Midway Pacific Highway Community Planning Group Regular Meeting Date: Wednesday, July 17, 2025 Location: 2911 Sports Arena Blvd, Suite A San Diego CA 92110 Call to Order: 3:04 PM. Quorum achieved. Approval of Minutes The minutes for March 2025 and May 2025 Regular Meetings were presented for review…
400877 $5,913,554 400878 $5,993,474 TOTAL CONSOLIDATED REVENUES (Including Interest): $11,907,029 City Project No. DIF Plan # Projects Approved by Council Project Status Funds Expended Funds Budgeted Fund 400877 Neighborhood Enhancement - Affordable Housing 0 0 13002083 NEF- CITY ADMIN 994 994 $994…
Page 1 of 3 LA JOLLA SHORES PLANNED DISTRICT ADVISORY BOARD MEETING MINUTES FROM: WEDNESDAY, August 20, 2025 Item 1: CALL TO ORDER Board Member Sherri Lightner called the meeting to order at 10:00 a.m. Item 2: ROLL CALL Members Present: Sherri Lightner, Kathleen Neil, Suzanne Weissman, and Phillip…
City Planning Department Impact Fee Fiscal Year Summary TOTAL REVENUES (Including Interest): $2,851,078 City Project No. Projects Approved by Council Project Status Funds Expended Funds Budgeted S24007 LV lib Patio Improvement 0 290,000 21005741 Administration (Fund inception to present) 4,507 4,…
City Planning Department Impact Fee Fiscal Year Summary TOTAL REVENUES (Including Interest): $208,970,416 City Project No. DIF Plan # Projects Approved by Council Project Status Funds Expended Funds Budgeted S-00689 F-1 Fire Station #47 - PHR Completed 5,904,779 5,904,779 State Route 56 - Debt…
City Planning Department Impact Fee Fiscal Year Summary TOTAL REVENUES (Including Interest): $208,970,416 City Project No. DIF Plan # Projects Approved by Council Project Status Funds Expended Funds Budgeted S-00689 F-1 Fire Station #47 - PHR Completed 5,904,779 5,904,779 State Route 56 - Debt…
City Planning Department Impact Fee Fiscal Year Summary TOTAL REVENUES (Including Interest): $58,534,278 City Project No. DIF Plan # Projects Approved by Council Project Status Funds Expended Funds Budgeted Total Completed CIP Projects (1986 thru 2009) Completed 28,509,093 28,509,093 S-00634 P-16A…
City Planning Department Impact Fee Fiscal Year Summary TOTAL REVENUES (Including Interest): $208,970,416 City Project No. DIF Plan # Projects Approved by Council Project Status Funds Expended Funds Budgeted S-00689 F-1 Fire Station #47 - PHR Completed 5,904,779 5,904,779 State Route 56 - Debt…
City Planning Department Impact Fee Fiscal Year Summary TOTAL REVENUES (Including Interest): $76,646,617 City Project No. DIF Plan # Projects Approved by Council Project Status Funds Expended Funds Budgeted P-6 Bicycle/Pedestrian/Equestrian Trail System Completed 600,722 600,722 33.099.0 F-1 Fire…
City Planning Department Impact Fee Fiscal Year Summary TOTAL REVENUES (Including Interest): $39,218,404 City Project No. DIF Plan # Projects Approved by Council Project Status Funds Expended Funds Budgeted 52.703.0 T 43.5B State Route 56 - Debt Service Completed 1,030,000 1,030,000 T 43-12 TS/SL…