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Res 1973-015
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Res 1973-015
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8/27/2008 3:30:59 PM
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8/27/2008 3:30:59 PM
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City Clerk
City Clerk - Document
Resolutions
City Clerk - Type
Agreement
Number
1973-15
Date
5/29/1973
Volume Book
42
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<br />TO: <br /> <br />FROM: <br /> <br />'ECT: <br /> <br />DATE: <br /> <br />. <br /> <br />:':1' <br /> <br />. <br /> <br />~fSan)1arws <br /> <br />OFFICE MEMORANDUM <br /> <br />The City Council <br /> <br />The City Manager <br /> <br />Revenue Sharing Allocations <br /> <br />5/14/73 <br /> <br />RE: <br /> <br />I <br /> <br />CSM-l00 <br /> <br />. <br /> <br />Attached is a report form for the Department of the Treasury <br />to outline plans to expend the Revenue Sharing allocation for <br />the entitlement period beginning January I, 1973 and ending <br />June 3D, 1973. The Department of the Treasury has estimated <br />that we will receive $185,770.00 for this entitlement period. <br />The City of San Marcos is required to file this report of plans <br />to expend these funds prior to June 30, 1973. It is also required <br />that this plan be published in a newspaper of general circulation, <br />prior to the filing of the report. <br /> <br />LIBRARY <br /> <br />The $3,000 expenditure for Library operation is intended to <br />replace the LSCA Grant which the City has been receiving but is <br />now impounded. <br /> <br />FIRE PROTECTION <br /> <br />The proposed $30,000 expenditure for utilities would extend water <br />lines and install fire hydrants to improve water service and fire <br />protection in victory I and II, and in residential areas adjacent <br />to Purgatory Creek. <br /> <br />PUBLIC SAFETY <br /> <br />The proposed $46,000 expenditure for Public Safety would include <br />the purchase of , a new fire truck to replace an existing obsolete <br />fire truck and to purchase four (4) police cars during the next <br />fiscal year. <br /> <br />STREET IMPROVEMENTS <br /> <br />The proposed expenditure of $106,770.00 for streets would include <br />approximately $54,000 for the paving of Broadway Street as an <br />assessment pavir,g program. The balance of the street funds would <br />,be used to improve drainage and to rebuild streets within the <br />Victory I and II, and Purgatory Creek area. Thirty percent (30%) <br />
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