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File Number: 13-344 <br />Previous Actions <br />·On February 14, 2000, a work session was held to review the GHAD proposal and options <br />·On June 5, 2000, by Resolution No. 2000-82, the City Council approved a resolution <br />making the City subject to the California Public Resources Code, which governs GHADs <br />·On November 20, 2000, by Resolution No. 2000-172, the City Council initiated the <br />formation of the GHAD and set a public hearing date of November 20, 2000 <br />·On July 19, 2004, by Resolution No. 2004-01, the City Council approved the annual report <br />of the GHAD for Fiscal Year 2003-04 <br />·On July 18, 2005, by Resolution No. 2005-01, the City Council approved the annual report <br />of the GHAD for Fiscal Year 2004-05 <br />·On July 17, 2006, by Resolution No. 2006-001, the City Council approved the annual <br />report of the GHAD for Fiscal Year 2005-06 <br />·On July 16, 2007, by Resolution No. 2007-001 GHAD, the City Council approved the <br />annual report of the GHAD for Fiscal Year 2006-07 <br />·On July 21, 2008, by Resolution No. 2008-001 GHAD, the City Council approved the <br />annual report of the GHAD for Fiscal Year 2007-08 <br />·On July 20, 2009, by Resolution No. 2009-001 GHAD, the City Council approved the <br />annual report of the GHAD for Fiscal Year 2008-09 <br />·On July 19, 2010, by Resolution No. 2010-001 GHAD, the City Council approved the <br />annual report of the GHAD for Fiscal Year 2009-10 <br />·On July 18, 2011, by Resolution No. 2011-001 GHAD, the City Council approved the <br />annual report of the GHAD for Fiscal Year 2010-11 <br />·On July 16, 2012, by Resolution No. 2012-012 GHAD, the City Council approved the <br />annual report of the GHAD for Fiscal Year 2011-12 <br />Fiscal Impacts <br />The table below provides details concerning the income and expenses of the GHAD for Fiscal <br />Year 2012-13 that ended on June 30, 2013: <br />Income/Expenses (actual) <br />INCOME <br />Beginning Fund Balance - July 1, 2012 $18,951.64 <br />Interest on Investments $0.00 <br />Other Income $0.00 <br />Sub Total - Sources of Funds $0.00 <br />Sub Total - Available Funds $18,951.64 <br />EXPENSES <br />Major Repair Program $0.00 <br />Preventative Maintenance Program $1,218.85 <br />Special Projects $0.00 <br />Administration $0.00 <br />Sub Total - Expenses $1,218.85 <br />Page 2 City of San Leandro Printed on 7/9/2013