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Form## B-52 <br /> 7/18/91 <br /> DEPARTMENT OF FINANCE <br /> REQUEST FOR COUNCIL ACTION <br /> DEPARTMENT: Public Works DATE: December 24, 2020 <br /> STAFF CONTACT: Sharilynn Olivar PHONE: 951-8463 <br /> A. REQUEST: <br /> Aprropriate excess fuel tax revenues collected from 2018-2020 as fellows: <br /> PROGRAM AMOUNT <br /> Roadway Projects $27,420.13 <br /> Bridge Inspection/Repair $18,280.08 <br /> Local Road Projects $45,700,21 <br /> Total $91,400,42 <br /> Project and district appropriations are as shown on attached Exhibit A. <br /> B. BAt;;KGROUND AND JUSTIFICATION (USE ADDITIONAL SHEETS AS NEEDED): <br /> Actual revenues collected exceeded the$6,800,000 projected revenues established by Ordinance 19-7 by <br /> $91,400,42, This ordinance will distribute excess revenues using the same procedures and percentages <br /> established by Ordinance 19-7. <br /> Source of Funding Fuel Tax Increase 19-7 <br /> Transfer from Highway Fund $91,400.42 <br /> X2 <br /> SIGNED: DATE: C 2020 <br /> , ' D a ment Head <br />