. Obtain such insurance and deduct and retain the amount of the premiums for such insurance from any sums due under this Agreement. b. Order Contracting Party to stop work under this Agreement and/or withhold any payment(s) which become due to Contracting Party hereunder until Contracting Party demonstrates compliance with the requirements hereof. C. Terminate this Agreement. Exercise any of the above remedies, however, is an alternative to any other remedies City may have. The above remedies are not the exclusive remedies for Contracting Party's failure to maintain or secure appropriate policies or endorsements. Nothing herein contained shall be construed as limiting in any way the extent to which Contracting Party may be held responsible for payments of damages to persons or property resulting from Contracting Party's or its subcontractors' performance of work under this Agreement. E.3 General Conditions Pertaining to Provisions of Insurance Coverage by Contracting Party. Contracting Party and City agree to the following with respect to insurance provided by Contracting Party: 1. Contracting Party agrees to have its insurer endorse the third party general liability coverage required herein to include as additional insureds City, its officials, employees, and agents, using standard ISO endorsement No. CG 2010 with an edition prior to 1992. Contracting Party also agrees to require all contractors, and subcontractors to do likewise. 2. No liability insurance coverage provided to comply with this Agreement shall prohibit Contracting Party, or Contracting Party's employees, or agents, from waiving the right of subrogation prior to a loss. Contracting Party agrees to waive subrogation rights against City regardless of the applicability of any insurance proceeds, and to require all contractors and subcontractors to do likewise. Exhibit E Page 3 of 6 305 3. All insurance coverage and limits provided by Contracting Party and available or applicable to this Agreement are intended to apply to the full extent of the policies. Nothing contained in this Agreement or any other agreement relating to City or its operations limits the application of such insurance coverage. 4. None of the coverages required herein will be in compliance with these requirements if they include any limiting endorsement of any kind that has not been first submitted to City and approved of in writing. 5. No liability policy shall contain any provision or definition that would serve to eliminate so-called "third party action over" claims, including any exclusion for bodily injury to an employee of the insured or of any contractor or subcontractor. 6. All coverage types and limits required are subject to approval, modification and additional requirements by the City, as the need arises. Contracting Party shall not make any reductions in scope of coverage (e.g. elimination of contractual liability or reduction of discovery period) that may affect City's protection without City's prior written consent. 7. Proof of compliance with these insurance requirements, consisting of certificates of insurance evidencing all the coverages required and an additional insured endorsement to Contracting Party's general liability policy, shall be delivered to City at or prior to the execution of this Agreement. In the event such proof of any insurance is not delivered as required, or in the event such insurance is canceled at any time and no replacement coverage is provided, City has the right, but not the duty, to obtain any insurance it deems necessary to protect its interests under this or any other agreement and to pay the premium. Any premium so paid by City shall be charged to and promptly paid by Contracting Party or deducted from sums due Contracting Party, at City option. 8. It is acknowledged by the parties of this agreement that all insurance coverage required to be provided by Contracting Party or any subcontractor, is intended to apply first and on a primary, non-contributing basis in relation to any other insurance or self-insurance available to City. 9. Contracting Party agrees to ensure that subcontractors, and any other party involved with the project that is brought onto or involved in the project by Contracting Party, provide the same minimum insurance coverage required of Contracting Party. Contracting Party agrees to monitor and review all such coverage and assumes all responsibility for ensuring that such coverage is provided in conformity with the requirements of this section. Contracting Party agrees that upon request, all agreements with Exhibit E Page 4of6 306 subcontractors and others engaged in the project will be submitted to City for review. 10. Contracting Party agrees not to self -insure or to use any self - insured retentions or deductibles on any portion of the insurance required herein (with the exception of professional liability coverage, if required) and further agrees that it will not allow any contractor, subcontractor, Architect, Engineer or other entity or person in any way involved in the performance of work on the project contemplated by this agreement to self -insure its obligations to City. If Contracting Party's existing coverage includes a deductible or self -insured retention, the deductible or self -insured retention must be declared to the City. At that time the City shall review options with the Contracting Party, which may include reduction or elimination of the deductible or self -insured retention, substitution of other coverage, or other solutions. 11. The City reserves the right at any time during the term of this Agreement to change the amounts and types of insurance required by giving the Contracting Party ninety (90) days advance written notice of such change. If such change results in substantial additional cost to the Contracting Party, the City will negotiate additional compensation proportional to the increased benefit to City. 12. For purposes of applying insurance coverage only, this Agreement will be deemed to have been executed immediately upon any party hereto taking any steps that can be deemed to be in furtherance of or towards performance of this Agreement. 13. Contracting Party acknowledges and agrees that any actual or alleged failure on the part of City to inform Contracting Party of non- compliance with any insurance requirement in no way imposes any additional obligations on City nor does it waive any rights hereunder in this or any other regard. 14. Contracting Party will renew the required coverage annually as long as City, or its employees or agents face an exposure from operations of any type pursuant to this agreement. This obligation applies whether the agreement is canceled or terminated for any reason. Termination of this obligation is not effective until City executes a written statement to that effect. 15. Contracting Party shall provide proof that policies of insurance required herein expiring during the term of this Agreement have been renewed or replaced with other policies providing at least the same coverage. Proof that such coverage has been ordered shall be submitted prior to expiration. A coverage binder or letter from Contracting Party's insurance agent to this Exhibit E Page 5 of 6 307 effect is acceptable. A certificate of insurance and an additional insured endorsement is required in these specifications applicable to the renewing or new coverage must be provided to City within five (5) days of the expiration of coverages. 16. The provisions of any workers' compensation or similar act will not limit the obligations of Contracting Party under this agreement. Contracting Party expressly agrees not to use any statutory immunity defenses under such laws with respect to City, its employees, officials, and agents. 17. Requirements of specific coverage features, or limits contained in this section are not intended as limitations on coverage, limits or other requirements nor as a waiver of any coverage normally provided by any given policy. Specific reference to a given coverage feature is for purposes of clarification only as it pertains to a given issue and is not intended by any party or insured to be limiting or all-inclusive. 18. These insurance requirements are intended to be separate and distinct from any other provision in this Agreement and are intended by the parties here to be interpreted as such. 19. The requirements in this Exhibit supersede all other sections and provisions of this Agreement to the extent that any other section or provision conflicts with or impairs the provisions of this Exhibit. 20. Contracting Party agrees to be responsible for ensuring that no contract used by any party involved in any way with the project reserves the right to charge City or Contracting Party for the cost of additional insurance coverage required by this agreement. Any such provisions are to be deleted with reference to City. It is not the intent of City to reimburse any third party for the cost of complying with these requirements. There shall be no recourse against City for payment of premiums or other amounts with respect thereto. 21. Contracting Party agrees to provide immediate notice to City of any claim or loss against Contracting Party arising out of the work performed under this agreement. City assumes no obligation or liability by such notice, but has the right (but not the duty) to monitor the handling of any such claim or claims if they are likely to involve City. Exhibit E Page 6of6 308 EXHIBIT F Indemnification F.1 Indemnity for the Benefit of City. a. Indemnification for Professional Liability. When the law establishes a professional standard of care for Contracting Party's Services, to the fullest extent permitted by law, Contracting Party shall indemnify, protect, defend (with counsel selected by City), and hold harmless City and any and all of its officials, employees, and agents ("Indemnified Parties") from and against any and all claims, losses, liabilities of every kind, nature, and description, damages, injury (including, without limitation, injury to or death of an employee of Contracting Party or of any subcontractor), costs and expenses of any kind, whether actual, alleged or threatened, including, without limitation, incidental and consequential damages, court costs, attorneys' fees, litigation expenses, and fees of expert consultants or expert witnesses incurred in connection therewith and costs of investigation, to the extent same are caused in whole or in part by any negligent or wrongful act, error or omission of Contracting Party, its officers, agents, employees or subcontractors (or any entity or individual that Contracting Party shall bear the legal liability thereof) in the performance of professional services under this agreement. With respect to the design of public improvements, the Contracting Party shall not be liable for any injuries or property damage resulting from the reuse of the design at a location other than that specified in Exhibit A without the written consent of the Contracting Party. b. Indemnification for Other Than Professional Liability. Other than in the performance of professional services and to the full extent permitted by law, Contracting Party shall indemnify, defend (with counsel selected by City), and hold harmless the Indemnified Parties from and against any liability (including liability for claims, suits, actions, arbitration proceedings, administrative proceedings, regulatory proceedings, losses, expenses or costs of any kind, whether actual, alleged or threatened, including, without limitation, incidental and consequential damages, court costs, attorneys' fees, litigation expenses, and fees of expert consultants or expert witnesses) incurred in connection therewith and costs of investigation, where the same arise out of, are a consequence of, or are in any way attributable to, in whole or in part, the performance of this Agreement by Contracting Party or by any individual or entity for which Contracting Party is legally liable, including but not limited to officers, agents, employees, or subcontractors of Contracting Party. c. Indemnity Provisions for Contracts Related to Construction (Limitation on Indemnity). Without affecting the rights of City under any Exhibit F Page 1 of 3 309 provision of this agreement, Contracting Party shall not be required to indemnify and hold harmless City for liability attributable to the active negligence of City, provided such active negligence is determined by agreement between the parties or by the findings of a court of competent jurisdiction. In instances where City is shown to have been actively negligent and where City's active negligence accounts for only a percentage of the liability involved, the obligation of Contracting Party will be for that entire portion or percentage of liability not attributable to the active negligence of City. d. Indemnification Provision for Desian Professionals. 1. Applicability of this Section F.1(d). Notwithstanding Section F.1(a) hereinabove, the following indemnification provision shall apply to a Contracting Party who constitutes a "design professional" as the term is defined in paragraph 3 below. 2. Scope of Indemnification. When the law establishes a professional standard of care for Contracting Party's Services, to the fullest extent permitted by law, Contracting Party shall indemnify and hold harmless City and any and all of its officials, employees, and agents ("Indemnified Parties") from and against any and all losses, liabilities of every kind, nature, and description, damages, injury (including, without limitation, injury to or death of an employee of Contracting Party or of any subcontractor), costs and expenses, including, without limitation, incidental and consequential damages, court costs, reimbursement of attorneys' fees, litigation expenses, and fees of expert consultants or expert witnesses incurred in connection therewith and costs of investigation, to the extent same are caused by any negligent or wrongful act, error or omission of Contracting Party, its officers, agents, employees or subcontractors (or any entity or individual that Contracting Party shall bear the legal liability thereof) in the performance of professional services under this agreement. With respect to the design of public improvements, the Contracting Party shall not be liable for any injuries or property damage resulting from the reuse of the design at a location other than that specified in Exhibit A without the written consent of the Contracting Pa rty. 3. Design Professional Defined. As used in this Section F.1(d), the term "design professional" shall be limited to licensed architects, registered professional engineers, licensed professional land surveyors and landscape architects, all as defined under current law, and as may be amended from time to time by Civil Code § 2782.8. F.2 Obligation to Secure Indemnification Provisions. Contracting Party agrees to obtain executed indemnity agreements with provisions Exhibit F Page 2of3 310 identical to those set forth herein this Exhibit F, as applicable to the Contracting Party, from each and every subcontractor or any other person or entity involved by, for, with or on behalf of Contracting Party in the performance of this Agreement. In the event Contracting Party fails to obtain such indemnity obligations from others as required herein, Contracting Party agrees to be fully responsible according to the terms of this Exhibit. Failure of City to monitor compliance with these requirements imposes no additional obligations on City and will in no way act as a waiver of any rights hereunder. This obligation to indemnify and defend City as set forth in this Agreement are binding on the successors, assigns or heirs of Contracting Party and shall survive the termination of this Agreement. Exhibit F Page 3of3 311 312 REPORTS AND INFORMATIONAL ITEM NO. 27 PLANNING COMMISSION MINUTES TUESDAY, NOVEMBER S, 2022 CALL TO ORDER A regular meeting of the La Quinta Planning Commission was called to order at 5:00 p.m. by Chairperson Currie. PRESENT: Commissioners Caldwell, Hassett, McCune, Nieto, Tyerman, and Chairperson Currie ABSENT: None STAFF PRESENT: Design & Development Director Danny Castro, Planning Manager Cheri L. Flores, Associate Planner Siji Fernandez, Commission Secretary Tania Flores, Assistant City Attorney Travis VanLigten CONSULTANTS: Planning Consultant Nicole Criste, CEO with Terra Nova Planning & Research, Inc. Chairperson Currie acknowledged the resignation of former Commissioner Proctor and expressed appreciation for his time on the Commission. Staff recited a letter from him to the Planning Commission expressing his thankfulness and gave best wishes to the future. PLEDGE OF ALLEGIANCE Commissioner McCune led the audience in the Pledge of Allegiance. PUBLIC COMMENT ON MATTERS NOT ON THE AGENDA - None. CONFIRMATION OF AGENDA Assistant City Attorney VanLigten and Commissioner Nieto noted that Commissioner Nieto would abstain from discussion and vote on Consent Calendar Item No. 3 due to a potential conflict of interest stemming from a professional relationship between Commissioner Nieto's employer and the project applicant, and requested the item be pulled for a separate vote. PLANNING COMMISSION MINUTES Page 1 of 7 NOVEMBER 8, 2022 313 MOTION - A motion was made and seconded by Commissioners Caldwell/Hassett to confirm the agenda with modification to pull Consent Calendar Item No. 3 for a separate vote. Motion passed unanimously. ANNOUNCEMENTS, PRESENTATIONS, WRITTEN COMMUNICATION - None. CONSENT CALENDAR 1. APPROVE MEETING MINUTES OF JULY 26, 2022 2. APPROVE MEETING MINUTES OF SEPTEMBER 13, 2022 3. Pulled by Commissioner Nieto for separate vote > > > ADOPT A RESOLUTION FINDING THAT THE PROPOSED STREET VACATION OF A 691-SQUARE-FOOT PORTION OF AVENIDA BERMUDAS AND AVENIDA LA FONDA RIGHT-OF-WAY IS CONSISTENT WITH THE LA QUINTA GENERAL PLAN; CEQA: EXEMPT PURSUANT TO CEQA GUIDELINES SECTION 15301 (c), EXISTING FACILITIES MOTION - A motion was made and seconded by Commissioners Hassett/Nieto to approve Consent Calendar Item Nos. 1 and 2 as submitted. Motion passed unanimously. CONSENT CALENDAR ITEM NO. 3 MOTION - A motion was made and seconded by Commissioners Hassett/Caldwell to approve Consent Calendar Item No. 3 as submitted. Motion passed: ayes - 5, noes - 0, abstain - 1 (Nieto). BUSINESS SESSION 1. APPROVE CANCELLATION OF REGULAR PLANNING COMMISSION MEETINGS OF NOVEMBER 22 AND DECEMBER 27, 2022, AND JANUARY 10, 2023 Planning Manager Flores explained the proposed meeting cancellations and confirmed that this would not delay or disrupt City business proceedings. MOTION - A motion was made and seconded by Commissioners Caldwell/Hassett to approve cancellation of the regular Planning Commission Meetings of November 22 and December 27, 2022, and January 10, 2023. Motion passed unanimously. STUDY SESSION - None. PLANNING COMMISSION MINUTES Page 2 of 7 NOVEMBER 8, 2022 314 PUBLIC HEARINGS 1. ADOPT A RESOLUTION TO APPROVE CONDITIONAL USE PERMIT 2022-0002 FOR THE CONSTRUCTION OF A MONOPALM WIRELESS TELECOMMUNICATION FACILITY WITHIN PGA WEST; CEQA: THE PROJECT IS EXEMPT FROM CALIFORNIA ENVIRONMENTAL QUALITY ACT PURSUANT TO SECTION 15303, NEW CONSTRUCTION OR CONVERSION OF SMALL STRUCTURES; LOCATION: 55955 PGA BOULEVARD DECLARATIONS REGARDING COMMISSION PUBLIC CONTACT: Commissioner Caldwell stated that her primary residence is within the PGA West development; however, she will participate and vote on this item because there would be no financial gain for her as a result of this project and her residence is located more than 500 feet from the project site. Planning Consultant Criste presented the staff report which is on file in the Design and Development Department. Staff answered Commission questions regarding the additional skirting surrounding the monopalm. CHAIRPERSON CURRIE DECLARED THE PUBLIC HEARING OPEN AT 5:17 P.M. PUBLIC SPEAKER: Applicant representative Chris Doheny, Real Estate Project Manager of SmartLink Group, introduced himself and gave a brief overview of the project including project objective, coverage areas, zoning details, alternative site analysis, and provided photo simulations; answered questions regarding signal interference concerns, site location selection, utility easements and trenching, rooftop facility options, and the additional monopalm skirting. CHAIRPERSON CURRIE DECLARED THE PUBLIC HEARING CLOSED AT 5:41 P.M. Commission comments followed expressing general support of the proposed project design, architecture, and stealthing. MOTION - A motion was made and seconded by Commissioner Caldwell/Chairperson Currie to adopt Planning Commission Resolution No. 2022-023 approving CUP2022-0002 and determine that the project is exempt from the California Environmental Quality Act, pursuant to Section 15303, New Construction or Conversion of Small Structures: A RESOLUTION OF THE PLANNING COMMISSION OF THE CITY OF LA QUINTA, CALIFORNIA, APPROVING A CONDITIONAL USE PERMIT FOR PLANNING COMMISSION MINUTES Page 3 of 7 NOVEMBER 8, 2022 315 THE CONSTRUCTION OF A WIRELESS TELECOMMUNICATION FACILITY WITHIN PGA WEST AND FINDING THE PROJECT EXEMPT FROM THE CALIFORNIA ENVIRONMENTAL QUALITY ACT CASE NUMBER: CONDITIONAL USE PERMIT 2022-0002 APPLICANT: SMARTLINK GROUP/AT&T MOBILITY Motion passed unanimously. 2. ADOPT A RESOLUTION APPROVING A MODIFICATION BY APPLICANT AND CONDITIONAL USE PERMIT AMENDMENT TO ALLOW FOR A NEW 21129 SQUARE FOOT TOOL RENTAL CENTER ADDITION, A NEW 1,104 SQUARE FOOT FENCE ENCLOSURE AND MODIFICATIONS TO THE OUTDOOR DISPLAYS AND SALES AREA AT AN EXISTING HOME DEPOT. CEQA: THE PROJECT IS EXEMPT FROM ENVIRONMENTAL REVIEW PURSUANT TO SECTION 15301(E)(1) OF THE CALIFORNIA ENVIRONMENTAL QUALITY ACT, EXISTING FACILITIES. LOCATION: 79900 HIGHWAY 111 DECLARATIONS REGARDING COMMISSION PUBLIC CONTACT - None. Associate Planner Fernandez presented the staff report which is on file in the Design and Development Department. Staff answered Commission questions regarding location of truck and equipment rental areas. CHAIRPERSON CURRIE DECLARED THE PUBLIC HEARING OPEN AT 6:01 P.M. PUBLIC SPEAKER: Alena Callimanis, La Quinta - opposed the project due to visual aesthetics in regards to the location of the truck and equipment rental areas. CHAIRPERSON CURRIE DECLARED THE PUBLIC HEARING CLOSED AT 6:03 P.M. Commission discussion followed regarding the possibility of continuing the item to a date certain to allow the applicant to be present for Commission questions regarding truck and equipment rental locations, traffic and parking circulation and queuing; Commission expressed general agreement of continuance. CHAIRPERSON CURRIE DECLARED THE PUBLIC HEARING RE -OPEN AT 6:07 P.M. MOTION - A motion was made and seconded by Commissioners Tyerman/Hassett to continue this Public Hearing to a date certain of December 13, 2022. Motion passed unanimously. PLANNING COMMISSION MINUTES Page 4 of 7 NOVEMBER 8, 2022 316 3. ADOPT RESOLUTIONS TO APPROVE AN ADDENDUM TO EA2004- 513 AND FIND THE PROJECT CONSISTENT WITH THE PREVIOUSLY ADOPTED MITIGATED NEGATIVE DECLARATION (EA2004-513) AND TO APPROVE TENTATIVE TRACT MAP 2021- 0006 (TTM 38316) FOR 392 RESIDENTIAL LOTS, 1 COMMERCIAL LOT, A POTENTIAL FIRE STATION, AND A POTENTIAL IID SUBSTATION ON 110.91 ACRES WITHIN THE SCHUMACHER SPECIFIC PLAN AREA; CEQA: THE DESIGN AND DEVELOPMENT DEPARTMENT HAS PREPARED AN ADDENDUM TO THE PREVIOUSLY ADOPTED MITIGATED NEGATIVE DECLARATION (EA2004-513) PURSUANT TO SECTION 15164 OF THE CALIFORNIA ENVIRONMENTAL QUALITY ACT; LOCATION: NORTHEAST CORNER OF AVENUE 60 AND MONROE STREET DECLARATIONS REGARDING COMMISSION PUBLIC CONTACT - None. Associate Planner Fernandez presented the staff report which is on file in the Design and Development Department. Staff answered Commission questions regarding timing and phasing of perimeter walls, landscaping, and roadway improvements including additional traffic lights; additional or alternative conditions of approval; necessity of the potential Imperial Irrigation District (IID) substation and fire station; lighting and other prospective plans for the commercial area parcel; areas designated as image corridors; proposed locations of development entrances; liquefaction factors and construction mitigation; project interior landscape plans, retention basins, parklets, and passive parks; approving body of the future landscape and commercial building plans. CHAIRPERSON CURRIE DECLARED THE PUBLIC HEARING OPEN AT 6:44 P.M. PUBLIC SPEAKER: Applicant Representative Mike Rowe, Principal Engineer of MSA Consulting, gave a brief presentation on the project history, justification for the addendum and tentative tract map; need and community use of the potential IID substation and fire station; and updated and revised grading plans. Applicant answered Commission questions regarding liquefaction mitigation; state and specific plan residential density requirements; retention and parklet open spaces; sidewalk and pathway areas; phasing of landscape and roadway improvements; and phasing of the potential IID substation and fire station. PUBLIC SPEAKER: Alena Callimanis, La Quinta - expressed concerns regarding approval of the mitigated negative declaration including subsidence, lack of PLANNING COMMISSION MINUTES Page 5 of 7 NOVEMBER 8, 2022 317 Coachella Valley Water District (CVWD) analysis and water use assessment, types of commercial uses allowed within the commercial parcel, increased daily trips and greenhouse gas emissions, and the potential IID substation proposed location. PUBLIC SPEAKER: John Powell, neighboring property owner of Peter Rabbit Farms - expressed general support for the project with the exception of the location of the potential IID substation within the project and requested an alternate location. PUBLIC SPEAKER: Joe Hammer, neighboring property owner - expressed general support for the project with concerns with moving the IID substation to closer proximity of his property. Applicant Mike Rowe provided additional information to address the public comments and answered questions regarding current utility availability (including electric and water), and the phasing of perimeter walls, landscaping, and roadway improvements. CHAIRPERSON CURRIE DECLARED THE PUBLIC HEARING CLOSED AT 7:25 P.M. Commission comments followed expressing general approval of the project as proposed and the potential addition of the IID substation and fire station. Staff answered additional questions regarding the types of permitted uses for the commercial parcel as neighborhood commercial zoning; approving body for future conditional use permits and site development permits; perimeter walls and landscaping alternatives during construction; and state and local density requirements. MOTION - A motion was made and seconded by Commissioners McCune/Hassett to adopt Planning Commission Resolution No. 2022-025 approving the Addendum to EA2004-513 and find the project consistent with the previously adopted Mitigated Negative Declaration (EA2004-513): A RESOLUTION OF THE PLANNING COMMISSION OF THE CITY OF LA QUINTA, CALIFORNIA, ADOPTING AN ADDENDUM TO THE PREVIOUSLY ADOPTED MITIGATED NEGATIVE DECLARATION (EA2004-513) PURSUANT TO SECTION 15164 OF THE CALIFORNIA ENVIRONMENTAL QUALITY ACT IN THAT NO SUBSTANTIAL CHANGES TO THE PROJECT ARE PROPOSED THAT RESULT IN NEW SIGNIFICANT ENVIRONMENTAL EFFECTS CASE NUMBER: ENVIRONMENTAL ASSESSMENT 2022-0011 APPLICANT: BARTON LAND LA QUINTA Motion passed unanimously. PLANNING COMMISSION MINUTES Page 6 of 7 NOVEMBER 8, 2022 318 MOTION - A motion was made and seconded by Commissioners McCune/Hassett to adopt Planning Commission Resolution No. 2022-026 approving Tentative Tract Map 2021-0006 (TTM 38316) subject to the findings and conditions of approval.: A RESOLUTION OF THE PLANNING COMMISSION OF THE CITY OF LA QUINTA, CALIFORNIA, APPROVING TENTATIVE TRACT MAP 38316 (TTM2021-0006) FOR 392 RESIDENTIAL LOTS, 1 COMMERCIAL LOT, A POTENTIAL FIRE STATION, AND A POTENTIAL IID SUBSTATION ON 110.91 ACRES WITHIN THE SCHUMACHER SPECIFIC PLAN AREA CASE NUMBERS: TENTATIVE TRACT MAP 2021-0006 APPLICANT: BARTON LAND LA QUINTA Motion passed unanimously. STAFF ITEMS - None. COMMISSIONER ITEMS Commission expressed thanks and appreciation to former Commissioner Proctor for his time and expertise while serving on the Commission. Commission inquired about the agenda for the upcoming Housing Commission meeting of November 9, 2022. ADJOURNMENT There being no further business, a motion was made and seconded by Commissioner Hassett/Chairperson Currie to adjourn at 7:42 p.m. Motion passed unanimously. Respectfully submitted, TANIA FLORES, Commission Secretary City of La Quinta, California PLANNING COMMISSION MINUTES Page 7 of 7 NOVEMBER 8, 2022 319 320 REPORTS AND INFORMATIONAL ITEM NO. 28 FINANCIAL ADVISORY COMMISSION MINUTES WEDNESDAY, NOVEMBER 9, 2022 CALL TO ORDER A regular meeting of the La Quinta Financial Advisory Commission (Commission) was called to order at 4:00 p.m. by Chair Mills. PRESENT: Commissioners Anderson, Batavick, Dorsey, Mast, Way, and Chair Mills ABSENT: Commissioner Luettjohann, STAFF PRESENT: Finance Director Martinez, Financial Services Analyst Hallick, Account Technician Batuta, Management Assistant Delgado PLEDGE OF ALLEGIANCE Commissioner Mast led the audience in the Pledge of Allegiance. PUBLIC COMMENT ON MATTERS NOT ON THE AGENDA - None CONFIRMATION OF AGENDA - Confirmed ANNOUNCEMENTS, PRESENTATIONS, AND WRITTEN COMMUNICATIONS - None CONSENT CALENDAR ITEMS 1. APPROVE MEETING MINUTES DATED OCTOBER 5, 2022 2. RECEIVE AND FILE REVENUE AND EXPENDITURE REPORT DATED JULY 31, 2022 3. RECEIVE AND FILE REVENUE AND EXPENDITURE REPORT DATED AUGUST 31, 2022 CONSENT CALENDAR ITEM NO .2 - discussion The Commission inquired about the following expenditure listed under the top five non -general fund expenditures for the Revenue and Expenditure Report dated July 31, 2022: • Homelessness assistance - Financial Services Analyst Hallick explained the Housing Authority annually approves funding to provide assistance FINANCIAL ADVISORY COMMISSION MINUTES Page 1 of 3 NOVEMBER 9, 2022 321 to area homelessness service providers and homelessness prevention partners, such as the Coachella Valley Rescue Mission, Martha's Village and Kitchen, and Coachella Valley Association of Government (CVAG) - CV Housing First program to assist with homelessness in the region each year; and noted that in the past the funding is generally distributed equally. • Non -allocated interest (pension trust) - if anything is being done to mitigate credit card fees - Financial Services Analyst Hallick explained the amount listed for the non -allocated interest (pension trust) is the gain on the account for the month. Staff said the 2022 adopted Master Fee Schedule includes a 2.5% credit card surcharge that went into effect for all credit cards on October 1, 2022. Motion - A motion was made and seconded by Commissioners Mast/Way to approve the Consent Calendar as submitted. Motion passed: yes - 6, noes - 0, abstain - 0, absent - 1 (Luettjohann). BUSINESS SESSION - None STUDY SESSION - None DEPARTMENTAL REPORTS All reports are on file in the Finance Department. 1. FINANCE DEPARTMENT CURRENT AND FUTURE INITIATIVES Chair Mills inquired about the staff coordination for the review of the City's Annual Comprehensive Financial Report (ACFR) in response to Commissioner Way's request on August 24, 2022. Finance Director Martinez said this would be coordinated with the Commission in early months of 2023. Finance Director Martinez announced upcoming events for the City. The Commission inquired about the phase -out of the City's old email notification system, Quail Mail, and noted they are receiving duplicate emails due to the old and new subscriptions. Staff said the old email notification system of Quail Mail should be phased out soon and that would resolve the duplicate notifications. Commissioner Batavick inquired about forming a subcommittee for the review of the City's financial 10-year projections. Finance Director Martinez said that appointment of a subcommittee would be added to the next Commission meeting. FINANCIAL ADVISORY COMMISSION MINUTES Page 2 of 3 NOVEMBER 9, 2022 322 2. SECOND QUARTER 2022 (APRIL-JUNE) SALES TAX UPDATE FOR THE CITY OF LA QUINTA Financial Services Analyst Hallick mentioned that staff attends several economic summits including a recent local Economic Update by the Coachella Valley Economic Partnership (CVEP). Commissioner Way asked if the Annual CVEP Forum is open to the public; Ms. Hallick confirmed and said the update usually takes place annually in the month of October. COMMISSIONERS' ITEMS Chair Mills inquired on rebate fees for the pension trust discussed during the last Commission meeting. Financial Services Analyst Hallick said that she spoke with Mitch Barker, the City's representative for Public Agency Retirement Services, who confirmed that there are no rebate fees included. Finance Director Martinez said a special Commission meeting in December would be needed to meet upcoming agenda item deadlines and that staff would follow up with the Commission via email to schedule it. ADJOURNMENT There being no further business, it was moved by Commissioner Batavick/Dorsey to adjourn this meeting at 4:38 p.m. Motion passed: yes - 6, noes - 0, abstain - 0, absent - 1 (Luettjohann). Respectfully submitted, Jessica Delgado, Management Assistant City of La Quinta, California FINANCIAL ADVISORY COMMISSION MINUTES Page 3 of 3 NOVEMBER 9, 2022 323 324 REPORTS AND INFORMATIONAL ITEM NO. 29 HOUSING COMMISSION SPECIAL MEETING MINUTES WEDNESDAY, NOVEMBER 9, 2022 CALL TO ORDER A special meeting of the La Quinta Housing Commission (Commission) was called to order at 6:02 p.m. by Chairperson Gaeta-Mejia. This meeting provided teleconferencing accessibility pursuant to Executive Orders N-60-20 and N-08-21 executed by the Governor of California, and subsequently Assembly Bill 361 (AB 361, 2021), enacted in response to the state of emergency relating to novel coronavirus disease 2019 (COVID-19) and enabling teleconferencing accommodations by suspending or waiving specified provisions in the Ralph M. Brown Act (Government Code § 54950 et seq.), and City Council Resolution No. 2021-035, adopted by the City Council on September 28, 2021, and reaffirmed on October 18, 2022, members of the public, the Housing Commission, and City Staff participated in this meeting by teleconference only. PRESENT: Commissioners Casto, Chapman, Davidson, Pacheco, and Chairperson Gaeta-Mejia ABSENT: None STAFF PRESENT: Management Analyst Kinley, Management Specialist Griffin, and Commission Secretary Camarena PLEDGE OF ALLEGIANCE Chairperson Gaeta-Mejia led the audience in the Pledge of Allegiance. CONFIRMATION OF AGENDA - Confirmed. PUBLIC COMMENT ON MATTERS NOT ON THE AGENDA Management Analyst Kinley said the city has not received any WRITTEN PUBLIC COMMENTS or requests to provide VERBAL COMMENTS for this meeting as of 6:06 p.m. and staff would continue to monitor email HOUSING COMMISSION MINUTES Page 1 of 3 NOVEMBER 9, 2022 SPECIAL MEETING 325 communications and teleconference attendance for the duration of the meeting, should any requests by the public are received. ANNOUNCEMENTS, PRESENTATIONS AND WRITTEN COMMUNICATIONS - None CONSENT CALENDAR 1. APPROVE MEETING MINUTES OF JUNE 8, 2022 2. APPROVE MEETING MINUTES OF SEPTEMBER 14, 2022 MOTION - A motion was made and seconded by Commissioners Gaeta-Mejia /Chapman to approve the Consent Calendar as recommended. Motion passed unanimously. BUSINESS SESSION 1. APPOINT MEMBERS OF THE HOUSING COMMISSION TO SERVE AS CHAIRPERSON AND VICE -CHAIRPERSON FOR FISCAL YEAR 2022-23 Management Analyst Kinley presented the staff report, which is on file in the City Manager's Office. Staff provided a brief overview of the voting process, and roles and responsibilities for the Chairperson and Vice -Chairperson positions. MOTION - A motion was made and seconded by Commissioners Casto/Chapman to re -appoint Commissioners Gaeta-Mejia and Pacheco to serve as Chairperson and Vice -Chairperson, respectively for fiscal year 2022/23. Motion passed unanimously. 2. RECOMMEND THE HOUSING AUTHORITY APPROVE PURCHASE AND SALE AGREEEMENT WITH BP DUNE PALMS, LP, BY GENERAL PARTNER BLACKPOINT PROPERTIES, LLC, TO ACQUIRE A PORTION OF CERTAIN PROPERTY COMPRISING APPROXIMATELY 5.2 ACRES LOCATED ON THE NORTHEAST CORNER OF HIGHWAY 111 AND DUNE PALMS ROAD (APN: 600- 030-018) Management Analyst Kinley presented the staff report which is on file in the City Manager's Office. HOUSING COMMISSION MINUTES Page 2 of 3 NOVEMBER 9, 2022 SPECIAL MEETING 326 The Commission discussed property location; build -out options including potential affordable housing development of up to 150 units and 2-3 stories, and mixed -use component to maximize allowable unit density per the mixed - use overlay; partnering with a third party developer to determine best options for build -out and funding availabilities; management alternatives; proximity to future CV Link project and multi -modal transportation options, and walkability to nearby employment, commerce, and schools. Commission expressed general support for the land acquisition as proposed. MOTION - A motion was made and seconded by Commissioners Casto/Davidson to recommend Housing Authority approval of Purchase and Sale Agreement with BP Dune Palms, LP, by General Partner Blackpoint Properties, LLC, to acquire a portion of certain property comprised of approximately 5.2 acres located on the Northeast corner of Highway 111 and Dune Palms Road (APN: 600-030-018). Motion passed unanimously. STUDY SESSION - None STAFF REPORTS AND INFORMATIONAL ITEMS - None COMMISSIONER'S ITEMS - None ADJOURNMENT There being no further business, a motion was made and seconded by Commissioners Chapman/Pacheco to adjourn the meeting at 6:26 p.m. Motion passed unanimously. Respectfully submitted, REYNA CAMARENA, Commission Secretary City of La Quinta, California HOUSING COMMISSION MINUTES Page 3 of 3 SPECIAL MEETING NOVEMBER 9, 2022 327 328 POWER POINTS CITY COUNCIL MEETING DECEMBER 20, 2022 City Council Meeting December 20,, 2022 City Council Meeting Closed Session December 20,, 2022 Pledgeigif Allegianc' City Council Meeting December 20, 2022 P1- Living Desert Presentation T H E PRIDE OF THE DESERT CAPITAL CAMPAIGN THE LIVING DESERT ZOO AND GARDENS Me THE LIVING DESERT ZOO I GARDENS OVER 100.9000 CHILDREN each year learn about our natural ,o I world. That's good for the endangered animals in our care and the planet we all share. r OVA,. _ �{� � ?+fir M(d ' •6 5 t� AIM s Ice- - - - �� December 20, 2022 13 GLOBAL CONSERVATION IMPACT PMEXICAN WOLF 7 DESERT TORTOISE •�• •••• New Mexico Mexican Wolf .. ............. ....... ... .............. Coachella valley ••••• •�•���••••�•�• .. .............. .. India ..,.,,,x ,a,K .................. ............. Bighorn Sheep ........... ................. ................. ............ ...... ....... ::::.:::::::::::: Lion Caws June Beetle Leopard Desert Tortoise A F R I CA N Desert Tortoise Chad Kenya Desert Willow Black Rhino Smoketme ScimRa— Black Rhino LION Sonoran Pronghorn Homed Oryz • • Cheetah Western Pond Turtle Elephant Namibia • •••• Gravy's Zebra Lion Gulf of California Cheetah Peninsular Pronghorn Paraguay Tanzania vaquita Lowlantl Tapir South Africa Greater Kudu Black Rhino White Rhino Elephant — BLACK Black Rhino Giraffe RHINO Botswana Zimbabwe Cheetah African Wild Dog 14 7 December 20, 2022 15 MCA 8 December 20, 2022 35'0'0"E 40-O'0"E5�0'�'iE rabid ' 50_0'0"E Eritrea Yemen Asmara* ` naa* 15"0'0"N - V Sudan Dji16)0)LA 1o�ao';N Hargey Somaliland � Addis Ababa* / Ethiopia Oma C-� 15'0'0"N 10-0'0"N 5`0'0"N N 60 120 160 240 306 Miies �1 �r� w r 100 200 300 400 Kilometers s 50'0'0"E 55'0'0"E 17 IN 9 Why Should La Quinta Support The Living Desert? Your Residents Love U °_ Your Residents Love�Us' La Quinta Residents Visited 15,200+ times last year _ zti: d, ,r t. The Living Desert has 10:` j welcomed over 12M+ guests over the last 52 years. What is the Impact of Community Support? 4 What is the Impact M of Community Support? The Living Desert has generated $500M k act to of economic impact p ALL: the Coachella Valley ��► �J, :, ��;� over the last 10 years. r That is $500,000,000 worth of Jobs Tourist Spending Taxes Professional Services Utilities 14Kl d RHINO SAVANNA - lww 110 4 „ *' p; 1 December 20, 2022 M Ylo ��•., •• _ � � Y -!1 .r�• 4 � 71.E : •.�'.• � ��� ��. •P � 11 14 WILDLIGHTS Select Nights, Nov 22 - Dec 30 GLOW IN THE PARK Nightly, Mar 15 - Apr 30 A Staff Office and Parking Lot Expansion tuber 2023 �. ,Awl. t T H E P R I DE OF THE DESERT THE LIVING DESERT CAPITAL CAMPAIGN r December 20, 2022 _ Jr•�YJ� 33 ie �6 ,1+'•..tie �_ ,7�yryAlIFTSP! / 34 17 December 20, 2022 931 I� December 20, 2022 s r �, s / � r 4. � y. �� i2 ram. Tr- .r,.fi a `�� �__ c � r iE ii.-'ice •�,�y,�rt. 37 19 --: How can La Quinta help? • Become an annual supporter of our education programs • Sponsor community activities • Partner with our conservation programs • Naming opportunities available I CALIFORNIA City Council Meeting December 20, 2022 B1 - 2021/22 Year -End Budget Report CAL December 20, 2022 43 44 22 December 20, 2022 LIM 46 23 V M M ca LL Fund Balance I As of June 30, 2021 1 As of June 30, 2022 1 Change in Value Committed Operational Carryovers 1,209,870 1,209,100 (770) Cash Flow Reserve 5,000,000 5,000,000 - Natural Disaster Reserve 10,000,000 10,000,000 Economic Disaster 11,000,000 11,000,000 Capital Replacement Reserve 10,000,000 10,000,000 a Total Committed 37,209,870 1 37,209,100 1 (770) Public Safety Fire Services Measure G Sales Tax Capital Projects Total Assigned 11,423,931 11,183,821 (240,110) 15,128,658 15,355,043 226,385 13,431,089 30,761,847 17'330,758 9.983,678 57.300.711 17,317,033 Measure G Summary ■ FY 21-22 Measure G Revenue : $15.6 million ■ Revenues since inception: $60.9 million Discussion & Questions • Fiscally healthy & well managed resources • Build reserves & improve resiliency ■ Focus on capital improvements, infrastructure and paying down pension plan _ r City Council Meeting December 20, 2022 62 - Village Undergrounding Feasibility Study Agreement and Funding Appropriation Recommended Actions • Appropriate $24,315 of additional funding from Unassigned Reserves • Approve Agreement with NV5, Inc. Background • 2010: Initial Village Undergrounding Study prepared • 2021 and 2022 Community Workshops: Village Undergrounding identified as community priority • Funding for feasibility study included in 2022/23 CIP Feasibility Study Scope • Current planning level dry utility cost estimate update • Phasing Plan for Area 2 — Commercial area and Francis Hack Lane • Identify Special Construction Practices • Stakeholder Meetings • City Council Sessions / Findings • Optional: — Financial Analysis/Implementation Strategy H Undergrounding MINE, INE rr A� 01. N � IN, Area Ma Optional Tasks • Provide specific financing options • Preliminary cost estimates per area • ""Financial Options" City Council study session ii December 20, 2022 M 58 29 CALIFORNIA HAND OUTS CITY COUNCIL MEETING DECEMBER 20, 2022 CITY COUNCIL MEETING - DECEMBER 20, 2022 - HAND OUT PROVIDED BY RESIDENT ALENA CALLIMANIS MATTERS NOT ON THE AGENDA - REGARDING THE WAVE PROJECT AT CORAL MOUNTAIN Thank you Regarding Coral Mountain Property Alena Callimanis La Quinta, CA U:Lo U1' 111 40 /o N � Linda Evans The Cove i d Tap here to turn off notifications for this post 23h ` 3 Like %.+ See 3 more replies Linda Evans Author Reply • The Cove Shay - My vote will be to preserve that zoning as is - residential. 9*0 Share 000 r;7m . -As i ivo PPn1v