HomeMy WebLinkAbout99-115~ ~~ ~uP~~vl~oR~
1,~1~`'Sf"i'Y OF I~l1fiT'E, STATE OF CALIFORNIA
~iesolufion No. 99-iis
RESOLUTION AUTHORIZING ENECUTION OF PROGRAM SUPPLEMENT
NO. 0077, REV.O, TO ADMINISTERING AGENCY -STATE AGREEMENT NO. 000486
EFFEC(I'IVE JUNE 24, 1999, FOR STATE FUNDED PROJECTS
ROAD1~'AY REHABILITATION ON MID«'AY FROM DURHAM DAYTON
HIGHWAY TO 500 FEET SOUTH OF OROVILLE CHICO HIGH~~YAY
PROJECT NO. RPL-5912 (031)
BE I'I' RESOLVED by the Board of Supervisors of the County of Butte, State of
California, as follows:
That said County approve Program Supplement No. 0077, Rev. 0, to Administering
Agency-State Agreement No. 000456, effective June 24, 1999, for State Funded
Projects in Butte County and the Chair of the Board be authorised to execute said
supplement on behalf of said County. Supplement No. 0077, Rev. 0, provides for
funding for reimbursement of construction and constl-uetion engineering costs for
Roadway Rehabilitation on Midway from Durham Dayton Highway to 500 feet south
of Oroville Chico Highway; Project No. RPL - 5912 (031}.
2. That the Clerk of this Board be authorized to attach a certified copy of this Resolution
to Program Supplement No. 0077, Rev. 0.
PASSED AND ADOPTED by the Board of Supervisors of the County of Butte, State of
California, this 24th day of_ August , 1999, by the following vote:
AYES: Supervisors Beeler, Houx, Josiassen, Davis and Chair Dolan
NOES: None
ABSENT: None (~
NOT VOTING: None 1 ~
Chailr, Board of Supervisors
County of Butte, State of California
ATTEST:
John S. Blacklock, Chief Administrative
Officer and Clerk of the Bird
:~ ~ ~
,.
~ ClerklDeputy
PROGF2ZIM SUPPLEMENT NO. 077 Date :July 12, 1999
to Location : 03-BUT-O-CR
ADMINISTERING AGENCY-STATE AGREEMENT Project Number: RPL-59I2(031)
FOR STATE FUNDED PROJECTS NO. 0004$6 E.A. Number:03-452944
Locode:5912
This PROGRAM SUPPLEMENT, effective 0612411999, is hereby incorporated into the Administering Agency -State
Agreement No. 000486 for State Funded Projects entered into between the ADMINISTERING AGENCY and the STATE on
l / and is subject to all the terms and conditions thereof. This PROGRAM SUPPLEMENTt is adopted in accordance
with Article I of the aforementioned Master Agreemcut under authority of Resolution No. 99-115 approved by the
ADMINISTERING AGENCY on 8j25/99 (See copy attached).
The ADMINISTERING AGENCY further stipulates that as a condition to payment of funds encumbered to this project, it
accepts and will comply with the Special Covenants and Conditions set forth on the following pages.
PROJEC'P LOCATION:
on the Midway Hear Chico from Durham Dayton Highway to 500' south of Oroville Chico IIighway ~ FPNO OL53 - SB45
TYPE OF WoRx: Pavement rehab and shoulder widening
Estimated Cost State Funds Matching Funds
~507,000.00 STATE $507,000.00 LOCAL
a0.00
50.00 OTHER
$0.00
BUTTE COUNTY
~.
D~e Ar dust 24, 1999
Title Chair, Board of Supervisors
STATE OF CALIFORNIA
Department of Transportation
By
Chief, Office of Lacal Programs
Project Implementation
Date
I hereby certify upon my personal knowledge that budgeted funds are available for this encumbrance:
~ r
Accounting Officer ~~,.y-~ ~ ~, Date ~ ~~ ~ $507,000.00
Chapter Statutes Item ear Program BC atego y Fund Source AMOUNT
324 1998 2660-101-042 98-99
20.30.600.620 N 262042 042-T
507,000.00
Program Supplement 00-0486-07?- SERIAL Page 1 of 3
03-F3UT-0-CR
RPL-59121031)
07t 1"2t 1999
SPECIAL COVENANTS OR REMARKS
1. The Local Agency will reimburse the State for their share of
costs for work requested to be performed by the State.
2. This PROJECT is programmed to receive funding from the 1998 State
Transportation Improvement Program (STIP), as amended. Funding
may be provided under one or more components. A component(s)
specific fund allocation is required, in addition to other
requirements, before reimbursable work can occur for the
component{s) identified. Each allocation will be assigned an
effective date and identify the amount of funds allocated per
component{s).
This PROGRAM SUPPLEMENT has been prepared to allow reimbursement
of eligible PROJECT expenditures for the component(s) allocated.
The start of reimbursable expenditures is restricted to the later
of either 1) the effective date of the Master Agreement, 2)the
effective date of the PROGRAM SUPPLEMENT, or 3)the effective date
of the component specific allocation.
3. STATE and ADMINISTERING AGENCY agree that additional funds made
available by future allocations will be encumbered on this
PROJECT by use of a STATE approved Allocation Letter and Finance
Letter. ADMINISTERING AGENCY agrees that STATE funds available
for reimbursement will be limited to the amount allocated by the
California Transportation Commission (CTC) and/or tine STATE.
4. This PROJECT is subject to the timely use of funds provisions
enacted by Senate Bill 45 (SB 45), approved in 1997, and
subsequent CTC guidelines and State procedures approved by the
CTC and STATE, as outlined below:
Funds allocated for the environmental & permits, plan
specifications & estimate, and right-of-way components are
available far expenditure until the end of the second fiscal year
following the year in which the funds were allocated.
Funds allocated for the construction component are subject to an
award deadline and contract completion deadline. ADMINISTERING
AGENCY agrees to award the contract within 12 months of the
construction fund allocation and complete the construction or
vehicle purchase contract within 36 months of award.
Program Supplement 00-0486-077- SERSAL Page 2 of 3
C3-F3L~T-0-CR
RPL 5912(031)
07x1211999
SPECIAL COVENANTS OR REMARKS
5. Upon ADMINISTERING AGENCY request, the CTC and/or STATE may
approve supplementary allocations, time extensions, and fund
transfers between components. An approved time extension will
revise the timely use of funds criteria, outlined above, for the
component(s) and allocation(s) requested. Approved supplementary
allocations, time extensions, and fund transfers between
components, made after the execution of this PROGRAM SUPPLEMENT
will be documented and considered subject to the terms and
conditions thereof.
Documentation for approved supplementary allocations, time
extensions, and fund transfers between components, will be a
STATE approved Allocation Letter, Fund Transfer Letter, Time
Extension Letter, and Finance Letter, as appropriate.
6. This PROJECT will be administered in accordance with the CTC STIP
guidelines, as adopted or amended, and the STATE Procedures for
Administering Local Grant Projects in the State Transportation
Improvement Program (STIP), the Local Assistance Program
Guidelines, and the Local Assistance Procedures Manual. The
submittal of invoices for project costs shall be in accordance
with the above referenced publications and the following.
?. The P.DMINISTERING AGENCY shall invoice STATE for environmental &
permits, plans specifications & estimate, and right-of-way costs
no later than 180 days after the end of last eligible fiscal year
of expenditure. For construction costs, the ADMINISTERING AGENCY
has 180 days after project completion to make the final payment
to the contractor and prepare the final Report of Expenditures
and final invoice, and submit to STATE for verification and
payment.
8. A11 funding obligations of STATE under the conditions of this
PROGRAM SUPPLEMENT are subject to the appropriation of resources
by the Legislature and the encumbrance of funds under this
PROJECT. Funding and reimbursement are available only upon the
passage of the State Budget Act containing these STATE funds.
Program Supplement00-0466-077- SERIAL Page 3 of 3