KC Skyline

City Clerk Web Search

Search the Ordinances:

Legislation #: 060785 Introduction Date: 7/20/2006
Type: Ordinance Effective Date: none
Sponsor: None
Title: Authorizing reconstruction of sidewalks, curbs, driveway entrances, and appurtenances in various locations in all Council Districts; appropriating $349,130.00 from the Revolving Public Improvement Fund; authorizing the Director of Public Works to expend $349,130.00 for the various projects; authorizing assessment of the costs against the properties benefitted; and recognizing an emergency.

Legislation History
DateMinutesDescription
7/19/2006 Filed by the Clerk's office
7/20/2006 Referred to Finance and Audit Committee
7/26/2006 Do Pass as a Committee Substitute
7/27/2006 Add to Consent Docket
8/3/2006 Passed as Substituted

View Attachments
FileTypeSizeDescription
060785.pdf Authenticated 219K Authenticated
Approp _ Admin286.xls Budget Transfer 179K Admin & Approp
various.sidewalks286.xls Fact Sheet 32K Fact Sheet

Printer Friendly Version

COMMITTEE SUBSTITUTE FOR ORDINANCE NO. 060785

 

Authorizing reconstruction of sidewalks, curbs, driveway entrances, and appurtenances in various locations in all Council Districts; appropriating $349,130.00 from the Revolving Public Improvement Fund; authorizing the Director of Public Works to expend $349,130.00 for the various projects; authorizing assessment of the costs against the properties benefitted; and recognizing an emergency.

 

BE IT ORDAINED BY THE COUNCIL OF KANSAS CITY:

 

Section 1. That the work of reconstructing portland cement concrete sidewalks, curbs, driveway entrances and other necessary appurtenances on the following projects in Kansas City, Missouri, are hereby provided for and authorized:

 

Project No. 89060055 30th Street from Prospect to Benton Boulevard and 28th Street from Walrond to Indiana, CD-3,

Project No. 89060056 Wayne from 37th Street to 38th Street, CD-3,

Project No. 89060063 Park Avenue from 55th Street to 56th Street, CD-5,

Project No. 89060080 City-wide Annual north & South of the River,

Project No. 89060097 Wayne from 55th Street to 56th Street, CD-5

 

Section 2. That the sum of $88,712.00 is appropriated from the Unappropriated Fund Balance of the Revolving Public Improvement Fund to Project Account No. 07-3190-898307-B, 30th Street from Prospect to Benton Boulevard and 28th Street from Walrond to Indiana, to be used within that account as follows:

 

To Account No. 07-3190-898307-B the sum of $70,350.00 for construction;

To Account No. 07-3190-898307-B the sum of $7,035.00 for contingent obligations;

To Account No. 07-3190-898307-B the sum of $10,553.00 for engineering and supervision;

To Account No. 07-3190-898307-B the sum of $774.00 for administration;

 

and Director of Public Works is hereby authorized to expend the said sums for the purposes appropriated.

 

Section 3. That the sum of $11,593.00 is appropriated from the Unappropriated Fund Balance of the Revolving Public Improvement Fund to Project Account No. 07-3190-898307-B Wayne from 37th Street to 38th Street, to be used within that account as follows:


To Account No. 07-3190-898307-B the sum of $9,085.00 for construction;

To Account No. 07-3190-898307-B the sum of $909.00 for contingent obligations;

To Account No. 07-3190-898307-B the sum of $1,499.00 for engineering and supervision;

To Account No. 07-3190-898307-B the sum of $100.00 for administration;

 

and Director of Public Works is hereby authorized to expend the said sums for the purposes appropriated.

 

Section 4. That the sum of $15,334.00 is appropriated from the Unappropriated Fund Balance of the Revolving Public Improvement Fund to Project Account No. 07-3190-898507-B, Park Avenue from 55th Street to 56th Street, to be used within that account as follows:

 

To Account No. 07-3190-898507-B the sum of $12,016.00 for construction;

To Account No. 07-3190-898507-B the sum of $1,202.00 for contingent obligations;

To Account No. 07-3190-898507-B the sum of $1,983.00 for engineering and supervision;

To Account No. 07-3190-898507-B the sum of $133.00 for administration;

 

and Director of Public Works is hereby authorized to expend the said sums for the purposes appropriated.

 

Section 5. That the sum of $217,658.00 is appropriated from the Unappropriated Fund Balance of the Revolving Public Improvement Fund to Project Account No. 07-3190-898707-B City-wide Annual north & South of the River, to be used within that account as follows:

 

To Account No. 07-3190-898707-B the sum of $170,579.00 for construction;

To Account No. 07-3190-898707-B the sum of $17,058.00 for contingent obligations;

To Account No. 07-3190-898707-B the sum of $28,145.00 for engineering and supervision;

To Account No. 07-3190-898707-B the sum of $1,876.00 for administration;

 

and Director of Public Works is hereby authorized to expend the said sums for the purposes appropriated.

 

Section 6. That the sum of $15,833.00 is appropriated from the Unappropriated Fund Balance of the Revolving Public Improvement Fund to Project Account No. 07-3190-898507-B Wayne from 55th Street to 56th Street, to be used within that account as follows:

 

To Account No. 07-3190-898507-B the sum of $12,409.00 for construction;

To Account No. 07-3190-898507-B the sum of $1,241.00 for contingent obligations;

To Account No. 07-3190-898507-B the sum of $2,047.00 for engineering and supervision;

To Account No. 07-3190-898507-B the sum of $136.00 for administration;

 

and Director of Public Works is hereby authorized to expend the said sums for the purposes appropriated.

Section 7. That special assessments are hereby authorized to be made and levied upon the lands fronting and abutting on the above improvements in accordance with Kansas City Charter Section 286 for costs relating to the replacement of sidewalks, curbs, driveway entrances, asphalt pavements and appurtenances condemned pursuant to said Section 286. Special tax bills evidencing the amount of such assessments shall be issued to Kansas City and shall be credited to the said Revolving Public Improvements Fund and, when collected, the proceeds thereof shall be returned to and become a part of the said Fund. The said tax bills shall be made payable in six annual installments at such times and with such effect as is provided in Article VIII of the Kansas City Charter. The special assessments shall bear interest at a rate per annum equal to the rate of ten year United States treasury notes as established at the last auction before the assessment is certified to the Director of Finance. If delinquent, said special assessments shall bear interest at a rate per annum two percent higher than the interest rate on assessments which are not delinquent.

 

Section 8. That since the public improvement provided for herein is to be paid in part by special assessments, this ordinance is recognized to be an emergency measure within the provisions of Article II, Section 15 of the Charter and shall take effect in accordance with said section.

 

_____________________________________________

 

I hereby certify that there is a balance, otherwise unencumbered, to the credit of the appropriation to which the foregoing expenditure is to be charged, and a cash balance, otherwise unencumbered, in the treasury, to the credit of the fund from which payment is to be made, each sufficient to meet the obligation hereby incurred.

 

 

___________________________________

Debra R. Hinsvark

Director of Finance

 

Approved as to form and legality:

 

 

___________________________________

Mark P. Jones

Assistant City Attorney