Legislation Details

File #: 14-268    Version: 1 Name: GHAD Annual Report 2013-14 - SR
Type: Staff Report Status: Filed
In control: City Council
Meeting Date: 7/21/2014 Final action: 7/21/2014
Enactment date: Enactment #:
Title: Staff Report for a Resolution of the San Leandro Hillside Geologic Hazard Abatement District Approving the Annual Report of the San Leandro Hillside Geologic Hazard Abatement District (GHAD) for Fiscal Year 2013-14
Sponsors: Uchenna Udemezue
Related files: 14-269

Title

Staff Report for a Resolution of the San Leandro Hillside Geologic Hazard Abatement District Approving the Annual Report of the San Leandro Hillside Geologic Hazard Abatement District (GHAD) for Fiscal Year 2013-14

 

Staffreport

SUMMARY AND RECOMMENDATIONS

 

This report is an update on the activities of the San Leandro Hillside Geologic Hazard Abatement District (GHAD) for Fiscal Year 2013-14.

 

Staff recommends approval of the annual report of the GHAD for Fiscal Year 2013-14.

 

BACKGROUND

 

Following the Hillside Drive slide of 1998, the City Council, by Resolution No. 2000-172, approved the formation of the GHAD and appointed itself to act as the Board of Directors.  The GHAD served as an entity for the repair to the Hillside Drive landslide using grant funds from the Federal Emergency Management Agency (FEMA) and California Office of Emergency Services (OES).  No assessment on property owners was proposed.  A $1.5 million dollar project was completed by the GHAD that stabilized the slope on Hillside Drive.  The project installed a drainage system incorporating concrete v-ditches, storm lines and structures to collect and discharge subsurface and surface runoff from the hillside to the City’s storm drain system.  The system is maintained and monitored by Public Works staff.

 

Analysis

 

Public Works staff has completed only minor maintenance work on GHAD facilities during this past fiscal year.  Recent site investigation by staff did not indicate any signs of slope movement.  It is anticipated that there will be no major work at the site during this upcoming fiscal year.

 

Current Agency Policies

 

                     Establish the GHAD as a vehicle to implement repair of the Hillside Drive landslide

                     The GHAD is limited to twenty-six (26) properties and collects and expends funds for landslide repair and maintenance

                     The GHAD's existence and activities are tied to its available funding

                     The GHAD will have no responsibility to perform activities beyond its funding capacity

 

Previous Actions

 

                     On February 14, 2000, a work session was held to review the GHAD proposal and options

                     On June 5, 2000, by Resolution No. 2000-82, the City Council approved a resolution making the City subject to the California Public Resources Code, which governs the GHAD

                     On November 20, 2000, by Resolution No. 2000-172, the City Council initiated the formation of the GHAD and set a public hearing date of November 20, 2000

                     Annual Reports approved by the City Council each July between Fiscal Year 2003-04 and Fiscal Year 2011-12 

                     On July 15, 2013, by Resolution No. 2013-001 GHAD, the City Council approved the annual report of the GHAD for Fiscal Year 2012-13

 

Fiscal Impacts

 

The table below provides details concerning the income and expenses of the GHAD for Fiscal Year 2013-14 that ended on June 30, 2014:

                     Income/Expenses (actual)

                     INCOME

                     Beginning Fund Balance - July 1, 2013                     $16,263.68

                     Interest on Investments                     $0.00

                     Other Income                     $0.00

                     Sub Total - Sources of Funds                     $0.00

                     Total - Available Funds                     $16,263.68

 

                     EXPENSES                     

                     Major Repair Program                     $0.00

                     Preventative Maintenance Program                     $438.91

                     Special Projects                     $0.00

                     Administration                     $0.00

                     Total - Expenses                     $438.91

                     End of Year Fund Balance - June 30, 2014                     $15,824.77

 

PREPARED BY:  Austine Osakwe, Senior Engineer, Engineering and Transportation Department