TOTAL REVENUES (Including Interest): $2,777,209 City Project No. DIF Plan # Projects Approved by Council Project Status Funds Expended Funds Budgeted 52-461.2 M-14 Architectural Barriers Removal Completed 155,081 155,081 52-547.0 M-5 Carmel Valley Rd - Portofino Dr to Del Mar City Limits Completed…
TOTAL REVENUES (Including Interest): $100,893,638 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 Station #46 - Black Mountain Ranch South Completed 2,247…
Planning Department - Facilities Financing Impact Fee Fiscal Year Summary 10,022,461 3,077,061 TOTAL CONSOLIDATED REVENUES (Including Interest): $13,099,522 City Project No. DIF Plan # Projects Approved by Council Project Status Funds Expended Funds Budgeted Fund 400084 - Tierrasanta FBA 39-202.2 T…
TOTAL REVENUES (Including Interest): $1,836,050 City Project No. DIF Plan # Projects Approved by Council Project Status Funds Expended Funds Budgeted Carmel Valley Skate Park Completed 50,000 50,000 El Camino Real Acceleration loan Completed 7,582 7,582 S-00675 Subarea II Recreational Feasibility…
TOTAL REVENUES (Including Interest): $12,412,787 City Project No. DIF Plan # Projects Approved by Council Project Status Funds Expended Funds Budgeted P-10 Southeast Community Park Irrigation Improvements Completed 146,274 146,274 P-11 Martin Luther King Elementary School Turfing Completed 94,829…
TOTAL REVENUES (Including Interest): $1,698,822 City Project No. DIF Plan # Projects Approved by Council Project Status Funds Expended Funds Budgeted 11-279.0 T-13 Parkside Avenue Drain Completed 14,025 14,025 12-129.0 T-3 Blueridge St & Rachael Ave Storm Drain Completed 15,000 15,000 29-443.0…
TOTAL REVENUES (Including Interest): $5,576,316 City Project No. DIF Plan # Projects Approved by Council Project Status Funds Expended Funds Budgeted Transfer of DIF collected in Kearny Mesa when Community Plan was split 1,189,111 1,189,111 28-063.0 T-11 Sharp Health Care Reimbursement Agreement/…
Planning Department - Facilities Financing Impact Fee Fiscal Year Summary 15,953,903 2,967,384 TOTAL CONSOLIDATED REVENUES (Including Interest): $18,921,287 City Project No. DIF Plan # Projects Approved by Council Project Status Funds Expended Funds Budgeted Fund 400086 - Scripps Miramar Ranch FBA…
TOTAL REVENUES (Including Interest): $9,987,447 City Project No. DIF Plan # Projects Approved by Council Project Status Funds Expended Funds Budgeted M-43 San Ysidro Blvd Storm Drain Study Completed 31,000 31,000 P-24 Coral Gate Parks Reimbursement Agreements Completed 1,212,616 1,212,616 P-2…
TOTAL REVENUES (Including Interest): $4,676,173 City Project No. DIF Plan # Projects Approved by Council Project Status Funds Expended Funds Budgeted 27-717.8 T-25 Completed 11,000 11,000 27-851.0 T-22 Completed 108,928 108,928 29-485.0 P-1 Sabre Springs Neighborhood Park #1 Completed 1,138,110 1,…