Loading...
HomeMy WebLinkAboutRES NO 063-2022RESOLUTION NO.0 6 3- 2 0 2 2 RESOLUTION AUTHORIZING THE FILING OF AN APPLICATION WITH THE KERN COUNCIL OF GOVERNMENTS FOR ALLOCATION OF TRANSPORTATION DEVELOPMENT ACT FUNDS FOR FISCAL YEAR 2022-2023 WHEREAS, the Transportation Development Act of 1971 provides for the disbursement of funds from the local Transportation Fund held in trust by the Kern County Auditor -Controller for use by eligible claimants for the purpose authorized by Sections 99260(a) and 99400(a) of the California Public Utilities Code; and WHEREAS, an eligible claimant wishing to receive an allocation from Local Transportation Fund must file its application with the Kern Council of Governments pursuant to the rules and regulation that have been adopted by the Secretary of the Business and Transportation Agency of the State of California in accordance with the provisions of the aforementioned legislation; and WHEREAS, .funds from the Local Transportation Fund will be required to maintain a multimodal facility of the public transportation system. NOW, THEREFORE, incorporating the above recitals, be it resolved by the Council of the City of Bakersfield as follows: 1. That the Public Works Director is authorized to execute and file an appropriate claim (Exhibit A) pursuant to the terms of the Transportation Development Act of 1971, as amended, and pursuant to applicable rules and regulations promulgated thereunder, together with all necessary supporting documents with the Kern Council of Governments for fiscal year 2022-23 Transportation Act monies. 2. That a copy of this resolution be transmitted to the Kern Council of Governments in conjunction with the filing of the claim; and the Kern Council of Governments be requested to concur in these findings and grant the allocation of funds as specified in the City's claim. T r 'ORIGINAL� HEREBY CERTIFY that the foregoing Resolution was passed and adopted by the Council of the City of Bakersfield at a regular meeting thereof held on MAY 0 G 2022 by the following vote: YES: COUNCILMEMBER: NOES: COUNCILMEMBER: ABSTAIN: COUNCILMEMBER: SENT• COUNCILMEMBER: ARIAS, GONZALES, WER, SMITH, . k GRAY, PARLIER APPROVED MAY 0 4 2022 By KAREN GOH Mayor APPROVED as to form: VIRGINIA GENNARO City Attorney )SHUA RUDNICK eputy City Attorney EXHIBIT A J LIE DRIMAKISJWWC CITY CLERK AND EX OFFICIO CLERK of the Council of the City of Bakersfield 2 O��AKF9cn '— m EXHIBIT A Kern Council of Governments TRANSPORTATION DEVELOPMENT ACT PUBLIC TRANSIT CLAIM 2022-2023 PART 7 OF 8 ,- CLAIMANT INFORMATION I. Claimant Information Agency: City of Bakersfield Mailing Address: 1600 Truxtun Avenue Office Address. 1501. Truxtun Avenue City, State, Zip Bakersfield CA 93301 Telephone: (661) 326-3724 II. Contact Person Name: Rosanne Padley Title: Assistant to the Public. Works Director Department: Public Works Mailing Address: 1600 Truxtun Avenue Office Address: 1501 Truxtun Avenue City, State, Zip Bakersfield CA 93301 Telephone: (661) 326-3724 FAX: (681) 852-2120 E-Mail: rvadIgy@bakersfieldcitv.us WEB Site: htto://www.bakersfieldeily-us o� � A KF9cn a f- m 'ORIGIIVAL� Kern Council of Governments TRANSPORTATION DEVELOPMENT ACT PUBLIC TRANSIT CLAIM PART 2 OF 8 - CLAIM AND ASSURANCES For Fiscal Year 2022-2023 A. CLAIM: The City of Bakersfield hereby claims Local Transportation Fund and State Transit Assistance Fund apportionments and allocations for the 2022-2023 fiscal year plus all unencumbered funds and/or deferred revenues held in its local treasury for public transit uses. B. COMPLIANCE ASSURANCES: The City of Bakersfield hereby certifies that, as a condition of receiving funds pursuant to California Public Utilities Code Sections 99200, et. seq., and California Code of Regulations Sections 6600, et. seq., as amended, it shall ensure that: 1. All funds will be expended in compliance with the requirements of California Public Utilities Code Sections 99200 through 99408, California Code of Regulations Sections 6600 through 6756 and Kern Council of Governments' Transportation Development Act Rules and Regulations. 2. All funds will be expended in accordance with the budgets described in Part 6 of this claim, attached hereto and made a part hereof, by this reference. These assurances are given in consideration of and the for the purpose of obtaining any and all funds apportioned and allocated for public transit purposes pursuant to Public Utilities Codes, Division 10, Part 11, Chapter 4 of the State of California. The person whose signature appears below has been authorized to provide the assurances cited above and to prepare, submit and execute this claim on behalf of: 0ignaiure Public Works Director Title rM11IL I I*W_ ASSURANCES: As the chief financial officer of the City of Bakersfield I hereby attest to the reasonableness a y of the financial information presented in this claim and declare it to be consistent with the orm s s m of accounts and records adopted by the Controller of the State of California. YW/Z�L Finance Director Title o``gAKF9� y P t— m 0RIGINAL� Kern Council of Governments PART 3 OF B-PROJECTED PUBLIC TRANSIT RESOURCES For Fiscal Year 26 2-2023 CLAIMANT: City of Bakersfield I. FY 2022-2023 PROJECTED AVAILABLE RESOURCES: A. Deferred Revenues — unexpended prior year cash receipts. held -in the claimant's treasury as of June 30, 2022 (from the most recent audit report) $153,810 B. Unreserved/.Unrestricted Retained Earnings C. Interest Earnings — interest eamings.on claimant cash balances through June.30, 2022 $380 D. Federal Grants ,& Reimbursements (Source & Amount): 1. FTA Planning Assistance 2. FTA Operating Assistance 3. FTA Capital Assistance 4. E. State.Grants & Reimbursements (Source & Amount): 1. 2. F. Local Cash Grants.& Reimbursements (Source & Amount). 1. LTF- Regional Planning (PUC 99262) 2. LTF—Operations/Capital. (PUC 99260a) S. LTF—Capital Reserve Withdrawl (CCR 6648) 4. LTF-Social Service Transit (PUC 99275) 5. LTF—Contracted/Purchased Transit Services (PUC 99400c) 6. STAF—Operations.(C.CR 6730a) 7. STAF=Capital. (CCR .6730b) 8. STAF—Contracted/Purchased Transit. Services (CCR.6731b) 9. STAF—Socia[ Service Transit (CCR 6731 c) 10. County of Kem—Service Contract(s) 1'1. G. Operating Revenues.: 1. Passenger Fares 2. Special Fares 3. School Bus Service 4. Freight Tariffs 5. Charters H. Other Revenues (Source & Amount): $476,4.82 1. 2. I. TOTAL FY 2022-2023 PROJECTED AVAILABLE RESOURCES — enter here and Part 4, Line J (Sections A+B+C+D+E+F+G+H) $630,672 �- M � r OONGINM Kern Council of Governments PART 4 OF 8--PROJECTED.P.UBLIC TRANSIT EXPENSES For Fiscal Year 2022-2023 CLAIMANT: City of Bakersfield J. TOTAL. FY 2021-2022 PROJECTED .AVAILABLE RESOURCES (From Part 3, Line 1) II. FY 2021-2022 PROJECTED EXPENSES & USES K. Personnel: 1. Administrative Salaries .&. Wages 2. Operating Salaries & Wages 3. Other Salaries & Wages 4. Fringe Benefits L. Services & Supplies: 1. Professional Services 2. Maintenance Services 3. Other Services 4. Vehicle Maintenance & Supplies 5. Utilities 6. Insurance 7. Purchased Transportation Services 8. Miscellaneous 9. Expense & Inter -fund Transfers 10. Interest 11. Lease & Rentals 12. Other (Maintenance. Supplies) M. Capital Assets (Itemize by O.bject:& Amount): $630,672 $5,.946 $51054 $125;000 $176,000 $27;500 $3,000 $7,200 $6, 000 1. Amtrak Security Enhancements (P21<307) $76,500 2. 3. 4.. 5: N. Other Uses (Object & Amount): Regional Planning Contribution (from FY 20= 20_ TDA 1. Estimate) 2. O. FY 2021-2022:PROJECTED EXPENSES & USES (Sections K+L+M+N) P. DEFERRED REVENUES AND AVAILABLE RESERVES AS OF JUNE 30, 2022— enter here and. on Line A, Part 5 (Sections J-O) $432,200 $198,472 �- rn F- r `ORIGINAL Kern Council of Governments PART.5 OF 8=-BUDGETED PUBLIC TRANSIT RESOURCES For Fiscal Year 2022-2623 CLAIMANT: City of Bakersfield I. FY 2022-2023 NONCURRENT TDA & OTHER BUDGETED RESOURCES A. Deferred Revenues & Available Reserves— unexpended prior year cash receipts and reserves held in the claimant's treasury.as:of June 30, 20 (From Part 4, Line P) $198,472 B. Interest Earnings --interest earnings on claimant cash balances. through June 30, 2023 $375 C. Federal Grants and Reimbursements: 1. FTA Planning Assistance. 2. FTA Operating Assistance 3. FTA Capital Assistance 4. D. State Grants and Reimbursements (Source/Amount): 1. 2. E. Non-TDA Local Cash Grants and Reimbursement (Source/Amount): 1. 2. 3. F. Operating Revenues: 1. Passenger Fares 2.. Special Fares. 3. School Bus Service 4. Freight Tariffs 5. Charters G. Other Revenues (Source/Amount): 1. 2. I. FY 20_-20_ NONCURRENT TDA & OTHER BUDGETED RESOURCES —enter here and on Part 6, Line J (Sections A+B+C+D+E+F+G) $1.98,847 o��AK�9`S-n >- m I- r 30RIGINAP Kern Council of Governments PART 6.OF 8--BUDGETED PUBLIC TRANSIT EXPENSES For Fiscal Year 2022-2023 CLAIMANT: City of Bakersfield J. FY 2022-2023 NONCURRENT TDA & OTHER BUDGETED RESOURCES (From Part 5, Line 1) II. FY 2022-2023 BUDGETED EXPENSES & USES K. Personnel: 1. Administrative .Salaries .& Wages 2. Operating Salaries :& Wages 3. Other Salaries & Wages 4. Fringe Benefits L..Services &. Supplies: 1. Professional Services 2. Maintenance Services 3. Other Services 4. Vehicle Maintenance & Supplies 5. Utilities 6. Insurance 7: Purchased Transportation Services 8. Miscellaneous 9. Expense & Inter -fund Transfers 10. Interest 11. Lease & Rentals 12. Other $198;847 $15,567 $13,233 $222,300 $237, 000 $37,000 $4;400 $6,900 $17,100 M. Capital Assets (Itemize and identify funding source - i.e., TDA, FTA.5311, CMAQ): 1. Amtrak Security Enhancements (P2K307) Add Funds $76,500 2. .3.. 4. 5. N. Other Uses: 1. Regional Planning Contribution (from most.recent TDA estimate) 2. Capital Outlay Reserve Contribution O. FY 2022-2023 BUDGETED EXPENSES & USES'(Sections K+L+M+N) P. FY 2022-2023 UNFUNDED BALANCE (Line J-O) $632,000 ($4.33,153) O��6AK, 9q f- rn OORIONOr Kern Council of Governments PART 7 OF.8—TDA FUNDING CLAIM For Fiscal Year 2022-2023 CLAIMANT: City of Bakersfield 1. FY 2022-23 UNFUNDED BALANCE (From Part 6; Line P) ($433,153) H. FY 2022-2023 TDA TRANSIT FUNDING CLAIM 1. LTF—Regional Planning (PUC 99262) (Same. as Part 6, Line N1)' 2: LTF—Operations/Capital (PUC 99260a) 3. LTF—Capital Reserve Withdrawal (CCR 6648) 4. LTF--Social Service Transit (PUC 99275) 5. LTF—Contracted/Purchased Transit Services (PUC 99400c) 6. LTF—Capital Res. Contrib.(CCR 6648) (Same as Part 6, Line N2) 7. STAF—Operations (CCR 6730a) 8. STAF--Capital (CCR 6730b) 9. STAF—Contracted/Purchased Transit Services ( CCR 6731 b) 10. STAF—Social Service Transit (CCR 6731c) 11. 12. III. FY 2022-2023 TDA FUNDING.CLAIM (Should..e4ual line I) $433,153 UNEXPENDED RESOURCES AS OF JUNE 30, 2022 (Line I+Line III)(Should be $0) $0 > M F- r 3CR!G.!N 0 Kem Council of Governments PART 8.1 OF 8—SUPPLEMENTAL PUBLIC TRANSIT INFORMATION For Fiscal Year 2022-2023 Attach the following documents: 1) A copy of the governing body's authorization to execute and file, this claim 2) A completed copy of the attached questionnaire (BELOW) on system characteristics and any additional documentation required as.a result of responding toeach query. 3) A listing of all. transit service subcontractors (BELOW) and a copy of the contract document, if not previously submitted. 4) A copy of the "unmet transit needs" documentation, including a.legal notice of a public hearing, the. minutes of the public hearing held by the local. governing body and .a resolution making. the appropriate "unmet transit needs finding". 5) A copy of the Department of California Highway Patrol form number CHP339, 'Transit Operator Compliance Certificate", dated within the past 13. months, documenting participation. in the California Department of Motor Vehicles "Driver Pull Notice Program. 6) Date of the most recent completed annual TDA internal audit: December 30, 2020 Otis P K�91% > in F- r ` 0R!CINAL' Kern Council of .Governments PART .8.2 OF 8-SYSTEM. CHARACTERISTICS QUESTIONNAIRE For Fiscal Year 2022-2023 (NOTE: Place an'X' inthe proper column) YES NO 1. Have allrecommendations for corrective action from the FY 2019- 2020 independent financial ,audit report been implemented ? IF NO, PLEASE SUBMIT A CORRECTIVE ACTION PLAN COVERING EACH RECOMMENDATION NOT ADDRESSED. 2. Have all recommendations for corrective action from the FY 2019- 2020 performance audit report been. implemented ? IF NO., PLEASE SUBMIT A CORRECTIVE ACTION PLAN COVERING EACH RECOMMENDATION NO ADDRESSED. NIA 3. Have all past transportation development plan recommendations been implemented? IF NO, PLEASE SUBMIT A CORRECTIVE ACTION PLAN COVERING EACH RECOMMENDATION NOT ADDRESSED. NIA 4. Does the claimant maintain it's financial records in accordance with the California State Controller's. approved "uniform system of accounts and records ? X 5. Has the claimant submitted its "Annual Report of Financial Transactions of Transit Operators" to the California State Controller for thefiscal year ended June 30, 20 ? 6. Is the system expected to meet the applicable farebox revenue ratio requirement for FY 20= 20_ ? (10% for rural and 20% for urbanized operators) 7. Is the system budgeted to meet the applicablefarebox revenue ratio requirement for FY 20= 20_ ? (10% for rural and 20% for urbanized operators) NIA B. If the answer to questions 6 or 7 is NO (i.e. fares revenues alone are insufficient to meet the applicable revenue ratio requirement), has the claimant committed sufficient "local funds" to supplement fares and thereby comply ? 9. Does the claimant expect to qualify for and claim an "extension of service exemption" for either FY 20 20 or FY 20 -2011 ? NIA NIA 10. Is a budget increase in excess of 15%a proposed for FY 2022-2023 ? I X 11. Is an increase or decrease In excess of 15'/o in the scope of operations or capital budget provisions proposed for FY 2022-2023 ? X o``gAKF9� m `30,!C!N,4! o Kern,Council of Governments PART 8.3.OF 8--SYSTEM CHARACTERISTICS QUESTIONNAIRE For Fiscal Year 2022-2023 (NOTE: Place an "X" in the proper column) Question YES NO (NOTE: If .the answer to.question 11 or 12 is YES, PLEASE SUBMIT A STATEMENT WHICH DESCRIBES THE COMPONENTS OF THE INCREASE/DECREASE AND JUSTIFIES OR SUBSTANTIATES THE CHANGE.) NIA 12. Is the claimant proposing an increase in executive level salaries for FY 20= 20 ? IF YES, PLEASE SUBMIT A STATEMENT WHICH DEFINES AND JUSTIFIES THE INCREASE. X 1.3. Is the claimant precluded by contract from contracting with common carriers or persons operating under franchise or license ? NIA 1.4. Does the claimant expect to subcontract with outside parties for the provision of operator services. in FY 20= 20_ ? IF YES, PLEASE SUBMIT A COPY OF ALL NEW OR AMENDED. CONTRACTS. NOT PREVIOUSLY SUBMITTED. NIA 15, Is the claimant precluded by contract from employing part-time drivers ? NIA 16. Does the claimant routinely staff public transportation vehicles designed to be operated by one person with :two or more persons ? NIA 17. Has the claimant's participation in -the California Department of Motor Vehicle "Driver Pull Notice. Program" been certified by the California Highway Patrol within the past 13 months.? IF YES, PLEASE SUBMIT A COPY OF FORM chp 339, "TRANSIT OPERATOR COMPLIANCE CERTIFICATE". NIA 18. Is the claimant's retirement system fully funded with respect to it's officers and employees? X 19. Does the claimant have a private pension plan ? X 20. If the answer to question 19 is YES and the plan is a "defined benefit: plan", does the claimant do eachof the following: NIA a. Conduct periodic actuarial studies of its employee pension plans to determine the annual cost of future pension benefits ? NIA o�6A�F9� s � r 'ORIGINAL b. Set aside and invest, on a current basis, funds sufficient to I provide for the. payment of future pension benefits. ? N/A Kern Council of Governments PART 8.4.0F .8--SYSTEM ,CHARACTERISTICS QUESTIONNAIRE For Fiscal Year 2022-2023 LISTING OF SUBCONTRACTORS City of Bakersfield 1. 2. 3. 4. 5. - 6. 7. 8. 9. 10. (NOTE: If the contract is new or amended from prior years, please submit a copy.)