Planning Department - Public Facilities Planning Impact Fee Fiscal Year Summary TOTAL REVENUES (Including Interest): $19,482,284 City Project No. DIF Plan # Projects Approved by Council Project Status Funds Expended Funds Budgeted M-8 Dale St Storm Drain, Upas St to Thorn St Completed 4,229 4,229…
Planning Department - Public Facilities Planning Impact Fee Fiscal Year Summary TOTAL REVENUES (Including Interest): $20,005,222 City Project No. DIF Plan # Projects Approved by Council Project Status Funds Expended Funds Budgeted T-2 Waring Road Irrigation and Landscaping Completed 5,000 5,000 P-…
Planning Department - Public Facilities Planning Impact Fee Fiscal Year Summary TOTAL REVENUES (Including Interest): $66,332,294 City Project No. DIF Plan # Projects Approved by Council Project Status Funds Expended Funds Budgeted T-2, 5 Camino Del Rio No.: I-805 to Mission City Way Completed 432,…
Planning Department - Public Facilities Planning Impact Fee Fiscal Year Summary TOTAL REVENUES (Including Interest): $571,449 City Project No. DIF Plan # Projects Approved by Council Project Status Funds Expended Funds Budgeted N/A P-1 Santa Clara Point Rec Center Improvements Completed 111,402 111…
Planning Department - Public Facilities Planning Impact Fee Fiscal Year Summary 187,493,604 7,311,530 TOTAL CONSOLIDATED REVENUES (Including Interest): $194,805,134 City Project No. DIF Plan # Projects Approved by Council Project Status Funds Expended Funds Budgeted Fund 400085 - Mira Mesa FBA…
Planning Department - Public Facilities Planning Impact Fee Fiscal Year Summary 110,563,140 51,176,462 48,186,214 18,891,637 TOTAL CONSOLIDATED REVENUES (Including Interest): $228,817,453 City Project No. DIF Plan # Projects Approved by Council Project Status Funds Expended Funds Budgeted Fund…
Planning Department - Public Facilities Planning Impact Fee Fiscal Year Summary TOTAL REVENUES (Including Interest): $12,164,990 City Project No. DIF Plan # Projects Approved by Council Project Status Funds Expended Funds Budgeted M-5 Barnett Ave & Upshur Dr Storm Drain Completed 51,328 51,328…
Planning Department - Public Facilities Planning Impact Fee Fiscal Year Summary TOTAL REVENUES (Including Interest): $12,800,200 City Project No. DIF Plan # Projects Approved by Council Project Status Funds Expended Funds Budgeted T-10 Drain: Canterbury Dr & Hilldale Rd Completed 74,257 74,257…
Planning Department - Public Facilities Planning Impact Fee Fiscal Year Summary TOTAL REVENUES (Including Interest): $5,064,919 City Project No. DIF Plan # Projects Approved by Council Project Status Funds Expended Funds Budgeted 29-497.0 P-1 Silver Terrace Park Completed 150,000 150,000 29-616.0 P…
https://www.sandiego.gov/planning/facilities-planning/plans https://www.sandiego.gov/planning/facilities-planning/plans https://www.sandiego.gov/planning/facilities-planning/plans 400136