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FC-28 February 18, 2014 <br /> Bill 194: AMENDS CHAPTER 21, ARTICLE 4, SECTION 21-32 OF THE HAWAII <br /> COUNTY CODE 1983 (2005 EDITION, AS AMENDED), RELATING TO BILLING <br /> OF CHARGES; PAYMENT; LATE PENALTY <br /> Authorizes the Department of Water Supply to terminate water services for non- <br /> payment of sewer services charges when so directed by the Director of Environmental <br /> Management after due notice and opportunity for a hearing before the Environmental <br /> Management Commission, and the resolution of any appeal therefrom, as provided by <br /> Chapter 91, Hawaii Revised Statutes. <br /> Reference: Comm. 654 <br /> Intr. by: Ms. Poindexter <br /> Bill 195: AMENDS CHAPTER 21, ARTICLE 4, SECTION 21-32 OF THE HAWAII <br /> COUNTY CODE 1983 (2005 EDITION, AS AMENDED), RELATING TO BILLING <br /> OF CHARGES; PAYMENT; LATE PENALTY <br /> Reduces the rate of interest charged on past due wastewater balances from one and <br /> one-half percent per month, to one percent per month. <br /> Reference: Comm. 655 <br /> Intr. by: Ms. Poindexter <br /> Bill 196: AMENDS ORDINANCE NO. 13-66, AS AMENDED, RELATING TO PUBLIC <br /> IMPROVEMENTS AND FINANCING THEREOF FOR THE FISCAL YEAR <br /> JULY 1, 2013 TO JUNE 30, 2014 <br /> Establishes the following program appropriations: Roadway Projects (Engineering) <br /> ($1,661,709.92); Bridge Inspection, Repair and Replacement Program (Engineering) <br /> ($359,828.44); and Local Road Improvements (Highways) ($278,583.05), for a total <br /> amount of$2,300,121.41; funds shall be provided from the lapsed Fuel Tax Increase <br /> funds in the Capital Projects Fund, Fuel Tax Increase 2010-2012 account <br /> ($2,300,121.41). Exhibit A, attached to the bill, lists the specific projects in each <br /> category. <br /> Reference: Comm. 656 <br /> Intr. by: Ms. Poindexter <br /> Bill 197: AMENDS ORDINANCE NO. 13-65, AS AMENDED, THE OPERATING <br /> BUDGET FOR THE COUNTY OF HAWAII FOR THE FISCAL YEAR ENDING <br /> JUNE 30, 2014 <br /> Appropriates revenues in the Fund Balance From Previous Year - Reserved account <br /> ($274,703.67); and appropriates same to the Transfer to Capital Projects Fund - <br /> Highway account. These fiscal year 2011-2012 excess fuel tax revenues would be <br /> appropriated to Transfer to the Capital Projects Fund to be expended by the Public <br /> Works Department. <br /> Reference: Comm. 657 <br /> Intr. by: Ms. Poindexter <br /> Page 3 <br />