City Hall
1 Dr. Carlton B. Goodlett
Place
San Francisco, CA 94102-
4689
City and County of San Francisco
Legislation Details
File #:
Version:
1
200833
Name:
Appropriation - Proceeds from Revenue Bonds,
State Loan/Grant Funds, Water Revenues/Capacity
Fees - $344,846,164; De- and Re-Appropriation -
Capital Improvement Projects - $14,413,167; De-
appropriation - Capital Projects - $3,528,113 - FYs
2020-2022
Status:
Type:
Ordinance
Passed
File created:
In control:
8/4/2020
Clerk of the Board
On agenda:
Final action:
10/1/2020
Enactment date:
10/1/2020
169-20
Enactment #:
Title:
Ordinance appropriating a total of $344,846,164 of proceeds from Revenue Bonds, State of California
Water Resources Control Board’s revolving loan funds (State Loan Funds) or grant funds (State Grant
Funds), water revenues, and water capacity fees for the San Francisco Public Utilities Commission
(SFPUC) Water Enterprise’s Capital Improvement Program for Fiscal Year (FY) 2020-2021 at
$132,133,926 and for FY2021-2022 at $212,712,238; and de-appropriating $3,528,113 Water Capital
Project funding to Water’s Fund balance in FY2020-2021; and de-appropriating and re-appropriating
Water Capital Project appropriations of $14,413,167 in FY2020-2021 and placing $238,514,485 of
Revenue Bond and State Loan Funds or State Grant Funds proceeds by project on Controller’s
Reserve subject to the Controller's certification of funds availability, including proceeds of
indebtedness, and for construction related expenditures (excluding program management, planning
and design) for these projects, as applicable, is also subject to the prior occurrence of the SFPUC's
and the Board of Supervisors' discretionary adoption of California Environmental Quality Act findings
for projects, following review and consideration of completed project related environmental analysis,
where required.
Sponsors:
Mayor
Attachments:
1. Leg Ver1, 2. MYR Cover Memo 073120, 3. MYR Bdgt Submission FYs20-21 & 21-22, 4. Comm Pkt
081320, 5. PUC Reso. No. 15-0196, 6. Post Pkt Correspondence, 7. Comm Pkt 082120, 8. BLA
Report 082120, 9. Board Pkt 091520, 10. Board Pkt 092220, 11. Board Pkt 092920, 12. Leg Final
Action By
Date
Action
Result
Ver.
RECEIVED
Clerk of the Board
7/31/2020
1
ASSIGNED
President
8/4/2020
1
CONTINUED
Budget and Appropriations
Committee
8/13/2020
1
Pass
RECOMMENDED
Budget and Appropriations
Committee
8/21/2020
1
Pass
CONTINUED ON FIRST READING
Board of Supervisors
9/15/2020
1
Pass
PASSED ON FIRST READING
Board of Supervisors
9/22/2020
1
Pass
FINALLY PASSED
Board of Supervisors
9/29/2020
1
Pass
APPROVED
Mayor
10/1/2020
1