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RESOLUTION THE CITY COUNCIL OF THE CITY OF SAN LEANDRO <br />RESOLUTION NO. 2021-002 <br />RESOLUTION OF THE CITY OF SAN LEANDRO CITY COUNCIL TO <br />APPROVE AND AUTHORIZE THE CITY MANAGER TO PURCHASE ONE EZ <br />LINER CUSTOM PAINT STENCIL TRUCK FROM EZ LINER FOR $221,578 <br />THROUGH SOURCEWELL, A COOPERATIVE CONTRACT PURCHASING <br />AGENCY; AND TO APPROPRIATE $154,475 FROM THE EQUIPMENT REPAIR AND <br />MAINTENANCE FUND BALANCE TO THE EQUIPMENT REPAIR AND <br />MAINTENANCE FUND ACCOUNT 690-16-002-7510; AND TO AUTHORIZE AN <br />APPROPRIATION OF $67,103 FROM THE GAS TAX FUND BALANCE TO THE <br />EQUIPMENT REPAIR AND MAINTENANCE OPERATING ACCOUNT 690-16-002- <br />7510 IN FISCAL YEAR 2020-2021 <br />WHEREAS, a purchase estimate was presented to this City Council; and <br />WHEREAS, the City Council is familiar with the contents thereof, and <br />WHEREAS, the City Manager recommends the purchase of such equipment; and <br />WHEREAS, monies have been paid into the equipment replacement funds and will be <br />supplemented by Gas Tax funds; and <br />WHEREAS, the Fiscal Year 2020-2021 Equipment Repair and Maintenance Internal <br />Service Fund balance has funds available to appropriate to the Vehicle Purchase Account; and <br />WHEREAS, the Gas Tax Fund balance has $67,103 in funds available to appropriate to <br />the Vehicle Purchase Account to cover the funding gap; and <br />WHEREAS, the purchase is justified because it replaces existing equipment that is at the <br />end of its serviceable life and will support the City's pavement maintenance program. <br />NOW, THEREFORE, the City Council of the City of San Leandro does RESOLVE as <br />follows: <br />1. That said purchase estimate of $221,578, substantially in the form presented is <br />hereby approved and the City Manager is authorized to execute all documents and <br />take all actions necessary to execute the purchase; and <br />2. That for Fiscal Year 2020-2021 an additional appropriation of funds shall be made <br />from the Equipment Repair and Maintenance Fund balance to the Equipment <br />Repair and Maintenance Account 690-16-002-7510 in the amount of $154,475; and <br />3. That for Fiscal Year 2020-2021 a budget transfer from Fund 140 to Fund 690 is <br />authorized as follows: <br />• Budget Transfer Out from the Gas Tax-RMRA Account 140-99-901-8410 for <br />$67,103 <br />• Budget Transfer into the Equipment Repair and Maintenance Account 690- <br />3950 for $67,103 <br />• Increase Equipment Repair and Maintenance Account 690-16-002-7510 by <br />$67,103 <br />