HomeMy WebLinkAbout2025/11/19- Regular City Council Meeting Agenda Packet Mayor CITY OF RANCHO CUCAMONGA
L. Dennis Michael
REGULAR MEETING AGENDA
Mayor Pro Tem November 19, 2025
Lynne B. Kennedy
10500 Civic Center Drive
Members of the City I*
Rancho Cucamonga, CA 91730
Council:
Ryan A. Hutchison
Kristine D. Scott
Ashley Stickler FIRE PROTECTION DISTRICT BOARD—CITY COUNCIL
HOUSING SUCCESSOR AGENCY-SUCCESSOR AGENCY—
PUBLIC FINANCE AUTHORITY
CLOSED SESSION TAPIA CONFERENCE ROOM 4:30 P.M.
REGULAR MEETINGS COUNCIL CHAMBERS 7:00 P.M.
The City Council meets regularly on the first and third Wednesday of the month at 7:00 p.m. in the Council Chambers
located at 10500 Civic Center Drive. It is the intent to conclude the meeting by 10:00 p.m. unless extended by the
concurrence of the City Council. Agendas, minutes, and recordings of meetings can be found
D0 at https://www.cityofrc.us/your-government/city-council-agendas or by contacting the City Clerk Services Department
at 909-774-2023. Live Broadcast available on Channel 3 (RCTV-3). For City Council Rules of Decorum refer to
Resolution No. 2023-086.
Any documents distributed to a majority of the City Council regarding any item on this agenda after distribution of the
agenda packet will be made available in the City Clerk Services Department during normal business hours at City Hall
located at 10500 Civic Center Drive, Rancho Cucamonga, CA 91730. In addition, such documents will be posted on
the City's website at https://www.cityofrc.us/your-government/city-council-agendas.
CLOSED SESSION — 4:30 P.M.
TAPIA CONFERENCE ROOM
ROLL CALL: Mayor Michael
Mayor Pro Tern Kennedy
Council Members Hutchison, Scott and Stickler
A. ANNOUNCEMENT OF CLOSED SESSION ITEM(S)
B. PUBLIC COMMUNICATIONS ON CLOSED SESSION ITEM(S)
C. CITY MANAGER ANNOUNCEMENTS
D. CONDUCT OF CLOSED SESSION
D1. CONFERENCE WITH LEGAL COUNSEL — EXISTING LITIGATION PURSUANT TO PARAGRAPH (1) OF
SUBDIVISION (D) OF GOVERNMENT CODE SECTION 54956.9; NAME OF CASE: TATE ET AL V. CITY OF
RANCHO CUCAMONGA ET AL, SBSC CASE NO.: CIVRS 2508450. (CITY)
E. RECESS
CITY COUNCIL VISION STATEMENT
"Our Vision is to create an equitable, sustainable, and vibrant city, rich in opportunity for Page 1
all to thrive by building on our foundation and success as a world class community."
REGULAR MEETING — 7:00 P.M.
COUNCIL CHAMBERS
PLEDGE OF ALLEGIANCE
ROLL CALL: Mayor Michael
Mayor Pro Tern Kennedy
Council Members Hutchison, Scott and Stickler
A. AMENDMENTS TO THE AGENDA
B. PUBLIC COMMUNICATIONS
This is the time and place for the general public to address the Fire Protection District, Housing
Successor Agency, Successor Agency, Public Financing Authority Board, and City Council on anv
item listed or not listed on the agenda. State law prohibits us from addressing any issue not on the
Agenda. Testimony may be received and referred to staff or scheduled for a future meeting.
Comments are to be limited to three (3) minutes per individual. All communications are to be addressed
directly to the Fire Board, Agencies, Successor Agency, Authority Board, or City Council not to the members
of the audience. This is a professional business meeting and courtesy and decorum are expected. Please
refrain from any debate between audience and speaker, disorderly or boisterous conduct that disturbs,
disrupts, or otherwise impedes the orderly conduct of the meeting. For more information, refer to the City
Council Rules of Decorum and Order (Resolution No. 2023-086) located in the back of the Council
Chambers.
The public communications period will not exceed one hour prior to the commencement of the
business portion of the agenda. During this one hour period, all those who wish to speak on a topic
contained in the business portion of the agenda will be given priority, and no further speaker cards for these
business items (with the exception of public hearing items) will be accepted once the business portion of the
agenda commences. Any other public communications which have not concluded during this one hour period
may resume after the regular business portion of the agenda has been completed.
C. ANNOUNCEMENTS / PRESENTATIONS
C1. Presentation of a Proclamation Honoring John R. Gillison, Retiring City Manager, for his Leadership and Years
of Service to the City of Rancho Cucamonga.
CITY COUNCIL VISION STATEMENT
"Our Vision is to create an equitable, sustainable, and vibrant city, rich in opportunity for Page 2
all to thrive by building on our foundation and success as a world class community."
CONSENT CALENDARS:
The following Consent Calendar items are expected to be routine and noncontroversial. They will be acted upon
without discussion unless an item is removed by Council Member for discussion.
Members of the City Council also sit as the Fire Board, Housing Successor Agency, Successor Agency, and
Public Finance Authority and may act on the consent calendar for those bodies as part of a single motion with
the City Council consent calendar.
D. CONSENT CALENDAR
6
D1. Consideration to Approve the Minutes of the Regular and Special Meetings of November 5, 2025.
D2. Consideration to Approve City and Fire District Bi-Weekly Payroll in the Total Amount of$1,662,670.39 for City 13
and Fire District Weekly Check Registers (Excluding Checks Issued to Southern California Gas Company) in
the Total Amount of$5,191,735.92 Dated October 29, 2025, Through November 11, 2025. (CITY/FIRE)
28
D3. Consideration to Approve City and Fire District Weekly Check Registers for Checks Issued to Southern
California Gas Company in the Total Amount of $14,995.48, Dated October 29, 2025, Through November 11,
2025. (CITY/FIRE)
D4. Consideration to Receive and File Current Investment Schedules as of September 30, 2025 for the City of 30
Rancho Cucamonga and the Rancho Cucamonga Fire Protection District. (CITY/FIRE)
D5. Consideration of an Appropriation in the Amount of$49,271 from the Homeland Security Grant for the Purchase 109
of Stop the Bleed Kits Through a Competitive Bid. (CITY)
D6. Consideration of a Contract with CJ Concrete Construction Inc. for the CDBG Concrete Rehabilitation Project 111
FY 2025/26 in the Amount of$227,940, Plus a Contingency in the Amount of$56,985. (CITY)
D7. Consideration of a Contract with AME Builders, Inc. for the Civic Center Waterproofing and Roof Repairs 115
Project and an Appropriation in the Amount of$2,654,100. (CITY)
D8. Consideration to Approve a Preliminary Engineering Services Agreement with BNSF Railway Company for 126
Design Oversight for the 6th Street At-Grade Crossing at the Existing Spur Track, 600' East of Santa Anita
Avenue. (CITY)
D9. Consideration of a Professional Services Agreement with ETAP Automation, Inc. for a Supervisory Control and 134
Data Acquisition System and Engineering Model for the Rancho Cucamonga Municipal Utility in the Amount of
$189,350. (CITY)
D10. Consideration of Amendment No. 1 to Contract CO 2025-114 with Mariposa Landscapes, Inc. for Park Mowing 140
and Facility Landscape Maintenance in the Amount Not to Exceed $997,609.35 for FY 2025/26. (CITY/FIRE)
D11. Consideration of Amendment No. 2 to the Professional Services Agreement (CO 2019-168) with Brodart Co., 146
Increasing Materials Acquisition Services in an Amount not to Exceed $500,000. (CITY)
D12. Consideration to Accept the Council Chambers Carpeting and Seating Replacement Project as Complete, File 150
the Notice of Completion, and Authorize Release of Retention and Bonds. (CITY)
D13. Consideration to Accept the Civic Center HVAC Replacement Project as Complete, File the Notice of 153
Completion, and Authorize Release of Retention and Bonds. (CITY)
CITY COUNCIL VISION STATEMENT
"Our Vision is to create an equitable, sustainable, and vibrant city, rich in opportunity for Page 3
all to thrive by building on our foundation and success as a world class community."
156
D14. Consideration to Accept as Complete, File a Notice of Completion, and Authorize Release of Retention and
Bonds for the Hellman Avenue and Feron Boulevard Storm Drain Improvement Project (Project). This Project is
Exempt from the Requirements of the California Environmental Quality Act (CEQA) per Government Code
Section 15301 — Existing Facilities. (CITY)
D15. Consideration to Approve and Adopt Resolutions Certifying the Results of Elections and Adding Annexation 160
Nos. 2025-12, 2025-13, 2025-14, 2025-15, 2025-16, and 2025-17 to Community Facilities District No. 2022-01
(Street Lighting Services) of the City of Rancho Cucamonga. (RESOLUTION NOS. 2025-088 to 2025-093)
(CITY)
E. CONSENT CALENDAR ORDINANCE(S) - SECOND READING/ADOPTION
F. ADMINISTRATIVE HEARING ITEM(S)
192
F1. Preliminary Review Hearing to Consider Proposed a General Plan Amendment and Zoning Map Amendment to
Redesignate a 6.7 Acre Parcel from a General Plan Land Use Designation of General Open Space and
Facilities to Suburban Neighborhood — Very Low and Rezone the Parcel from Parks (P) to Very Low (VL)
Residential for a Property at the Southwest Corner of East Avenue and 23rd Street at 13149 23rd Street for the
Purpose of Development of a Worship Center. (CITY)
G. ADVERTISED PUBLIC HEARINGS ITEM(S) - CITY/FIRE DISTRICT
215
G1. Public Hearing for Consideration of Second Reading and Adoption of Ordinance No. FD-060, to be Read by
Title Only and Waive Further Reading, An Ordinance of the Board of Directors of the Rancho Cucamonga Fire
Protection District Adopting by Reference the 2025 California Wildland-Urban Interface Code, With Errata,
Together With Certain Changes, Modifications, Amendments, Additions, Deletions, and Exceptions; Providing
for the Issuance of Permits and Collection of Fees; and Approving a CEQA Exemption Determination.
(ORDINANCE NO. FD-060) (FIRE)
G2. Public Hearing for Consideration of Second Reading and Adoption of Ordinance No. FD-061, to be Read by 240
Title Only and Waive Further Reading, An Ordinance of the Board of Directors of the Rancho Cucamonga Fire
Protection District Adopting by Reference the 2025 California Fire Code, With Errata, Together With Certain
Changes, Modifications, Amendments, Additions, Deletions, and Exceptions; Providing for the Issuance of
Permits and Collection of Fees; Repealing Conflicting Ordinances; and Approving a CEQA Exemption
Determination. (ORDINANCE NO. FD-061) (FIRE)
G3. Public Hearing for Consideration of Second Reading and Adoption of Ordinance No. 1048 to be Read by Title 291
Only and Waive Further Reading, Adopting the 2025 Edition of the California Building (model) Codes and the
2024 Edition of the International Building Codes. (ORDINANCE NO. 1048) (CITY)
G4. Public Hearing for Consideration of First Reading of Ordinance No. 1049, to be Read by Title Only and Waive 316
Further Reading, Amending Chapter 17.100 of Article V of Title 17 of the Municipal Code to Update the
Regulations Regarding Accessory Dwelling Units (ADUs) and Junior Accessory Dwelling Units (JADUs) in
Compliance with State Law and to Establish a Bonus ADU Program. This Item is Exempt from the California
Environmental Quality Act (CEQA), Pursuant to State CEQA Guidelines Section 15282(h) and 15061(b)(3).
(ORDINANCE NO. 1049) (CITY)
342
G5. Public Hearing for Consideration of First Reading of Ordinance No. 1050, to be Read by Title Only and Waive
Further Reading, Amending Section 12.20.080 of Chapter 12.20 of Title 12 and Sections 17.20.020 and
17.20.040 of Title 17 of the Municipal Code to Dissolve the Trails Advisory Committee. This Item is Exempt from
the California Environmental Quality Act, Pursuant to State CEQA Guidelines Sections 15378(B)(5) and
15061(B)(3). (DRC2025-00254) (ORDINANCE NO. 1050) (CITY)
CITY COUNCIL VISION STATEMENT
"Our Vision is to create an equitable, sustainable, and vibrant city, rich in opportunity for Page 4
all to thrive by building on our foundation and success as a world class community."
363
G6. Public Hearing to Consider a Resolution Amending Electric Rates, Pursuant to the Requirements and Authority
of Chapter 3.46 of Title 3 of the Rancho Cucamonga Municipal Code. (RESOLUTION NO. 2025-094) (CITY)
H. CITY MANAGER'S STAFF REPORT(S)
449
H1. Consideration of First Reading of Ordinance No. 1051, to be Read by Title Only and Waive Further Reading, an
Ordinance that Repeals Ordinance 89 Adopting a Design Review Procedure. (ORDINANCE NO. 1051) (CITY)
454
H2. Consideration to Receive and File the First Quarter Financial Update for the Fiscal Year 2025/26 and to
Approve Additional Appropriations in the Amount of $3,090,670 in Revenues and $4,695,800 in Expenditures.
(CITY/FIRE)
I. COUNCIL BUSINESS
11. COUNCIL ANNOUNCEMENTS
(Comments to be limited to three minutes per Council Member.)
12. INTERAGENCY UPDATES
(Update by the City Council to the community on the meetings that were attended.)
J. CITY ATTORNEY ITEMS
K. IDENTIFICATION OF ITEMS FOR NEXT MEETING
L. ADJOURNMENT
CERTIFICATION
I, Linda A. Troyan, MMC, City Clerk Services Director of the City of Rancho Cucamonga, or my designee, hereby certify under penalty
of perjury that a true, accurate copy of the foregoing agenda was posted at least seventy-two (72) hours prior to the meeting per
Government Code 54954.2 at 10500 Civic Center Drive, Rancho Cucamonga, California and on the City's website.
LINDA A.TROYAN, MMC
CITY CLERK SERVICES DIRECTOR
If you need special assistance or accommodations to participate in this meeting, please contact the City Clerk
Services Department at (909) 774-2023. Notification of 48 hours prior to the meeting will enable the City to make
reasonable arrangements to ensure accessibility. Listening devices are available for the hearing impaired.
CITY COUNCIL VISION STATEMENT
"Our Vision is to create an equitable, sustainable, and vibrant city, rich in opportunity for Page 5
all to thrive by building on our foundation and success as a world class community."
November 5, 2025
CITY OF RANCHO CUCAMONGA
CITY COUNCIL SPECIAL MEETING MINUTES
The City Council held a Special Meeting on Wednesday, November 5, 2025 in the Tri-Communities
Conference Room at City Hall, 10500 Civic Center Drive, Rancho Cucamonga, California. Mayor L. Dennis
Michael called the meeting to order at 4:00 p.m.
CALL TO ORDER
Present were Council Members Ryan Hutchison, Ashley Stickler, Mayor Pro Tern Lynne Kennedy and Mayor
L. Dennis Michael. Absent: Council Member: Kristine Scott.
Also present were John Gillison, City Manager; Elisa Cox, Assistant City Manager; Nick Ghirelli, City Attorney
and Patricia Bravo-Valdez, MMC, Deputy Director of City Clerk Services.
Assistant City Manager Cox led the Pledge of Allegiance.
A. PUBLIC COMMUNICATIONS
No public communications.
B. ITEMS OF DISCUSSION
B1. California Cities Annual Report Study Session. (CITY)
City Council and staff provided a report on their attendance at the California Cities Annual Conference.
C. ADJOURNMENT
Mayor Michael adjourned the meeting at 4:55 p.m.
Approved:
Linda A. Troyan, MMC
City Clerk Services Director
*DRAFT*
November 5, 2025 1 City Council Special Meeting Minutes
City of Rancho Cucamonga I Page 1 of 1 Page 6
November 5, 2025
CITY OF RANCHO CUCAMONGA
FIRE PROTECTION DISTRICT, HOUSING SUCCESSOR AGENCY, SUCCESSOR AGENCY,
PUBLIC FINANCE AUTHORITY AND CITY COUNCIL REGULAR MEETINGS MINUTES
The City Council of the City of Rancho Cucamonga held a Closed Session on Wednesday, November
05, 2025, in the Tapia Conference Room at the Civic Center, 10500 Civic Center Drive, Rancho
Cucamonga, California. Mayor Michael called the meeting to order at 5:00 PM.
Present were Council Members: Ryan Hutchison, Kristine Scott, Ashley Stickler, Mayor Pro Tern
Lynne Kennedy and Mayor L. Dennis Michael.
Also present were: John Gillison, City Manager; Elisa Cox, Assistant City Manager; Nicholas Ghirelli,
City Attorney; Peter Castro, Deputy City Manager of Community Development, Jennifer Gracia,
Deputy City Manager of Community Programs and Julie Sowles, Deputy City Manager of
Administrative Services.
A. ANNOUNCEMENT OF CLOSED SESSION ITEM(S)
B. PUBLIC COMMUNICATIONS ON CLOSED SESSION ITEM(S)
None.
C. CITY MANAGER ANNOUNCEMENTS
D. CONDUCT OF CLOSED SESSION
D1. CONFERENCE WITH LABOR NEGOTIATORS ROBERT NEIUBER, SENIOR HUMAN
RESOURCES DIRECTOR, PETER CASTRO, DEPUTY CITY MANAGER, JEVIN KAYE,
FINANCE DIRECTOR, MIKE MCCLIMAN, FIRE CHIEF, AND EMILY NIELSEN, SENIOR
HUMAN RESOURCES BUSINESS PARTNER; PER GOVERNMENT CODE SECTION
54957.6 REGARDING LABOR NEGOTIATIONS WITH THE RANCHO CUCAMONGA
CITY EMPLOYEES' ASSOCIATION (RCCEA), RANCHO CUCAMONGA MANAGEMENT
ASSOCIATION AND EXECUTIVE MANAGEMENT GROUP. (CITY)
D2. CONFERENCE WITH REAL PROPERTY NEGOTIATORS PER GOVERNMENT CODE
SECTION 54956.8 FOR PROPERTY GENERALLY LOCATED AT THE NORTH WEST
CORNER OF HAVEN AVENUE AND CIVIC CENTER DRIVE IDENTIFIED AS PARCEL
NUMBERS 020833150, AND 020833151, AS WELL AS THE AREA DEPICTED AS
"CHELSEA WAY" ON SAN BERNARINO COUNTY ASSESSOR MAP BOOK NUMBER
0208 PAGE 33 RANCHO CUCAMONGA, CA 91730; NEGOTIATING PARTIES JOHN
GILLISON, CITY MANAGER REPRESENTING THE CITY OF RANCHO CUCAMONGA,
AND CHRIS HYUN, JRC REAL ESTATE INVESTMENT CORP.; REGARDING PRICE
AND TERMS. (CITY)
E. RECESS
The closed session recessed at 6:15 p.m.
*DRAFT*
November 5, 2025 1 Fire Protection District, Housing Successor Agency, Successor Agency,
Public Finance Authority and City Council Regular Meetings Minutes
City of Rancho Cucamonga I Page 1 of 6 Page 7
REGULAR MEETING —7:00 PM
CALL TO ORDER— COUNCIL CHAMBERS
The Regular meetings of the Rancho Cucamonga Fire Protection District, Housing Successor Agency,
Successor Agency, Public Finance Authority, and the City of Rancho Cucamonga City Council were
held on November 5, 2025, in the Council Chambers at City Hall, located at 10500 Civic Center Drive,
Rancho Cucamonga, California. Mayor Michael called the meeting to order at 7:00 PM.
Present were Council Members: Ryan Hutchison, Kristine Scott, Ashley Stickler, Mayor Pro Tern Lynne
Kennedy and Mayor L. Dennis Michael.
Also present were: John Gillison, City Manager; Nicholas Ghirelli, City Attorney; and Patricia Bravo-
Valdez, MMC, Deputy Director of City Clerk Services.
Council Member Stickler led the Pledge of Allegiance.
A. AMENDMENTS TO THE AGENDA
None.
B. ANNOUNCEMENTS / PRESENTATIONS
Mayor Michael announced that at the conclusion of the City Council Meeting there will be a moment of
silence in honor of Deputy Nunez. He informed that the City Council will honor Deputy Nunez at a future
City Council meeting.
C. PUBLIC COMMUNICATIONS
Mike Morrissey, Commander at American Legion Post 835, spoke about Veteran's Day and a Vietnam
Memorial named the "Wall that Heals".
Alec Steere, spoke about the impacts of a curb not being painted red at the northwest corner of Hellman
Avenue and Arrow Route. He noted it is affecting Omnibus drivers and commuters from reaching the bus
stop as cars tend to park at the bus stop and reported an unstable wall near the bus stop.
In response to public comment, City Manager Gillison informed that he would connect with the
Engineering Department regarding the red curb and have the Community Improvement Department
inspect the area at the northwest corner of Hellman Avenue and Arrow Route.
Todd Warden, General Field Representative for South Coast Air Quality Management District (AQMD),
thanked the City Council for their continued partnership and spoke about the Invest Clean program, the
importance of electrification in communities and commended the City Council for approving an Electric
Fire Engine for the Rancho Cucamonga Fire Protection District.
Nine (9) speakers: Donna Medina, Joann Cota, Jess Santacruz, Angela Espinoza, Noel Santacruz, Liz
Acuna, La Vay B. Bland, Armando Moreno and Julia Moreno spoke in opposition of Hamilton Family
Brewery located at 8889 Archibald Ave, Rancho Cucamonga, CA 91730. Speakers shared concerns
about the brewery's location near a residential area and close proximity to schools, increased traffic,
excessive noise from patrons and alarms, parking overflow impacting neighborhood, disruptive patron
behavior, public intoxication, high-alcohol beer of 7% alcohol by volume (ABV) being served, littering,
erosion of residential feel and safety for kids in the neighborhood, and general impacts to property values,
public health, traffic and safety.
*DRAFT*
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Daniel De Pol, resident at Alta Laguna mobile home park, shared concerns over increasing mobile home
rent and spoke about the importance of affordable housing for senior citizens. He encouraged the City
Council to pursue a new Accord to enact rent control to a maximum increase of 5% instead of 9%. Mr. De
Pol provided materials for the City Council's review.
Drew Oberjuerge, Executive Director of the Maloof Foundation, introduced herself and invited the City
Council to attend an event on Saturday to celebrate the completion of the Roof Rehabilitation project and
tour the facility for a fun filled day of workshops and exhibitions.
City Manager Gillison addressed public comment regarding Hamilton Family Brewery and informed that
City staff and the Rancho Cucamonga Police Department has begun collecting data and gathering
information regarding calls for service, conditions of approval, business operation hours, vehicle speeds
and traffic data to consider options such as permit parking districts. He informed that an item would be
presented at a future City Council meeting in December 2025 for further direction from the City Council.
D. CONSENT CALENDAR
Council Member Scott abstained on items D2 and D3, due to a potential conflict of interest as her
employer is Southern California Gas Company.
D1. Consideration to Approve the Minutes of the Regular Meetings of October 15, 2025.
D2. Consideration to Approve City and Fire District Bi-Weekly Payroll in the Total Amount of
$1,716,842.83 for City and Fire District Weekly Check Registers (Excluding Checks Issued
to Southern California Gas Company) in the Total Amount of$9,534,663.44 Dated October
2, 2025, Through October 28, 2025. (CITY/FIRE)
D3. Consideration to Approve City and Fire District Weekly Check Registers for Checks Issued
to Southern California Gas Company in the Total Amount of $7,856.51 Dated October 2,
2025, Through October 28, 2025. (CITY/FIRE)
D4. Consideration to Cancel the January 7, 2026, Regular Meetings of the Fire Protection
District, Housing Successor Agency, Successor Agency, Public Financing Authority, and
City Council. (CITY/FIRE)
D5. Consideration to Declare Computers, Monitors, Laptops, Printers, and iPads, That Have
Been Deemed No Longer Needed, Obsolete or Unusable as Surplus. (CITY)
D6. Consideration of the Recommendation from the Library Board of Trustees to Name the
Relocated Archibald Library to the Diane Williams Library at Lions Park. (CITY)
D7. Consideration of a Reimbursement Request Submitted by Core Rancho, LLC For
Undergrounding Existing Overhead Utilities along the North Side of Foothill Boulevard,
West of East Avenue, Related to Case No. SUBTT19945 and Authorization of an
Appropriation in the Amount of$156,400 from the Underground Utilities Fund (129). (CITY)
D8. Consideration to Approve Parcel Map No. 20894 Related to Case No. SUBTPM20894,
Located on the Southeast Corner of Eighth Street and Cottage Avenue. This Item Has
Been Determined by Staff to Be Exempt from the California Environmental Quality Act
(CEQA) Pursuant to CEQA Guidelines Section 15315 - Minor Land Divisions. (CITY)
D9. Consideration to Accept the Citywide Concrete Rehabilitation Project FY 24-25 as
Complete, File the Notice of Completion, and Authorize Release of Retention and Bonds.
(CITY)
*DRAFT*
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D10. Consideration to Accept Public Improvements for the 6th Street Cycle Track Project
Constructed Under the Cooperative Agreement with San Bernardino County Transportation
Authority (SBCTA) (CO 20-135). (CITY)
DI 1. Consideration to Accept and Allocate Grant Revenue in the Amount of$3,078 Awarded by
the California State Library for Zip Books Services. (CITY)
D12. Consideration to Order the Annexation to Landscape Maintenance District No. 1 Related to
Case No. DRC2023-00322, Located at 8797 Hermosa Avenue (Project). This Project Has
Been Determined by Staff to Be Exempt From the California Environment Quality Act
(CEQA) Pursuant to CEQA Guidelines Section 15303 — New Construction or Conversion of
Small Structures. (RESOLUTION NO. 2025-083) (CITY)
D13. Consideration of an Appropriation in the Amount of $79,500 for Independent Quality
Control Design Services and San Bernardino County Permit Fees for the Heritage Park
Pedestrian Bridges Replacement Project Phase 2; and Approval of Resolution No. 2025-
085 Approving the Interfund Loan Agreement from the Citywide Infrastructure Improvement
Fund (198) to the PD 85 Redemption Fund (848) in a not-to-exceed Amount of $442,710.
(RESOLUTION NO. 2025-085) (CITY)
D14. Consideration to Adopt a Resolution Approving a Side Letter Agreement between the City
of Rancho Cucamonga and Teamsters Local 1932 and Updating the Teamsters Local 1932
Salary Schedule. (RESOLUTION NO. 2025-084) (CITY)
D15. Consideration to Adopt a Resolution Approving a Memorandum of Understanding between
the City of Rancho Cucamonga and the Rancho Cucamonga City Employees Association.
(RESOLUTION NO. 2025-087) (CITY)
MOTION: Moved by Mayor Pro Tern Kennedy, seconded by Council Member Stickler, to approve Consent
Calendar items D1 through D15, with Council Member Scott abstaining on items D2 and D3. Motion
carried 5-0.
E. CONSENT CALENDAR ORDINANCE(S) - SECOND READING/ADOPTION
None.
F. ADMINISTRATIVE HEARING ITEM(S)
F1. Consideration of a Memorandum of Understanding with the County of San Bernardino and
Participating Cities for the West End Regional Navigation Center, and Consideration of an
Allocation in the Amount of $400,000 from Eligible Funding Sources for the Regional
Navigation Center, including $300,000 for the City's Annual Contribution and $100,000 for
Transportation Services. (CITY)
City Manager Gillison introduced Erika Lewis-Huntley, Management Analyst III, who gave a staff report
along with a PowerPoint presentation for item F1.
Mayor Michael opened the Administrative Hearing.
Two (2) Speakers: Kaavya Kaka and Andre Bossleox, spoke in support of item F1 and shared their
optimism for the West End Regional Navigation Center, a service-rich facility providing temporary housing
and a range of supportive services for individuals experiencing homelessness.
*DRAFT*
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City of Rancho Cucamonga I Page 4 of 6 Page 10
Council discussion ensued on resources and services offered for individuals experiencing homelessness,
referral/entry requirements, average length of stay, rehabilitation services, Job training services and
transportation services for students attending school. Mayor Michael and Members of the City Council
commended the collaborative effort between local cities and the County and shared their support citing the
West End Regional Navigation Center as a launchpad for stability, dignity and success.
Mayor Michael closed the Administrative Hearing.
MOTION: Moved by Council Member Stickler, seconded by Council Member Hutchison, to approve the
Memorandum of Understanding with the County of San Bernardino and Participating Cities for the West
End Regional Navigation Center. Motion carried 5-0.
G. ADVERTISED PUBLIC HEARINGS ITEM(S) - CITY/FIRE DISTRICT
G1. Public Hearing to Consider a Request to Redevelop and Expand an Existing Beverage
Distribution Facility Over Two Phases to Include Production, Bottling and Distribution
Operations and Other Site Improvements, Including a Parking Garage and New Water
Well, on Approximately 30.1 Acres of Land Generally Bounded by Haven Avenue to the
West, 7th Street to the North, Utica Avenue to the East, and 6th Street to the South within
the Mixed Employment 2 (ME2) Zone. APN: 0209-411-002. -003, -004, -023, -024, -032, -
034, -035. An Environmental Impact Report Has Been Prepared for This Project
(SCH2023080369). (Related Records: a Design Review (DRC2023-00067), Master Plan
(DRC2023-00072), Vesting Tentative Parcel Map (SUBTPM20713), Conditional Use Permit
(DRC2023-00068) and Tree Removal Permit (DRC2023-00070). (RESOLUTION NO.
2025-086) (CITY)
City Manager Gillison introduced Sean McPherson, Principal Planner, who gave a staff report along with
a PowerPoint presentation for item G1. Seven (7) letters were received in support of item G1 by Heather
Rawlings-Polk, Executive Director, Rancho Cucamonga Chamber of Commerce, Jacob Lopez, Regional
Manager, Western States Regional Council of Carpenters, Davis S. Osborne, President, Ironworkers
Local 433, Frankie Jimenez, Business Manager, Ironworkers Local Union 416, Kelly Pond, President &
CEO Special Olympics Southern California, Paul C. Granillo, President and CEO, Inland Empire
Economic Partnership, Jason Eshelman, Business Manager, IBEW Local Union 477; One (1) letter was
received in opposition by Dean Wallraff, Executive Director, Advocates for the Environment, and one (1)
response letter was submitted by staff; copies of the correspondence received were provided to the City
Council and were available for the public to review on the City's website.
Mayor Michael opened the Public Hearing.
Applicant, Timothy Heinen, Vice President of Strategy and Development at Reyes Coca-Cola Bottling,
presented a PowerPoint presentation and video of the proposed project and spoke about Reyes Coca-
Cola Bottling's investment and commitment to the community and the "five pillars" of Reyes Coca-Cola
with sustainability and social responsibility focus areas, known as RCCB Cares: Community, Recycling,
Energy, Fuel & Emissions, and Water. Mr. Heinen was available to answer any questions and thanked
staff and the City Council for their support and consideration of the project.
Seven (7) Speakers: Ben Pratt, Wyatt Stiles, Robert Lugan, Julie Luu, Amy Smith, Thomas Ruiz and
Robert Hufnagel, spoke in support of item G1. Speakers shared their solidarity and spoke in support of
creating well-paying union jobs in the region, creating opportunities for apprenticeship programs and
investing in the local economy.
Mayor Michael closed the Public Hearing.
Council discussion ensued on the number of jobs projected to be created for the new facility, facility
amenities, Reyes Coca-Cola Bottling's long-term commitment to the community and educational tours
*DRAFT*
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Public Finance Authority and City Council Regular Meetings Minutes
City of Rancho Cucamonga I Page 5 of 6 Page 11
offered at the facility. Mayor Michael and Members of the City Council commended Reyes Coca-Cola
Bottling for their thoughtful design of the project and thanked them for their continued partnership,
investment and commitment to the City of Rancho Cucamonga.
MOTION: Moved by Council Member Scott, seconded by Council Member Hutchison, to adopt Resolution
No. 2025-086, certifying the Environmental Impact Report, make findings pursuant to the California
Environmental Quality, adopt a mitigation monitoring and reporting program, adopt the corresponding
Statement of Ove-riding Considerations, and approve the following: Design Review (DRC2023-00067),
Master Plan (DRC2023-00072), Vesting Tentative Parcel Map (SUBTPM20713), Conditional Use Permit
(DRC2023-00088), and Tree Removal Permit (DRC2023-00070). Motion carried 5-0.
H. CITY MANAGER'S STAFF REPORT(S)
None.
I. COUNCIL BUSINESS
11. COUNCIL ANNOUNCEMENTS
None.
12. INTERAGENCY UPDATES
None.
J. CITY ATTORNEY ITEMS
City Attorney Ghirelli noted no reportable action was taken during Closed Session held earlier that
evening.
K. IDENTIFICATION OF ITEMS FOR NEXT MEETING
None.
L. ADJOURNMENT
Mayor Michael adjourned the Council Meeting at 8:55 p.m.
Approved:
Linda A. Troyan, MMC
City Clerk Services Director
*DRAFT*
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City of Rancho Cucamonga I Page 6 of 6 Page 12
ti
HONOR
a CITY OF
RANCHO CUCAMONGA
m
DATE: November 19, 2025
TO: Mayor and Members of the City Council
President and Members of the Board of Directors
FROM: John R. Gillison, City Manager
INITIATED BY: Jevin Kaye, Finance Director
Ruth Cain, Procurement Manager
SUBJECT: Consideration to Approve City and Fire District Bi-Weekly Payroll in the
Total Amount of $1,662,670.39 for City and Fire District Weekly Check
Registers (Excluding Checks Issued to Southern California Gas
Company) in the Total Amount of$5,191,735.92 Dated October 29, 2025,
Through November 11, 2025. (CITY/FIRE)
RECOMMENDATION:
Staff recommends City Council/Board of Directors of the Fire Protection District approve payment
of demands as presented. Bi-weekly payroll is$996,015.77 and $666,654.62 for the City and the
Fire District, respectively. Weekly check register amounts are $4,317,514.67 and $874,221.25
for the City and the Fire District, respectively.
BACKGROUND:
N/A
ANALYSIS:
N/A
FISCAL IMPACT:
Adequate budgeted funds are available for the payment of demands per the attached listing.
COUNCIL MISSION /VISION / GOAL(S) ADDRESSED:
N/A
ATTACHMENTS:
Attachment 1 - Weekly Check Register
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CUCAMONGA
Company:All Companies
City of Rancho Cucamonga
Rancho Cucamonga Fire Protection District
Successor Agency to the Redevelopment Agency of the City of Rancho Cucamonga
Payment Date On or After: 10/29/2025
Payment Date On or Before: 11/11/2025
Rancho
Supplier Payment Company Check Check Date Supplier Name City of Rancho Cucamonga Fire Payment Amount for
Number Cucamonga Protection District Reporting Transaction
Supplier Payment: Utility Financial City of Rancho 455066 10/30/2025 Utility Financial Solutions 10,877.50 0 10,877.50
Solutions: 10/30/2025 Cucamonga
Supplier Payment: South Coast Rancho 455052 10/30/2025 South Coast Aqmd 0 1,640.33 1,640.33
Aqmd: 10/30/2025 Cucamonga Fire
Protection District
Supplier Payment:ACC Contractors, City of Rancho 454883 10/30/2025 ACC Contractors, Inc. 721,179.71 0 721,179.71
Inc.: 10/30/2025 Cucamonga
Supplier Payment:Aquabio City of Rancho 454892 10/30/2025 Aquabio Environmental 1,737.28 0 1,737.28
Environmental Technologies Inc: Cucamonga Technologies Inc
10/30/2025
Supplier Payment:Assi Security: City of Rancho 10/30/2025 Assi Security 1,350.00 0 1,350.00
10/30/2025 Cucamonga
Supplier Payment:The Kindred City of Rancho 455056 10/30/2025 The Kindred Corporation 1,608.62 0 1,608.62
Corporation: 10/30/2025 Cucamonga
Supplier Payment:American Public City of Rancho 454890 10/30/2025 American Public Power 8,819.86 0 8,819.86
Power Association: 10/30/2025 Cucamonga Association
Supplier Payment:Westrux Rancho 455080 10/30/2025 Westrux International Inc 0 753.94 753.94
International Inc: 10/30/2025 Cucamonga Fire
Protection District
Supplier Payment: Postal Perfect: City of Rancho 455046 10/30/2025 Postal Perfect 200.00 0 200.00
10/30/2025 Cucamonga
Supplier Payment: Best Outdoor City of Rancho 10/30/2025 Best Outdoor Power Inland 71.01 0 71.01
Power Inland Llc: 10/30/2025 Cucamonga Llc
Supplier Payment: Collins&Collins City of Rancho 454906 10/30/2025 Collins&Collins Up 27,679.80 0 27,679.80
Llp: 10/30/2025 Cucamonga
Supplier Payment: Re Astoria 2 Llc: City of Rancho 10/30/2025 Re Astoria 2 Llc 77,091.24 0 77,091.24
10/30/2025 Cucamonga
Supplier Payment:ADP, Inc.: City of Rancho 454885 10/30/2025 ADP, Inc. 195.90 0 195.90
10/30/2025 Cucamonga
Supplier Payment: Ups: 10/30/2025 City of Rancho 10/30/2025 Ups 242.21 0 242.21
Cucamonga
Supplier Payment: Hose-Man Inc: Rancho 454936 10/30/2025 Hose-Man Inc 0 52.33 52.33
10/30/2025 Cucamonga Fire
Protection District
ATTACHMENT 1
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CUCAMONGA
Rancho
Supplier Payment Company Check Check Date Supplier Name City of Rancho Cucamonga Fire Payment Amount for
Number Cucamonga Protection District Reporting Transaction
Supplier Payment:Yunex Llc: City of Rancho 10/30/2025 Yunex Llc 1,892.90 0 1,892.90
10/30/2025 Cucamonga
Supplier Payment: Dance Terrific: City of Rancho 454911 10/30/2025 Dance Terrific 246.40 0 246.40
10/30/2025 Cucamonga
Supplier Payment:Amg &Associates Rancho 10/30/2025 Amg&Associates Inc 0 280,845.38 280,845.38
Inc: 10/30/2025 Cucamonga Fire
Protection District
Supplier Payment:Valley Power Rancho 455067 10/30/2025 Valley Power Systems Inc 0 479.10 479.10
Systems Inc: 10/30/2025 Cucamonga Fire
Protection District
Supplier Payment: Grainger: Rancho 10/30/2025 Grainger 0 3,162.19 3,162.19
10/30/2025 Cucamonga Fire
Protection District
Supplier Payment: Frontier Comm: City of Rancho 454924 10/30/2025 Frontier Comm 848.14 0 848.14
10/30/2025 Cucamonga
Supplier Payment: United Site Rancho 455063 10/30/2025 United Site Services 0 1,471.59 1,471.59
Services: 10/30/2025 Cucamonga Fire
Protection District
Supplier Payment:Waxie Sanitary City of Rancho 455086 10/30/2025 Waxie Sanitary Supply 6,721.79 0 6,721.79
Supply: 10/30/2025 Cucamonga
Supplier Payment: Keyser Marston City of Rancho 10/30/2025 Keyser Marston Associates 37,500.00 0 37,500.00
Associates Inc: 10/30/2025 Cucamonga Inc
Supplier Payment: Federal Express City of Rancho 454919 10/30/2025 Federal Express Corp 35.20 0 35.20
Corp: 10/30/2025 Cucamonga
Supplier Payment: Parr Lumber Rancho 455041 10/30/2025 Parr Lumber Company 0 4,045.16 4,045.16
Company: 10/30/2025 Cucamonga Fire
Protection District
Supplier Payment: Mr.Appliance of City of Rancho 454952 10/30/2025 Mr.Appliance of Rancho 250.00 0 250.00
Rancho Cucamonga: 10/30/2025 Cucamonga Cucamonga
Supplier Payment: Cardio Partners Rancho 454897 10/30/2025 Cardio Partners Inc 0 563.60 563.60
Inc: 10/30/2025 Cucamonga Fire
Protection District
Supplier Payment: Cr&A Custom Inc: City of Rancho 454909 10/30/2025 Cr&A Custom Inc 2,818.89 0 2,818.89
10/30/2025 Cucamonga
Supplier Payment: San Bernardino City of Rancho 455047 10/30/2025 San Bernardino County 16,660.49 0 16,660.49
County: 10/30/2025 Cucamonga
Supplier Payment:All Star Elite City of Rancho 454887 10/30/2025 All Star Elite Sports 1,387.07 0 1,387.07
Sports: 10/30/2025 Cucamonga
Supplier Payment: Mesa Energy City of Rancho 454947 10/30/2025 Mesa Energy Systems Inc 14,939.84 0 14,939.84
Systems Inc: 10/30/2025 Cucamonga
Supplier Payment: Social Vocational City of Rancho 10/30/2025 Social Vocational Services 4,677.75 0 4,677.75
Services: 10/30/2025 Cucamonga
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CUCAMONGA
Rancho
Supplier Payment Company Check Check Date Supplier Name City of Rancho Cucamonga Fire Payment Amount for
Number Cucamonga Protection District Reporting Transaction
Supplier Payment:White Cap Lp: City of Rancho 455081 10/30/2025 White Cap Lp 494.71 0 494.71
10/30/2025 Cucamonga
Supplier Payment: Hci Environmental City of Rancho 10/30/2025 Hci Environmental& 15,089.50 0 15,089.50
&Engineering Svc: 10/30/2025 Cucamonga Engineering Svc
Supplier Payment: Lozano Smith Llp: City of Rancho 454944 10/30/2025 Lozano Smith Up 118.50 0 118.50
10/30/2025 Cucamonga
Supplier Payment: Charter City of Rancho 454901 10/30/2025 Charter Communications 8,458.52 0 8,458.52
Communications: 10/30/2025 Cucamonga
Supplier Payment: Rbm Lock&Key City of Rancho 455045 10/30/2025 Rbm Lock&Key Service 100.59 0 100.59
Service: 10/30/2025 Cucamonga
Supplier Payment: Upland Animal City of Rancho 455065 10/30/2025 Upland Animal Hospital 600.00 0 600.00
Hospital: 10/30/2025 Cucamonga
Supplier Payment: San Bernardino City of Rancho 455048 10/30/2025 San Bernardino County 798.16 0 798.16
County Sheriffs Dept: 10/30/2025 Cucamonga Sheriffs Dept
Supplier Payment: John A Gilkey: City of Rancho 454940 10/30/2025 John A Gilkey 350.00 0 350.00
10/30/2025 Cucamonga
Supplier Payment: Golden Oaks Vet City of Rancho 454927 10/30/2025 Golden Oaks Vet Hospital 900.00 0 900.00
Hospital: 10/30/2025 Cucamonga
Supplier Payment: Golden Sun City of Rancho 10/30/2025 Golden Sun Enterprise Inc 200.00 0 200.00
Enterprise Inc: 10/30/2025 Cucamonga
Supplier Payment: Napa Auto Parts: City of Rancho 10/30/2025 Napa Auto Parts 1,468.47 0 1,468.47
10/30/2025 Cucamonga
Supplier Payment: Richards Watson Rancho 10/30/2025 Richards Watson & 0 1,993.30 1,993.30
&Gershon: 10/30/2025 Cucamonga Fire Gershon
Protection District
Supplier Payment: Unity Courier City of Rancho 455064 10/30/2025 Unity Courier Service Inc 683.96 0 683.96
Service Inc: 10/30/2025 Cucamonga
Supplier Payment: Merrimac City of Rancho 10/30/2025 Merrimac Petroleum Inc 30,143.03 0 30,143.03
Petroleum Inc: 10/30/2025 Cucamonga
Supplier Payment: Kingdom Rancho 454942 10/30/2025 Kingdom Calibrations Inc 0 1,075.00 1,075.00
Calibrations Inc: 10/30/2025 Cucamonga Fire
Protection District
Supplier Payment: Frontier Comm: Rancho 454923 10/30/2025 Frontier Comm 0 1,488.74 1,488.74
10/30/2025 Cucamonga Fire
Protection District
Supplier Payment: Promotions Tees City of Rancho 10/30/2025 Promotions Tees&More 3,578.50 0 3,578.50
&More: 10/30/2025 Cucamonga
Supplier Payment:Transcold City of Rancho 10/30/2025 Transcold Distribution Inc 824.27 0 824.27
Distribution Inc: 10/30/2025 Cucamonga
Supplier Payment: Bw Printworks: Rancho 454895 10/30/2025 Bw Printworks 0 568.64 568.64
10/30/2025 Cucamonga Fire
Protection District
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CUCAMONGA
Rancho
Supplier Payment Company Check Check Date Supplier Name City of Rancho Cucamonga Fire Payment Amount for
Number Cucamonga Protection District Reporting Transaction
Supplier Payment: Select Detailing Rancho 455050 10/30/2025 Select Detailing Products 0 897.19 897.19
Products Llc: 10/30/2025 Cucamonga Fire Llc
Protection District
Supplier Payment: Onyx Paving City of Rancho 455088 10/30/2025 Onyx Paving Company Inc 1,285,249.00 0 1,285,249.00
Company Inc: 10/30/2025 Cucamonga
Supplier Payment: Mukai City of Rancho 454953 10/30/2025 Mukai Construction 4,275.00 0 4,275.00
Construction: 10/30/2025 Cucamonga
Supplier Payment: Cobra City of Rancho 10/30/2025 Cobra Professionals, INC. 427.50 0 427.50
Professionals, INC.: 10/30/2025 Cucamonga
Supplier Payment:The Groves On City of Rancho 455055 10/30/2025 The Groves On Foothill 200.00 0 200.00
Foothill: 10/30/2025 Cucamonga
Supplier Payment:Vulcan Materials City of Rancho 455070 10/30/2025 Vulcan Materials Company 344.19 0 344.19
Company: 10/30/2025 Cucamonga
Supplier Payment:Air Exchange Inc: City of Rancho 10/30/2025 Air Exchange Inc 4,061.76 0 4,061.76
10/30/2025 Cucamonga
Supplier Payment: Global Music City of Rancho 454926 10/30/2025 Global Music Rights Llc 2,000.00 0 2,000.00
Rights Llc: 10/30/2025 Cucamonga
Supplier Payment: Joseph R City of Rancho 454941 10/30/2025 Joseph R Figueroa 550.00 0 550.00
Figueroa: 10/30/2025 Cucamonga
Supplier Payment: On Duty Health, Rancho 454958 10/30/2025 On Duty Health, PLLC 0 202,720.00 202,720.00
PLLC: 10/30/2025 Cucamonga Fire
Protection District
Supplier Payment: Confire Jpa: Rancho 10/30/2025 Confire Jpa 0 304,492.93 304,492.93
10/30/2025 Cucamonga Fire
Protection District
Supplier Payment: G/M Business Rancho 10/30/2025 G/M Business Interiors 0 90.53 90.53
Interiors: 10/30/2025 Cucamonga Fire
Protection District
Supplier Payment: Parkhouse Tire City of Rancho 455039 10/30/2025 Parkhouse Tire Inc 1,844.08 0 1,844.08
Inc: 10/30/2025 Cucamonga
Supplier Payment: Diamond City of Rancho 10/30/2025 Diamond Environmental 646.20 0 646.20
Environmental Services: 10/30/2025 Cucamonga Services
Supplier Payment: Graphics Factory City of Rancho 10/30/2025 Graphics Factory Printing 1,843.61 0 1,843.61
Printing Inc: 10/30/2025 Cucamonga Inc
Supplier Payment: D&K Concrete City of Rancho 454910 10/30/2025 D&K Concrete Company 1,980.35 0 1,980.35
Company: 10/30/2025 Cucamonga
Supplier Payment: Odp Business Rancho 454956 10/30/2025 Odp Business Solutions Llc 0 58.56 58.56
Solutions Llc: 10/30/2025 Cucamonga Fire
Protection District
Supplier Payment: Chief Electric Inc: City of Rancho 454902 10/30/2025 Chief Electric Inc 810.00 0 810.00
10/30/2025 Cucamonga
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CUCAMONGA
Rancho
Supplier Payment Company Check Check Date Supplier Name City of Rancho Cucamonga Fire Payment Amount for
Number Cucamonga Protection District Reporting Transaction
Supplier Payment: 360 Deep Rancho 10/30/2025 360 Deep Cleaning Llc 0 9,230.00 9,230.00
Cleaning Llc: 10/30/2025 Cucamonga Fire
Protection District
Supplier Payment: Ccs Orange City of Rancho 454899 10/30/2025 Ccs Orange County 1,022.34 0 1,022.34
County Janitorial Inc: 10/30/2025 Cucamonga Janitorial Inc
Supplier Payment: Chaffey Joint City of Rancho 10/30/2025 Chaffey Joint Union High 466.80 0 466.80
Union High School District: Cucamonga School District
10/30/2025
Supplier Payment: MNS Engineers, City of Rancho 454950 10/30/2025 MNS Engineers, Inc. 49,480.00 0 49,480.00
Inc.: 10/30/2025 Cucamonga
Supplier Payment:Antelope City of Rancho 10/30/2025 Antelope Expansion 3B Llc 7,423.10 0 7,423.10
Expansion 3B Llc: 10/30/2025 Cucamonga
Supplier Payment: Covetrus North City of Rancho 454908 10/30/2025 Covetrus North America 1,108.36 0 1,108.36
America: 10/30/2025 Cucamonga
Supplier Payment: Lawrence W. City of Rancho 454943 10/30/2025 Lawrence W. Rosine Co. 521.00 0 521.00
Rosine Co.: 10/30/2025 Cucamonga
Supplier Payment:AssetWorks Inc: Rancho 454893 10/30/2025 AssetWorks Inc 0 1,930.50 1,930.50
10/30/2025 Cucamonga Fire
Protection District
Supplier Payment:Waxie Sanitary Rancho 455071 10/30/2025 Waxie Sanitary Supply 0 1,726.26 1,726.26
Supply: 10/30/2025 Cucamonga Fire
Protection District
Supplier Payment: Merrimac Rancho 10/30/2025 Merrimac Petroleum Inc 0 22,548.37 22,548.37
Petroleum Inc: 10/30/2025 Cucamonga Fire
Protection District
Supplier Payment: East Valley City of Rancho 454915 10/30/2025 East Valley Emergency Pet 150.00 0 150.00
Emergency Pet Clinic Inc: Cucamonga Clinic Inc
10/30/2025
Supplier Payment:Alta Vista Mobile City of Rancho 454889 10/30/2025 Alta Vista Mobile Home 288.60 0 288.60
Home Park: 10/30/2025 Cucamonga Park
Supplier Payment: Occupational City of Rancho 454955 10/30/2025 Occupational Health 211.98 0 211.98
Health Centers Of Ca: 10/30/2025 Cucamonga Centers Of Ca
Supplier Payment: Monet City of Rancho 454951 10/30/2025 Monet Construction, Inc. 379,038.01 0 379,038.01
Construction, Inc.: 10/30/2025 Cucamonga
Supplier Payment: Data Ticket Inc: City of Rancho 10/30/2025 Data Ticket Inc 6,471.54 0 6,471.54
10/30/2025 Cucamonga
Supplier Payment: Inland Overhead City of Rancho 454937 10/30/2025 Inland Overhead Door 1,487.50 0 1,487.50
Door Company: 10/30/2025 Cucamonga Company
Supplier Payment:Action Awards City of Rancho 454884 10/30/2025 Action Awards Inc 731.94 0 731.94
Inc: 10/30/2025 Cucamonga
Supplier Payment:The Public Group City of Rancho 455057 10/30/2025 The Public Group Of Ca 100.31 0 100.31
Of Ca Llc: 10/30/2025 Cucamonga Llc
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CUCAMONGA
Rancho
Supplier Payment Company Check Check Date Supplier Name City of Rancho Cucamonga Fire Payment Amount for
Number Cucamonga Protection District Reporting Transaction
Supplier Payment: Express Brake City of Rancho 454918 10/30/2025 Express Brake Supply Inc 1,447.94 0 1,447.94
Supply Inc: 10/30/2025 Cucamonga
Supplier Payment: United Site City of Rancho 455062 10/30/2025 United Site Services 610.58 0 610.58
Services: 10/30/2025 Cucamonga
Supplier Payment: Uline: 10/30/2025 City of Rancho 455060 10/30/2025 Uline 1,687.37 0 1,687.37
Cucamonga
Supplier Payment: Hotsy Of City of Rancho 10/30/2025 Hotsy Of Southern 662.31 0 662.31
Southern California: 10/30/2025 Cucamonga California
Supplier Payment:Auto&Rv City of Rancho 454894 10/30/2025 Auto&Rv Specialists Inc 62.02 0 62.02
Specialists Inc: 10/30/2025 Cucamonga
Supplier Payment: Scott Mcleod City of Rancho 455049 10/30/2025 Scott Mcleod Plumbing Inc 3,336.00 0 3,336.00
Plumbing Inc: 10/30/2025 Cucamonga
Supplier Payment: Johnny Allen City of Rancho 10/30/2025 Johnny Allen Tennis 4,308.60 0 4,308.60
Tennis Academy: 10/30/2025 Cucamonga Academy
Supplier Payment: Mark Thomas& City of Rancho 454945 10/30/2025 Mark Thomas&Company, 47,154.00 0 47,154.00
Company, Inc.: 10/30/2025 Cucamonga Inc.
Supplier Payment: Goldstar Asphalt City of Rancho 454928 10/30/2025 Goldstar Asphalt Products 782.14 0 782.14
Products: 10/30/2025 Cucamonga
Supplier Payment: Enko Systems City of Rancho 454916 10/30/2025 Enko Systems Inc 495.00 0 495.00
Inc: 10/30/2025 Cucamonga
Supplier Payment: Haulaway Storage City of Rancho 454929 10/30/2025 Haulaway Storage 207.20 0 207.20
Containers Inc: 10/30/2025 Cucamonga Containers Inc
Supplier Payment: Executive Auto Rancho 454917 10/30/2025 Executive Auto Detail 0 740.00 740.00
Detail: 10/30/2025 Cucamonga Fire
Protection District
Supplier Payment: Casa Volante City of Rancho 454898 10/30/2025 Casa Volante Estates 400.00 0 400.00
Estates: 10/30/2025 Cucamonga
Supplier Payment: Grainger: City of Rancho 10/30/2025 Grainger 344.89 0 344.89
10/30/2025 Cucamonga
Supplier Payment: Four Points By City of Rancho 454922 10/30/2025 Four Points By Sheraton 1,761.32 0 1,761.32
Sheraton: 10/30/2025 Cucamonga
Supplier Payment: Holliday Rock Co City of Rancho 454934 10/30/2025 Holliday Rock Co Inc 2,776.66 0 2,776.66
Inc: 10/30/2025 Cucamonga
Supplier Payment:Tirehub Llc: Rancho 455058 10/30/2025 Tirehub Llc 0 3,414.84 3,414.84
10/30/2025 Cucamonga Fire
Protection District
Supplier Payment:Animal Health City of Rancho 454891 10/30/2025 Animal Health Diagnostic 345.20 0 345.20
Diagnostic Center: 10/30/2025 Cucamonga Center
Supplier Payment: Cintas Rancho 454903 10/30/2025 Cintas Corporation 0 703.74 703.74
Corporation: 10/30/2025 Cucamonga Fire
Protection District
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CUCAMONGA
Rancho
Supplier Payment Company Check Check Date Supplier Name City of Rancho Cucamonga Fire Payment Amount for
Number Cucamonga Protection District Reporting Transaction
Supplier Payment: Hometown City of Rancho 454935 10/30/2025 Hometown America- 300.00 0 300.00
America- Ramona Villa Mhp: Cucamonga Ramona Villa Mhp
10/30/2025
Supplier Payment: Shred Pros: Rancho 455043 10/30/2025 Shred Pros 0 75.00 75.00
10/30/2025 Cucamonga Fire
Protection District
Supplier Payment: Fehr&Peers: City of Rancho 10/30/2025 Fehr&Peers 1,990.00 0 1,990.00
10/30/2025 Cucamonga
Supplier Payment: Reo Elizabeth City of Rancho 455042 10/30/2025 Reo Elizabeth Long 320.00 0 320.00
Long: 10/30/2025 Cucamonga
Supplier Payment:Winzer Rancho 455084 10/30/2025 Winzer Corporation 0 392.50 392.50
Corporation: 10/30/2025 Cucamonga Fire
Protection District
Supplier Payment: Dunn-Edwards City of Rancho 10/30/2025 Dunn-Edwards Corporation 518.52 0 518.52
Corporation: 10/30/2025 Cucamonga
Supplier Payment:The Bank Of New City of Rancho 455054 10/30/2025 The Bank Of New York 1,875.00 0 1,875.00
York Mellon: 10/30/2025 Cucamonga Mellon
Supplier Payment:Willdan Group: City of Rancho 455083 10/30/2025 Willdan Group 5,072.12 0 5,072.12
10/30/2025 Cucamonga
Supplier Payment: Underground City of Rancho 455061 10/30/2025 Underground Service 228.00 0 228.00
Service Alert/Sc: 10/30/2025 Cucamonga Alert/Sc
Supplier Payment: Napa Auto Parts: Rancho 10/30/2025 Napa Auto Parts 0 540.89 540.89
10/30/2025 Cucamonga Fire
Protection District
Supplier Payment: Fire Apparatus Rancho 454920 10/30/2025 Fire Apparatus Solutions 0 1,172.81 1,172.81
Solutions: 10/30/2025 Cucamonga Fire
Protection District
Supplier Payment: Midwest City of Rancho 454948 10/30/2025 Midwest Veterinary Supply 975.92 0 975.92
Veterinary Supply Inc: 10/30/2025 Cucamonga Inc
Supplier Payment: Chaparral Heights City of Rancho 454900 10/30/2025 Chaparral Heights Mobile 100.00 0 100.00
Mobile Home Park: 10/30/2025 Cucamonga Home Park
Supplier Payment:Airgas Usa Llc: Rancho 454886 10/30/2025 Airgas Usa Llc 0 886.33 886.33
10/30/2025 Cucamonga Fire
Protection District
Supplier Payment: Department Of City of Rancho 454913 10/30/2025 Department Of Justice 1,040.00 0 1,040.00
Justice: 10/30/2025 Cucamonga
Supplier Payment: Generator City of Rancho 10/30/2025 Generator Services Co Inc 10,502.60 0 10,502.60
Services Co Inc: 10/30/2025 Cucamonga
Supplier Payment: Hi-Line Electric City of Rancho 454931 10/30/2025 Hi-Line Electric Company 1,315.41 0 1,315.41
Company: 10/30/2025 Cucamonga
Supplier Payment: Inland Presort& City of Rancho 454938 10/30/2025 Inland Presort&Mailing 385.30 0 385.30
Mailing Services: 10/30/2025 Cucamonga Services
Page 20
Council Meeting Check Register - without 10:18 AM
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CUCAMONGA
Rancho
Supplier Payment Company Check Check Date Supplier Name City of Rancho Cucamonga Fire Payment Amount for
Number Cucamonga Protection District Reporting Transaction
Supplier Payment: Cobra Rancho 10/30/2025 Cobra Professionals, INC. 0 166.90 166.90
Professionals, INC.: 10/30/2025 Cucamonga Fire
Protection District
Supplier Payment:Vortex Industries City of Rancho 455069 10/30/2025 Vortex Industries Llc 6,273.00 0 6,273.00
Llc: 10/30/2025 Cucamonga
Supplier Payment: Pars: 10/30/2025 City of Rancho 455040 10/30/2025 Pars 3,500.00 0 3,500.00
Cucamonga
Supplier Payment: Graves&King City of Rancho 10/30/2025 Graves&King Lip 519.45 0 519.45
Lip: 10/30/2025 Cucamonga
Supplier Payment: Medline Industries City of Rancho 454946 10/30/2025 Medline Industries Lp 453.36 0 453.36
Lp: 10/30/2025 Cucamonga
Supplier Payment: Mariposa City of Rancho 10/30/2025 Mariposa Landscapes Inc 238,707.28 0 238,707.28
Landscapes Inc: 10/30/2025 Cucamonga
Supplier Payment: So Cal Sandbags City of Rancho 455079 10/30/2025 So Cal Sandbags Inc 4,458.75 0 4,458.75
Inc: 10/30/2025 Cucamonga
Supplier Payment: Dependable City of Rancho 454914 10/30/2025 Dependable Break Room 72.74 0 72.74
Break Room Solutions Inc: Cucamonga Solutions Inc
10/30/2025
Supplier Payment:Vista Paint: City of Rancho 455068 10/30/2025 Vista Paint 1,823.58 0 1,823.58
10/30/2025 Cucamonga
Supplier Payment:Alta Laguna City of Rancho 454888 10/30/2025 Alta Laguna Mobile Home 300.00 0 300.00
Mobile Home Park-Ca Llc: Cucamonga Park-Ca Llc
10/30/2025
Supplier Payment:Transwest Truck Rancho 455059 10/30/2025 Transwest Truck Center 0 152.23 152.23
Center Llc: 10/30/2025 Cucamonga Fire Llc
Protection District
Supplier Payment: Inland Topsoil City of Rancho 454939 10/30/2025 Inland Topsoil Mixes 754.25 0 754.25
Mixes: 10/30/2025 Cucamonga
Supplier Payment:Abc Locksmiths City of Rancho 10/30/2025 Abc Locksmiths Inc 6,481.31 0 6,481.31
Inc: 10/30/2025 Cucamonga
Supplier Payment: Heritage Wellness City of Rancho 454930 10/30/2025 Heritage Wellness 1,322.00 0 1,322.00
Collective: 10/30/2025 Cucamonga Collective
Supplier Payment: Coast Fitness City of Rancho 454905 10/30/2025 Coast Fitness Repair Shop 1,278.78 0 1,278.78
Repair Shop: 10/30/2025 Cucamonga
Supplier Payment: Fleetpride: Rancho 454921 10/30/2025 Fleetpride 0 52.86 52.86
10/30/2025 Cucamonga Fire
Protection District
Supplier Payment: Fuel Serv: City of Rancho 454925 10/30/2025 Fuel Sery 6,440.76 0 6,440.76
10/30/2025 Cucamonga
Supplier Payment: Sycamore Villa City of Rancho 455053 10/30/2025 Sycamore Villa Mobile 200.00 0 200.00
Mobile Home Park: 10/30/2025 Cucamonga Home Park
Supplier Payment: Hill's Pet Nutrition City of Rancho 454932 10/30/2025 Hill's Pet Nutrition Sales 1,185.59 0 1,185.59
Sales Inc: 10/30/2025 Cucamonga Inc
Page 21
Council Meeting Check Register - without 10:18 AM
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CUCAMONGA
Rancho
Supplier Payment Company Check Check Date Supplier Name City of Rancho Cucamonga Fire Payment Amount for
Number Cucamonga Protection District Reporting Transaction
Supplier Payment: Calix Inc: City of Rancho 454896 10/30/2025 Calix Inc 13,344.64 0 13,344.64
10/30/2025 Cucamonga
Supplier Payment: Psa Print Group: City of Rancho 10/30/2025 Psa Print Group 1,274.10 0 1,274.10
10/30/2025 Cucamonga
Supplier Payment: Climatec Llc: City of Rancho 454904 10/30/2025 Climatec Llc 5,509.57 0 5,509.57
10/30/2025 Cucamonga
Supplier Payment: Mmasc: City of Rancho 454949 10/30/2025 Mmasc 125.00 0 125.00
10/30/2025 Cucamonga
Supplier Payment: Demco Inc: City of Rancho 454912 10/30/2025 Demco Inc 27.29 0 27.29
10/30/2025 Cucamonga
Supplier Payment:Xerox Rancho 455000 10/30/2025 Xerox Corporation 0 21.42 21.42
Corporation: 10/30/2025 Cucamonga Fire
Protection District
Supplier Payment: Pedrag V. Pecic: City of Rancho 10/30/2025 Pedrag V. Pecic 3,000.00 0 3,000.00
10/30/2025 Cucamonga
Supplier Payment: Hilti, Inc.: City of Rancho 454933 10/30/2025 Hilti, Inc. 156.04 0 156.04
10/30/2025 Cucamonga
Supplier Payment: Colts Landscape City of Rancho 454907 10/30/2025 Colts Landscape Inc 6,072.00 0 6,072.00
Inc: 10/30/2025 Cucamonga
Supplier Payment: Onward City of Rancho 454959 10/30/2025 Onward Engineering 21,915.00 0 21,915.00
Engineering: 10/30/2025 Cucamonga
Supplier Payment: Mwi Animal City of Rancho 454954 10/30/2025 Mwi Animal Health 2,231.17 0 2,231.17
Health: 10/30/2025 Cucamonga
Supplier Payment:Whittier Fertilizer: City of Rancho 455082 10/30/2025 Whittier Fertilizer 1,632.41 0 1,632.41
10/30/2025 Cucamonga
Supplier Payment: Odp Business City of Rancho 454957 10/30/2025 Odp Business Solutions Llc 6,337.96 0 6,337.96
Solutions Llc: 10/30/2025 Cucamonga
Supplier Payment: C V W D: City of Rancho 455006 10/30/2025 C V W D 112,867.69 0 112,867.69
10/30/2025 Cucamonga
Supplier Payment: Icma: 10/30/2025 City of Rancho 455007 10/30/2025 Icma 1,200.00 0 1,200.00
Cucamonga
Supplier Payment: Southern City of Rancho 455087 10/30/2025 Southern California Edison 14,376.58 0 14,376.58
California Edison: 10/30/2025 Cucamonga
Supplier Payment: Stotz Equipment: City of Rancho 455009 10/30/2025 Stotz Equipment 62,617.57 0 62,617.57
10/30/2025 Cucamonga
Supplier Payment: Brinks City of Rancho 11/06/2025 Brinks Incorporated 3,417.93 0 3,417.93
Incorporated: 11/06/2025 Cucamonga
Supplier Payment:Alma Arocho: City of Rancho 455092 11/06/2025 Alma Arocho 704.40 0 704.40
11/06/2025 Cucamonga
Supplier Payment: Cummins Sales& Rancho 455101 11/06/2025 Cummins Sales&Service 0 67.60 67.60
Service: 11/06/2025 Cucamonga Fire
Protection District
Page 22
Council Meeting Check Register - without 10:18 AM
RANCHO SOCal Gas Page/12/2 10 of 14
CUCAMONGA
Rancho
Supplier Payment Company Check Check Date Supplier Name City of Rancho Cucamonga Fire Payment Amount for
Number Cucamonga Protection District Reporting Transaction
Supplier Payment: Civic Solutions City of Rancho 11/06/2025 Civic Solutions Inc 11,925.00 0 11,925.00
Inc: 11/06/2025 Cucamonga
Supplier Payment: Dependable City of Rancho 455104 11/06/2025 Dependable Break Room 101.46 0 101.46
Break Room Solutions Inc: Cucamonga Solutions Inc
11/06/2025
Supplier Payment: Jordan Beck: City of Rancho 11/06/2025 Jordan Beck 300.00 0 300.00
11/06/2025 Cucamonga
Supplier Payment: Inland Valley City of Rancho 11/06/2025 Inland Valley Repertory 54,977.60 0 54,977.60
Repertory Theatre: 11/06/2025 Cucamonga Theatre
Supplier Payment: Hernandez Group City of Rancho 455109 11/06/2025 Hernandez Group Llc 694.13 0 694.13
Llc: 11/06/2025 Cucamonga
Supplier Payment: Jorry Keith: City of Rancho 11/06/2025 Jorry Keith 45.00 0 45.00
11/06/2025 Cucamonga
Supplier Payment: Imeg Consultants City of Rancho 455111 11/06/2025 Imeg Consultants Corp 1,102.00 0 1,102.00
Corp: 11/06/2025 Cucamonga
Supplier Payment: Maria Elena City of Rancho 455114 11/06/2025 Maria Elena Alvarez 783.00 0 783.00
Alvarez: 11/06/2025 Cucamonga
Supplier Payment: Polaris Education City of Rancho 11/06/2025 Polaris Education 132.00 0 132.00
Foundation: 11/06/2025 Cucamonga Foundation
Supplier Payment: Dell Marketing Lp: City of Rancho 11/06/2025 Dell Marketing Lp 1,498.67 0 1,498.67
11/06/2025 Cucamonga
Supplier Payment:Arrow Trailer City of Rancho 455094 11/06/2025 Arrow Trailer Supplies Inc 43.45 0 43.45
Supplies Inc: 11/06/2025 Cucamonga
Supplier Payment: Nancy L Sample: City of Rancho 455118 11/06/2025 Nancy L Sample 273.60 0 273.60
11/06/2025 Cucamonga
Supplier Payment: Christopher City of Rancho 11/06/2025 Christopher Pellitteri 238.00 0 238.00
Pellitteri: 11/06/2025 Cucamonga
Supplier Payment: Ccs Orange City of Rancho 455099 11/06/2025 Ccs Orange County 164.09 0 164.09
County Janitorial Inc: 11/06/2025 Cucamonga Janitorial Inc
Supplier Payment: Dlr Group Inc: City of Rancho 11/06/2025 Dlr Group Inc 115,719.38 0 115,719.38
11/06/2025 Cucamonga
Supplier Payment: Mc Wil Sports City of Rancho 455116 11/06/2025 Mc Wil Sports Surfaces Inc 3,652.00 0 3,652.00
Surfaces Inc: 11/06/2025 Cucamonga
Supplier Payment:Waxie Sanitary City of Rancho 455142 11/06/2025 Waxie Sanitary Supply 3,099.54 0 3,099.54
Supply: 11/06/2025 Cucamonga
Supplier Payment:Air Exchange Inc: City of Rancho 11/06/2025 Air Exchange Inc 1,330.57 0 1,330.57
11/06/2025 Cucamonga
Supplier Payment:Zoll Medical Rancho 455143 11/06/2025 Zoll Medical Corporation 0 3,758.76 3,758.76
Corporation: 11/06/2025 Cucamonga Fire
Protection District
Supplier Payment: Graves&King City of Rancho 11/06/2025 Graves&King Up 603.00 0 603.00
LI : 11/06/2025 Cucamonga
Page 23
Council Meeting Check Register - without 10:18 AM
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CUCAMONGA
Rancho
Supplier Payment Company Check Check Date Supplier Name City of Rancho Cucamonga Fire Payment Amount for
Number Cucamonga Protection District Reporting Transaction
Supplier Payment: US Builders& City of Rancho 455137 11/06/2025 US Builders&Consultants 40,196.11 0 40,196.11
Consultants: 11/06/2025 Cucamonga
Supplier Payment: Bsn Sports Llc: City of Rancho 11/06/2025 Bsn Sports Llc 407.23 0 407.23
11/06/2025 Cucamonga
Supplier Payment: Occupational City of Rancho 455119 11/06/2025 Occupational Health 2,944.00 0 2,944.00
Health Centers Of Ca: 11/06/2025 Cucamonga Centers Of Ca
Supplier Payment:ACRE SoCal: City of Rancho 455090 11/06/2025 ACRE SoCal 5,000.00 0 5,000.00
11/06/2025 Cucamonga
Supplier Payment: L A Design Group City of Rancho 11/06/2025 L A Design Group-Wla 51,099.55 0 51,099.55
-Wla: 11/06/2025 Cucamonga
Supplier Payment: Frontier Comm: City of Rancho 455106 11/06/2025 Frontier Comm 1,121.95 0 1,121.95
11/06/2025 Cucamonga
Supplier Payment: Heritage Wellness City of Rancho 455108 11/06/2025 Heritage Wellness 1,262.00 0 1,262.00
Collective: 11/06/2025 Cucamonga Collective
Supplier Payment: National Utility City of Rancho 11/06/2025 National Utility Locators Llc 400.00 0 400.00
Locators Llc: 11/06/2025 Cucamonga
Supplier Payment: Brightview City of Rancho 11/06/2025 Brightview Landscape 23,799.87 0 23,799.87
Landscape Services Inc: 11/06/2025 Cucamonga Services Inc
Supplier Payment: Hci Environmental City of Rancho 11/06/2025 Hci Environmental& 9,053.70 0 9,053.70
&Engineering Svc: 11/06/2025 Cucamonga Engineering Svc
Supplier Payment: Psa Print Group: City of Rancho 11/06/2025 Psa Print Group 224.34 0 224.34
11/06/2025 Cucamonga
Supplier Payment:All City City of Rancho 11/06/2025 All City Management 17,549.36 0 17,549.36
Management Services Inc: Cucamonga Services Inc
11/06/2025
Supplier Payment: Grainger: City of Rancho 11/06/2025 Grainger 327.71 0 327.71
11/06/2025 Cucamonga
Supplier Payment: Data Ticket Inc: City of Rancho 11/06/2025 Data Ticket Inc 270.00 0 270.00
11/06/2025 Cucamonga
Supplier Payment: California Ppe Rancho 11/06/2025 California Ppe Recon Inc 0 1,194.00 1,194.00
Recon Inc: 11/06/2025 Cucamonga Fire
Protection District
Supplier Payment: Minuteman Press: Rancho 455117 11/06/2025 Minuteman Press 0 1,856.26 1,856.26
11/06/2025 Cucamonga Fire
Protection District
Supplier Payment: Executive Auto Rancho 455105 11/06/2025 Executive Auto Detail 0 380.00 380.00
Detail: 11/06/2025 Cucamonga Fire
Protection District
Supplier Payment: Liebert Cassidy City of Rancho 455112 11/06/2025 Liebert Cassidy Whitmore 418.50 0 418.50
Whitmore: 11/06/2025 Cucamonga
Supplier Payment: Mariposa City of Rancho 11/06/2025 Mariposa Landscapes Inc 36,316.24 0 36,316.24
Landscapes Inc: 11/06/2025 Cucamonga
Page 24
Council Meeting Check Register - without 10:18 AM
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CUCAMONGA
Rancho
Supplier Payment Company Check Check Date Supplier Name City of Rancho Cucamonga Fire Payment Amount for
Number Cucamonga Protection District Reporting Transaction
Supplier Payment: Odp Business City of Rancho 455120 11/06/2025 Odp Business Solutions Llc 250.56 0 250.56
Solutions Llc: 11/06/2025 Cucamonga
Supplier Payment:Victoria Animal City of Rancho 455139 11/06/2025 Victoria Animal Hospital 200.00 0 200.00
Hospital: 11/06/2025 Cucamonga
Supplier Payment: Shred Pros: City of Rancho 455127 11/06/2025 Shred Pros 140.00 0 140.00
11/06/2025 Cucamonga
Supplier Payment: Mark Christopher City of Rancho 455115 11/06/2025 Mark Christopher Auto 66.99 0 66.99
Auto Center Inc: 11/06/2025 Cucamonga Center Inc
Supplier Payment: Elecnor Belco City of Rancho 11/06/2025 Elecnor Belco Electric Inc 238,965.09 0 238,965.09
Electric Inc: 11/06/2025 Cucamonga
Supplier Payment:Velosimo, Inc.: City of Rancho 455138 11/06/2025 Velosimo, Inc. 19,800.00 0 19,800.00
11/06/2025 Cucamonga
Supplier Payment: LML Music City of Rancho 11/06/2025 LML Music Presents 8,928.00 0 8,928.00
Presents: 11/06/2025 Cucamonga
Supplier Payment: Calif Underground City of Rancho 455098 11/06/2025 Calif Underground Fac 63.45 0 63.45
Fac Safe Excavation Board: Cucamonga Safe Excavation Board
11/06/2025
Supplier Payment:Apple Valley City of Rancho 455093 11/06/2025 Apple Valley 2,820.00 0 2,820.00
Communications Inc: 11/06/2025 Cucamonga Communications Inc
Supplier Payment: Rialto Power Rancho 455125 11/06/2025 Rialto Power Equipment 0 11.18 11.18
Equipment Co: 11/06/2025 Cucamonga Fire Co
Protection District
Supplier Payment: California Rancho 455097 11/06/2025 California Association of 0 45.00 45.00
Association of Public Information Cucamonga Fire Public Information Officials
Officials: 11/06/2025 Protection District
Supplier Payment:Thomson Reuters City of Rancho 455135 11/06/2025 Thomson Reuters-West 398.00 0 398.00
-West: 11/06/2025 Cucamonga
Supplier Payment:Vision Service City of Rancho 455140 11/06/2025 Vision Service Plan Ca 11,538.03 0 11,538.03
Plan Ca: 11/06/2025 Cucamonga
Supplier Payment:All Welding: City of Rancho 455091 11/06/2025 All Welding 2,075.00 0 2,075.00
11/06/2025 Cucamonga
Supplier Payment: Dunn-Edwards City of Rancho 11/06/2025 Dunn-Edwards Corporation 1,582.31 0 1,582.31
Corporation: 11/06/2025 Cucamonga
Supplier Payment: Hr Green Pacific City of Rancho 455110 11/06/2025 Hr Green Pacific Inc 5,210.00 0 5,210.00
Inc: 11/06/2025 Cucamonga
Supplier Payment: Cps Hr City of Rancho 455100 11/06/2025 Cps Hr Consulting 5,000.00 0 5,000.00
Consulting: 11/06/2025 Cucamonga
Supplier Payment: Baker&Taylor City of Rancho 455096 11/06/2025 Baker&Taylor Llc 214.38 0 214.38
Llc: 11/06/2025 Cucamonga
Supplier Payment: Uline: 11/06/2025 City of Rancho 455136 11/06/2025 Uline 1,163.50 0 1,163.50
Cucamonga
Supplier Payment: Napa Auto Parts: City of Rancho 11/06/2025 Napa Auto Parts 838.30 0 838.30
11/06/2025 Cucamonga
Page 25
Council Meeting Check Register - without 10:18 AM
RANCHO SOCal Gas Page/13/of 14
CUCAMONGA
Rancho
Supplier Payment Company Check Check Date Supplier Name City of Rancho Cucamonga Fire Payment Amount for
Number Cucamonga Protection District Reporting Transaction
Supplier Payment:Vulcan Materials City of Rancho 455141 11/06/2025 Vulcan Materials Company 514.00 0 514.00
Company: 11/06/2025 Cucamonga
Supplier Payment: Safelite Fulfillment City of Rancho 455126 11/06/2025 Safelite Fulfillment Inc 92.00 0 92.00
Inc: 11/06/2025 Cucamonga
Supplier Payment: Life-Assist Inc: Rancho 11/06/2025 Life-Assist Inc 0 4,489.39 4,489.39
11/06/2025 Cucamonga Fire
Protection District
Supplier Payment: Graphics Factory City of Rancho 11/06/2025 Graphics Factory Printing 21.55 0 21.55
Printing Inc: 11/06/2025 Cucamonga Inc
Supplier Payment: Patton Sales City of Rancho 455121 11/06/2025 Patton Sales Corp 150.85 0 150.85
Corp: 11/06/2025 Cucamonga
Supplier Payment: Red Wing City of Rancho 455124 11/06/2025 Red Wing Business 344.72 0 344.72
Business Advantage Account: Cucamonga Advantage Account
11/06/2025
Supplier Payment: Southern Rancho 455132 11/06/2025 Southern California Edison 0 4,723.38 4,723.38
California Edison: 11/06/2025 Cucamonga Fire
Protection District
Supplier Payment: Southern Rancho 455131 11/06/2025 Southern California Edison 0 4,112.06 4,112.06
California Edison: 11/06/2025 Cucamonga Fire
Protection District
Supplier Payment: Nationwide City of Rancho 11/06/2025 Nationwide Premium 932.00 0 932.00
Premium Holding: 11/06/2025 Cucamonga Holding
Supplier Payment: Pre-Paid Legal City of Rancho 455122 11/06/2025 Pre-Paid Legal Services 191.54 0 191.54
Services Inc: 11/06/2025 Cucamonga Inc
Supplier Payment: Frontier Comm: Rancho 455107 11/06/2025 Frontier Comm 0 922.24 922.24
11/06/2025 Cucamonga Fire
Protection District
Supplier Payment: C V W D: Rancho 455102 11/06/2025 C V W D 0 2,460.26 2,460.26
11/06/2025 Cucamonga Fire
Protection District
Supplier Payment: Napa Auto Parts: Rancho 11/06/2025 Napa Auto Parts 0 47.96 47.96
11/06/2025 Cucamonga Fire
Protection District
Supplier Payment: Software City of Rancho 455130 11/06/2025 Software Information 62,384.30 0 62,384.30
Information Resource Corporation: Cucamonga Resource Corporation
11/06/2025
Supplier Payment: Collaborative City of Rancho 11/06/2025 Collaborative Solutions Llc 15,556.00 0 15,556.00
Solutions Llc: 11/06/2025 Cucamonga
Supplier Payment: G/M Business City of Rancho 11/06/2025 G/M Business Interiors 219.26 0 219.26
Interiors: 11/06/2025 Cucamonga
Supplier Payment:Ascent City of Rancho 455095 11/06/2025 Ascent Environmental Inc 9,272.44 0 9,272.44
Environmental Inc: 11/06/2025 Cucamonga
Page 26
Council Meeting Check Register - without 10:18 AM
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CUCAMONGA
Rancho
Supplier Payment Company Check Check Date Supplier Name City of Rancho Cucamonga Fire Payment Amount for
Number Cucamonga Protection District Reporting Transaction
Supplier Payment: Dance Terrific: City of Rancho 455103 11/06/2025 Dance Terrific 308.00 0 308.00
11/06/2025 Cucamonga
Supplier Payment: Shoeteria Inc: City of Rancho 11/06/2025 Shoeteria Inc 1,064.92 0 1,064.92
11/06/2025 Cucamonga
Supplier Payment: Placeworks: City of Rancho 11/06/2025 Placeworks 8,411.75 0 8,411.75
11/06/2025 Cucamonga
Supplier Payment: Marc Little: City of Rancho 455113 11/06/2025 Marc Little 720.00 0 720.00
11/06/2025 Cucamonga
Supplier Payment: Southern City of Rancho 455134 11/06/2025 Southern California Edison 4,388.88 0 4,388.88
California Edison- Remit-To: RCMU: Cucamonga
11/06/2025
Supplier Payment: Southern City of Rancho 455133 11/06/2025 Southern California Edison 1,033.83 0 1,033.83
California Edison- Remit-To: RCMU: Cucamonga
11/06/2025
Supplier Payment: Quadient Finance City of Rancho 455123 11/06/2025 Quadient Finance Usa Inc 6,372.52 0 6,372.52
Usa Inc: 11/06/2025 Cucamonga
Supplier Payment: Southern City of Rancho 455145 11/06/2025 Southern California Edison 55,587.38 0 55,587.38
California Edison: 11/06/2025 Cucamonga
Supplier Payment: C V W D: City of Rancho 455144 11/06/2025 C V W D 86,464.79 0 86,464.79
11/06/2025 Cucamonga
4,317,514.67 874,221.25 5,191,735.92
Page 27
ti
NONRR �
a CITY OF
RANCHO CUCAMONGA
m
�l
DATE: November 19, 2025
TO: Mayor and Members of the City Council
President and Members of the Board of Directors
FROM: John R. Gillison, City Manager
INITIATED BY: Jevin Kaye, Finance Director
Ruth Cain, Procurement Manager
SUBJECT: Consideration to Approve City and Fire District Weekly Check Registers
for Checks Issued to Southern California Gas Company in the Total
Amount of$14,995.48, Dated October 29, 2025, Through November 11,
2025. (CITY/FIRE)
RECOMMENDATION:
Staff recommends City Council/Board of Directors of the Fire Protection District approve payment
of demands as presented. Weekly check register amounts are $14,454.67 and $540.81 for the
City and the Fire District, respectively.
BACKGROUND:
N/A
ANALYSIS:
N/A
FISCAL IMPACT:
Adequate budgeted funds are available for the payment of demands per the attached listing.
COUNCIL MISSION /VISION / GOAL(S) ADDRESSED:
N/A
ATTACHMENTS:
Attachment 1 - Weekly Check Register
Page 28
Council Meeting Check Register - SoCal Gas 09:57 AM
RANCHO /12/2025 Page 1 of 11ge1of1
1
q�, J CUCAMONGA
Company: City of Rancho Cucamonga
Rancho Cucamonga Fire Protection District
Successor Agency to the Redevelopment Agency of the City of Rancho Cucamonga
Payment Date On or After: 10/29/2025
Payment Date On or Before: 11/11/2025
Rancho payment Amount
Check Supplier City of Rancho Cucamonga Fire
Supplier Payment Company Number Check Date Name Cucamonga Protection for Reporting
District Transaction
Supplier Payment: Socal City of Rancho 455044 10/30/2025 Socal Gas 14,437.70 0 14,437.70
Gas: 10/30/2025 Cucamonga
Supplier Payment: Socal Rancho 455129 11/06/2025 Socal Gas 0 540.81 540.81
Gas: 11/06/2025 Cucamonga Fire
Protection
District
Supplier Payment: Socal City of Rancho 455128 11/06/2025 Socal Gas 16.97 0 16.97
Gas: 11/06/2025 Cucamonga
14,454.67 540.81 14,995.48
ATTACHMENT 1
Page 29
ti
HONOR
a CITY OF
RANCHO CUCAMONGA
m
DATE: November 19, 2025
TO: Mayor and Members of the City Council
President and Members of the Board of Directors
FROM: John R. Gillison, City Manager
INITIATED BY: Peter Castro, Deputy City Manager/Deputy City Treasurer
Julie Sowles, Deputy City Manager
Jevin Kaye, Finance Director
Rick Flinchum, Deputy Finance Director
SUBJECT: Consideration to Receive and File Current Investment Schedules as of
September 30, 2025 for the City of Rancho Cucamonga and the Rancho
Cucamonga Fire Protection District. (CITY/FIRE)
RECOMMENDATION:
Staff recommends that the City Council/Board of Directors of the Fire Protection District receive
and file the attached current investment schedules for the City of Rancho Cucamonga (City) and
the Rancho Cucamonga Fire Protection District (District) as of September 30, 2025.
BACKGROUND:
The attached investment schedules as of September 30, 2025, reflect cash and investments
managed by the Finance Department are in conformity with the requirements of California
Government Code Section 53601 and the City of Rancho Cucamonga's and the Rancho
Cucamonga Fire Protection District's adopted Investment Policies as approved on June 26, 2025.
ANALYSIS:
The City's and District's Treasurers are each required to submit a quarterly investment report to
the City Council and the Fire Board, respectively, in accordance with California Government Code
Section 53646. The quarterly investment report is required to be submitted within 30 days
following the end of the quarter covered by the report. However, the City and District Treasurers
have each elected to provide this report on a monthly basis.
FISCAL IMPACT:
None.
COUNCIL MISSION /VISION / GOAL(S) ADDRESSED:
The monthly investment schedule supports the City Council's core value of providing and
nurturing a high quality of life for all by demonstrating the active, prudent fiscal management of
the City's investment portfolio to ensure that financial resources are available to support the
various services the city provides to all Rancho Cucamonga stakeholders.
ATTACHMENTS:
Attachment 1 — Investment Schedules as of September 30, 2025 (City)
Attachment 2 — Investment Schedules as of September 30, 2025 (Fire)
Page 30
City of Rancho Cucamonga
Portfolio Summary
RANCHO September 30, 2025
CUCAMONGA
Cash Dividends Closing
Portfolio Holdings and Income Market Value
PFM Managed Account $ 1,863,050.40 $ 404,054,549.78
PFM Cash Balance - 644,236.77
CAMP Pool - 101,280,583,22
State Pool - 792,293.19
Passbook/Checking Accounts - 8,157,213.58
Total $ 1,863,050.40 $ 511.4,928,876.54
I certify that this report accurately reflects all City pooled investments and is in conformity with the investment policy
adopted June 27, 2024. A copy of the investment policy is available in the Finance Department. The Investment
Program herein shown provides sufficient cash flow liquidity to meet the next six months' estimated expenditures.
The attached Summary of Cash and Investments with Fiscal Agents is provided under the City's official Investment
Policy. The provisions of the individual bond documents govern the management of these funds.
4Yiarington, Treasurer Date
ATTACHMENT 1
Page 31
pfm a S et Customer Service
management Ha Box 11813
Harrisburg, PA 17108-1813
ACCOUNT STATEMENT
CITY OF RANCHO CUCAMONGA For the Month Ending
Client Management Team Contents
Tiffany Tint,CFA Cover/Disclosures
Institutional Relationship Manager Summary Statement
633 W 5th Street, Suite/Floor 2560 Individual Accounts
Los Angeles,CA 90071
213-356-2010 Accounts included in Statement
tiffany.tint@pfmam.com 73340000 CITY OF RANCHO CUCAMONGA
Meredith LaBuda Sullivan
Senior Portfolio Manager
213 Market Street
Harrisburg, PA 17101-2141
717-231-2723
labudam@pfmam.com
Rachael Miller
Client Consultant
213 Market Street
Harrisburg, PA 17101-2141
717-232-2723 CITY OF RANCHO CUCAMONGA
millerr@pfmam.com 3EVIN KAYE
10500 CIVIC CENTER DRIVE
RANCHO CUCAMONGA, CA 91730
Online Access https://www.pfmam.com Customer Service 1-717-232-2723
Page 32
pfm asset
management Account Statement
Important Disclosures For the Month Ending September 30, 2025
Mnt Disclosur
This statement is for general information purposes only and is not intended to provide Tax Reporting Cost data and realized gains/losses are provided for informational 365 and dividing the result by 7.The yields quoted should not be considered a
specific advice or recommendations.PFM Asset Management("PFMAM")is a division purposes only.Please review for accuracy and consult your tax advisor to determine representation of the yield of the fund in the future,since the yield is not fixed.
of U.S.Bancorp Asset Management,Inc.("USBAM"),a SEC-registered investment the tax consequences of your security transactions.PFMAM does not report such Average maturity represents the average maturity of all securities and
adviser.USBAM is direct subsidiary of U.S.Bank National Association("U.S.Bank") information to the IRS or other taxing authorities and is not responsible for the investments of a portfolio,determined by multiplying the par or principal value of
and an indirect subsidiary of U.S.Bancorp.U.S.Bank is not responsible for and does accuracy of such information that may be required to be reported to federal,state or each security or investment by its maturity(days or years),summing the
not guarantee the products,services or performance of PFMAM.PFMAM maintains a other taxing authorities. products,and dividing the sum by the total principal value of the portfolio.The
written disclosure statement of our background and business experience.If you would Financial Situation In order to better serve you,PFMAM should be promptly notified stated maturity date of mortgage backed or callable securities are used in this
like to receive a copy of our current disclosure statement,please contact Service of any material change in your investment objective or financial situation. statement.However the actual maturity of these securities could vary depending
Operations at the address below. Callable Securities Securities subject to redemption prior to maturity may be on the level or prepayments on the underlying mortgages or whether a callable
Proxy Voting PFMAM does not normally receive proxies to vote on behalf of its clients. redeemed in whole or in part before maturity,which could affect the yield represented. security has or is still able to be called.
However,it does on occasion receive consent requests.In the event a consent request portfolio The securities in this portfolio,including shares of mutual funds,are not Monthly distribution yield represents the net change in the value of one share
is received the portfolio manager contacts the client and then proceeds according to guaranteed or otherwise protected by PFMAM,the FDIC(except for certain (normally$1.00 per share)resulting from all dividends declared during the month
their instructions.PFMAM's Proxy Voting Policy is available upon request by contacting non-negotiable certificates of deposit)or any government agency.Investment in by a fund expressed as a percentage of the value of one share at the beginning
Service Operations at the address below. securities involves risks,including the possible loss of the amount invested.Actual of the month.This resulting net change is then annualized by multiplying it by
Questions About an Account PFMAM's monthly statement is intended to detail our settlement values,accrued interest,and amortized cost amounts may vary for 365 and dividing it by the number of calendar days in the month.
investment advisory activity as well as the activity of any accounts held by clients in securities subject to an adjustable interest rate or subject to principal paydowns.Any YTM at Cost The yield to maturity at cost is the expected rate of return,based
pools that are managed by PFMAM.The custodian bank maintains the control of assets changes to the values shown may be reflected within the next monthly statement's on the original cost,the annual interest receipts,maturity value and the time
and executes(i.e.,settles)all investment transactions.The custodian statement is the beginning values. period from purchase date to maturity,stated as a percentage,on an annualized
official record of security and cash holdings and transactions.PFMAM recognizes that Rating Information provided for ratings is based upon a good faith inquiry of selected basis.
clients may use these reports to facilitate record keeping and that the custodian bank sources,but its accuracy and completeness cannot be guaranteed. YTM at Market The yield to maturity at market is the rate of return,based on the
statement and the PFMAM statement should be reconciled and differences resolved. Shares of some local government investment programs and TERM funds are current market value,the annual interest receipts,maturity value and the time
Many custodians use a settlement date basis which may result in the need to reconcile distributed by representatives of USBAM's affiliate,U.S.Bancorp Investments,Inc. period remaining until maturity,stated as a percentage,on an annualized basis.
due to a timing difference. which is registered with the SEC as a broker/dealer and is a member of the Financial Managed Account A portfolio of investments managed discretely by PFMAM
Account Control PFMAM does not have the authority to withdraw funds from or deposit Industry Regulatory Authority("FINRA")and the Municipal Securities Rulemaking according to the client's specific investment policy and requirements.The
funds to the custodian outside the scope of services provided by PFMAM.Our clients Board("MSRB").You may reach the FINRA by calling the FINRA Hotline at investments are directly owned by the client and held by the client's custodian.
retain responsibility for their internal accounting policies;implementing and enforcing 1-800-289-9999 or at the FINRA website address Unsettled Trade A trade which has been executed however the final
internal controls and generating ledger entries or otherwise recording transactions. https://www.finra.org/investors/investor-contacts.A brochure describing the FINRA consummation of the security transaction and payment has not yet taken place.
Market Value Generally,PFMAM's market prices are derived from closing bid prices as Regulation Public Disclosure Program is also available from FINRA upon request.
of the last business day of the month as supplied by ICE Data Services.There may be Key Terms and Definitions Please review the detail pages of this statement carefully.If you think your
differences in the values shown for investments due to accrued but uncollected income Dividends on local government investment program funds consist of interest earned, statement is wrong,missing account information,or if you need more information
and the use of differing valuation sources and methods.Non-negotiable FDIC-insured plus any discount ratably amortized to the date of maturity,plus all realized gains and about a transaction,please contact PFMAM within 60 days of receipt.If you have
bank certificates of deposit are priced at par.Although PFMAM believes the prices to be losses on the sale of securities prior to maturity,less ratable amortization of any other concerns or questions regarding your account,or to request an updated
reliable,the values of the securities may not represent the prices at which the securities premium and all accrued expenses to the fund.Dividends are accrued daily and may copy of PFMAM's current disclosure statement,please contact a member of your
could have been bought or sold.Explanation of the valuation methods for a registered be paid either monthly or quarterly.The monthly earnings on this statement represent client management team at PFMAM Service Operations at the address below.
investment company or local government investment program is contained in the the estimated dividend accrued for the month for any program that distributes earnings PFM Asset Management
appropriate fund offering documentation or information statement. on a quarterly basis.There is no guarantee that the estimated amount will be paid on Attn:Service Operations
Amortized Cost The original cost of the principal of the security is adjusted for the the actual distribution date. 213 Market Street
amount of the periodic reduction of any discount or premium from the purchase date Current Yield is the net change,exclusive of capital changes and income other than Harrisburg,PA 17101
until the date of the report.Discount or premium with respect to short term securities investment income,in the value of a hypothetical fund account with a balance of one
(those with less than one year to maturity at time of issuance)is amortized on a share over the seven-day base period including the statement date,expressed as a NOT FDIC INSURED NO BANK GUARANTEE MAY LOSE VALUE
straightline basis.Such discount or premium with respect to longer term securities is percentage of the value of one share(normally$1.00 per share)at the beginning of
amortized using the constant yield basis. the seven-day period.This resulting net change in account value is then annualized by
multiplying it by
Page 33
Pfm asset
management Account Statement
Consolidated Summary Statement For the Month Ending September 30, 2025
CITY OF RANCHO CUCAMONGA
Portfolio Summary Investment Allocation
Cash Dividends Closing
Portfolio Holdings and Income Market Value Investment Type Closing Market Value Percent
PFMAM Managed Account 1,863,050.40 404,054,549.78 Asset-Backed Security 44,781,745.38 8.71
CAMP Pool 0.00 101,280,583.22 Federal Agency Bond/ Note 3,122,906.50 0.61
Local Agency Investment Fund 0.00 792,293.19 Corporate Note 79,116,300.85 15.38
Passbook/Checking Accounts 0.00 8,157,213.58 Certificate of Deposit 6,462,243.10 1.26
Federal Agency Commercial Mortgage-Backed Se, 61,699,922.87 12.00
Total $1,863,050.40 $514,284,639.77 Municipal Bond/ Note 2,007,336.95 0.39
Corporate Note 6,747,688.02 1.31
U.S.Treasury Bond/ Note 200,116,406.11 38.91
CAMP Pool 101,280,583.22 19.69
Local Agency Investment Fund 792,293.19 0.15
Passbook/Checking Accounts 8,157,213.58 1.59
Total $514,284,639.77 100.000/0
Maturity Distribution(Fixed Income Holdings) Sector Allocation
ABS
Portfolio Holdings Closing Market Value Percent 8.71%
Passbook/Checking Fed Agy Bond/
Under30 days 110,230,089.99 21.43 Accounts Note 1.59 0.61%
%
31 to 60 days 0.00 0.00 Local Agency Corporate Note
61 to 90 days 0.00 0.00 Investment Fund 15.38%
91 to 180 days 1,001,250.00 0.19 0.15% Cert of Deposit
1.26
181 days to 1 year 8,023,917.70 1.56 A /o
19.69/o Federal Agency
1 to 2 years 92,248,416.81 17.94 Commercial
2 to 3 years 96,129,564.97 18.69 Mortgage-Backed
Security
3 to 4 years 111,065,542.21 21.60 12.00%
4 to 5 years 95,585,858.09 18.59 Muni Bond/Note
Over 5 years 0.00 0.00 0.39%
Priv Placement
Total $514,284,639.77 100.000/0 US TSY Bond/Note Bond
38.91% 1.31%
Weighted Average Days to Maturity 853
PFM Asset Management Summary Page 1
Page 34
Pfm asset
management
Managed Account Summary Statement For the Month Ending September 30, 2025
CITY OF RANCHO CUCAMONGA - 73340000
Transaction Summary-Managed Account Cash Transactions Summary- Managed Account
Opening Market Value $402,337,771.68 Maturities/Calls 0.00
Maturities/Calls (352,701.68) Sale Proceeds 21,393,365.93
Principal Dispositions (21,330,327.37) Coupon/Interest/Dividend Income 1,351,355.10
Principal Acquisitions 23,345,894.63 Principal Payments 352,701.68
Unsettled Trades 0.00
Security Purchases (23,436,396.68)
Change in Current Value 53,912.52 Net Cash Contribution (0.05)
Reconciling Transactions 0.00
Closing Market Value $404,054,549.78
Earnings Reconciliation(Cash Basis)- Managed Account Cash Balance
Interest/Dividends/Coupons Received 1,414,393.66 Closing Cash Balance $644,236.77
Less Purchased Interest Related to Interest/Coupons (90,502.05)
Plus Net Realized Gains/Losses 539,158.79
Total Cash Basis Earninas $1,863,050.40
Earnings Reconciliation(Accrual Basis) Total
Ending Amortized Value of Securities 399,757,952.64
Ending Accrued Interest 2,600,713.65
Plus Proceeds from Sales 21,393,365.93
Plus Proceeds of Maturities/Calls/Principal Payments 352,701.68
Plus Coupons/Dividends Received 1,351,355.10
Less Cost of New Purchases (23,436,396.68)
Less Beginning Amortized Value of Securities (397,969,298.19)
Less Beginning Accrued Interest (2,755,504.04)
Total Accrual Basis Earnings $1,294,890.09
PFM Asset Management,a division of Account 73340000 Page 1
U.S.Bancorp Asset Management,Inc.
Page 35
Pfm asset
management
Portfolio Summary and Statistics For the Month Ending September 30, 2025
CITY OF RANCHO CUCAMONGA - 73340000 .
Account Summary Sector Allocation
Description Par Value Market Value Percent ABS
U.S.Treasury Bond/ Note 203,630,000.00 200,116,406.11 49.53 11.08%
US TSY Bond/Note Cert of Deposit
Municipal Bond/ Note 1,970,000.00 2,007,336.95 0.50 49.53% 1.60%
Federal Agency Commercial 60,761,190.28 61,699,922.87 15.27 Corporate Note
Mortgage-Backed Security 19.58%
Federal Agency Bond/ Note 3,110,000.00 3,122,906.50 0.77 Fed Agy Bond/
Corporate Note 85,460,000.00 85,863,988.87 21.25 °Note
0.77/o
Certificate of Deposit 6,400,000.00 6,462,243.10 1.60 Federal Agency
Asset-Backed Security 44,386,370.23 44,781,745.38 11.08 Commercial
Managed Account Sub-Total 405,717,560.51 404,054,549.78 100.00% Mortgage-Backed
Security
Accrued Interest 2,600,713.65 15.27%
Total Portfolio 405,717,560.51 406,655,263.43 Muni Bond/Note
0.50%
Priv Placement
Bond
Unsettled Trades 0.00 0.00 1.67%
Maturity Distribution Characteristics
27.49%
Yield to Maturity at Cost 4.23%
° 23.79% 23.66%
22.83r° Yield to Maturity at Market 3.85%
Weighted Average Days to Maturity 1088
1.99%
0.24% 0.00%
0-6 Months 6-12 Months 1-2 Years 2-3 Years 3-4 Years 4-5 Years Over 5 Years
PFM Asset Management,a division of Account 73340000 Page 2
U.S.Bancorp Asset Management,Inc.
Page 36
Pfm asset
management
Managed Account Issuer Summary For the Month Ending September 30, 2025
CITY OF RANCHO CUCAMONGA - 73340000
Issuer Summary Credit Quality(S&P Ratings)
Market Value
Issuer of Holdings Percent A
Adobe Inc 2,896,533.97 0.72 NR 4.35%
American Express Co 6,856,565.13 1.70 3.92% A+
BA Credit Card Trust 3,116,951.75 0.77 BBB+ 6.17%
Bank of America Corp 2,608,224.70 0.65 0.86% A- o
AAA 6.54/o
Bank of New York Mellon Corp 655,594.77 0.16 7.88% A-1
Bayerische Motoren Werke AG 2,765,572.20 0.68 AA- 0.83%
BlackRock Inc 2,606,520.00 0.65 2.87% AA
BMW Vehicle Lease Trust 1,846,987.89 0.46 0.26%
Capital One Financial Corp 2,248,827.75 0.56
Caterpillar Inc 217,962.27 0.05
Charles Schwab Corp 1,956,740.00 0.48
Cintas Corp 1,129,826.25 0.28
Cisco Systems Inc 1,662,335.46 0.41
Citigroup Inc 5,588,517.52 1.38 A
66.32/o
Colgate-Palmolive Cc 1,164,048.27 0.29
Comcast Corp 2,054,718.00 0.51
Cooperatieve Rabobank UA 2,301,331.50 0.57
Credit Agricole Group 3,123,188.00 0.77
Cummins Inc 191,426.14 0.05
Deere&Co 2,766,533.60 0.68
Depository Trust&Clearing Corp 3,075,404.29 0.76
Federal Home Loan Banks 3,122,906.50 0.77
Federal Home Loan Mortgage Corp 58,447,286.98 14.47
Federal National Mortgage Association 3,252,635.89 0.80
Ford Credit Auto Owner Trust 4,322,979.77 1.07
GM Financial Consumer Automobile Receiv 1,596,359.49 0.40
Goldman Sachs Group Inc 2,293,373.70 0.57
Groupe BPCE 3,339,055.10 0.83
Hershey Co 4,472,241.60 1.11
Home Depot Inc 2,139,873.32 0.53
Honda Auto Receivables Owner Trust 5,135,464.08 1.27
Honda Motor Co Ltd 2,770,792.80 0.69
PFM Asset Management,a division of Account 73340000 Page 3
U.S.Bancorp Asset Management,Inc.
Page 37
Pfm asset
management
Managed Account Issuer Summary For the Month Ending September 30, 2025
CITY OF RANCHO CUCAMONGA - 73340000
Market Value
Issuer of Holdings Percent
HSBC Holdings PLC 2,839,594.80 0.70
Hyundai Auto Receivables Trust 3,142,064.33 0.78
International Business Machines Corp 2,510,755.00 0.62
Johnson&Johnson 565,986.23 0.14
JPMorgan Chase&Co 3,514,293.68 0.87
Kubota Credit Owner Trust 2,139,005.40 0.53
Los Angeles Unified School District/CA 903,865.31 0.22
Mars Inc 906,711.53 0.22
Mercedes-Benz Auto Receivables Trust 1,575,706.38 0.39
Merck&Co Inc 3,066,634.70 0.76
Meta Platforms Inc 2,551,162.50 0.63
Morgan Stanley 4,051,995.18 1.00
National Australia Bank Ltd 2,999,514.00 0.74
National Rural Utilities Cooperative Fi 2,185,194.33 0.54
Nissan Auto Receivables Owner Trust 517,631.77 0.13
Northern Trust Corp 1,597,485.01 0.40
PNC Financial Services Group Inc 2,467,220.00 0.61
State of Connecticut 1,103,471.64 0.27
State Street Corp 621,100.87 0.15
Texas Instruments Inc 2,259,848.90 0.56
Toyota Auto Receivables Owner Trust 1,491,468.38 0.37
Toyota Motor Corp 2,326,530.50 0.58
Truist Financial Corp 3,780,947.40 0.94
United States Treasury 200,116,406.11 49.53
UnitedHealth Group Inc 1,793,057.40 0.44
Verizon Master Trust 2,813,176.53 0.70
Volkswagen Auto Loan Enhanced Trust 2,363,437.44 0.58
Walmart Inc 1,036,742.28 0.26
WF Card Issuance Trust 5,069,403.24 1.25
World Omni Auto Trust 17,360.25 0.00
Total $404,054,549.78 100.000/0
PFM Asset Management,a division of Account 73340000 Page 4
U.S.Bancorp Asset Management,Inc.
Page 38
pfm asset
management
Managed Account Detail of Securities Held For the Month Ending September 30, 2025
CITY OF RANCHO CUCAMONGA - 73340000
Security Type/Description S&P Moody's Trade Settle Original YTM Accrued Amortized Market
Dated Date/Coupon/Maturity CUSIP Par Rating Rating Date Date Cost at Cost Interest Cost Value
U.S.Treasury Bond / Note
US TREASURY N/13 91282CCZ2 1,800,000.00 AA+ Aal 05/18/23 05/22/23 1,634,835.94 3.81 43.27 1,751,002.67 1,750,260.60
DTD 09/30/2021 0.875%09/30/2026
US TREASURY N/13 91282CDG3 400,000.00 AA+ Aal 11/17/21 11/18/21 397,578.13 1.25 1,883.15 399,470.89 389,078.00
DTD 11/01/2021 1.125%10/31/2026
US TREASURY N/13 91282CDG3 2,000,000.00 AA+ Aal 11/01/24 11/05/24 1,884,687.50 4.18 9,415.76 1,936,074.01 1,945,390.00
DTD 11/01/2021 1.125%10/31/2026
US TREASURY N/B 91282CDG3 3,000,000.00 AA+ Aal 05/20/22 05/23/22 2,789,648.44 2.82 14,123.64 2,948,773.82 2,918,085.00
DTD 11/01/2021 1.125%10/31/2026
US TREASURY N/13 912828U24 3,000,000.00 AA+ Aal 06/08/22 06/09/22 2,870,390.63 3.05 22,663.04 2,967,197.63 2,943,516.00
DTD 11/15/2016 2.000%11/15/2026
US TREASURY N/13 912828U24 4,000,000.00 AA+ Aal 10/28/24 10/31/24 3,836,250.00 4.11 30,217.39 3,908,328.62 3,924,688.00
DTD 11/15/2016 2.000%11/15/2026
US TREASURY N/B 91282CDK4 1,400,000.00 AA+ Aal 11/07/24 11/08/24 1,318,734.38 4.22 5,881.15 1,353,262.16 1,360,898.00
DTD 11/30/2021 1.250%11/30/2026
US TREASURY N/13 91282CDK4 2,895,000.00 AA+ Aal 12/01/21 12/03/21 2,903,255.27 1.19 12,161.37 2,896,924.57 2,814,142.65
DTD 11/30/2021 1.250%11/30/2026
US TREASURY N/13 91282CD01 1,625,000.00 AA+ Aal 01/03/22 01/05/22 1,616,684.57 1.36 5,133.32 1,622,917.72 1,576,693.63
DTD 12/31/2021 1.250%12/31/2026
US TREASURY N/13 912828YX2 3,520,000.00 AA+ Aal 11/08/23 11/10/23 3,223,412.50 4.67 15,567.39 3,402,089.01 3,436,949.12
DTD 12/31/2019 1.750%12/31/2026
US TREASURY N/13 912828Z78 2,150,000.00 AA+ Aal 01/03/24 01/05/24 1,989,589.84 4.11 5,433.42 2,080,374.56 2,089,195.85
DTD 01/31/2020 1.500%01/31/2027
US TREASURY N/13 912828V98 645,000.00 AA+ Aal 06/02/22 06/06/22 625,398.05 2.95 1,853.50 639,262.29 632,679.21
DTD 02/15/2017 2.250%02/15/2027
US TREASURY N/13 912828V98 1,950,000.00 AA+ Aal 08/01/22 08/03/22 1,911,152.34 2.72 5,603.60 1,938,230.82 1,912,751.10
DTD 02/15/2017 2.250%02/15/2027
US TREASURY N/B 912828V98 3,400,000.00 AA+ Aal 07/05/22 07/07/22 3,313,671.88 2.84 9,770.38 3,374,265.61 3,335,053.20
DTD 02/15/2017 2.250%02/15/2027
PFM Asset Management,a division of Account 73340000 Page 5
U.S.Bancorp Asset Management,Inc.
Page 39
Pfm asset
management
Managed Account Detail of Securities Held For the Month Ending September 30, 2025
CITY OF RANCHO CUCAMONGA - 73340000
Security Type/Description S&P Moody's Trade Settle Original YTM Accrued Amortized Market
Dated Date/Coupon/Maturity CUSIP Par Rating Rating Date Date Cost at Cost Interest Cost Value
U.S.Treasury Bond / Note
US TREASURY N/13 912828ZB9 2,850,000.00 AA+ Aal 08/01/24 08/02/24 2,647,271.48 4.06 2,745.68 2,736,244.95 2,750,472.30
DTD 03/02/2020 1.125%02/28/2027
US TREASURY N/B 912828ZB9 4,500.000.00 AA+ Aal 09/05/23 09/08/23 4,010.097.66 4.54 4,335.29 4,301,182.27 4,342.851.00
DTD 03/02/2020 1.125%02/28/2027
US TREASURY N/13 91282CKEO 2,200,000.00 AA+ Aal 02/04/25 02/05/25 2,199,054.69 4.27 4,132.60 2,199,339.38 2,217,875.00
DTD 03/15/2024 4.250%03/15/2027
US TREASURY N/13 912828X88 3,300,000.00 AA+ Aal 08/22/22 08/24/22 3,179,214.84 3.22 29,603.60 3,258,617.95 3,233,742.60
DTD 05/15/2017 2.375%05/15/2027
US TREASURY N/13 91282CF132 1,500,000.00 AA+ Aal 08/04/25 08/05/25 1,472,988.28 3.70 6,949.73 1,475,038.40 1,476,562.50
DTD 08/01/2022 2.750%07/31/2027
US TREASURY N/13 91282CF132 1,600,000.00 AA+ Aal 01/04/23 01/06/23 1,522,000.00 3.93 7,413.04 1,568,743.85 1,575,000.00
DTD 08/01/2022 2.750%07/31/2027
US TREASURY N/13 91282CAH4 1,175,000.00 AA+ Aal 09/03/24 09/05/24 1,066,771.48 3.79 503.11 1,104,251.36 1,107,574.98
DTD 08/31/2020 0.500%08/31/2027
US TREASURY N/13 91282CAH4 1,200,000.00 AA+ Aal 09/04/24 09/05/24 1,093,781.25 3.66 513.81 1,130,611.38 1,131,140.40
DTD 08/31/2020 0.500%08/31/2027
US TREASURY N/B 91282CFM8 3,000.000.00 AA+ Aal 05/03/23 05/08/23 3,081.093.75 3.46 339.97 3,036,810.30 3,028.944.00
DTD 09/30/2022 4.125%09/30/2027
US TREASURY N/13 91282CAU5 1,050,000.00 AA+ Aal 12/02/24 12/05/24 945,492.19 4.18 2,197.01 973,817.81 984,949.35
DTD 11/02/2020 0.500%10/31/2027
US TREASURY N/13 91282CLX7 800,000.00 AA+ Aal 12/26/24 12/31/24 795,031.25 4.36 12,464.67 796,271.51 808,156.00
DTD 11/15/2024 4.125%11/15/2027
US TREASURY N/13 9128283F5 3,200,000.00 AA+ Aal 01/25/23 01/30/23 3,013,625.00 3.58 27,195.65 3,117,462.50 3,111,001.60
DTD 11/15/2017 2.250%11/15/2027
US TREASURY N/13 91282CGC9 2,500,000.00 AA+ Aal 03/06/23 03/08/23 2,459,667.97 4.25 24,482.00 2,481,175.33 2,513,770.00
DTD 01/03/2023 3.875%12/31/2027
US TREASURY N/13 91282CGC9 2,500,000.00 AA+ Aal 06/03/24 06/05/24 2,446,093.75 4.54 24,482.00 2,465,073.60 2,513,770.00
DTD 01/03/2023 3.875%12/31/2027
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Pfm asset
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Managed Account Detail of Securities Held For the Month Ending September 30, 2025
CITY OF RANCHO CUCAMONGA - 73340000
Security Type/Description S&P Moody's Trade Settle Original YTM Accrued Amortized Market
Dated Date/Coupon/Maturity CUSIP Par Rating Rating Date Date Cost at Cost Interest Cost Value
U.S.Treasury Bond / Note
US TREASURY N/13 91282CBJ9 3,100,000.00 AA+ Aal 11/03/23 11/06/23 2,637,785.16 4.67 3,917.12 2,845,438.24 2,902,858.60
DTD 02/01/2021 0.750%01/31/2028
US TREASURY N/B 91282CGH8 4,550.000.00 AA+ Aal 01/03/24 01/05/24 4,459.355.47 4.04 26,830.16 4,498,063.79 4,537.915.20
DTD 01/31/2023 3.500%01/31/2028
US TREASURY N/13 9128283W8 2,000,000.00 AA+ Aal 03/06/23 03/08/23 1,869,296.88 4.23 7,024.46 1,937,219.06 1,960,390.00
DTD 02/15/2018 2.750%02/15/2028
US TREASURY N/13 9128283W8 3,000,000.00 AA+ Aal 04/05/23 04/06/23 2,921,015.63 3.34 10,536.68 2,961,441.75 2,940,585.00
DTD 02/15/2018 2.750%02/15/2028
US TREASURY N/13 9128283W8 3,375,000.00 AA+ Aal 11/09/23 11/10/23 3,137,299.80 4.59 11,853.77 3,242,723.96 3,308,158.12
DTD 02/15/2018 2.750%02/15/2028
US TREASURY N/13 91282CBS9 1,700,000.00 AA+ Aal 07/05/23 07/07/23 1,482,984.38 4.26 58.38 1,585,530.22 1,604.640.20
DTD 03/31/2021 1.250%03/31/2028
US TREASURY N/13 91282CBS9 2,625,000.00 AA+ Aal 10/02/23 10/04/23 2,257,089.84 4.75 90.14 2,420,406.06 2,477,753.25
DTD 03/31/2021 1.250%03/31/2028
US TREASURY N/13 91282CGT2 2,950,000.00 AA+ Aal 03/03/25 03/05/25 2,916,812.50 4.02 293.78 2,922,713.22 2,950,805.35
DTD 03/31/2023 3.625%03/31/2028
US TREASURY N/B 91282CBZ3 3,900.000.00 AA+ Aal 06/01/23 06/05/23 3,463.687.50 3.77 20.400.82 3,670,515.70 3,674.073.00
DTD 04/30/2021 1.250%04/30/2028
US TREASURY N/13 91282CCE9 325,000.00 AA+ Aal 07/07/23 07/11/23 281,010.74 4.35 1,365.27 301,034.97 305,525.35
DTD 06/01/2021 1.250%05/31/2028
US TREASURY N/13 91282CCH2 3,375,000.00 AA+ Aal 11/03/23 11/06/23 2,898,676.76 4.66 10,661.51 3,093,638.27 3,166,830.00
DTD 06/30/2021 1.250%06/30/2028
US TREASURY N/13 91282CCH2 5,000,000.00 AA+ Aal 09/02/25 09/04/25 4,681,640.63 3.65 15,794.84 4,689,539.05 4,691,600.00
DTD 06/30/2021 1.250%06/30/2028
US TREASURY N/13 91282CJA0 6,000,000.00 AA+ Aal 12/04/23 12/05/23 6,093,046.88 4.26 762.36 6,060,089.51 6,168,750.00
DTD 10/02/2023 4.625%09/30/2028
US TREASURY N/13 91282CJF9 7,000,000.00 AA+ Aal 04/01/24 04/03/24 7,143,828.13 4.37 142,805.71 7,099,980.85 7,249,375.00
DTD 10/31/2023 4.875%10/31/2028
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Pfm asset
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Managed Account Detail of Securities Held For the Month Ending September 30, 2025
CITY OF RANCHO CUCAMONGA - 73340000
Security Type/Description S&P Moody's Trade Settle Original YTM Accrued Amortized Market
Dated Date/Coupon/Maturity CUSIP Par Rating Rating Date Date Cost at Cost Interest Cost Value
U.S.Treasury Bond / Note
US TREASURY N/13 9128285M8 8,000,000.00 AA+ Aal 03/04/24 03/06/24 7,621,562.50 4.25 94,429.35 7,748,223.21 7,878,128.00
DTD 11/15/2018 3.125%11/15/2028
US TREASURY N/B 91282CJR3 4,800,000.00 AA+ Aal 07/01/24 07/02/24 4,660,875.00 4.47 45.489.13 4,696,805.11 4,815,187.20
DTD 01/02/2024 3.750%12/31/2028
US TREASURY N/13 91282CDW8 2,100,000.00 AA+ Aal 06/03/24 06/05/24 1,864,324.22 4.45 6,191.58 1,926,480.20 1,975,722.00
DTD 01/31/2022 1.750%01/31/2029
US TREASURY N/13 91282CDW8 4,500,000.00 AA+ Aal 02/01/24 02/05/24 4,080,585.94 3.82 13,267.66 4,219,623.31 4,233,690.00
DTD 01/31/2022 1.750%01/31/2029
US TREASURY N/13 9128286B1 5,725,000.00 AA+ Aal 05/02/24 05/06/24 5,240,611.33 4.62 19,193.53 5,372,303.73 5,539,384.05
DTD 02/15/2019 2.625%02/15/2029
US TREASURY N/13 91282CEE7 6,300,000.00 AA+ Aal 06/03/24 06/05/24 5,742,105.47 4.44 411.06 5,883,536.25 6,036,678.90
DTD 03/31/2022 2.375%03/31/2029
US TREASURY N/13 91282CEM9 2,750,000.00 AA+ Aal 08/01/24 08/02/24 2,632,050.78 3.87 33,085.94 2,659,007.14 2,677,169.00
DTD 05/02/2022 2.875%04/30/2029
US TREASURY N/13 91282CEM9 4,000,000.00 AA+ Aal 08/01/24 08/02/24 3,827,031.25 3.88 48,125.00 3,866,555.36 3,894,064.00
DTD 05/02/2022 2.875%04/30/2029
US TREASURY N/B 91282CEV9 2,200,000.00 AA+ Aal 09/03/24 09/05/24 2,150,929.69 3.76 18.069.29 2,161,095.94 2,167,085.80
DTD 06/30/2022 3.250%06/30/2029
US TREASURY N/13 91282CEV9 5,000,000.00 AA+ Aal 09/04/24 09/05/24 4,916,796.88 3.63 41,066.58 4,934,076.74 4,925,195.00
DTD 06/30/2022 3.250%06/30/2029
US TREASURY N/13 91282CFCO 1,000,000.00 AA+ Aal 11/04/24 11/05/24 935,156.25 4.15 4,422.55 946,595.05 962,422.00
DTD 08/01/2022 2.625%07/31/2029
US TREASURY N/13 91282CFCO 1,100,000.00 AA+ Aal 10/01/24 10/03/24 1,057,074.22 3.51 4,864.81 1,065,344.69 1,058,664.20
DTD 08/01/2022 2.625%07/31/2029
US TREASURY N/13 91282CFCO 3,400,000.00 AA+ Aal 05/30/25 06/04/25 3,231,992.19 3.92 15,036.68 3,244,219.33 3,272,234.80
DTD 08/01/2022 2.625%07/31/2029
US TREASURY N/13 91282CFLO 1,100,000.00 AA+ Aal 11/01/24 11/05/24 1,084,789.06 4.19 117.10 1,087,368.47 1,107,519.60
DTD 09/30/2022 3.875%09/30/2029
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Pfm asset
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Managed Account Detail of Securities Held For the Month Ending September 30, 2025
CITY OF RANCHO CUCAMONGA - 73340000
Security Type/Description S&P Moody's Trade Settle Original YTM Accrued Amortized Market
Dated Date/Coupon/Maturity CUSIP Par Rating Rating Date Date Cost at Cost Interest Cost Value
U.S.Treasury Bond / Note
US TREASURY N/13 91282CFLO 2,000,000.00 AA+ Aal 10/28/24 10/31/24 1,977,968.75 4.12 212.91 1,981,754.46 2,013,672.00
DTD 09/30/2022 3.875%09/30/2029
US TREASURY N/B 91282CFT3 2,725,000.00 AA+ Aal 12/02/24 12/05/24 2,707,968.75 4.14 45.614.13 2,710,597.89 2,755,656.25
DTD 10/31/2022 4.000%10/31/2029
US TREASURY N/13 91282CFY2 5,000,000.00 AA+ Aal 09/02/25 09/04/25 5,030,468.75 3.72 65,112.70 5,029,979.96 5,032,225.00
DTD 11/30/2022 3.875%11/30/2029
US TREASURY N/13 91282CMDO 2,000,000.00 AA+ Aal 02/03/25 02/06/25 2,004,531.25 4.32 22,112.77 2,003,987.33 2,051,718.00
DTD 12/31/2024 4.375%12/31/2029
US TREASURY N/13 91282CMDO 2,500,000.00 AA+ Aal 01/02/25 01/07/25 2,501,757.81 4.36 27,640.96 2,501,525.69 2,564,647.50
DTD 12/31/2024 4.375%12/31/2029
US TREASURY N/13 91282CG34 6,500,000.00 AA+ Aal 03/03/25 03/05/25 6,336,484.38 4.07 38,328.80 6,354,102.46 6,444,899.50
DTD 01/31/2023 3.500%01/31/2030
US TREASURY N/13 91282CGS4 2,300,000.00 AA+ Aal 04/11/25 04/15/25 2,244,027.34 4.17 229.05 2,248,774.38 2,290,565.40
DTD 03/31/2023 3.625%03/31/2030
US TREASURY N/13 91282CMU2 4,200,000.00 AA+ Aal 04/01/25 04/02/25 4,214,601.56 3.92 461.54 4,213,283.94 4,248,069.00
DTD 03/31/2025 4.000%03/31/2030
US TREASURY N/B 91282CHF1 2,675,000.00 AA+ Aal 07/01/25 07/03/25 2,667,163.09 3.82 33.711.58 2,667,523.46 2,676,880.53
DTD 05/31/2023 3.750%05/31/2030
US TREASURY N/13 91282CHF1 4,300,000.00 AA+ Aal 06/11/25 06/12/25 4,241,714.84 4.05 54,190.57 4,244,966.98 4,303,022.90
DTD 05/31/2023 3.750%05/31/2030
US TREASURY N/13 91282CNN7 720,000.00 AA+ Aal 09/02/25 09/04/25 723,656.25 3.76 4,700.54 723,607.48 724,331.52
DTD 07/31/2025 3.875%07/31/2030
US TREASURY N/13 91282CNN7 4,675,000.00 AA+ Aal 09/04/25 09/05/25 4,721,384.77 3.65 30,520.89 4,720,786.30 4,703,124.80
DTD 07/31/2025 3.875%07/31/2030
Security Type Sub-Total 203,630,000.00 194,908,615.68 3.95 1,206,110.24 198,403,274.48 200,116,406.11
Municipal Bond/ Note
LOS ANGELES UNIF SD-13 544647KY5 890,000.00 NR Aa2 04/24/25 05/13/25 890,000.00 4.42 15,089.80 890,000.00 903,865.31
DTD 05/13/2025 4.423%07/01/2028
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Pfm asset
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Managed Account Detail of Securities Held For the Month Ending September 30, 2025
CITY OF RANCHO CUCAMONGA - 73340000
Security Type/Description S&P Moody's Trade Settle Original YTM Accrued Amortized Market
Dated Date/Coupon/Maturity CUSIP Par Rating Rating Date Date Cost at Cost Interest Cost Value
Municipal Bond/ Note
CONNECTICUT ST-A-TXBL 20772KZK8 1,080,000.00 AA- Aa2 04/23/25 05/07/25 1,080,000.00 4.49 2,154.72 1,080,000.00 1,103,471.64
DTD 05/07/2025 4.489%03/15/2029
Security Type Sub-Total 1,970,000.00 1,970,000.00 4.46 17,244.52 1,970,000.00 2,007,336.95
Federal Agency Commercial Mortgage-Backed Security
FHMS K062 A2 3137BUX60 1,710,000.00 AA+ Aal 08/17/23 08/22/23 1,624,500.00 5.03 4,863.53 1,678,443.89 1,698,401.07
DTD 02/01/2017 3.413%12/01/2026
FHMS K067 A2 3137FAWS3 1,960,000.00 AA+ Aal 08/17/23 08/22/23 1,835,739.06 4.97 5,216.87 1,902,486.44 1,934,429.84
DTD 09/01/2017 3.194%07/01/2027
FHMS K505 A2 3137HACX2 3,150,000.00 AA+ Aal 07/27/23 08/01/23 3,152,707.03 4.80 12,649.88 3,151,510.04 3,209,210.55
DTD 07/01/2023 4.819%06/01/2028
FHMS K346 Al 3137HAD45 3,154,680.55 AA+ Aal 07/19/23 07/27/23 3,154,601.69 4.78 12,558.26 3,154,636.66 3,181,621.53
DTD 07/01/2023 4.777%06/01/2028
FNA 2023-M6 A2 313613ODE6 3,246,509.73 AA+ Aal 08/17/23 08/22/23 3,125,526.52 5.04 11,311.38 3,177,317.97 3,252,635.89
DTD 07/01/2023 4.181%07/01/2028
FHMS K508 A2 3137HAO74 3,000,000.00 AA+ Aal 10/11/23 10/19/23 2,934,192.00 5.25 11,850.00 2,958,570.60 3,057,951.00
DTD 10/01/2023 4.740%08/01/2028
FHMS K506 A2 3137HAMH6 3,475,000.00 AA+ Aal 09/07/23 09/14/23 3,423,594.33 4.99 13,465.63 3,443,272.76 3,529,599.20
DTD 09/01/2023 4.650%08/01/2028
FHMS K509 A2 3137HAST4 2,330,000.00 AA+ Aal 10/25/23 10/31/23 2,255,712.61 5.60 9,417.08 2,281,559.54 2,383,506.12
DTD 10/01/2023 4.850%09/01/2028
FHMS K507 A2 3137HAMS2 3,000,000.00 AA+ Aal 10/17/23 10/20/23 2,909,648.43 5.50 12.000.00 2,942,323.68 3,059,556.00
DTD 09/01/2023 4.800%09/01/2028
FHMS K510 A2 3137HB3D4 1,130,000.00 AA+ Aal 11/14/23 11/21/23 1,126,733.17 5.14 4,773.31 1,127,867.80 1,160,543.90
DTD 11/01/2023 5.069%10/01/2028
FHMS K511 A2 3137HB3G7 1,720,000.00 AA+ Aal 11/28/23 12/07/23 1,715,058.44 4.93 6,966.00 1,716,753.90 1,759,135.16
DTD 12/01/2023 4.860%10/01/2028
PFM Asset Management,a division of Account 73340000 Page 10
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Pfm asset
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Managed Account Detail of Securities Held For the Month Ending September 30, 2025
CITY OF RANCHO CUCAMONGA - 73340000
Security Type/Description S&P Moody's Trade Settle Original YTM Accrued Amortized Market
Dated Date/Coupon/Maturity CUSIP Par Rating Rating Date Date Cost at Cost Interest Cost Value
Federal Agency Commercial Mortgage-Backed Security
FHMS K514 A2 3137HBLV4 1,790,000.00 AA+ Aal 02/01/24 02/08/24 1,807,898.21 4.34 6,819.90 1,802,300.42 1,816,209.18
DTD 02/01/2024 4.572%12/01/2028
FHMS K520 A2 3137HCKV3 4,000,000.00 AA+ Aal 07/01/24 07/05/24 4,038,281.25 4.95 17.266.67 4,029,122.89 4,137,772.00
DTD 04/01/2024 5.180%03/01/2029
FHMS K528 A2 3137HFNZ4 1,305,000.00 AA+ Aal 09/04/24 09/12/24 1,331,073.90 4.06 4,902.45 1,325,885.20 1,325,130.93
DTD 09/01/2024 4.508%07/01/2029
FHMS K527 A2 3137HFF59 2,650,000.00 AA+ Aal 08/13/24 08/22/24 2,696,306.10 4.23 10,198.08 2,686,750.26 2,700,702.45
DTD 08/01/2024 4.618%07/01/2029
FHMS K526 A2 3137HDXL9 3,345,000.00 AA+ Aal 08/07/24 08/15/24 3,376,289.13 4.33 12,663.61 3,369,756.88 3,401,674.34
DTD 08/01/2024 4.543%07/01/2029
FHMS K529 A2 3137HH6C0 2,355,000.00 AA+ Aal 10/08/24 10/16/24 2,402,069.39 4.34 9,402.34 2,393,744.96 2,414,904.14
DTD 10/01/2024 4.791%09/01/2029
FHMS K530 A2 3137HHJL6 3,730,000.00 AA+ Aal 11/19/24 11/27/24 3,749,422.11 4.67 14,895.13 3,746,601.31 3,825,346.26
DTD 11/01/2024 4.792%09/01/2029
FHMS K539 A2 3137HKXJ8 1,325,000.00 AA+ Aal 04/15/25 04/24/25 1,324,953.63 4.41 4,869.38 1,324,958.26 1,341,847.38
DTD 04/01/2025 4.410%01/01/2030
FHMS K537 A2 3137HKPF5 2,085,000.00 AA+ Aal 03/11/25 03/20/25 2,084,977.07 4.43 7,697.13 2,084,983.30 2,113,349.75
DTD 03/01/2025 4.430%02/01/2030
FHMS K547 A2 3137HN6B9 2,355,000.00 AA+ Aal 09/23/25 09/29/25 2,390,252.00 4.06 8,676.21 2,390,804.38 2,385,425.19
DTD 09/01/2025 4.421%05/01/2030
FHMS K543 A2 3137HMC65 3,925,000.00 AA+ Aal 07/09/25 07/17/25 3,924,925.42 4.33 14,159.44 3,924,932.70 3,962,919.43
DTD 07/01/2025 4.329%06/01/2030
FHMS K544 A2 3137HMCE8 4,020,000.00 AA+ Aal 07/22/25 07/31/25 4,015,762.92 4.29 14,291.10 4,015,830.28 4,048,051.56
DTD 07/01/2025 4.266%07/01/2030
Security Type Sub-Total 60,761,190.28 60,400,224.41 4.72 230,913.38 60,630,414.12 61,699,922.87
Federal Agency Bond / Note
FEDERAL HOME LOAN BANK 3130B6R24 3,110,000.00 AA+ Aal 06/12/25 06/13/25 3,105,863.70 3.95 36,153.75 3,106,476.61 3,122,906.50
DTD 06/13/2025 3.875%06/04/2027
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Pfm asset
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Managed Account Detail of Securities Held For the Month Ending September 30, 2025
CITY OF RANCHO CUCAMONGA - 73340000
Security Type/Description S&P Moody's Trade Settle Original YTM Accrued Amortized Market
Dated Date/Coupon/Maturity CUSIP Par Rating Rating Date Date Cost at Cost Interest Cost Value
Federal Agency Bond / Note
Security Type Sub-Total 3,110,000.00 3,105,863.70 3.95 36,153.75 3,106,476.61 3,122,906.50
Corporate
MORGAN STANLEY 6176133R8 1,000,000.00 A- Al 11/01/21 11/03/21 1,062,320.00 1.75 5,555.56 1,010,825.54 992,702.00
DTD 07/25/2016 3.125%07/27/2026
MORGAN STANLEY 6176113R8 1,000,000.00 A- Al 07/05/23 07/07/23 936,280.00 5.41 5,555.56 982,853.53 992,702.00
DTD 07/25/2016 3.125%07/27/2026
AMERICAN HONDA FINANCE 02665WDZ1 2,000,000.00 A- A3 12/01/21 12/03/21 1,970,740.00 1.62 1,588.89 1,994,236.67 1,950,448.00
DTD 09/09/2021 1.300%09/09/2026
JPMORGAN CHASE&CO (CALLABLE) 46625HRV4 1,000,000.00 A Al 11/01/21 11/03/21 1,057,540.00 1.72 14,750.00 1,011,716.29 990,574.00
DTD 07/21/2016 2.950%10/01/2026
CITIGROUP INC (CALLABLE) 172967KY6 1,200,000.00 BBB+ A3 08/07/23 08/10/23 1,124,628.00 5.36 17,066.67 1,175,116.11 1,190,017.20
DTD 10/21/2016 3.200%10/21/2026
NATIONAL RURAL UTIL COOP (CALLABLE) 63743HFK3 770,000.00 A- A2 10/30/23 11/02/23 769,730.50 5.61 16,529.33 769,895.68 782,520.20
DTD 11/02/2023 5.600%11/13/2026
JOHN DEERE CAPITAL CORP 24422EWA3 2,000,000.00 A Al 01/11/22 01/13/22 1,988,720.00 1.82 7,555.56 1,997,114.13 1,945,004.00
DTD 01/10/2022 1.700%01/11/2027
BANK OF AMERICA CORP (CALLABLE) 06051GLE7 1,000,000.00 A- Al 07/05/23 07/07/23 984,210.00 0.00 10,018.89 994,182.63 1,001,837.00
DTD 01/20/2023 5.080%01/20/2027
GOLDMAN SACHS GROUP INC (CALLABLE) 38141GWB6 2,300,000.00 BBB+ A2 09/02/22 09/07/22 2,228,539.00 4.64 15,988.19 2,278,502.86 2,293,373.70
DTD 01/26/2017 3.850%01/26/2027
TRUIST FINANCIAL CORP (CALLABLE) 89788MAD4 2,100,000.00 A- Baal 03/24/22 03/28/22 1,949,808.00 2.83 2,143.34 2,056,737.25 2,073,649.20
DTD 03/02/2021 1.267%03/02/2027
CHARLES SCHWAB CORP (CALLABLE) 808513BYO 2,000,000.00 A- A2 04/27/22 04/29/22 1,898,200.00 3.60 3,811.11 1,970,113.76 1,956,740.00
DTD 03/03/2022 2.450%03/03/2027
HOME DEPOT INC (CALLABLE) 437076CNO 2,000,000.00 A A2 05/06/22 05/10/22 1,936,100.00 3.59 26,513.89 1,980,056.00 1,971,336.00
DTD 03/28/2022 2.875%04/15/2027
PFM Asset Management,a division of Account 73340000 Page 12
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Pfm asset
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Managed Account Detail of Securities Held For the Month Ending September 30, 2025
CITY OF RANCHO CUCAMONGA - 73340000
Security Type/Description S&P Moody's Trade Settle Original YTM Accrued Amortized Market
Dated Date/Coupon/Maturity CUSIP Par Rating Rating Date Date Cost at Cost Interest Cost Value
Corporate
MORGAN STANLEY (CALLABLE) 61772BAB9 500,000.00 A- Al 06/08/22 06/10/22 452,825.00 3.72 3,252.38 484,676.15 492,107.50
DTD 04/22/2021 1.593%05/04/2027
NORTHERN TRUST CORP (CALLABLE) 665859AW4 1,595,000.00 A+ A2 05/10/22 05/12/22 1,610,407.70 3.79 24.988.33 1,599,784.40 1,597,485.01
DTD 05/10/2022 4.000%05/10/2027
UNITEDHEALTH GROUP INC (CALLABLE) 91324PEG3 400,000.00 A+ A2 05/17/22 05/20/22 399,784.00 3.71 5,591.11 399,929.72 398,457.20
DTD 05/20/2022 3.700%05/15/2027
UNITEDHEALTH GROUP INC (CALLABLE) 91324PEG3 1,400,000.00 A+ A2 06/02/22 06/06/22 1,412,488.00 3.50 19,568.89 1,403,955.60 1,394,600.20
DTD 05/20/2022 3.700%05/15/2027
PNC FINANCIAL SERVICES (CALLABLE) 693475AT2 2,500,000.00 A- A3 08/04/22 08/08/22 2,461,500.00 3.50 28,875.00 2,486,846.02 2,467,220.00
DTD 05/19/2017 3.150%05/19/2027
NATIONAL AUSTRALIA BK/NY 63254ABE7 3,000,000.00 AA- Aa2 06/09/22 06/13/22 2,973,990.00 4.10 36,446.67 2,991,194.83 2,999,514.00
DTD 06/09/2022 3.905%06/09/2027
BANK OF AMERICA CORP (CALLABLE) 06051GJS9 1,100,000.00 A- Al 08/07/23 08/10/23 986,150.00 4.63 3,655.85 1,047,878.80 1,078,031.90
DTD 04/22/2021 1.734%07/22/2027
IBM CORP (CALLABLE) 459200KT7 2,500,000.00 A- A3 08/01/22 08/03/22 2,561,055.00 3.61 18,444.44 2,521,666.91 2,510,755.00
DTD 07/27/2022 4.150%07/27/2027
TRUIST FINANCIAL CORP (CALLABLE) 89788MAC6 300,000.00 A- Baal 08/22/22 08/24/22 260,685.00 4.08 543.75 285,370.13 284,549.70
DTD 08/03/2020 1.125%08/03/2027
TRUIST FINANCIAL CORP (CALLABLE) 89788MAC6 1,500,000.00 A- Baal 10/27/22 10/31/22 1,226,295.00 5.54 2,718.75 1,394,163.14 1,422,748.50
DTD 08/03/2020 1.125%08/03/2027
TOYOTA MOTOR CREDIT CORP 89236TKJ3 2,300,000.00 A+ Al 10/04/22 10/06/22 2,275,459.00 4.79 3,197.64 2,290,246.88 2,326,530.50
DTD 09/20/2022 4.550%09/20/2027
TEXAS INSTRUMENTS INC (CALLABLE) 882508BC7 2,300,000.00 A+ Aa3 12/07/22 12/09/22 2,158,734.00 4.30 27,421.11 2,239,777.76 2,259,848.90
DTD 11/03/2017 2.900%11/03/2027
COMCAST CORP (CALLABLE) 20030NEA5 2,000,000.00 A- A3 01/25/23 01/30/23 2,085,520.00 4.35 40,422.22 2,037,033.44 2,054,718.00
DTD 11/07/2022 5.350%11/15/2027
JOHNSON&JOHNSON (CALLABLE) 478160DH4 555,000.00 AAA Aaa 02/18/25 02/20/25 554,678.10 4.57 2,104.38 554,740.03 565,986.23
DTD 02/20/2025 4.550%03/01/2028
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Managed Account Detail of Securities Held For the Month Ending September 30, 2025
CITY OF RANCHO CUCAMONGA - 73340000
Security Type/Description S&P Moody's Trade Settle Original YTM Accrued Amortized Market
Dated Date/Coupon/Maturity CUSIP Par Rating Rating Date Date Cost at Cost Interest Cost Value
Corporate
MORGAN STANLEY (CALLABLE) 61747YFP5 1,540,000.00 A- Al 05/02/24 05/06/24 1,548,100.40 5.50 40,619.04 1,544,390.67 1,574,483.68
DTD 04/19/2024 5.652%04/13/2028
JPMORGAN CHASE&CO (CALLABLE) 46647PEE2 1,075,000.00 A Al 05/02/24 05/06/24 1,078,128.25 5.49 26.450.64 1,076,708.15 1,098,479.08
DTD 04/22/2024 5.571%04/22/2028
CINTAS CORPORATION NO.2 (CALLABLE) 17252MAR1 1,125,000.00 A- A3 04/28/25 05/02/25 1,123,560.00 4.25 19,556.25 1,123,749.43 1,129,826.25
DTD 05/02/2025 4.200%05/01/2028
HERSHEY COMPANY (CALLABLE) 427866BHO 2,400,000.00 A Al 05/04/23 05/08/23 2,423,880.00 4.03 41,650.00 2,412,210.44 2,424,141.60
DTD 05/04/2023 4.250%05/04/2028
CUMMINS INC (CALLABLE) 231021AY2 190,000.00 A A2 05/06/25 05/09/25 189,867.00 4.28 3,185.14 189,883.62 191,426.14
DTD 05/09/2025 4.250%05/09/2028
META PLATFORMS INC (CALLABLE) 30303M8L9 2,500,000.00 AA- Aa3 06/01/23 06/05/23 2,504,650.00 4.56 43,444.44 2,502,466.07 2,551,162.50
DTD 05/03/2023 4.600%05/15/2028
MERCK&CO INC (CALLABLE) 58933YBH7 3,050,000.00 A+ Aa3 05/18/23 05/22/23 3,027,826.50 4.21 45,978.75 3,038,314.13 3,066,634.70
DTD 05/17/2023 4.050%05/17/2028
HSBC USA INC 40428HR95 580,000.00 A- A2 05/27/25 06/03/25 579,727.40 4.67 8,840.17 579,756.51 588,201.78
DTD 06/03/2025 4.650%06/03/2028
HSBC USA INC 40428HR95 2,220,000.00 A- A2 05/28/25 06/03/25 2,220,177.60 4.65 33.836.50 2,220,159.97 2,251,393.02
DTD 06/03/2025 4.650%06/03/2028
AMERICAN HONDA FINANCE 02665WEM9 800,000.00 A- A3 07/07/23 07/11/23 796,384.00 5.23 9,566.67 797,994.69 820,344.80
DTD 07/07/2023 5.125%07/07/2028
JOHN DEERE CAPITAL CORP 24422EXBO 800,000.00 A Al 08/07/23 08/10/23 805,360.00 4.79 8,470.00 803,030.48 821,529.60
DTD 07/14/2023 4.950%07/14/2028
BMW US CAPITAL LLC (CALLABLE) 05565ECE3 2,700,000.00 A A2 08/14/23 08/17/23 2,669,598.00 5.31 18,937.50 2,682,545.12 2,765,572.20
DTD 08/11/2023 5.050%08/11/2028
NATIONAL RURAL UTIL COOP (CALLABLE) 63743HFZO 500,000.00 NR A2 08/19/25 08/25/25 499,440.00 4.19 2,075.00 499,457.96 501,351.50
DTD 08/25/2025 4.150%08/25/2028
CITIBANK NA (CALLABLE) 17325FBB3 3,400,000.00 A+ Aa3 10/02/23 10/04/23 3,383,136.00 5.92 1,096.12 3,389,293.77 3,566,280.40
DTD 09/29/2023 5.803%09/29/2028
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Managed Account Detail of Securities Held For the Month Ending September 30, 2025
CITY OF RANCHO CUCAMONGA - 73340000
Security Type/Description S&P Moody's Trade Settle Original YTM Accrued Amortized Market
Dated Date/Coupon/Maturity CUSIP Par Rating Rating Date Date Cost at Cost Interest Cost Value
Corporate
COOPERAT RABOBANK UA/NY 21688ABC5 2,250,000.00 A+ Aa2 01/10/24 01/12/24 2,253,150.00 4.77 24,600.00 2,252,150.10 2,301,331.50
DTD 01/09/2024 4.800%01/09/2029
JPMORGAN CHASE&CO (CALLABLE) 46647PEU6 1,400,000.00 A Al 01/16/25 01/24/25 1,400,000.00 4.92 12.806.31 1,400,000.00 1,425,240.60
DTD 01/24/2025 4.915%01/24/2029
CISCO SYSTEMS INC (CALLABLE) 17275RBR2 1,620,000.00 AA- Al 02/21/24 02/26/24 1,619,433.00 4.86 7,638.75 1,619,603.12 1,662,335.46
DTD 02/26/2024 4.850%02/26/2029
BANK OF NEW YORK MELLON (CALLABLE) 06405LAH4 645,000.00 AA- Aa2 04/14/25 04/22/25 645,000.00 4.73 13,471.74 645,000.00 655,594.77
DTD 04/22/2025 4.729%04/20/2029
CATERPILLAR FINL SERVICE 14913UA03 215,000.00 A A2 08/12/24 08/16/24 214,417.35 4.44 1,175.78 214,537.87 217,962.27
DTD 08/16/2024 4.375%08/16/2029
ADOBE INC (CALLABLE) 00724PA18 2,795,000.00 A+ Al 01/14/25 01/17/25 2,790,723.65 4.98 28,439.13 2,791,271.66 2,896,533.97
DTD 01/17/2025 4.950%01/17/2030
NATIONAL RURAL UTIL COOP (CALLABLE) 63743HFX5 875,000.00 NR A2 02/04/25 02/07/25 873,661.25 4.98 6,496.88 873,819.22 901,322.63
DTD 02/07/2025 4.950%02/07/2030
HERSHEY COMPANY (CALLABLE) 427866BL1 2,000,000.00 A Al 02/24/25 02/25/25 2,006,140.00 4.68 9,763.89 2,005,465.94 2,048,100.00
DTD 02/24/2025 4.750%02/24/2030
MARS INC (CALLABLE) 571676AY1 890,000.00 A A2 03/05/25 03/12/25 889,038.80 4.83 3,560.00 889,135.03 906,711.53
DTD 03/12/2025 4.800%03/01/2030
STATE STREET CORP (CALLABLE) 857477DB6 605,000.00 A Aa3 04/22/25 04/24/25 605,000.00 4.83 12,754.37 605,000.00 621,100.87
DTD 04/24/2025 4.834%04/24/2030
WALMART INC (CALLABLE) 931142FN8 1,020,000.00 AA Aa2 04/23/25 04/28/25 1,018,235.40 4.39 18,857.25 1,018,371.67 1,036,742.28
DTD 04/28/2025 4.350%04/28/2030
BLACKROCK INC (CALLABLE) 09247XA04 2,800,000.00 AA- Aa3 06/26/25 06/27/25 2,568,216.00 4.31 28,186.67 2,579,525.87 2,606,520.00
DTD 01/27/2020 2.400%04/30/2030
COLGATE-PALMOLIVE CO (CALLABLE) 194162ATO 1,155,000.00 A+ Aa3 04/28/25 05/02/25 1,154,387.85 4.21 20,077.75 1,154,437.36 1,164,048.27
DTD 05/02/2025 4.200%05/01/2030
NATIONAL SECS CLEARING (CALLABLE) 637639AO8 3,010,000.00 AA+ Aal 05/13/25 05/20/25 3,008,133.80 4.71 51,479.36 3,008,263.71 3,075,404.29
DTD 05/20/2025 4.700%05/20/2030
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Managed Account Detail of Securities Held For the Month Ending September 30, 2025
CITY OF RANCHO CUCAMONGA - 73340000
Security Type/Description S&P Moody's Trade Settle Original YTM Accrued Amortized Market
Dated Date/Coupon/Maturity CUSIP Par Rating Rating Date Date Cost at Cost Interest Cost Value
Corporate
CITIBANK NA (CALLABLE) 17325FBP2 810,000.00 A+ Aa3 05/21/25 05/29/25 810,000.00 4.91 13,488.93 810,000.00 832,219.92
DTD 05/29/2025 4.914%05/29/2030
HOME DEPOT INC (CALLABLE) 437076DJ8 170,000.00 A A2 09/08/25 09/15/25 169.389.70 4.03 298.44 169,395.37 168,537.32
DTD 09/15/2025 3.950%09/15/2030
Security Type Sub-Total 85,460,000.00 84,201,148.25 4.28 901,108.98 84,854,552.19 85,863,988.87
Certificate of Deposit
NATIXIS NY BRANCH 63873TBC1 1,000,000.00 A-1 P-1 02/14/25 02/18/25 1,000,000.00 4.51 28,187.50 1,000,000.00 1,001,250.00
DTD 02/18/2025 4.510%02/13/2026
NATIXIS NY BRANCH 638730P65 2,300,000.00 A-1 P-1 09/18/23 09/20/23 2,300,000.00 5.61 4,659.42 2,300,000.00 2,337,805.10
DTD 09/20/2023 5.610%09/18/2026
CREDIT AGRICOLE CIB NY 22536DWD6 3,100,000.00 A+ Al 02/01/24 02/05/24 3,100,000.00 4.76 97,553.56 3,100,000.00 3,123,188.00
DTD 02/05/2024 4.760%02/01/2027
Security Type Sub-Total 6,400,000.00 6,400,000.00 5.03 130,400.48 6,400,000.00 6,462,243.10
Asset-Backed Security
HAROT 2024-3 A2 43813YAB8 1,030,014.85 NR Aaa 08/09/24 08/21/24 1,029,934.20 4.89 1,399.10 1,029,969.21 1,031,797.80
DTD 08/21/2024 4.890%02/22/2027
WOART 2024-A A2A 98164RAB2 17,356.03 AAA NR 02/06/24 02/14/24 17.354.67 5.05 38.95 17,355.36 17,360.25
DTD 02/14/2024 5.050%04/15/2027
NAROT 2023-B A3 65480MAD5 513,263.89 NR Aaa 10/18/23 10/25/23 513,159.70 5.94 1,352.74 513,203.05 517,631.77
DTD 10/25/2023 5.930%03/15/2028
HAROT 2023-4 A3 438123AC5 345,735.46 NR Aaa 11/01/23 11/08/23 345,674.58 5.67 544.53 345,698.04 349,826.20
DTD 11/08/2023 5.670%06/21/2028
KCOT 2024-2A A3 50117DACO 2,100,000.00 NR Aaa 02/11/25 02/12/25 2,124,363.28 4.92 4,909.33 2,120,552.32 2,139,005.40
DTD 06/25/2024 5.260%11/15/2028
TAOT 2024-C A3 892370AD2 1,475,000.00 AAA NR 07/23/24 07/30/24 1,474,999.12 4.88 3,199.11 1,475,000.00 1,491,468.38
DTD 07/30/2024 4.880%03/15/2029
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Managed Account Detail of Securities Held For the Month Ending September 30, 2025
CITY OF RANCHO CUCAMONGA - 73340000
Security Type/Description S&P Moody's Trade Settle Original YTM Accrued Amortized Market
Dated Date/Coupon/Maturity CUSIP Par Rating Rating Date Date Cost at Cost Interest Cost Value
Asset-Backed Security
HART 2024-C A3 448976AD2 1,215,000.00 AAA NR 10/08/24 10/16/24 1,214,911.06 4.41 2,381.40 1,214,930.97 1,224,247.37
DTD 10/16/2024 4.410%05/15/2029
HAROT 2024-4 A3 43816DAC9 3,000,000.00 AAA Aaa 01/30/25 01/31/25 2,987,578.13 4.44 5,773.33 2,989,367.30 3,016,308.00
DTD 10/24/2024 4.330%05/15/2029
BACCT 2024-A1 A 05522RD34 3,065,000.00 AAA Aaa 06/06/24 06/13/24 3,064,828.05 4.93 6,715.76 3,064,878.22 3,116,951.75
DTD 06/13/2024 4.930%05/15/2029
AMXCA 2024-3 A 02589BAEO 2,095,000.00 AAA NR 07/16/24 07/23/24 2,094,904.89 4.65 4,329.67 2,094,927.35 2,124,319.53
DTD 07/23/2024 4.650%07/15/2029
GMCAR 2024-4 A3 38014AAD3 975,000.00 AAA Aaa 10/08/24 10/16/24 974,812.22 4.40 1,787.50 974,847.43 981,711.90
DTD 10/16/2024 4.400%08/16/2029
VALET 2025-1 A3 92868MAD1 2,340,000.00 NR Aaa 03/18/25 03/25/25 2,339,920.44 4.50 3,217.50 2,339,933.37 2,363,437.44
DTD 03/25/2025 4.500%08/20/2029
BMWOT 2025-A A3 096924AD7 1,830,000.00 AAA Aaa 02/04/25 02/12/25 1,829,819.75 4.56 1,390.80 1,829,846.96 1,846,987.89
DTD 02/12/2025 4.560%09/25/2029
HAROT 2025-2 A3 437921ADI 735,000.00 NR Aaa 04/29/25 05/08/25 734,917.90 4.15 1,355.67 734,926.33 737,532.08
DTD 05/08/2025 4.150%10/15/2029
WFCIT 2024-A2 A 929700AE5 1,750,000.00 AAA Aaa 10/17/24 10/24/24 1,749,739.95 4.29 3,336.67 1,749,786.21 1,764,456.75
DTD 10/24/2024 4.290%10/15/2029
FORDO 2025-A A3 34535KADO 2,835,000.00 AAA Aaa 03/18/25 03/25/25 2,834,724.44 4.45 5,607.00 2,834,759.37 2,863,378.35
DTD 03/25/2025 4.450%10/15/2029
BAAT 2025-1A A3 0559413AD8 525,000.00 NR Aaa 05/06/25 05/12/25 524,963.78 4.35 697.81 524,968.26 528,355.80
DTD 05/12/2025 4.350%11/20/2029
MBART 2025-1 A3 58773DAD6 1,555,000.00 NR Aaa 01/14/25 01/23/25 1,554,669.25 4.78 3,303.51 1,554,715.84 1,575,706.38
DTD 01/23/2025 4.780%12/17/2029
VZMT 2025-3 AIA 92348KDY6 2,790,000.00 NR Aaa 03/25/25 03/31/25 2,789,880.03 4.51 3,844.78 2,789,898.53 2,813,176.53
DTD 03/31/2025 4.510%03/20/2030
FORDO 2025-B A3 3453213AG6 1,460,000.00 NR Aaa 09/23/25 09/26/25 1,459,842.47 3.91 792.86 1,459,848.43 1,459,601.42
DTD 09/26/2025 3.910%04/15/2030
PFM Asset Management,a division of Account 73340000 Page 17
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Managed Account Detail of Securities Held For the Month Ending September 30, 2025
CITY OF RANCHO CUCAMONGA - 73340000
Security Type/Description S&P Moody's Trade Settle Original YTM Accrued Amortized Market
Dated Date/Coupon/Maturity CUSIP Par Rating Rating Date Date Cost at Cost Interest Cost Value
Asset-Backed Security
HART 2025-C A3 44935JAD8 1,920,000.00 AAA NR 09/09/25 09/17/25 1,919,686.66 3.88 2,897.07 1,919,696.84 1,917,816.96
DTD 09/17/2025 3.880%04/15/2030
AMXCA 2025-2 A 02582JKP4 2,575,000.00 AAA NR 05/06/25 05/13/25 2,574,953.39 4.28 4,898.22 2,574,957.58 2,599,598.97
DTD 05/13/2025 4.280%04/15/2030
GMCAR 2025-2 A3 362549AD9 610,000.00 AAA Aaa 05/06/25 05/14/25 609,910.21 4.28 1,087.83 609,917.05 614,647.59
DTD 05/14/2025 4.280%04/16/2030
WFCIT 2025-A1 A 92970OA34 3,270,000.00 AAA NR 06/03/25 06/10/25 3,269,945.72 4.34 6,307.47 3,269,958.98 3,304,946.49
DTD 06/10/2025 4.340%05/15/2030
AMXCA 2025-4 A 025821KV1 2,110,000.00 AAA NR 07/15/25 07/22/25 2,109,695.95 4.30 4,032.44 2,109,708.27 2,132,646.63
DTD 07/22/2025 4.300%07/15/2030
COMET 2025-A1 A 14041NGF2 2,250,000.00 AAA NR 09/09/25 09/16/25 2,249,573.40 3.82 3,581.25 2,249,583.97 2,248,827.75
DTD 09/16/2025 3.820%09/16/2030
Security Type Sub-Total 44,386,370.23 44,394,763.24 4.47 78,782.30 44,393,235.24 44,781,745.38
Managed Account Sub-Total 405,717,560.51 395,380,615.28 4.22 2,600,713.65 399,757,952.64 404,054,549.78
Securities Sub-Total $405,717,560.51 $395,380,615.28 4.23% $2,600,713.65 $399,757,952.64 $404,054,549.78
Accrued Interest $2,600,713.65
Total Investments $406,655,263.43
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Managed Account Fair Market Value &Analytics For the Month Ending September 30, 2025
CITY OF RANCHO CUCAMONGA - 73340000
Security Type/Description Next Call Market Market Unreal G/L Unreal G/L Effective YTM
Dated Date/Coupon/Maturity CUSIP Par Broker Date Price Value On Cost Amort Cost Duration at Mkt
U.S.Treasury Bond I Note
US TREASURY N/13 91282CCZ2 1,800,000.00 BMO 97.24 1,750,260.60 115,424.66 (742.07) 0.98 3.74
DTD 09/30/2021 0.875%09/30/2026
US TREASURY N/B 91282CDG3 400,000.00 Citigrou 97.27 389,078.00 (8,500.13) (10,392.89) 1.05 3.74
DTD 11/01/2021 1.125%10/31/2026
US TREASURY N/B 91282CDG3 2,000,000.00 WeIlsFar 97.27 1,945,390.00 60,702.50 9,315.99 1.05 3.74
DTD 11/01/2021 1.125%10/31/2026
US TREASURY N/13 91282CDG3 3,000,000.00 BMO 97.27 2,918,085.00 128,436.56 (30,688.82) 1.05 3.74
DTD 11/01/2021 1.125%10/31/2026
US TREASURY N/13 912828U24 3,000,000.00 BOFAML 98.12 2,943,516.00 73,125.37 (23,681.63) 1.09 3.73
DTD 11/15/2016 2.000%11/15/2026
US TREASURY N/13 912828U24 4,000,000.00 Citigrou 98.12 3,924,688.00 88,438.00 16,359.38 1.09 3.73
DTD 11/15/2016 2.000%11/15/2026
US TREASURY N/B 91282CDK4 1,400,000.00 Citigrou 97.21 1,360,898.00 42,163.62 7,635.84 1.14 3.72
DTD 11/30/2021 1.250%11/30/2026
US TREASURY N/B 91282CDK4 2,895,000.00 Nomura 97.21 2,814,142.65 (89,112.62) (82,781.92) 1.14 3.72
DTD 11/30/2021 1.250%11/30/2026
US TREASURY N/B 91282CDO1 1,625,000.00 JPMorgan 97.03 1,576,693.63 (39,990.94) (46,224.09) 1.22 3.73
DTD 12/31/2021 1.250%12/31/2026
US TREASURY N/13 912828YX2 3,520,000.00 BMO 97.64 3,436,949.12 213,536.62 34,860.11 1.22 3.72
DTD 12/31/2019 1.750%12/31/2026
US TREASURY N/13 912828Z78 2,150,000.00 BOFAML 97.17 2,089,195.85 99,606.01 8,821.29 1.30 3.71
DTD 01/31/2020 1.500%01/31/2027
US TREASURY N/13 912828V98 645,000.00 BOFAML 98.09 632,679.21 7,281.16 (6,583.08) 1.33 3.70
DTD 02/15/2017 2.250%02/15/2027
US TREASURY N/13 912828V98 1,950,000.00 BOFAML 98.09 1,912,751.10 1,598.76 (25,479.72) 1.33 3.70
DTD 02/15/2017 2.250%02/15/2027
US TREASURY N/13 912828V98 3,400,000.00 Citigrou 98.09 3,335,053.20 21,381.32 (39,212.41) 1.33 3.70
DTD 02/15/2017 2.250%02/15/2027
US TREASURY N/13 912828ZB9 2,850,000.00 MorganSt 96.51 2,750,472.30 103,200.82 14,227.35 1.38 3.70
DTD 03/02/2020 1.125%02/28/2027
US TREASURY N/13 912828ZB9 4,500,000.00 BMO 96.51 4,342,851.00 332,753.34 41,668.73 1.38 3.70
DTD 03/02/2020 1.125%02/28/2027
US TREASURY N/B 91282CKEO 2,200,000.00 WeIlsFar 100.81 2,217,875.00 18,820.31 18,535.62 1.40 3.69
DTD 03/15/2024 4.250%03/15/2027
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Managed Account Fair Market Value &Analytics For the Month Ending September 30, 2025
CITY OF RANCHO CUCAMONGA - 73340000
Security Type/Description Next Call Market Market Unreal G/L Unreal G/L Effective YTM
Dated Date/Coupon/Maturity CUSIP Par Broker Date Price Value On Cost Amort Cost Duration at Mkt
U.S.Treasury Bond I Note
US TREASURY N/13 912828X88 3,300,000.00 BOFAML 97.99 3,233,742.60 54,527.76 (24,875.35) 1.56 3.68
DTD 05/15/2017 2.375%05/15/2027
US TREASURY N/B 91282CF132 1,500,000.00 MorganSt 98.44 1,476,562.50 3,574.22 1,524.10 1.76 3.66
DTD 08/01/2022 2.750%07/31/2027
US TREASURY N/13 91282CF132 1,600,000.00 BMO 98.44 1,575,000.00 53,000.00 6,256.15 1.76 3.66
DTD 08/01/2022 2.750%07/31/2027
US TREASURY N/13 91282CAH4 1,175,000.00 BOFAML 94.26 1,107,574.98 40,803.50 3,323.62 1.87 3.65
DTD 08/31/2020 0.500%08/31/2027
US TREASURY N/13 91282CAH4 1,200,000.00 BOFAML 94.26 1,131,140.40 37,359.15 529.02 1.87 3.65
DTD 08/31/2020 0.500%08/31/2027
US TREASURY N/B 91282CFM8 3,000,000.00 Citigrou 100.96 3,028,944.00 (52,149.75) (7,866.30) 1.90 3.64
DTD 09/30/2022 4.125%09/30/2027
US TREASURY N/13 91282CAU5 1,050,000.00 Citigrou 93.80 984,949.35 39,457.16 11,131.54 2.03 3.64
DTD 11/02/2020 0.500%10/31/2027
US TREASURY N/13 91282CLX7 800,000.00 WeIlsFar 101.02 808,156.00 13,124.75 11,884.49 1.99 3.64
DTD 11/15/2024 4.125%11/15/2027
US TREASURY N/13 91282831`5 3,200,000.00 Citigrou 97.22 3,111,001.60 97,376.60 (6,460.90) 2.03 3.64
DTD 11/15/2017 2.250%11/15/2027
US TREASURY N/13 91282CGC9 2,500,000.00 BMO 100.55 2,513,770.00 54,102.03 32,594.67 2.12 3.64
DTD 01/03/2023 3.875%12/31/2027
US TREASURY N/13 91282CGC9 2,500,000.00 BMO 100.55 2,513,770.00 67,676.25 48,696.40 2.12 3.64
DTD 01/03/2023 3.875%12/31/2027
US TREASURY N/13 91282C1339 3,100,000.00 BMO 93.64 2,902,858.60 265,073.44 57,420.36 2.27 3.64
DTD 02/01/2021 0.750%01/31/2028
US TREASURY N/13 91282CGH8 4,550,000.00 WeIlsFar 99.73 4,537,915.20 78,559.73 39,851.41 2.21 3.64
DTD 01/31/2023 3.500%01/31/2028
US TREASURY N/13 9128283W8 2,000,000.00 BMO 98.02 1,960,390.00 91,093.12 23,170.94 2.26 3.65
DTD 02/15/2018 2.750%02/15/2028
US TREASURY N/13 9128283W8 3,000,000.00 BMO 98.02 2,940,585.00 19,569.37 (20,856.75) 2.26 3.65
DTD 02/15/2018 2.750%02/15/2028
US TREASURY N/13 9128283W8 3,375,000.00 BMO 98.02 3,308,158.12 170,858.32 65,434.16 2.26 3.65
DTD 02/15/2018 2.750%02/15/2028
US TREASURY N/13 91282CBS9 1,700,000.00 JPMorgan 94.39 1,604,640.20 121,655.82 19,109.98 2.42 3.64
DTD 03/31/2021 1.250%03/31/2028
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Managed Account Fair Market Value &Analytics For the Month Ending September 30, 2025
CITY OF RANCHO CUCAMONGA - 73340000
Security Type/Description Next Call Market Market Unreal G/L Unreal G/L Effective YTM
Dated Date/Coupon/Maturity CUSIP Par Broker Date Price Value On Cost Amort Cost Duration at Mkt
U.S.Treasury Bond I Note
US TREASURY N/13 91282CBS9 2,625,000.00 BOFAML 94.39 2,477,753.25 220,663.41 57,347.19 2.42 3.64
DTD 03/31/2021 1.250%03/31/2028
US TREASURY N/13 91282CGT2 2,950,000.00 WellsFar 100.03 2,950,805.35 33,992.85 28,092.13 2.37 3.63
DTD 03/31/2023 3.625%03/31/2028
US TREASURY N/13 91282CBZ3 3,900,000.00 BMO 94.21 3,674,073.00 210,385.50 3,557.30 2.49 3.64
DTD 04/30/2021 1.250%04/30/2028
US TREASURY N/B 91282CCE9 325,000.00 RBC Capi 94.01 305,525.35 24,514.61 4,490.38 2.57 3.65
DTD 06/01/2021 1.250%05/31/2028
US TREASURY N/13 91282CCH2 3,375,000.00 BMO 93.83 3,166,830.00 268,153.24 73,191.73 2.65 3.64
DTD 06/30/2021 1.250%06/30/2028
US TREASURY N/13 91282CCH2 5,000,000.00 BOFAML 93.83 4,691,600.00 9,959.37 2,060.95 2.65 3.64
DTD 06/30/2021 1.250%06/30/2028
US TREASURY N/13 91282CJA0 6,000,000.00 BOFAML 102.81 6,168,750.00 75,703.12 108,660.49 2.78 3.64
DTD 10/02/2023 4.625%09/30/2028
US TREASURY N/13 91282CJF9 7,000,000.00 BMO 103.56 7,249,375.00 105,546.87 149,394.15 2.80 3.65
DTD 10/31/2023 4.875%10/31/2028
US TREASURY N/13 9128285M8 8,000,000.00 BMO 98.48 7,878,128.00 256,565.50 129,904.79 2.91 3.66
DTD 11/15/2018 3.125%11/15/2028
US TREASURY N/13 91282CJR3 4,800,000.00 BOFAML 100.32 4,815,187.20 154,312.20 118,382.09 3.01 3.66
DTD 01/02/2024 3.750%12/31/2028
US TREASURY N/13 91282CDW8 2,100,000.00 BMO 94.08 1,975,722.00 111,397.78 49,241.80 3.18 3.67
DTD 01/31/2022 1.750%01/31/2029
US TREASURY N/13 91282CDW8 4,500,000.00 Nomura 94.08 4,233,690.00 153,104.06 14,066.69 3.18 3.67
DTD 01/31/2022 1.750%01/31/2029
US TREASURY N/13 9128286131 5,725,000.00 BOFAML 96.76 5,539,384.05 298,772.72 167,080.32 3.18 3.66
DTD 02/15/2019 2.625%02/15/2029
US TREASURY N/13 91282CEE7 6,300,000.00 Citigrou 95.82 6,036,678.90 294,573.43 153,142.65 3.31 3.67
DTD 03/31/2022 2.375%03/31/2029
US TREASURY N/13 91282CEM9 2,750,000.00 Citigrou 97.35 2,677,169.00 45,118.22 18,161.86 3.32 3.68
DTD 05/02/2022 2.875%04/30/2029
US TREASURY N/13 91282CEM9 4,000,000.00 BOFAML 97.35 3,894,064.00 67,032.75 27,508.64 3.32 3.68
DTD 05/02/2022 2.875%04/30/2029
US TREASURY N/13 91282CEV9 2,200,000.00 BOFAML 98.50 2,167,085.80 16,156.11 5,989.86 3.46 3.69
DTD 06/30/2022 3.250%06/30/2029
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Managed Account Fair Market Value &Analytics For the Month Ending September 30, 2025
CITY OF RANCHO CUCAMONGA - 73340000
Security Type/Description Next Call Market Market Unreal G/L Unreal G/L Effective YTM
Dated Date/Coupon/Maturity CUSIP Par Broker Date Price Value On Cost Amort Cost Duration at Mkt
U.S.Treasury Bond I Note
US TREASURY N/B 91282CEV9 5,000,000.00 Nomura 98.50 4,925,195.00 8,398.12 (8,881.74) 3.46 3.69
DTD 06/30/2022 3.250%06/30/2029
US TREASURY N/13 91282CFCO 1,000,000.00 BMO 96.24 962,422.00 27,265.75 15,826.95 3.59 3.69
DTD 08/01/2022 2.625%07/31/2029
US TREASURY N/B 91282CFCO 1,100,000.00 Nomura 96.24 1,058,664.20 1,589.98 (6,680.49) 3.59 3.69
DTD 08/01/2022 2.625%07/31/2029
US TREASURY N/B 91282CFCO 3,400,000.00 WeIlsFar 96.24 3,272,234.80 40,242.61 28,015.47 3.59 3.69
DTD 08/01/2022 2.625%07/31/2029
US TREASURY N/13 91282CFLO 1,100,000.00 BOFAML 100.68 1,107,519.60 22,730.54 20,151.13 3.68 3.70
DTD 09/30/2022 3.875%09/30/2029
US TREASURY N/13 91282CFLO 2,000,000.00 BMO 100.68 2,013,672.00 35,703.25 31,917.54 3.68 3.70
DTD 09/30/2022 3.875%09/30/2029
US TREASURY N/13 91282CFT3 2,725,000.00 WeIlsFar 101.13 2,755,656.25 47,687.50 45,058.36 3.68 3.71
DTD 10/31/2022 4.000%10/31/2029
US TREASURY N/B 91282CFY2 5,000,000.00 WeIlsFar 100.64 5,032,225.00 1,756.25 2,245.04 3.77 3.71
DTD 11/30/2022 3.875%11/30/2029
US TREASURY N/13 91282CMDO 2,000,000.00 Nomura 102.59 2,051,718.00 47,186.75 47,730.67 3.82 3.72
DTD 12/31/2024 4.375%12/31/2029
US TREASURY N/B 91282CMDO 2,500,000.00 MorganSt 102.59 2,564,647.50 62,889.69 63,121.81 3.82 3.72
DTD 12/31/2024 4.375%12/31/2029
US TREASURY N/13 91282CG34 6,500,000.00 Citigrou 99.15 6,444,899.50 108,415.12 90,797.04 3.97 3.72
DTD 01/31/2023 3.500%01/31/2030
US TREASURY N/13 91282CGS4 2,300,000.00 WeIlsFar 99.59 2,290,565.40 46,538.06 41,791.02 4.12 3.73
DTD 03/31/2023 3.625%03/31/2030
US TREASURY N/13 91282CMU2 4,200,000.00 Nomura 101.14 4,248,069.00 33,467.44 34,785.06 4.09 3.73
DTD 03/31/2025 4.000%03/31/2030
US TREASURY N/B 91282CHF1 2,675,000.00 Citigrou 100.07 2,676,880.53 9,717.44 9,357.07 4.20 3.74
DTD 05/31/2023 3.750%05/31/2030
US TREASURY N/13 91282CHF1 4,300,000.00 BMO 100.07 4,303,022.90 61,308.06 58,055.92 4.20 3.74
DTD 05/31/2023 3.750%05/31/2030
US TREASURY N/B 91282CNN7 720,000.00 WeIlsFar 100.60 724,331.52 675.27 724.04 4.35 3.74
DTD 07/31/2025 3.875%07/31/2030
US TREASURY N/B 91282CNN7 4,675,000.00 WeIlsFar 100.60 4,703,124.80 (18,259.97) (17,661.50) 4.35 3.74
DTD 07/31/2025 3.875%07/31/2030
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Managed Account Fair Market Value &Analytics For the Month Ending September 30, 2025
CITY OF RANCHO CUCAMONGA - 73340000
Security Type/Description Next Call Market Market Unreal G/L Unreal G/L Effective YTM
Dated Date/Coupon/Maturity CUSIP Par Broker Date Price Value On Cost Amort Cost Duration at Mkt
Security Type Sub-Total 203,630,000.00 200,116,406.11 5,207,790.43 1,713,131.63 2.67 3.68
Municipal Bond I Note
LOS ANGELES UNIF SD-B 544647KY5 890,000.00 Raymond] 101.56 903,865.31 13,865.31 13,865.31 2.53 3.92
DTD 05/13/2025 4.423%07/01/2028
CONNECTICUT ST-A-TXBL 20772KZK8 1,080,000.00 Barclays 102.17 1,103,471.64 23,471.64 23,471.64 3.17 3.83
DTD 05/07/2025 4.489%03/15/2029
Security Type Sub-Total 1,970,000.00 2,007,336.95 37,336.95 37,336.95 2.88 3.87
Federal Agency Commercial Mortgage-Backed Security
FHMS K062 A2 3137BUX60 1,710,000.00 Barclays 99.32 1,698,401.07 73,901.07 19,957.18 1.14 3.86
DTD 02/01/2017 3.413%12/01/2026
FHMS K067 A2 3137FAWS3 1,960,000.00 TD Secur 98.70 1,934,429.84 98,690.78 31,943.40 1.68 3.89
DTD 09/01/2017 3.194%07/01/2027
FHMS K505 A2 3137HACX2 3,150,000.00 SAN 101.88 3,209,210.55 56,503.52 57,700.51 2.43 3.98
DTD 07/01/2023 4.819%06/01/2028
FHMS K146 Al 3137HAD45 3,154,680.55 3PMorgan 100.85 3,181,621.53 27,019.84 26,984.87 1.63 4.13
DTD 07/01/2023 4.777%06/01/2028
FNA 2023-M6 A2 3136BODE6 3,246,509.73 3PMorgan 100.19 3,252,635.89 127,109.37 75,317.92 2.56 4.06
DTD 07/01/2023 4.181%07/01/2028
FHMS K508 A2 3137HAO74 3,000,000.00 BMO 101.93 3,057,951.00 123,759.00 99,380.40 2.60 3.94
DTD 10/01/2023 4.740%08/01/2028
FHMS K506 A2 3137HAMH6 3,475,000.00 WellsFar 101.57 3,529,599.20 106,004.87 86,326.44 2.57 3.98
DTD 09/01/2023 4.650%08/01/2028
FHMS K509 A2 3137HAST4 2,330,000.00 MorganSt 102.30 2,383,506.12 127,793.51 101,946.58 2.68 3.94
DTD 10/01/2023 4.850%09/01/2028
FHMS K507 A2 3137HAMS2 3,000,000.00 PNCBank 101.99 3,059,556.00 149,907.57 117,232.32 2.63 3.99
DTD 09/01/2023 4.800%09/01/2028
FHMS K510 A2 3137HB3D4 1,130,000.00 3PMorgan 102.70 1,160,543.90 33,810.73 32,676.10 2.71 4.02
DTD 11/01/2023 5.069%10/01/2028
FHMS K511 A2 3137HB3G7 1,720,000.00 BOFAML 102.28 1,759,135.16 44,076.72 42,381.26 2.75 3.99
DTD 12/01/2023 4.860%10/01/2028
FHMS K514 A2 3137HBLV4 1,790,000.00 3PMorgan 101.46 1,816,209.18 8,310.97 13,908.76 2.84 4.01
DTD 02/01/2024 4.572%12/01/2028
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Managed Account Fair Market Value &Analytics For the Month Ending September 30, 2025
CITY OF RANCHO CUCAMONGA - 73340000
Security Type/Description Next Call Market Market Unreal G/L Unreal G/L Effective YTM
Dated Date/Coupon/Maturity CUSIP Par Broker Date Price Value On Cost Amort Cost Duration at Mkt
Federal Agency Commercial Mortgage-Backed Security
FHMS K520 A2 3137HCKV3 4,000,000.00 WellsFar 103.44 4,137,772.00 99,490.75 108,649.11 3.09 4.04
DTD 04/01/2024 5.180%03/01/2029
FHMS K528 A2 3137HFNZ4 1,305,000.00 BOFAML 101.54 1,325,130.93 (5,942.97) (754.27) 3.43 4.03
DTD 09/01/2024 4.508%07/01/2029
FHMS K527 A2 3137HFF59 2,650,000.00 MorganSt 101.91 2,700,702.45 4,396.35 13,952.19 3.41 4.03
DTD 08/01/2024 4.618%07/01/2029
FHMS K526 A2 3137HDXL9 3,345,000.00 BMO 101.69 3,401,674.34 25,385.21 31,917.46 3.42 4.02
DTD 08/01/2024 4.543%07/01/2029
FHMS K529 A2 3137HH6C0 2,355,000.00 MorganSt 102.54 2,414,904.14 12,834.75 21,159.18 3.53 4.04
DTD 10/01/2024 4.791%09/01/2029
FHMS K530 A2 3137HHJL6 3,730,000.00 JPMorgan 102.56 3,825,346.26 75,924.15 78,744.95 3.54 4.04
DTD 11/01/2024 4.792%09/01/2029
FHMS K539 A2 3137HKX38 1,325,000.00 JPMorgan 101.27 1,341,847.38 16,893.75 16,889.12 3.85 4.05
DTD 04/01/2025 4.410%01/01/2030
FHMS K537 A2 3137HKPF5 2,085,000.00 MorganSt 101.36 2,113,349.75 28,372.68 28,366.45 3.93 4.06
DTD 03/01/2025 4.430%02/01/2030
FHMS K547 A2 3137HN6B9 2,355,000.00 JPMorgan 101.29 2,385,425.19 (4,826.81) (5,379.19) 3.97 4.07
DTD 09/01/2025 4.421%05/01/2030
FHMS K543 A2 3137HMC65 3,925,000.00 GoldmanS 100.97 3,962,919.43 37,994.01 37,986.73 4.16 4.07
DTD 07/01/2025 4.329%06/01/2030
FHMS K544 A2 3137HMCE8 4,020,000.00 JPMorgan 100.70 4,048,051.56 32,288.64 32,221.28 4.24 4.08
DTD 07/01/2025 4.266%07/01/2030
Security Type Sub-Total 60,761,190.28 61,699,922.87 1,299,698.46 1,069,508.75 3.05 4.02
Federal Agency Bond I Note
FEDERAL HOME LOAN BANK 3130B6R24 3,110,000.00 Nomura 100.42 3,122,906.50 17,042.80 16,429.89 1.59 3.64
DTD 06/13/2025 3.875%06/04/2027
Security Type Sub-Total 3,110,000.00 3,122,906.50 17,042.80 16,429.89 1.59 3.64
Corporate
MORGAN STANLEY 6176113R8 1.000,000.00 SUSQ 99.27 992,702.00 (69,618.00) (18,123.54) 0.80 4.05
DTD 07/25/2016 3.125%07/27/2026
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Managed Account Fair Market Value &Analytics For the Month Ending September 30, 2025
CITY OF RANCHO CUCAMONGA - 73340000
Security Type/Description Next Call Market Market Unreal G/L Unreal G/L Effective YTM
Dated Date/Coupon/Maturity CUSIP Par Broker Date Price Value On Cost Amort Cost Duration at Mkt
Corporate
MORGAN STANLEY 6176133R8 1,000,000.00 SEEL 99.27 992,702.00 56,422.00 9,848.47 0.80 4.05
DTD 07/25/2016 3.125%07/27/2026
AMERICAN HONDA FINANCE 02665WDZ1 2,000,000.00 RBC Capi 97.52 1,950,448.00 (20,292.00) (43,788.67) 0.92 4.06
DTD 09/09/2021 1.300%09/09/2026
JPMORGAN CHASE&CO (CALLABLE) 46625HRV4 1,000,000.00 SUSQ 07/01/26 99.06 990,574.00 (66,966.00) (21,142.29) 0.94 3.95
DTD 07/21/2016 2.950%10/01/2026
CITIGROUP INC (CALLABLE) 172967KY6 1,200,000.00 RBS 07/21/26 99.17 1,190,017.20 65,389.20 14,901.09 0.97 4.05
DTD 10/21/2016 3.200%10/21/2026
NATIONAL RURAL UTIL COOP (CALLABLE) 63743HFK3 770,000.00 MIZU 10/13/26 101.63 782,520.20 12,789.70 12,624.52 0.98 4.12
DTD 11/02/2023 5.600%11/13/2026
JOHN DEERE CAPITAL CORP 24422EWA3 2,000,000.00 JPMorgan 97.25 1,945,004.00 (43,716.00) (52,110.13) 1.24 3.95
DTD 01/10/2022 1.700%01/11/2027
BANK OF AMERICA CORP (CALLABLE) 06051GLE7 1,000,000.00 JPMorgan 01/20/26 100.18 1,001,837.00 17,627.00 7,654.37 0.30 5.21
DTD 01/20/2023 5.080%01/20/2027
GOLDMAN SACHS GROUP INC (CALLABLE) 38141GWB6 2,300,000.00 MorganSt 01/26/26 99.71 2,293,373.70 64,834.70 14,870.84 0.83 4.08
DTD 01/26/2017 3.850%01/26/2027
TRUIST FINANCIAL CORP (CALLABLE) 89788MAD4 2,100,000.00 GoldmanS 03/02/26 98.75 2,073,649.20 123,841.20 16,911.95 0.41 4.66
DTD 03/02/2021 1.267%03/02/2027
CHARLES SCHWAB CORP (CALLABLE) 808513BYO 2,000,000.00 CSFirstB 02/03/27 97.84 1,956,740.00 58,540.00 (13,373.76) 1.37 4.07
DTD 03/03/2022 2.450%03/03/2027
HOME DEPOT INC (CALLABLE) 437076CNO 2,000,000.00 Scotiaca 03/15/27 98.57 1,971,336.00 35,236.00 (8,720.00) 1.45 3.84
DTD 03/28/2022 2.875%04/15/2027
MORGAN STANLEY (CALLABLE) 61772BAB9 500,000.00 BOFAML 05/04/26 98.42 492,107.50 39,282.50 7,431.35 0.58 4.80
DTD 04/22/2021 1.593%05/04/2027
NORTHERN TRUST CORP (CALLABLE) 665859AW4 1,595,000.00 JPMorgan 04/10/27 100.16 1,597,485.01 (12,922.69) (2,299.39) 1.47 3.91
DTD 05/10/2022 4.000%05/10/2027
UNITEDHEALTH GROUP INC (CALLABLE) 91324PEG3 400,000.00 BOFAML 04/15/27 99.61 398,457.20 (1,326.80) (1,472.52) 1.50 3.97
DTD 05/20/2022 3.700%05/15/2027
UNITEDHEALTH GROUP INC (CALLABLE) 91324PEG3 1,400,000.00 JPMorgan 04/15/27 99.61 1,394,600.20 (17,887.80) (9,355.40) 1.50 3.97
DTD 05/20/2022 3.700%05/15/2027
PNC FINANCIAL SERVICES (CALLABLE) 693475AT2 2,500,000.00 JANE 04/19/27 98.69 2,467,220.00 5,720.00 (19,626.02) 1.53 4.03
DTD 05/19/2017 3.150%05/19/2027
NATIONAL AUSTRALIA BK/NY 63254ABE7 3,000,000.00 JPMorgan 99.98 2,999,514.00 25,524.00 8,319.17 1.60 3.91
DTD 06/09/2022 3.905%06/09/2027
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Managed Account Fair Market Value &Analytics For the Month Ending September 30, 2025
CITY OF RANCHO CUCAMONGA - 73340000
Security Type/Description Next Call Market Market Unreal G/L Unreal G/L Effective YTM
Dated Date/Coupon/Maturity CUSIP Par Broker Date Price Value On Cost Amort Cost Duration at Mkt
Corporate
BANK OF AMERICA CORP (CALLABLE) 06051GJS9 1,100,000.00 JANE 07/22/26 98.00 1,078,031.90 91,881.90 30,153.10 0.79 4.76
DTD 04/22/2021 1.734%07/22/2027
IBM CORP (CALLABLE) 459200KT7 2,500,000.00 BNPPSA 06/27/27 100.43 2,510,755.00 (50,300.00) (10,911.91) 1.68 3.90
DTD 07/27/2022 4.150%07/27/2027
TRUIST FINANCIAL CORP (CALLABLE) 89788MAC6 300,000.00 JANE 06/03/27 94.85 284,549.70 23,864.70 (820.43) 1.78 4.10
DTD 08/03/2020 1.125%08/03/2027
TRUIST FINANCIAL CORP (CALLABLE) 89788MAC6 1,500,000.00 GoldmanS 06/03/27 94.85 1,422,748.50 196,453.50 28,585.36 1.78 4.10
DTD 08/03/2020 1.125%08/03/2027
TOYOTA MOTOR CREDIT CORP 89236TK33 2,300,000.00 Citigrou 101.15 2,326,530.50 51,071.50 36,283.62 1.87 3.95
DTD 09/20/2022 4.550%09/20/2027
TEXAS INSTRUMENTS INC (CALLABLE) 882508BC7 2,300,000.00 MorganSt 08/03/27 98.25 2,259,848.90 101,114.90 20,071.14 1.92 3.79
DTD 11/03/2017 2.900%11/03/2027
COMCAST CORP (CALLABLE) 20030NEA5 2,000,000.00 TD Secur 10/15/27 102.74 2,054,718.00 (30,802.00) 17,684.56 1.90 4.01
DTD 11/07/2022 5.350%11/15/2027
JOHNSON&JOHNSON (CALLABLE) 478160DH4 555,000.00 JPMorgan 02/01/28 101.98 565,986.23 11,308.13 11,246.20 2.22 3.72
DTD 02/20/2025 4.550%03/01/2028
MORGAN STANLEY (CALLABLE) 61747YFP5 1,540,000.00 JANE 04/13/27 102.24 1,574,483.68 26,383.28 30,093.01 1.42 4.54
DTD 04/19/2024 5.652%04/13/2028
JPMORGAN CHASE&CO (CALLABLE) 46647PEE2 1,075,000.00 MAXE 04/22/27 102.18 1,098,479.08 20,350.83 21,770.93 1.45 4.50
DTD 04/22/2024 5.571%04/22/2028
CINTAS CORPORATION NO.2 (CALLABLE) 17252MAR1 1,125,000.00 MUFG 04/01/28 100.43 1,129,826.25 6,266.25 6,076.82 2.35 4.04
DTD 05/02/2025 4.200%05/01/2028
HERSHEY COMPANY (CALLABLE) 427866BHO 2,400,000.00 GoldmanS 04/04/28 101.01 2,424,141.60 261.60 11,931.16 2.35 3.86
DTD 05/04/2023 4.250%05/04/2028
CUMMINS INC (CALLABLE) 231021AY2 190,000.00 JPMorgan 04/09/28 100.75 191,426.14 1,559.14 1,542.52 2.36 3.96
DTD 05/09/2025 4.250%05/09/2028
META PLATFORMS INC (CALLABLE) 30303M8L9 2,500,000.00 JPMorgan 04/15/28 102.05 2,551,162.50 46,512.50 48,696.43 2.36 3.79
DTD 05/03/2023 4.600%05/15/2028
MERCK&CO INC (CALLABLE) 58933YBH7 3,050,000.00 Citigrou 04/17/28 100.55 3,066,634.70 38,808.20 28,320.57 2.39 3.84
DTD 05/17/2023 4.050%05/17/2028
HSBC USA INC 40428HR95 580,000.00 HSBC 101.41 588,201.78 8,474.38 8,445.27 2.46 4.10
DTD 06/03/2025 4.650%06/03/2028
HSBC USA INC 40428HR95 2,220,000.00 HSBC 101.41 2,251,393.02 31,215.42 31,233.05 2.46 4.10
DTD 06/03/2025 4.650%06/03/2028
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Managed Account Fair Market Value &Analytics For the Month Ending September 30, 2025
CITY OF RANCHO CUCAMONGA - 73340000
Security Type/Description Next Call Market Market Unreal G/L Unreal G/L Effective YTM
Dated Date/Coupon/Maturity CUSIP Par Broker Date Price Value On Cost Amort Cost Duration at Mkt
Corporate
AMERICAN HONDA FINANCE 02665WEM9 800,000.00 GoldmanS 102.54 820,344.80 23,960.80 22,350.11 2.53 4.14
DTD 07/07/2023 5.125%07/07/2028
JOHN DEERE CAPITAL CORP 24422EXBO 800,000.00 GoldmanS 102.69 821,529.60 16,169.60 18,499.12 2.56 3.93
DTD 07/14/2023 4.950%07/14/2028
BMW US CAPITAL LLC (CALLABLE) 05565ECE3 2,700,000.00 Barclays 07/11/28 102.43 2,765,572.20 95,974.20 83,027.08 2.58 4.16
DTD 08/11/2023 5.050%08/11/2028
NATIONAL RURAL UTIL COOP (CALLABLE) 63743HFZO 500,000.00 MUFG 07/25/28 100.27 501,351.50 1,911.50 1,893.54 2.66 4.06
DTD 08/25/2025 4.150%08/25/2028
CITIBANK NA (CALLABLE) 17325FBB3 3,400,000.00 GoldmanS 08/29/28 104.89 3,566,280.40 183,144.40 176,986.63 2.68 4.07
DTD 09/29/2023 5.803%09/29/2028
COOPERAT RABOBANK UA/NY 21688ABC5 2,250,000.00 MIZU 102.28 2,301,331.50 48,181.50 49,181.40 2.98 4.06
DTD 01/09/2024 4.800%01/09/2029
JPMORGAN CHASE&CO (CALLABLE) 46647PEU6 1,400,000.00 JPMorgan 01/24/28 101.80 1,425,240.60 25,240.60 25,240.60 2.16 4.36
DTD 01/24/2025 4.915%01/24/2029
CISCO SYSTEMS INC (CALLABLE) 17275RBR2 1,620,000.00 Citigrou 01/26/29 102.61 1,662,335.46 42,902.46 42,732.34 3.06 4.00
DTD 02/26/2024 4.850%02/26/2029
BANK OF NEW YORK MELLON (CALLABLE) 06405LAH4 645,000.00 BOFAML 04/20/28 101.64 655,594.77 10,594.77 10,594.77 2.34 4.38
DTD 04/22/2025 4.729%04/20/2029
CATERPILLAR FINL SERVICE 14913UA03 215,000.00 BOFAML 101.38 217,962.27 3,544.92 3,424.40 3.52 3.99
DTD 08/16/2024 4.375%08/16/2029
ADOBE INC (CALLABLE) 00724PA38 2,795,000.00 BOFAML 12/17/29 103.63 2,896,533.97 105,810.32 105,262.31 3.78 4.02
DTD 01/17/2025 4.950%01/17/2030
NATIONAL RURAL UTIL COOP (CALLABLE) 63743HFX5 875,000.00 RBC Capi 01/07/30 103.01 901,322.63 27,661.38 27,503.41 3.83 4.21
DTD 02/07/2025 4.950%02/07/2030
HERSHEY COMPANY (CALLABLE) 427866BL1 2,000,000.00 TD Secur 01/24/30 102.41 2,048,100.00 41,960.00 42,634.06 3.90 4.14
DTD 02/24/2025 4.750%02/24/2030
MARS INC (CALLABLE) 571676AY1 890,000.00 BOFAML 02/01/30 101.88 906,711.53 17,672.73 17,576.50 3.91 4.32
DTD 03/12/2025 4.800%03/01/2030
STATE STREET CORP (CALLABLE) 857477DB6 605,000.00 MorganSt 03/24/30 102.66 621,100.87 16,100.87 16,100.87 3.96 4.17
DTD 04/24/2025 4.834%04/24/2030
WALMART INC (CALLABLE) 931142FN8 1,020,000.00 BOFAML 03/28/30 101.64 1,036,742.28 18,506.88 18,370.61 4.02 3.95
DTD 04/28/2025 4.350%04/28/2030
BLACKROCK INC (CALLABLE) 09247XA04 2,800,000.00 JANE 01/30/30 93.09 2,606,520.00 38,304.00 26,994.13 4.20 4.11
DTD 01/27/2020 2.400%04/30/2030
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Managed Account Fair Market Value &Analytics For the Month Ending September 30, 2025
CITY OF RANCHO CUCAMONGA - 73340000
Security Type/Description Next Call Market Market Unreal G/L Unreal G/L Effective YTM
Dated Date/Coupon/Maturity CUSIP Par Broker Date Price Value On Cost Amort Cost Duration at Mkt
Corporate
COLGATE-PALMOLIVE CO (CALLABLE) 194162ATO 1,155,000.00 Citigrou 04/01/30 100.78 1,164,048.27 9,660.42 9,610.91 4.04 4.02
DTD 05/02/2025 4.200%05/01/2030
NATIONAL SECS CLEARING (CALLABLE) 637639AC8 3,010,000.00 BOFAML 04/20/30 102.17 3,075,404.29 67,270.49 67,140.58 4.04 4.17
DTD 05/20/2025 4.700%05/20/2030
CITIBANK NA (CALLABLE) 17325FBP2 810,000.00 Citigrou 04/29/30 102.74 832,219.92 22,219.92 22,219.92 4.04 4.26
DTD 05/29/2025 4.914%05/29/2030
HOME DEPOT INC (CALLABLE) 437076DJ8 170,000.00 JPMorgan 08/15/30 99.14 168,537.32 (852.38) (858.05) 4.43 4.13
DTD 09/15/2025 3.950%09/15/2030
Security Type Sub-Total 85,460,000.00 85,863,988.87 1,662,840.62 1,009,436.68 2.22 4.08
DepositCertificate of
NATIXIS NY BRANCH 63873TBC1 1,000,000.00 NAT 100.13 1,001,250.00 1,250.00 1,250.00 0.37 4.07
DTD 02/18/2025 4.510%02/13/2026
NATIXIS NY BRANCH 638730P65 2,300,000.00 WeIlsFar 101.64 2,337,805.10 37,805.10 37,805.10 0.95 3.82
DTD 09/20/2023 5.610%09/18/2026
CREDIT AGRICOLE CIB NY 22536DWD6 3,100,000.00 CRAG 100.75 3,123,188.00 23,188.00 23,188.00 1.27 4.13
DTD 02/05/2024 4.760%02/01/2027
Security Type Sub-Total 6,400,000.00 6,462,243.10 62,243.10 62,243.10 1.01 4.01
Asset-Backed Security
HAROT 2024-3 A2 43813YAB8 1.030,014.85 JPMorgan 100.17 1,031,797.80 1,863.60 1,828.59 0.24 4.21
DTD 08/21/2024 4.890%02/22/2027
WOART 2024-A A2A 98164RAB2 17,356.03 MIZU 100.02 17,360.25 5.58 4.89 0.04 4.48
DTD 02/14/2024 5.050%04/15/2027
NAROT 2023-B A3 65480MAD5 513,263.89 MIZU 100.85 517,631.77 4,472.07 4,428.72 0.51 4.24
DTD 10/25/2023 5.930%03/15/2028
HAROT 2023-4 A3 438123AC5 345,735.46 JPMorgan 101.18 349,826.20 4,151.62 4,128.16 0.76 4.18
DTD 11/08/2023 5.670%06/21/2028
KCOT 2024-2A A3 50117DACO 2.100,000.00 WeIlsFar 101.86 2,139,005.40 14,642.12 18,453.08 1.40 4.02
DTD 06/25/2024 5.260%11/15/2028
TAOT 2024-C A3 892370AD2 1.475,000.00 MUFG 101.12 1,491,468.38 16,469.26 16,468.38 1.13 3.97
DTD 07/30/2024 4.880%03/15/2029
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Managed Account Fair Market Value &Analytics For the Month Ending September 30, 2025
CITY OF RANCHO CUCAMONGA - 73340000
Security Type/Description Next Call Market Market Unreal G/L Unreal G/L Effective YTM
Dated Date/Coupon/Maturity CUSIP Par Broker Date Price Value On Cost Amort Cost Duration at Mkt
Asset-Backed Security
HART 2024-C A3 448976AD2 1,215,000.00 Barclays 100.76 1,224,247.37 9,336.31 9,316.40 1.42 3.94
DTD 10/16/2024 4.410%05/15/2029
HAROT 2024-4 A3 43816DAC9 3,000,000.00 BOFAML 100.54 3,016,308.00 28,729.87 26,940.70 1.24 3.95
DTD 10/24/2024 4.330%05/15/2029
BACCT 2024-Al A 05522RD34 3,065,000.00 BOFAML 101.70 3,116,951.75 52,123.70 52,073.53 1.53 3.90
DTD 06/13/2024 4.930%05/15/2029
AMXCA 2024-3 A 02589BAEO 2,095,000.00 Citigrou 101.40 2,124,319.53 29,414.64 29,392.18 1.68 3.89
DTD 07/23/2024 4.650%07/15/2029
GMCAR 2024-4 A3 38014AAD3 975,000.00 MIZU 100.69 981,711.90 6,899.68 6,864.47 1.21 3.90
DTD 10/16/2024 4.400%08/16/2029
VALET 2025-1 A3 92868MAD1 2,340,000.00 Barclays 101.00 2,363,437.44 23,517.00 23,504.07 1.77 4.00
DTD 03/25/2025 4.500%08/20/2029
BMWOT 2025-A A3 096924AD7 1,830,000.00 WeIlsFar 100.93 1,846,987.89 17,168.14 17,140.93 1.40 3.97
DTD 02/12/2025 4.560%09/25/2029
HAROT 2025-2 A3 437921AD1 735,000.00 JPMorgan 100.34 737,532.08 2,614.18 2,605.75 1.94 4.14
DTD 05/08/2025 4.150%10/15/2029
WFCIT 2024-A2 A 929700AE5 1,750,000.00 WeIlsFar 100.83 1,764,456.75 14,716.80 14,670.54 1.92 3.91
DTD 10/24/2024 4.290%10/15/2029
FORDO 2025-A A3 34535KADO 2,835,000.00 SGAS 101.00 2,863,378.35 28,653.91 28,618.98 1.80 3.96
DTD 03/25/2025 4.450%10/15/2029
BAAT 2025-1A A3 05594BAD8 525,000.00 BOFAML 100.64 528,355.80 3,392.02 3,387.54 1.60 4.01
DTD 05/12/2025 4.350%11/20/2029
MBART 2025-1 A3 58773DAD6 1,555,000.00 SGAS 101.33 1,575,706.38 21,037.13 20,990.54 1.42 3.92
DTD 01/23/2025 4.780%12/17/2029
VZMT 2025-3 AlA 92348KDY6 2,790,000.00 BOFAML 100.83 2,813,176.53 23,296.50 23,278.00 1.92 4.18
DTD 03/31/2025 4.510%03/20/2030
FORDO 2025-B A3 34532BAG6 1,460,000.00 Barclays 99.97 1,459,601.42 (241.05) (247.01) 2.17 3.97
DTD 09/26/2025 3.910%04/15/2030
HART 2025-C A3 449353AD8 1,920,000.00 Citigrou 99.89 1,917,816.96 (1,869.70) (1,879.88) 2.14 3.98
DTD 09/17/2025 3.880%04/15/2030
AMXCA 2025-2 A 025823KP4 2,575,000.00 RBC Capi 100.96 2,599,598.97 24,645.58 24,641.39 2.36 3.93
DTD 05/13/2025 4.280%04/15/2030
GMCAR 2025-2 A3 362549AD9 610,000.00 TD Secur 100.76 614,647.59 4,737.38 4,730.54 1.90 3.94
DTD 05/14/2025 4.280%04/16/2030
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Managed Account Fair Market Value &Analytics For the Month Ending September 30, 2025
CITY OF RANCHO CUCAMONGA - 73340000
Security Type/Description Next Call Market Market Unreal G/L Unreal G/L Effective YTM
Dated Date/Coupon/Maturity CUSIP Par Broker Date Price Value On Cost Amort Cost Duration at Mkt
Asset-Backed Security
WFCIT 2025-A1 A 92970OA34 3,270,000.00 WeIlsFar 101.07 3,304,946.49 35,000.77 34,987.51 2.43 3.97
DTD 06/10/2025 4.340%05/15/2030
AMXCA 2025-4 A 02582XV1 2,110,000.00 Barclays 101.07 2,132,646.63 22,950.68 22,938.36 2.58 3.94
DTD 07/22/2025 4.300%07/15/2030
COMET 2025-A1 A 14041NGF2 2,250,000.00 WeIlsFar 99.95 2,248,827.75 (745.65) (756.22) 2.75 3.89
DTD 09/16/2025 3.820%09/16/2030
Security Type Sub-Total 44,386,370.23 44,781,745.38 386,982.14 388,510.14 1.78 3.98
Managed Account Sub-Total 405,717,560.51 404,054,549.78 8,673,934.50 4,296,597.14 2.50 3.86
Securities Sub-Total $405,717,560.51 $404,054,549.78 $8,673,934.50 $4,296,597.14 2.50 3.85%
Accrued Interest $2,600,713.65
Total Investments $406,655,263.43
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Managed Account Security Transactions & Interest For the Month Ending September 30, 2025
CITY OF RANCHO CUCAMONGA - 73340000
Transaction Type Principal Accrued Realized GIL Realized GIL Sale
Trade Settle Security Description CUSIP Par Proceeds Interest Total Cost Amort Cost Method
09/02/25 09/04/25 US TREASURY N/B 91282CFY2 5,000,000.00 (5,030,468.75) (50,819.67) (5,081,288.42)
DTD 11/30/2022 3.875%11/30/2029
09/02/25 09/04/25 US TREASURY N/B 91282CNN7 720,000.00 (723,656.25) (2,653.53) (726,309.78)
DTD 07/31/2025 3.875%07/31/2030
09/02/25 09/04/25 US TREASURY N/B 91282CCH2 5,000,000.00 (4,681,640.63) (11,209.24) (4,692,849.87)
DTD 06/30/2021 1.250%06/30/2028
09/04/25 09/05/25 US TREASURY N/B 91282CNN7 4,675,000.00 (4,721,384.77) (17,721.81) (4,739,106.58)
DTD 07/31/2025 3.875%07/31/2030
09/08/25 09/15/25 HOME DEPOT INC (CALLABLE) 437076DJ8 170,000.00 (169,389.70) 0.00 (169,389.70)
DTD 09/15/2025 3.950%09/15/2030
09/09/25 09/16/25 COMET 2025-A1 A 14041NGF2 2,250,000.00 (2,249,573.40) 0.00 (2,249,573.40)
DTD 09/16/2025 3.820%09/16/2030
09/09/25 09/17/25 HART 2025-C A3 44935JAD8 1,920,000.00 (1,919,686.66) 0.00 (1,919,686.66)
DTD 09/17/2025 3.880%04/15/2030
09/23/25 09/26/25 FORDO 2025-B A3 34532BAG6 1,460,000.00 (1,459,842.47) 0.00 (1,459,842.47)
DTD 09/26/2025 3.910%04/15/2030
09/23/25 09/29/25 FHMS K547 A2 3137HN6B9 2,355,000.00 (2,390,252.00) (8,097.80) (2,398,349.80)
DTD 09/01/2025 4.421%05/01/2030
Transaction Type Sub-Total 23,550,000.00 (23,345,894.63) (90,502.05) (23,436,396.68)
09/01/25 09/01/25 MARS INC (CALLABLE) 571676AY1 0.00 20,054.67 20,054.67
DTD 03/12/2025 4.800%03/01/2030
09/01/25 09/01/25 JOHNSON&JOHNSON (CALLABLE) 478160DH4 0.00 13,397.85 13,397.85
DTD 02/20/2025 4.550%03/01/2028
09/01/25 09/25/25 FHMS K539 A2 3137HKXJ8 0.00 4,869.38 4,869.38
DTD 04/01/2025 4.410%01/01/2030
09/01/25 09/25/25 FHMS K062 A2 3137BUX60 0.00 4,863.53 4,863.53
DTD 02/01/2017 3.413%12/01/2026
09/01/25 09/25/25 FHMS K508 A2 3137HAO74 0.00 11,850.00 11,850.00
DTD 10/01/2023 4.740%08/01/2028
09/01/25 09/25/25 FHMS K514 A2 3137HBLV4 0.00 6,819.90 6,819.90
DTD 02/01/2024 4.572%12/01/2028
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Managed Account Security Transactions & Interest For the Month Ending September 30, 2025
CITY OF RANCHO CUCAMONGA - 73340000
Transaction Type Principal Accrued Realized GIL Realized GIL Sale
Trade Settle Security Description CUSIP Par Proceeds Interest Total Cost Amort Cost Method
09/01/25 09/25/25 FHMS KJ46 Al 3137HAD45 0.00 12,571.44 12,571.44
DTD 07/01/2023 4.777%06/01/2028
09/01/25 09/25/25 FHMS K507 A2 3137HAMS2 0.00 12,000.00 12,000.00
DTD 09/01/2023 4.800%09/01/2028
09/01/25 09/25/25 FHMS K537 A2 3137HKPF5 0.00 7,697.13 7,697.13
DTD 03/01/2025 4.430%02/01/2030
09/01/25 09/25/25 FHMS K510 A2 3137HB3D4 0.00 4,773.31 4,773.31
DTD 11/01/2023 5.069%10/01/2028
09/01/25 09/25/25 FHMS K067 A2 3137FAWS3 0.00 5,216.87 5,216.87
DTD 09/01/2017 3.194%07/01/2027
09/01/25 09/25/25 FNA 2023-M6 A2 3136130DE6 0.00 11,336.80 11,336.80
DTD 07/01/2023 4.181%07/01/2028
09/01/25 09/25/25 FHMS K506 A2 3137HAMH6 0.00 13,465.63 13,465.63
DTD 09/01/2023 4.650%08/01/2028
09/01/25 09/25/25 FHMS K511 A2 3137HB3G7 0.00 6,966.00 6,966.00
DTD 12/01/2023 4.860%10/01/2028
09/01/25 09/25/25 FHMS K527 A2 3137HFF59 0.00 10,198.08 10,198.08
DTD 08/01/2024 4.618%07/01/2029
09/01/25 09/25/25 FHMS K543 A2 3137HMC65 0.00 14,159.44 14,159.44
DTD 07/01/2025 4.329%06/01/2030
09/01/25 09/25/25 FHMS K520 A2 3137HCKV3 0.00 17,266.67 17,266.67
DTD 04/01/2024 5.180%03/01/2029
09/01/25 09/25/25 FHMS K529 A2 3137HH6C0 0.00 9,402.34 9,402.34
DTD 10/01/2024 4.791%09/01/2029
09/01/25 09/25/25 FHMS K505 A2 3137HACX2 0.00 12,649.88 12,649.88
DTD 07/01/2023 4.819%06/01/2028
09/01/25 09/25/25 FHMS K509 A2 3137HAST4 0.00 9,417.08 9,417.08
DTD 10/01/2023 4.850%09/01/2028
09/01/25 09/25/25 FHMS K530 A2 3137HHJL6 0.00 14,895.13 14,895.13
DTD 11/01/2024 4.792%09/01/2029
09/01/25 09/25/25 FHMS K526 A2 3137HDXL9 0.00 12,663.61 12,663.61
DTD 08/01/2024 4.543%07/01/2029
09/01/25 09/25/25 FHMS K528 A2 3137HFNZ4 0.00 4,902.45 4,902.45
DTD 09/01/2024 4.508%07/01/2029
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management
Managed Account Security Transactions & Interest For the Month Ending September 30, 2025
CITY OF RANCHO CUCAMONGA - 73340000
Transaction Type Principal Accrued Realized GIL Realized GIL Sale
Trade Settle Security Description CUSIP Par Proceeds Interest Total Cost Amort Cost Method
09/01/25 09/25/25 FHMS K544 A2 3137HMCE8 0.00 14,291.10 14,291.10
DTD 07/01/2025 4.266%07/01/2030
09/02/25 09/02/25 TRUIST FINANCIAL CORP (CALLABLE) 89788MAD4 0.00 13,303.50 13,303.50
DTD 03/02/2021 1.267%03/02/2027
09/03/25 09/03/25 MONEY MARKET FUND MONEY0002 0.00 395.47 395.47
DTD 01/01/2010 0.000% --
09/03/25 09/03/25 CHARLES SCHWAB CORP (CALLABLE) 808513BYO 0.00 24,500.00 24,500.00
DTD 03/03/2022 2.450%03/03/2027
09/09/25 09/09/25 AMERICAN HONDA FINANCE 02665WDZ1 0.00 13,000.00 13,000.00
DTD 09/09/2021 1.300%09/09/2026
09/15/25 09/15/25 FORDO 2025-A A3 34535KADO 0.00 10,513.13 10,513.13
DTD 03/25/2025 4.450%10/15/2029
09/15/25 09/15/25 CONNECTICUT ST-A-TXBL 20772KZK8 0.00 17,237.76 17,237.76
DTD 05/07/2025 4.489%03/15/2029
09/15/25 09/15/25 US TREASURY N/B 91282CKEO 0.00 46,750.00 46,750.00
DTD 03/15/2024 4.250%03/15/2027
09/15/25 09/15/25 KCOT 2024-2A A3 50117DACO 0.00 9,205.00 9,205.00
DTD 06/25/2024 5.260%11/15/2028
09/15/25 09/15/25 HART 2024-C A3 448976AD2 0.00 4,465.13 4,465.13
DTD 10/16/2024 4.410%05/15/2029
09/15/25 09/15/25 AMXCA 2024-3 A 02589BAEO 0.00 8,118.13 8,118.13
DTD 07/23/2024 4.650%07/15/2029
09/15/25 09/15/25 WFCIT 2024-A2 A 929700AE5 0.00 6,256.25 6,256.25
DTD 10/24/2024 4.290%10/15/2029
09/15/25 09/15/25 MBART 2025-1 A3 58773DAD6 0.00 6,194.08 6,194.08
DTD 01/23/2025 4.780%12/17/2029
09/15/25 09/15/25 AMXCA 2025-2 A 02582JKP4 0.00 9,184.17 9,184.17
DTD 05/13/2025 4.280%04/15/2030
09/15/25 09/15/25 WFCIT 2025-A1 A 929700AJ4 0.00 11,826.50 11,826.50
DTD 06/10/2025 4.340%05/15/2030
09/15/25 09/15/25 TACIT 2024-C A3 892370AD2 0.00 5,998.33 5,998.33
DTD 07/30/2024 4.880%03/15/2029
09/15/25 09/15/25 HAROT 2024-4 A3 43816DAC9 0.00 10,825.00 10,825.00
DTD 10/24/2024 4.330%05/15/2029
PFM Asset Management,a division of Account 73340000 Page 33
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Pfm asset
management
Managed Account Security Transactions & Interest For the Month Ending September 30, 2025
CITY OF RANCHO CUCAMONGA - 73340000
Transaction Type Principal Accrued Realized GIL Realized GIL Sale
Trade Settle Security Description CUSIP Par Proceeds Interest Total Cost Amort Cost Method
09/15/25 09/15/25 WOART 2024-A A2A 98164RAB2 0.00 364.37 364.37
DTD 02/14/2024 5.050%04/15/2027
09/15/25 09/15/25 HAROT 2025-2 A3 437921AD1 0.00 2,541.88 2,541.88
DTD 05/08/2025 4.150%10/15/2029
09/15/25 09/15/25 NAROT 2023-B A3 65480MAD5 0.00 2,778.81 2,778.81
DTD 10/25/2023 5.930%03/15/2028
09/15/25 09/15/25 AMXCA 2025-4 A 02582JKV1 0.00 7,560.83 7,560.83
DTD 07/22/2025 4.300%07/15/2030
09/15/25 09/15/25 BACCT 2024-A1 A 05522RDJ4 0.00 12,592.04 12,592.04
DTD 06/13/2024 4.930%05/15/2029
09/16/25 09/16/25 GMCAR 2025-2 A3 362549AD9 0.00 2,175.67 2,175.67
DTD 05/14/2025 4.280%04/16/2030
09/16/25 09/16/25 GMCAR 2024-4 A3 38014AAD3 0.00 3,575.00 3,575.00
DTD 10/16/2024 4.400%08/16/2029
09/18/25 09/18/25 NATIXIS NY BRANCH 638730P65 0.00 130,822.08 130,822.08
DTD 09/20/2023 5.610%09/18/2026
09/20/25 09/20/25 BAAT 2025-1A A3 05594BAD8 0.00 1,903.13 1,903.13
DTD 05/12/2025 4.350%11/20/2029
09/20/25 09/20/25 VALET 2025-1 A3 92868MAD1 0.00 8,775.00 8,775.00
DTD 03/25/2025 4.500%08/20/2029
09/20/25 09/20/25 VZMT 2025-3 AIA 92348KDY6 0.00 10,485.75 10,485.75
DTD 03/31/2025 4.510%03/20/2030
09/20/25 09/20/25 TOYOTA MOTOR CREDIT CORP 89236TKJ3 0.00 52,325.00 52,325.00
DTD 09/20/2022 4.550%09/20/2027
09/21/25 09/21/25 HAROT 2024-3 A2 43813YAB8 0.00 5,038.19 5,038.19
DTD 08/21/2024 4.890%02/22/2027
09/21/25 09/21/25 HAROT 2023-4 A3 438123AC5 0.00 1,749.11 1,749.11
DTD 11/08/2023 5.670%06/21/2028
09/25/25 09/25/25 BMWOT 2025-A A3 096924AD7 0.00 6,954.00 6,954.00
DTD 02/12/2025 4.560%09/25/2029
09/29/25 09/29/25 CITIBANK NA (CALLABLE) 17325FBB3 0.00 98,651.00 98,651.00
DTD 09/29/2023 5.803%09/29/2028
09/30/25 09/30/25 US TREASURY N/B 91282CFM8 0.00 61,875.00 61,875.00
DTD 09/30/2022 4.125%09/30/2027
PFM Asset Management,a division of Account 73340000 Page 34
U.S.Bancorp Asset Management,Inc.
Page 68
Pfm asset
management
Managed Account Security Transactions & Interest For the Month Ending September 30, 2025
CITY OF RANCHO CUCAMONGA - 73340000
Transaction Type Principal Accrued Realized GIL Realized GIL Sale
Trade Settle Security Description CUSIP Par Proceeds Interest Total Cost Amort Cost Method
09/30/25 09/30/25 US TREASURY N/B 91282CBS9 0.00 27,031.25 27,031.25
DTD 03/31/2021 1.250%03/31/2028
09/30/25 09/30/25 US TREASURY N/B 91282CFLO 0.00 60,062.50 60,062.50
DTD 09/30/2022 3.875%09/30/2029
09/30/25 09/30/25 US TREASURY N/B 91282CJA0 0.00 138,750.00 138,750.00
DTD 10/02/2023 4.625%09/30/2028
09/30/25 09/30/25 US TREASURY N/B 91282CGS4 0.00 41,687.50 41,687.50
DTD 03/31/2023 3.625%03/31/2030
09/30/25 09/30/25 US TREASURY N/B 91282CEE7 0.00 74,812.50 74,812.50
DTD 03/31/2022 2.375%03/31/2029
09/30/25 09/30/25 US TREASURY N/B 91282CMU2 0.00 84,000.00 84,000.00
DTD 03/31/2025 4.000%03/31/2030
09/30/25 09/30/25 US TREASURY N/B 91282CGT2 0.00 53,468.75 53,468.75
DTD 03/31/2023 3.625%03/31/2028
09/30/25 09/30/25 US TREASURY N/B 91282CCZ2 0.00 7,875.00 7,875.00
DTD 09/30/2021 0.875%09/30/2026
Transaction Type Sub-Total 0.00 1,351,355.10 1,351,355.10
09/01/25 09/25/25 FHMS KJ46 Al 3137HAD45 3,310.62 3,310.62 0.00 3,310.62 0.08 0.05
DTD 07/01/2023 4.777%06/01/2028
09/01/25 09/25/25 FNA 2023-M6 A2 3136BODE6 306.17 306.17 0.00 306.17 11.41 6.72
DTD 07/01/2023 4.181%07/01/2028
09/15/25 09/15/25 WOART 2024-A A2A 98164RAB2 69,227.06 69,227.06 0.00 69,227.06 5.42 2.74
DTD 02/14/2024 5.050%04/15/2027
09/15/25 09/15/25 NAROT 2023-B A3 65480MAD5 49,059.50 49,059.50 0.00 49,059.50 9.96 5.91
DTD 10/25/2023 5.930%03/15/2028
09/21/25 09/21/25 HAROT 2024-3 A2 43813YAB8 206,351.88 206,351.88 0.00 206,351.88 16.16 9.32
DTD 08/21/2024 4.890%02/22/2027
09/21/25 09/21/25 HAROT 2023-4 A3 438123AC5 24,446.45 24,446.45 0.00 24,446.45 4.31 2.67
DTD 11/08/2023 5.670%06/21/2028
Transaction Type Sub-Total 352,701.68 352,701.68 0.00 352,701.68 47.34 27.41
PFM Asset Management,a division of Account 73340000 Page 35
U.S.Bancorp Asset Management,Inc.
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Pfm asset
management
Managed Account Security Transactions & Interest For the Month Ending September 30, 2025
CITY OF RANCHO CUCAMONGA - 73340000
Transaction Type Principal Accrued Realized GIL Realized GIL Sale
Trade Settle Security Description CUSIP Par Proceeds Interest Total Cost Amort Cost Method
09/02/25 09/04/25 US TREASURY N/B 91282CCP4 1,000,000.00 971,015.63 594.43 971,610.06 (21,992.18) (27,714.46) FIFO
DTD 08/02/2021 0.625%07/31/2026
09/02/25 09/04/25 US TREASURY N/B 91282CCP4 3,000,000.00 2,913,046.87 1,783.29 2,914,830.16 94,687.49 1,108.91 FIFO
DTD 08/02/2021 0.625%07/31/2026
09/02/25 09/04/25 US TREASURY N/B 91282CCF6 1,280,000.00 1,250,200.00 2,518.03 1,252,718.03 32,200.00 (19,136.32) FIFO
DTD 06/01/2021 0.750%05/31/2026
09/02/25 09/04/25 US TREASURY N/B 9128282A7 4,525,000.00 4,424,955.08 3,688.86 4,428,643.94 175,874.03 (39,643.88) FIFO
DTD 08/15/2016 1.500%08/15/2026
09/04/25 09/05/25 WELLS FARGO BANK NA (CALLABLE) 9498816D4 4,675,000.00 4,727,593.75 19,816.81 4,747,410.56 55,398.75 53,457.63 FIFO
DTD 08/09/2023 5.450%08/07/2026
09/10/25 09/11/25 BANK OF AMERICA CORP (CALLABLE) 06051GLE7 1,000,000.00 1,002,740.00 7,196.67 1,009,936.67 18,530.00 8,805.44 FIFO
DTD 01/20/2023 5.080%01/20/2027
09/10/25 09/11/25 CATERPILLAR FINL SERVICE 14913R209 2,000,000.00 1,945,880.00 11,308.33 1,957,188.33 (21,760.00) (47,294.50) FIFO
DTD 09/14/2021 1.150%09/14/2026
09/10/25 09/11/25 TOYOTA MOTOR CREDIT CORP 89236TIK2 1,105,000.00 1,080,899.95 2,866.09 1,083,766.04 (21,646.95) (23,703.83) FIFO
DTD 06/18/2021 1.125%06/18/2026
09/23/25 09/26/25 US TREASURY N/B 91282CCZ2 700,000.00 680,558.59 2,995.56 683,554.15 65,351.56 2,438.73 FIFO
DTD 09/30/2021 0.875%09/30/2026
09/24/25 09/26/25 US TREASURY N/B 91282CCZ2 2,100,000.00 2,041,757.81 8,986.68 2,050,744.49 134,449.22 (293.43) FIFO
DTD 09/30/2021 0.875%09/30/2026
09/24/25 09/26/25 US TREASURY N/B 91282CCZ2 300,000.00 291,679.69 1,283.81 292,963.50 28,019.53 1,056.89 FIFO
DTD 09/30/2021 0.875%09/30/2026
Transaction Type Sub-Total 21,685,000.00 21,330,327.37 63,038.56 21,393,365.93 539,111.45 (90,918.82)
Managed Account Sub-Total (1,662,865.58) 1,323,891.61 (338,973.97) 539,158.79 (90,891.41)
Total Security Transactions ($1,662,865.58) $1,323,891.61 ($338,973.97) $539,158.79 ($90,891.41)
PFM Asset Management,a division of Account 73340000 Page 36
U.S.Bancorp Asset Management,Inc.
Page 70
Rancho Cucamonga Fire Protection District
Portfolio Summary
RANCHO September 30, 2025
CUCAMONGA
Cash Dividends Closing
Portfolio Holdings and Income Market Value
PFM Managed Account $ 332,823.88 $ 66,159,688.00
PFM Cash Balance - 162,369.56
CAMP Pool - 31,310,486.53
State Pool - 147,384.61
Total $ 332,823.88 $ 97,779,928.70
I certify that this report accurately reflects all District pooled investments and is in conformity with the
investment policy adopted June 26, 2025. A copy of the investment policy is available in the Finance
Department. The Investment Program herein shown provides sufficient cash flow liquidity to meet the next six
months' estimated expenditures.
Peter Castro, Treasurer Date
ATTACHMENT 2
Page 71
pfm a S et Customer Service
management Ha Box 11813
Harrisburg, PA 17108-1813
ACCOUNT STATEMENT
RANCHO CUCAMONGA FIRE PROTECTION
Client Management Team Contents
Meredith LaBuda Sullivan Cover/Disclosures
Senior Portfolio Manager Summary Statement
213 Market Street Individual Accounts
Harrisburg, PA 17101-2141
717-231-2723 Accounts included in Statement
labudam@pfmam.com 73340100 CITY OF RANCHO CUCAMONGA, FIRE PROT DIS
Jeremy King
Key Account Manager
213 Market Street
Harrisburg, PA 17101-2141
717-232-2723
kingj@pfmam.com
Rachael Miller
Client Consultant
213 Market Street
Harrisburg, PA 17101-2141
717-232-2723 RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
millerr@pfmam.com JEVIN KAYE
10500 CIVIC CENTER DRIVE
Tiffany Tint,CFA RANCHO CUCAMONGA, CA 91730
Institutional Relationship Manager
633 W 5th Street, Suite/Floor 2560
Los Angeles,CA 90071
213-356-2010
tiffany.tint@pfmam.com
Online Access https://www.pfmam.com Customer Service 1-717-232-2723
Page 72
pfm asset
management Account Statement
Important Disclosures For the Month Ending September 30, 2025
Mnt Disclosur
This statement is for general information purposes only and is not intended to provide Tax Reporting Cost data and realized gains/losses are provided for informational 365 and dividing the result by 7.The yields quoted should not be considered a
specific advice or recommendations.PFM Asset Management("PFMAM")is a division purposes only.Please review for accuracy and consult your tax advisor to determine representation of the yield of the fund in the future,since the yield is not fixed.
of U.S.Bancorp Asset Management,Inc.("USBAM"),a SEC-registered investment the tax consequences of your security transactions.PFMAM does not report such Average maturity represents the average maturity of all securities and
adviser.USBAM is direct subsidiary of U.S.Bank National Association("U.S.Bank") information to the IRS or other taxing authorities and is not responsible for the investments of a portfolio,determined by multiplying the par or principal value of
and an indirect subsidiary of U.S.Bancorp.U.S.Bank is not responsible for and does accuracy of such information that may be required to be reported to federal,state or each security or investment by its maturity(days or years),summing the
not guarantee the products,services or performance of PFMAM.PFMAM maintains a other taxing authorities. products,and dividing the sum by the total principal value of the portfolio.The
written disclosure statement of our background and business experience.If you would Financial Situation In order to better serve you,PFMAM should be promptly notified stated maturity date of mortgage backed or callable securities are used in this
like to receive a copy of our current disclosure statement,please contact Service of any material change in your investment objective or financial situation. statement.However the actual maturity of these securities could vary depending
Operations at the address below. Callable Securities Securities subject to redemption prior to maturity may be on the level or prepayments on the underlying mortgages or whether a callable
Proxy Voting PFMAM does not normally receive proxies to vote on behalf of its clients. redeemed in whole or in part before maturity,which could affect the yield represented. security has or is still able to be called.
However,it does on occasion receive consent requests.In the event a consent request portfolio The securities in this portfolio,including shares of mutual funds,are not Monthly distribution yield represents the net change in the value of one share
is received the portfolio manager contacts the client and then proceeds according to guaranteed or otherwise protected by PFMAM,the FDIC(except for certain (normally$1.00 per share)resulting from all dividends declared during the month
their instructions.PFMAM's Proxy Voting Policy is available upon request by contacting non-negotiable certificates of deposit)or any government agency.Investment in by a fund expressed as a percentage of the value of one share at the beginning
Service Operations at the address below. securities involves risks,including the possible loss of the amount invested.Actual of the month.This resulting net change is then annualized by multiplying it by
Questions About an Account PFMAM's monthly statement is intended to detail our settlement values,accrued interest,and amortized cost amounts may vary for 365 and dividing it by the number of calendar days in the month.
investment advisory activity as well as the activity of any accounts held by clients in securities subject to an adjustable interest rate or subject to principal paydowns.Any YTM at Cost The yield to maturity at cost is the expected rate of return,based
pools that are managed by PFMAM.The custodian bank maintains the control of assets changes to the values shown may be reflected within the next monthly statement's on the original cost,the annual interest receipts,maturity value and the time
and executes(i.e.,settles)all investment transactions.The custodian statement is the beginning values. period from purchase date to maturity,stated as a percentage,on an annualized
official record of security and cash holdings and transactions.PFMAM recognizes that Rating Information provided for ratings is based upon a good faith inquiry of selected basis.
clients may use these reports to facilitate record keeping and that the custodian bank sources,but its accuracy and completeness cannot be guaranteed. YTM at Market The yield to maturity at market is the rate of return,based on the
statement and the PFMAM statement should be reconciled and differences resolved. Shares of some local government investment programs and TERM funds are current market value,the annual interest receipts,maturity value and the time
Many custodians use a settlement date basis which may result in the need to reconcile distributed by representatives of USBAM's affiliate,U.S.Bancorp Investments,Inc. period remaining until maturity,stated as a percentage,on an annualized basis.
due to a timing difference. which is registered with the SEC as a broker/dealer and is a member of the Financial Managed Account A portfolio of investments managed discretely by PFMAM
Account Control PFMAM does not have the authority to withdraw funds from or deposit Industry Regulatory Authority("FINRA")and the Municipal Securities Rulemaking according to the client's specific investment policy and requirements.The
funds to the custodian outside the scope of services provided by PFMAM.Our clients Board("MSRB").You may reach the FINRA by calling the FINRA Hotline at investments are directly owned by the client and held by the client's custodian.
retain responsibility for their internal accounting policies;implementing and enforcing 1-800-289-9999 or at the FINRA website address Unsettled Trade A trade which has been executed however the final
internal controls and generating ledger entries or otherwise recording transactions. https://www.finra.org/investors/investor-contacts.A brochure describing the FINRA consummation of the security transaction and payment has not yet taken place.
Market Value Generally,PFMAM's market prices are derived from closing bid prices as Regulation Public Disclosure Program is also available from FINRA upon request.
of the last business day of the month as supplied by ICE Data Services.There may be Key Terms and Definitions Please review the detail pages of this statement carefully.If you think your
differences in the values shown for investments due to accrued but uncollected income Dividends on local government investment program funds consist of interest earned, statement is wrong,missing account information,or if you need more information
and the use of differing valuation sources and methods.Non-negotiable FDIC-insured plus any discount ratably amortized to the date of maturity,plus all realized gains and about a transaction,please contact PFMAM within 60 days of receipt.If you have
bank certificates of deposit are priced at par.Although PFMAM believes the prices to be losses on the sale of securities prior to maturity,less ratable amortization of any other concerns or questions regarding your account,or to request an updated
reliable,the values of the securities may not represent the prices at which the securities premium and all accrued expenses to the fund.Dividends are accrued daily and may copy of PFMAM's current disclosure statement,please contact a member of your
could have been bought or sold.Explanation of the valuation methods for a registered be paid either monthly or quarterly.The monthly earnings on this statement represent client management team at PFMAM Service Operations at the address below.
investment company or local government investment program is contained in the the estimated dividend accrued for the month for any program that distributes earnings PFM Asset Management
appropriate fund offering documentation or information statement. on a quarterly basis.There is no guarantee that the estimated amount will be paid on Attn:Service Operations
Amortized Cost The original cost of the principal of the security is adjusted for the the actual distribution date. 213 Market Street
amount of the periodic reduction of any discount or premium from the purchase date Current Yield is the net change,exclusive of capital changes and income other than Harrisburg,PA 17101
until the date of the report.Discount or premium with respect to short term securities investment income,in the value of a hypothetical fund account with a balance of one
(those with less than one year to maturity at time of issuance)is amortized on a share over the seven-day base period including the statement date,expressed as a NOT FDIC INSURED NO BANK GUARANTEE MAY LOSE VALUE
straightline basis.Such discount or premium with respect to longer term securities is percentage of the value of one share(normally$1.00 per share)at the beginning of
amortized using the constant yield basis. the seven-day period.This resulting net change in account value is then annualized by
multiplying it by
Page 73
Pfm asset
management Account Statement
Consolidated Summary Statement For the Month Ending September 30, 2025
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
Portfolio Summary Investment Allocation
Cash Dividends Closing
Portfolio Holdings and Income Market Value Investment Type Closing Market Value Percent
PFMAM Managed Account 332,823.88 66,159,688.00 Asset-Backed Security 7,334,686.75 7.51
CAMP Pool 0.00 31,310,486.53 Federal Agency Bond/ Note 622,573.00 0.64
Local Agency Investment Fund 0.00 147,384.61 Corporate Note 13,273,923.31 13.60
Bank Note 404,380.40 0.41
Total $332,823.88 $97,617,559.14 Certificate of Deposit 1,000,988.00 1.03
Federal Agency Commercial Mortgage-Backed Se, 9,900,819.48 10.14
Municipal Bond/ Note 326,062.24 0.33
Corporate Note 1,093,972.65 1.12
U.S.Treasury Bond/ Note 32,202,282.17 33.00
CAMP Pool 31,310,486.53 32.07
Local Agency Investment Fund 147,384.61 0.15
Total $97,617,559.14 100.000/0
Holdings)Maturity Distribution(Fixed Income
9?s�pro
Portfolio Holdings Closing Market Value Percent Fed Agy Bond/
Local Agency Note
Under 30 days 31,457,871.14 32.22 Investment Fund 0.64%
31 to 60 days 0.00 0.00 0.15% Corporate Note
CAMP Pool 13.60%
61 to 90 days 0.00 0.00 32.079/6
Bank Note
91 to 180 days 0.00 0.00 0.41%
181 days to 1 year 2,821,047.62 2.89 Cert of Deposit
1.03%
1 to 2 years 14,053,951.39 14.40 Federal Agency
2 to 3 years 16,092,846.56 16.49 Commercial
3 to 4 years 17,402,906.46 17.83 Mortgage-Backed
Security
4 to 5 years 15,788,935.97 16.17 10.14%
Over 5 years 0.00 0.00 Muni Bond/Note
0.33/o
Total $97,617,559.14 100.000/0 US TSY Bond/Note Priv Placement
33.00% Bond
Weighted Average Days to Maturity 730 1.12%
PFM Asset Management Summary Page 1
Page 74
Pfm asset
management
Managed Account Summary Statement For the Month Ending September 30, 2025
CITY OF RANCHO CUCAMONGA, FIRE PROT DIS - 73340100
Transaction Summary-Managed Account Cash Transactions Summary- Managed Account
Opening Market Value $65,975,030.55 Maturities/Calls 0.00
Maturities/Calls (58,165.27) Sale Proceeds 2,705,825.85
Principal Dispositions (2,699,085.51) Coupon/Interest/Dividend Income 254,736.28
Principal Acquisitions 2,931,618.91 Principal Payments 58,165.27
Unsettled Trades 0.00 Security Purchases (2,944,057.19)
Change in Current Value 10,289.32 Net Cash Contribution 0.02
Reconciling Transactions 0.00
Closing Market Value $66,159,688.00
Earnings Reconciliation(Cash Basis)- Managed Account Cash Balance
Interest/Dividends/Coupons Received 261,476.62 Closing Cash Balance $162,369.56
Less Purchased Interest Related to Interest/Coupons (12,438.28)
Plus Net Realized Gains/Losses 83,785.54
Total Cash Basis Earninas $332,823.88
Earnings Reconciliation(Accrual Basis) Total
Ending Amortized Value of Securities 65,461,142.30
Ending Accrued Interest 396,584.11
Plus Proceeds from Sales 2,705,825.85
Plus Proceeds of Maturities/Calls/Principal Payments 58,165.27
Plus Coupons/Dividends Received 254,736.28
Less Cost of New Purchases (2,944,057.19)
Less Beginning Amortized Value of Securities (65,259,154.54)
Less Beginning Accrued Interest (453,198.06)
Total Accrual Basis Earnings $220,044.02
PFM Asset Management,a division of Account 73340100 Page 1
U.S.Bancorp Asset Management,Inc.
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Pfm asset
management
Portfolio Summary and Statistics For the Month Ending September 30, 2025
CITY OF RANCHO CUCAMONGA, FIRE PROT DIS - 73340100
Account Summary Sector Allocation
Description Par Value Market Value Percent
ABS
U.S.Treasury Bond/ Note 32,810,000.00 32,202,282.17 48.67 US TSY Bond/Note 11.09%
Municipal Bond/ Note 320,000.00 326,062.24 0.49 48 68% Bank Note
Federal Agency Commercial 9,761,562.53 9,900,819.48 14.97 0.61%
Mortgage-Backed Security Cert of Deposit
1.51%
Federal Agency Bond/ Note 620,000.00 622,573.00 0.94 Corporate Note
Corporate Note 14,285,000.00 14,367,895.96 21.72 20.06%
Certificate of Deposit 990,000.00 1,000,988.00 1.51 Fed Agy Bond/
Note
Bank Note 400,000.00 404,380.40 0.61 0.94%
Asset-Backed Security 7,269,750.00 7,334,686.75 11.09 Federal Agency
Managed Account Sub-Total 66,456,312.53 66,159,688.00 100.00% Commercial
Accrued Interest 396,584.11 Mortgage-Backed
Security
Total Portfolio 66,456,312.53 66,556,272.11 14.97%
Priv Placement Muni Bond/Note
Bond 0.49%
1.65%
Unsettled Trades 0.00 0.00
Maturity Distribution Characteristics
24.33%
26.30% Yield to Maturity at Cost 4.23%
23.86%
21.25% Yield to Maturity at Market 3.85%
Weighted Average Days to Maturity 1080
4.26%
0.00% 0.00%
0-6 Months 6-12 Months 1-2 Years 2-3 Years 3-4 Years 4-5 Years Over 5 Years
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Managed Account Issuer Summary For the Month Ending September 30, 2025
CITY OF RANCHO CUCAMONGA, FIRE PROT DIS - 73340100
Issuer Summary Credit Quality(S&P Ratings)
Market Value
Issuer of Holdings Percent A
Adobe Inc 476,710.42 0.72 NR 3.39%
Amazon.com Inc 304,504.20 0.46 4.00% A+
American Express Co 1,331,823.07 2.02 BBB+ 8.39%
BA Credit Card Trust 508,475.00 0.77 0.91% A-
AAA
AAA 6.21/o
Bank of America Corp 436,186.27 0.66 7.84% A-1
Bayerische Motoren Werke AG 460,928.70 0.70 AA- 0.61%
BlackRock Inc 418,905.00 0.63 2.62% AA
BMW Vehicle Lease Trust 297,738.48 0.45 0.71%
Capital One Financial Corp 359,812.44 0.54
Caterpillar Inc 96,308.91 0.15
Charles Schwab Corp 293,511.00 0.44
Cintas Corp 185,793.65 0.28
Cisco Systems Inc 277,055.91 0.42
A+A
Citigroup Inc 1,029,311.36 1.57 A
65.32/o
Colgate-Palmolive Co 186,449.29 0.28
Comcast Corp 436,627.58 0.66
Cooperatieve Rabobank UA 378,441.18 0.57
Credit Agricole Group 594,413.20 0.90
Cummins Inc 30,225.18 0.05
Deere&Co 194,500.40 0.29
Depository Trust&Clearing Corp 485,321.28 0.73
Federal Home Loan Banks 622,573.00 0.94
Federal Home Loan Mortgage Corp 9,326,824.91 14.11
Federal National Mortgage Association 573,994.57 0.87
Ford Credit Auto Owner Trust 699,489.03 1.06
GM Financial Consumer Automobile Receiv 261,863.34 0.40
Goldman Sachs Group Inc 433,746.77 0.66
Groupe BPCE 406,574.80 0.61
Hershey Co 736,490.08 1.11
Home Depot Inc 94,182.62 0.14
Honda Auto Receivables Owner Trust 861,604.17 1.30
Honda Motor Co Ltd 502,674.10 0.76
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Managed Account Issuer Summary For the Month Ending September 30, 2025
CITY OF RANCHO CUCAMONGA, FIRE PROT DIS - 73340100
Market Value
Issuer of Holdings Percent
HSBC Holdings PLC 466,504.86 0.71
Hyundai Auto Receivables Trust 511,169.73 0.77
International Business Machines Corp 122,004.50 0.18
Johnson&Johnson 91,781.55 0.14
JPMorgan Chase&Co 336,445.13 0.51
Kubota Credit Owner Trust 356,500.90 0.54
Los Angeles Unified School District/CA 147,258.96 0.22
Mars Inc 147,722.67 0.22
Mercedes-Benz Auto Receivables Trust 268,528.74 0.41
Merck&Co Inc 477,590.65 0.72
Meta Platforms Inc 459,209.25 0.69
Morgan Stanley 463,620.07 0.70
National Australia Bank Ltd 399,935.20 0.60
National Rural Utilities Cooperative Fi 411,207.85 0.62
Nissan Auto Receivables Owner Trust 95,562.79 0.14
Northern Trust Corp 400,623.20 0.61
PepsiCo Inc 255,367.50 0.39
PNC Financial Services Group Inc 271,394.20 0.41
State of Connecticut 178,803.28 0.27
State Street Corp 148,858.89 0.22
Texas Instruments Inc 393,017.20 0.59
Toyota Auto Receivables Owner Trust 242,679.60 0.37
Toyota Motor Corp 807,944.31 1.22
Truist Financial Corp 641,463.91 0.97
United States Treasury 32,202,282.17 48.68
UnitedHealth Group Inc 313,785.05 0.47
Verizon Master Trust 458,779.68 0.69
Volkswagen Auto Loan Enhanced Trust 378,756.00 0.57
Walmart Inc 167,708.31 0.25
Wells Fargo&Co 404,380.40 0.61
WF Card Issuance Trust 833,137.50 1.26
World Omni Auto Trust 2,604.04 0.00
Total $66,159,688.00 100.000/0
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Managed Account Detail of Securities Held For the Month Ending September 30, 2025
CITY OF RANCHO CUCAMONGA, FIRE PROT DIS - 73340100
Security Type/Description S&P Moody's Trade Settle Original YTM Accrued Amortized Market
Dated Date/Coupon/Maturity CUSIP Par Rating Rating Date Date Cost at Cost Interest Cost Value
U.S.Treasury Bond / Note
US TREASURY N/13 91282CCZ2 1,100,000.00 AA+ Aal 05/12/22 05/13/22 1,011,613.28 2.84 26.44 1,079,904.58 1,069,603.70
DTD 09/30/2021 0.875%09/30/2026
US TREASURY N/13 91282CDG3 200,000.00 AA+ Aal 10/28/24 10/31/24 188,554.69 4.14 941.58 193,698.71 194,539.00
DTD 11/01/2021 1.125%10/31/2026
US TREASURY N/13 91282CDG3 310,000.00 AA+ Aal 11/01/21 11/03/21 308,595.31 1.22 1,459.44 309,695.64 301,535.45
DTD 11/01/2021 1.125%10/31/2026
US TREASURY N/B 91282CDG3 1,000.000.00 AA+ Aal 11/17/21 11/18/21 993,945.31 1.25 4,707.88 998,677.21 972,695.00
DTD 11/01/2021 1.125%10/31/2026
US TREASURY N/13 91282CJT9 575,000.00 AA+ Aal 07/01/24 07/02/24 565,948.24 4.66 4,875.00 570,274.67 577,156.25
DTD 01/16/2024 4.000%01/15/2027
US TREASURY N/13 91282CJT9 925,000.00 AA+ Aal 08/01/24 08/02/24 922,904.30 4.10 7,842.39 923,873.78 928,468.75
DTD 01/16/2024 4.000%01/15/2027
US TREASURY N/B 91282CMH1 695,000.00 AA+ Aal 02/03/25 02/06/25 693.452.54 4.24 4,830.06 693,948.21 698,746.75
DTD 01/31/2025 4.125%01/31/2027
US TREASURY N/13 912828V98 700,000.00 AA+ Aal 08/01/22 08/03/22 686,054.69 2.72 2,011.55 695,775.17 686,628.60
DTD 02/15/2017 2.250%02/15/2027
US TREASURY N/13 912828ZB9 700,000.00 AA+ Aal 09/05/23 09/08/23 623,792.97 4.54 674.38 669,072.80 675,554.60
DTD 03/02/2020 1.125%02/28/2027
US TREASURY N/13 91282CKEO 300,000.00 AA+ Aal 06/11/25 06/12/25 301,277.34 3.99 563.54 301,064.54 302,437.50
DTD 03/15/2024 4.250%03/15/2027
US TREASURY N/13 91282CKEO 425.000.00 AA+ Aal 02/04/25 02/05/25 424,817.38 4.27 798.34 424,872.38 428,453.13
DTD 03/15/2024 4.250%03/15/2027
US TREASURY N/13 912828X88 550,000.00 AA+ Aal 12/02/24 12/05/24 526,968.75 4.19 4,933.93 534,463.67 538,957.10
DTD 05/15/2017 2.375%05/15/2027
US TREASURY N/13 91282CF132 500,000.00 AA+ Aal 01/04/23 01/06/23 475,625.00 3.93 2,316.58 490,232.45 492,187.50
DTD 08/01/2022 2.750%07/31/2027
US TREASURY N/B 91282CFM8 250,000.00 AA+ Aal 09/02/25 09/04/25 252,236.33 3.67 28.33 252,160.40 252,412.00
DTD 09/30/2022 4.125%09/30/2027
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Managed Account Detail of Securities Held For the Month Ending September 30, 2025
CITY OF RANCHO CUCAMONGA, FIRE PROT DIS - 73340100
Security Type/Description S&P Moody's Trade Settle Original YTM Accrued Amortized Market
Dated Date/Coupon/Maturity CUSIP Par Rating Rating Date Date Cost at Cost Interest Cost Value
U.S.Treasury Bond / Note
US TREASURY N/13 91282CAL5 300,000.00 AA+ Aal 10/28/24 10/31/24 269,636.72 4.09 3.09 278,806.70 281,425.80
DTD 09/30/2020 0.375%09/30/2027
US TREASURY N/B 91282CFM8 425,000.00 AA+ Aal 10/01/24 10/03/24 432.570.31 3.49 48.16 430,140.97 429,100.40
DTD 09/30/2022 4.125%09/30/2027
US TREASURY N/13 91282CAU5 500,000.00 AA+ Aal 01/04/23 01/06/23 425,820.31 3.91 1,046.20 467,949.65 469,023.50
DTD 11/02/2020 0.500%10/31/2027
US TREASURY N/13 91282CAU5 800,000.00 AA+ Aal 12/02/24 12/05/24 720,375.00 4.18 1,673.91 741,956.42 750,437.60
DTD 11/02/2020 0.500%10/31/2027
US TREASURY N/13 91282CLX7 140,000.00 AA+ Aal 12/26/24 12/31/24 139,130.47 4.36 2,181.32 139,347.51 141,427.30
DTD 11/15/2024 4.125%11/15/2027
US TREASURY N/13 9128283F5 825,000.00 AA+ Aal 01/25/23 01/30/23 776,950.20 3.58 7,011.38 803,720.80 802,055.10
DTD 11/15/2017 2.250%11/15/2027
US TREASURY N/13 91282C1339 825,000.00 AA+ Aal 11/03/23 11/06/23 701,991.21 4.67 1,042.46 757,253.72 772,534.95
DTD 02/01/2021 0.750%01/31/2028
US TREASURY N/13 9128283W8 1,000,000.00 AA+ Aal 04/05/23 04/06/23 973,671.88 3.34 3,512.23 987,147.25 980,195.00
DTD 02/15/2018 2.750%02/15/2028
US TREASURY N/B 91282CBS9 300,000.00 AA+ Aal 07/05/23 07/07/23 261,703.13 4.26 10.30 279,799.45 283,171.80
DTD 03/31/2021 1.250%03/31/2028
US TREASURY N/13 91282CBS9 500,000.00 AA+ Aal 10/02/23 10/04/23 429,921.88 4.75 17.17 461,029.73 471,953.00
DTD 03/31/2021 1.250%03/31/2028
US TREASURY N/13 91282CGT2 525,000.00 AA+ Aal 03/03/25 03/05/25 519,093.75 4.02 52.28 520,143.88 525,143.33
DTD 03/31/2023 3.625%03/31/2028
US TREASURY N/13 91282CBZ3 650,000.00 AA+ Aal 06/01/23 06/05/23 577,281.25 3.77 3,400.14 611,752.62 612,345.50
DTD 04/30/2021 1.250%04/30/2028
US TREASURY N/13 91282CCH2 775,000.00 AA+ Aal 11/03/23 11/06/23 665,561.53 4.66 2,448.20 710,355.25 727.198.00
DTD 06/30/2021 1.250%06/30/2028
US TREASURY N/13 91282CCRO 725,000.00 AA+ Aal 01/03/24 01/05/24 634,601.56 4.01 1,221.47 668,995.21 674,052.08
DTD 08/02/2021 1.000%07/31/2028
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Managed Account Detail of Securities Held For the Month Ending September 30, 2025
CITY OF RANCHO CUCAMONGA, FIRE PROT DIS - 73340100
Security Type/Description S&P Moody's Trade Settle Original YTM Accrued Amortized Market
Dated Date/Coupon/Maturity CUSIP Par Rating Rating Date Date Cost at Cost Interest Cost Value
U.S.Treasury Bond / Note
US TREASURY N/13 91282CJA0 980,000.00 AA+ Aal 12/04/23 12/05/23 995,197.66 4.26 124.52 989,814.62 1,007,562.50
DTD 10/02/2023 4.625%09/30/2028
US TREASURY N/B 91282CJF9 700,000.00 AA+ Aal 02/01/24 02/05/24 731.308.59 3.83 14.280.57 721,017.00 724,937.50
DTD 10/31/2023 4.875%10/31/2028
US TREASURY N/13 9128285M8 710,000.00 AA+ Aal 03/04/24 03/06/24 676,413.67 4.25 8,380.60 687,654.81 699,183.86
DTD 11/15/2018 3.125%11/15/2028
US TREASURY N/13 91282C3R3 1,575,000.00 AA+ Aal 04/01/24 04/03/24 1,534,517.58 4.35 14,926.12 1,546,403.32 1,579,983.30
DTD 01/02/2024 3.750%12/31/2028
US TREASURY N/13 91282CDW8 275,000.00 AA+ Aal 06/03/24 06/05/24 244,137.70 4.45 810.80 252,277.17 258,725.50
DTD 01/31/2022 1.750%01/31/2029
US TREASURY N/13 91282CDW8 550,000.00 AA+ Aal 02/01/24 02/05/24 498,738.28 3.82 1,621.60 515,731.74 517,451.00
DTD 01/31/2022 1.750%01/31/2029
US TREASURY N/13 9128286131 1,275,000.00 AA+ Aal 05/02/24 05/06/24 1,167,123.05 4.62 4,274.54 1,196,451.92 1,233,661.95
DTD 02/15/2019 2.625%02/15/2029
US TREASURY N/13 91282CEE7 1,200,000.00 AA+ Aal 06/03/24 06/05/24 1,093,734.38 4.44 78.30 1,120,673.57 1,149,843.60
DTD 03/31/2022 2.375%03/31/2029
US TREASURY N/B 91282CEM9 185,000.00 AA+ Aal 07/01/24 07/02/24 172.310.16 4.47 2,225.78 175,333.14 180,100.46
DTD 05/02/2022 2.875%04/30/2029
US TREASURY N/13 91282CEM9 1,000,000.00 AA+ Aal 08/01/24 08/02/24 956,757.81 3.88 12,031.25 966,638.84 973,516.00
DTD 05/02/2022 2.875%04/30/2029
US TREASURY N/13 91282CEV9 275,000.00 AA+ Aal 09/04/24 09/05/24 270,423.83 3.63 2,258.66 271,374.22 270,885.73
DTD 06/30/2022 3.250%06/30/2029
US TREASURY N/13 91282CEV9 525,000.00 AA+ Aal 09/03/24 09/05/24 513,290.04 3.76 4,311.99 515,716.08 517,145.48
DTD 06/30/2022 3.250%06/30/2029
US TREASURY N/13 91282CFCO 350,000.00 AA+ Aal 05/30/25 06/04/25 332,705.08 3.92 1,547.89 333,963.76 336,847.70
DTD 08/01/2022 2.625%07/31/2029
US TREASURY N/13 91282CFCO 490,000.00 AA+ Aal 10/01/24 10/03/24 470,878.52 3.51 2,167.05 474,562.63 471,586.78
DTD 08/01/2022 2.625%07/31/2029
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Managed Account Detail of Securities Held For the Month Ending September 30, 2025
CITY OF RANCHO CUCAMONGA, FIRE PROT DIS - 73340100
Security Type/Description S&P Moody's Trade Settle Original YTM Accrued Amortized Market
Dated Date/Coupon/Maturity CUSIP Par Rating Rating Date Date Cost at Cost Interest Cost Value
U.S.Treasury Bond / Note
US TREASURY N/13 91282CFLO 525,000.00 AA+ Aal 07/01/25 07/03/25 527,009.77 3.78 55.89 526,903.96 528,588.90
DTD 09/30/2022 3.875%09/30/2029
US TREASURY N/B 91282CFLO 625,000.00 AA+ Aal 11/01/24 11/05/24 616.357.42 4.19 66.54 617,823.00 629,272.50
DTD 09/30/2022 3.875%09/30/2029
US TREASURY N/13 91282CFY2 300,000.00 AA+ Aal 09/02/25 09/04/25 301,828.13 3.72 3,906.76 301,798.80 301,933.50
DTD 11/30/2022 3.875%11/30/2029
US TREASURY N/13 91282CMDO 375,000.00 AA+ Aal 02/03/25 02/06/25 375,849.61 4.32 4,146.14 375,747.62 384,697.13
DTD 12/31/2024 4.375%12/31/2029
US TREASURY N/13 91282CMDO 690,000.00 AA+ Aal 01/02/25 01/07/25 690,485.16 4.36 7,628.91 690,421.09 707,842.71
DTD 12/31/2024 4.375%12/31/2029
US TREASURY N/13 91282CG34 985,000.00 AA+ Aal 03/03/25 03/05/25 960,221.09 4.07 5,808.29 962,890.91 976,650.16
DTD 01/31/2023 3.500%01/31/2030
US TREASURY N/13 91282CGS4 115,000.00 AA+ Aal 05/12/25 05/13/25 112,655.08 4.09 11.45 112,823.53 114,528.27
DTD 03/31/2023 3.625%03/31/2030
US TREASURY N/13 91282CGS4 320,000.00 AA+ Aal 04/11/25 04/15/25 312,212.50 4.17 31.87 312,872.96 318,687.36
DTD 03/31/2023 3.625%03/31/2030
US TREASURY N/B 91282CMU2 695,000.00 AA+ Aal 04/01/25 04/02/25 697.416.21 3.92 76.37 697,198.18 702,954.27
DTD 03/31/2025 4.000%03/31/2030
US TREASURY N/13 91282CHF1 600,000.00 AA+ Aal 06/11/25 06/12/25 591,867.19 4.05 7,561.48 592,320.97 600,421.80
DTD 05/31/2023 3.750%05/31/2030
US TREASURY N/13 91282CNN7 470,000.00 AA+ Aal 09/04/25 09/05/25 474,663.28 3.65 3,068.41 474,603.11 472,827.52
DTD 07/31/2025 3.875%07/31/2030
US TREASURY N/13 91282CNN7 500,000.00 AA+ Aal 09/02/25 09/04/25 502,539.06 3.76 3,264.27 502,505.19 503,008.00
DTD 07/31/2025 3.875%07/31/2030
Security Type Sub-Total 32,810,000.00 31,324,736.18 3.92 164,343.80 31,931,635.51 32,202,282.17
Municipal Bond/ Note
LOS ANGELES UNIF SD-13 544647KY5 145,000.00 NR Aa2 04/24/25 05/13/25 145,000.00 4.42 2,458.45 145,000.00 147,258.96
DTD 05/13/2025 4.423%07/01/2028
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Managed Account Detail of Securities Held For the Month Ending September 30, 2025
CITY OF RANCHO CUCAMONGA, FIRE PROT DIS - 73340100
Security Type/Description S&P Moody's Trade Settle Original YTM Accrued Amortized Market
Dated Date/Coupon/Maturity CUSIP Par Rating Rating Date Date Cost at Cost Interest Cost Value
Municipal Bond/ Note
CONNECTICUT ST-A-TXBL 20772KZK8 175,000.00 AA- Aa2 04/23/25 05/07/25 175,000.00 4.49 349.14 175,000.00 178,803.28
DTD 05/07/2025 4.489%03/15/2029
Security Type Sub-Total 320,000.00 320,000.00 4.46 2,807.59 320,000.00 326,062.24
Federal Agency Commercial Mortgage-Backed Security
FHMS K062 A2 3137BUX60 310,000.00 AA+ Aal 08/17/23 08/22/23 294,500.00 5.03 881.69 304,279.30 307,897.27
DTD 02/01/2017 3.413%12/01/2026
FHMS K067 A2 3137FAWS3 350,000.00 AA+ Aal 08/17/23 08/22/23 327,810.55 4.97 931.58 339,729.72 345,433.90
DTD 09/01/2017 3.194%07/01/2027
FHMS K146 Al 3137HAD45 593,649.05 AA+ Aal 07/19/23 07/27/23 593,634.22 4.78 2,363.22 593,640.80 598,718.81
DTD 07/01/2023 4.777%06/01/2028
FHMS K505 A2 3137HACX2 600,000.00 AA+ Aal 07/27/23 08/01/23 600,515.63 4.80 2,409.50 600,287.63 611,278.20
DTD 07/01/2023 4.819%06/01/2028
FNA 2023-M6 A2 313613ODE6 572,913.48 AA+ Aal 08/17/23 08/22/23 551,563.51 5.04 1,996.13 560,703.17 573,994.57
DTD 07/01/2023 4.181%07/01/2028
FHMS K508 A2 3137HAO74 550,000.00 AA+ Aal 10/11/23 10/19/23 537,935.20 5.25 2,172.50 542,404.61 560,624.35
DTD 10/01/2023 4.740%08/01/2028
FHMS K506 A2 3137HAMH6 600,000.00 AA+ Aal 09/07/23 09/14/23 591,124.20 4.99 2,325.00 594,521.91 609,427.20
DTD 09/01/2023 4.650%08/01/2028
FHMS K509 A2 3137HAST4 450,000.00 AA+ Aal 10/25/23 10/31/23 435,652.65 5.60 1,818.75 440,644.55 460,333.80
DTD 10/01/2023 4.850%09/01/2028
FHMS K510 A2 3137HB3D4 220,000.00 AA+ Aal 11/14/23 11/21/23 219.363.98 5.14 929.32 219,584.88 225,946.60
DTD 11/01/2023 5.069%10/01/2028
FHMS K511 A2 3137HB3G7 320,000.00 AA+ Aal 11/28/23 12/07/23 319,080.64 4.93 1,296.00 319,396.07 327,280.96
DTD 12/01/2023 4.860%10/01/2028
FHMS K514 A2 3137HBLV4 290,000.00 AA+ Aal 02/01/24 02/08/24 292,899.71 4.34 1,104.90 291,992.81 294,246.18
DTD 02/01/2024 4.572%12/01/2028
PFM Asset Management,a division of Account 73340100 Page 9
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Managed Account Detail of Securities Held For the Month Ending September 30, 2025
CITY OF RANCHO CUCAMONGA, FIRE PROT DIS - 73340100
Security Type/Description S&P Moody's Trade Settle Original YTM Accrued Amortized Market
Dated Date/Coupon/Maturity CUSIP Par Rating Rating Date Date Cost at Cost Interest Cost Value
Federal Agency Commercial Mortgage-Backed Security
FHMS K520 A2 3137HCKV3 300,000.00 AA+ Aal 07/01/24 07/05/24 302,871.09 4.95 1,295.00 302,184.22 310,332.90
DTD 04/01/2024 5.180%03/01/2029
FHMS K528 A2 3137HFNZ4 215,000.00 AA+ Aal 09/04/24 09/12/24 219.295.70 4.06 807.68 218,440.86 218,316.59
DTD 09/01/2024 4.508%07/01/2029
FHMS K527 A2 3137HFF59 425,000.00 AA+ Aal 08/13/24 08/22/24 432,426.45 4.23 1,635.54 430,893.91 433,131.53
DTD 08/01/2024 4.618%07/01/2029
FHMS K526 A2 3137HDXL9 550,000.00 AA+ Aal 08/07/24 08/15/24 555,144.70 4.33 2,082.21 554,070.64 559,318.65
DTD 08/01/2024 4.543%07/01/2029
FHMS K529 A2 3137HH6C0 360,000.00 AA+ Aal 10/08/24 10/16/24 367,195.32 4.34 1,437.30 365,922.80 369,157.32
DTD 10/01/2024 4.791%09/01/2029
FHMS K530 A2 3137HHJL6 595,000.00 AA+ Aal 11/19/24 11/27/24 598,098.17 4.67 2,376.03 597,648.20 610,209.39
DTD 11/01/2024 4.792%09/01/2029
FHMS K539 A2 3137HKXJS 210,000.00 AA+ Aal 04/15/25 04/24/25 209,992.65 4.41 771.75 209,993.38 212,670.15
DTD 04/01/2025 4.410%01/01/2030
FHMS K537 A2 3137HKPF5 360,000.00 AA+ Aal 03/11/25 03/20/25 359,996.04 4.43 1,329.00 359,997.12 364,894.92
DTD 03/01/2025 4.430%02/01/2030
FHMS K547 A2 3137HN6B9 390,000.00 AA+ Aal 09/23/25 09/29/25 395,837.91 4.06 1,436.83 395,929.39 395,038.57
DTD 09/01/2025 4.421%05/01/2030
FHMS K543 A2 3137HMC65 590,000.00 AA+ Aal 07/09/25 07/17/25 589,988.79 4.33 2,128.43 589,989.88 595,699.99
DTD 07/01/2025 4.329%06/01/2030
FHMS K544 A2 3137HMCE8 400,000.00 AA+ Aal 07/22/25 07/31/25 399,578.40 4.29 1,422.00 399,585.10 402,791.20
DTD 07/01/2025 4.266%07/01/2030
FHMS K545 A2 3137HMCK4 510,000.00 AA+ Aal 07/29/25 08/07/25 509,270.19 4.32 1,823.25 509,291.51 514,076.43
DTD 08/01/2025 4.290%07/01/2030
Security Type Sub-Total 9,761,562.53 9,703,775.70 4.69 36,773.61 9,741,132.46 9,900,819.48
Federal Agency Bond / Note
FEDERAL HOME LOAN BANK 3130B6R24 620,000.00 AA+ Aal 06/12/25 06/13/25 619,175.40 3.95 7,207.50 619,297.59 622,573.00
DTD 06/13/2025 3.875%06/04/2027
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Managed Account Detail of Securities Held For the Month Ending September 30, 2025
CITY OF RANCHO CUCAMONGA, FIRE PROT DIS - 73340100
Security Type/Description S&P Moody's Trade Settle Original YTM Accrued Amortized Market
Dated Date/Coupon/Maturity CUSIP Par Rating Rating Date Date Cost at Cost Interest Cost Value
Federal Agency Bond / Note
Security Type Sub-Total 620,000.00 619,175.40 3.95 7,207.50 619,297.59 622,573.00
Corporate
CITIGROUP INC 172967KNO 170,000.00 BBB+ A3 05/25/21 05/27/21 187,113.90 1.29 2,408.33 172,025.88 169,332.41
DTD 05/02/2016 3.400%05/01/2026
TOYOTA MOTOR CREDIT CORP 89236TJK2 110,000.00 A+ Al 09/08/21 09/13/21 109,755.80 1.17 354.06 109,963.41 107,785.81
DTD 06/18/2021 1.125%06/18/2026
TOYOTA MOTOR CREDIT CORP 89236TJK2 250,000.00 A+ Al 05/12/22 05/16/22 228,305.00 3.42 804.69 246,212.22 244,967.75
DTD 06/18/2021 1.125%06/18/2026
MORGAN STANLEY 6176113R8 225,000.00 A- Al 07/05/23 07/07/23 210,663.00 5.41 1,250.00 221,142.04 223,357.95
DTD 07/25/2016 3.125%07/27/2026
AMERICAN HONDA FINANCE 02665WDZ1 200,000.00 A- A3 12/01/21 12/03/21 197,074.00 1.62 158.89 199,423.67 195,044.80
DTD 09/09/2021 1.300%09/09/2026
AMERICAN EXPRESS CO (CALLABLE) 025816CM9 225,000.00 A- A2 06/01/22 06/03/22 207,758.25 3.54 1,515.94 220,741.04 219,381.08
DTD 11/04/2021 1.650%11/04/2026
NATIONAL RURAL UTIL COOP (CALLABLE) 63743HFK3 155,000.00 A- A2 10/30/23 11/02/23 154,945.75 5.61 3,327.33 154,979.00 157,520.30
DTD 11/02/2023 5.600%11/13/2026
JOHN DEERE CAPITAL CORP 24422EWA3 200,000.00 A Al 01/11/22 01/13/22 198,872.00 1.82 755.56 199,711.41 194,500.40
DTD 01/10/2022 1.700%01/11/2027
BANK OF AMERICA CORP (CALLABLE) 06051GLE7 350,000.00 A- Al 07/05/23 07/07/23 344,473.50 0.00 3,506.61 347,963.92 350,642.95
DTD 01/20/2023 5.080%01/20/2027
GOLDMAN SACHS GROUP INC (CALLABLE) 38141GWB6 435,000.00 BBB+ A2 09/02/22 09/07/22 421.484.55 4.64 3,023.85 430,934.24 433,746.77
DTD 01/26/2017 3.850%01/26/2027
IBM CORP (CALLABLE) 459200KM2 125,000.00 A- A3 03/24/22 03/28/22 120,833.75 2.94 397.22 123,838.87 122,004.50
DTD 02/09/2022 2.200%02/09/2027
TRUIST FINANCIAL CORP (CALLABLE) 89788MAD4 275,000.00 A- Baal 03/24/22 03/28/22 255,332.00 2.83 280.68 269,334.64 271,549.30
DTD 03/02/2021 1.267%03/02/2027
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Managed Account Detail of Securities Held For the Month Ending September 30, 2025
CITY OF RANCHO CUCAMONGA, FIRE PROT DIS - 73340100
Security Type/Description S&P Moody's Trade Settle Original YTM Accrued Amortized Market
Dated Date/Coupon/Maturity CUSIP Par Rating Rating Date Date Cost at Cost Interest Cost Value
Corporate
CHARLES SCHWAB CORP (CALLABLE) 808513BYO 300,000.00 A- A2 04/27/22 04/29/22 284,730.00 3.60 571.67 295,517.06 293,511.00
DTD 03/03/2022 2.450%03/03/2027
NORTHERN TRUST CORP (CALLABLE) 665859AW4 400,000.00 A+ A2 05/12/22 05/16/22 405.484.00 3.70 6,266.67 401,706.75 400,623.20
DTD 05/10/2022 4.000%05/10/2027
UNITEDHEALTH GROUP INC (CALLABLE) 91324PEG3 65,000.00 A+ A2 05/17/22 05/20/22 64,964.90 3.71 908.56 64,988.58 64,749.30
DTD 05/20/2022 3.700%05/15/2027
UNITEDHEALTH GROUP INC (CALLABLE) 91324PEG3 250,000.00 A+ A2 06/01/22 06/03/22 253,095.00 3.43 3,494.44 250,978.67 249,035.75
DTD 05/20/2022 3.700%05/15/2027
PNC FINANCIAL SERVICES (CALLABLE) 693475AT2 275,000.00 A- A3 08/04/22 08/08/22 270,765.00 3.50 3,176.25 273,553.06 271,394.20
DTD 05/19/2017 3.150%05/19/2027
NATIONAL AUSTRALIA BK/NY 63254ABE7 400,000.00 AA- Aa2 06/09/22 06/13/22 396,532.00 4.10 4,859.56 398,825.98 399,935.20
DTD 06/09/2022 3.905%06/09/2027
TRUIST FINANCIAL CORP (CALLABLE) 89788MAC6 190,000.00 A- Baal 08/22/22 08/24/22 165,100.50 4.08 344.38 180,734.42 180,214.81
DTD 08/03/2020 1.125%08/03/2027
TRUIST FINANCIAL CORP (CALLABLE) 89788MAC6 200,000.00 A- Baal 10/27/22 10/31/22 163,506.00 5.54 362.50 185,888.42 189,699.80
DTD 08/03/2020 1.125%08/03/2027
TOYOTA MOTOR CREDIT CORP 89236TK33 450,000.00 A+ Al 10/04/22 10/06/22 445,198.50 4.79 625.63 448,091.78 455,190.75
DTD 09/20/2022 4.550%09/20/2027
TEXAS INSTRUMENTS INC (CALLABLE) 882508BC7 400,000.00 A+ Aa3 12/07/22 12/09/22 375,432.00 4.30 4,768.89 389,526.57 393,017.20
DTD 11/03/2017 2.900%11/03/2027
COMCAST CORP (CALLABLE) 20030NEA5 425,000.00 A- A3 01/25/23 01/30/23 443,173.00 4.35 8,589.72 432,869.61 436,627.58
DTD 11/07/2022 5.350%11/15/2027
AMAZON.COM INC (CALLABLE) 023135CP9 300,000.00 AA Al 12/07/22 12/09/22 302,691.00 4.35 4,550.00 301,145.43 304,504.20
DTD 12/01/2022 4.550%12/01/2027
JOHNSON&JOHNSON (CALLABLE) 478160DH4 90,000.00 AAA Aaa 02/18/25 02/20/25 89.947.80 4.57 341.25 89,957.84 91,781.55
DTD 02/20/2025 4.550%03/01/2028
MORGAN STANLEY (CALLABLE) 61747YFP5 235,000.00 A- Al 05/02/24 05/06/24 236,236.10 5.50 6,198.36 235,670.00 240,262.12
DTD 04/19/2024 5.652%04/13/2028
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Managed Account Detail of Securities Held For the Month Ending September 30, 2025
CITY OF RANCHO CUCAMONGA, FIRE PROT DIS - 73340100
Security Type/Description S&P Moody's Trade Settle Original YTM Accrued Amortized Market
Dated Date/Coupon/Maturity CUSIP Par Rating Rating Date Date Cost at Cost Interest Cost Value
Corporate
JPMORGAN CHASE&CO (CALLABLE) 46647PEE2 130,000.00 A Al 05/02/24 05/06/24 130,378.30 5.49 3,198.68 130,206.57 132,839.33
DTD 04/22/2024 5.571%04/22/2028
CINTAS CORPORATION NO.2 (CALLABLE) 17252MAR1 185,000.00 A- A3 04/28/25 05/02/25 184.763.20 4.25 3,215.92 184,794.35 185,793.65
DTD 05/02/2025 4.200%05/01/2028
HERSHEY COMPANY (CALLABLE) 427866BHO 425,000.00 A Al 05/04/23 05/08/23 429,228.75 4.03 7,375.52 427,162.27 429,275.08
DTD 05/04/2023 4.250%05/04/2028
CUMMINS INC (CALLABLE) 231021AY2 30,000.00 A A2 05/06/25 05/09/25 29,979.00 4.28 502.92 29,981.62 30,225.18
DTD 05/09/2025 4.250%05/09/2028
META PLATFORMS INC (CALLABLE) 30303M8L9 450,000.00 AA- Aa3 06/01/23 06/05/23 450,837.00 4.56 7,820.00 450,443.89 459,209.25
DTD 05/03/2023 4.600%05/15/2028
MERCK&CO INC (CALLABLE) 58933YBH7 475,000.00 A+ Aa3 05/18/23 05/22/23 471,546.75 4.21 7,160.63 473,180.07 477,590.65
DTD 05/17/2023 4.050%05/17/2028
HSBC USA INC 40428HR95 460,000.00 A- A2 05/28/25 06/03/25 460,036.80 4.65 7,011.17 460,033.15 466,504.86
DTD 06/03/2025 4.650%06/03/2028
AMERICAN HONDA FINANCE 02665WEM9 300,000.00 A- A3 07/07/23 07/11/23 298,644.00 5.23 3,587.50 299,248.01 307,629.30
DTD 07/07/2023 5.125%07/07/2028
BMW US CAPITAL LLC (CALLABLE) 05565ECE3 450,000.00 A A2 08/14/23 08/17/23 444,933.00 5.31 3,156.25 447,090.85 460,928.70
DTD 08/11/2023 5.050%08/11/2028
NATIONAL RURAL UTIL COOP (CALLABLE) 63743HFZO 140,000.00 NR A2 08/19/25 08/25/25 139,843.20 4.19 581.00 139,848.23 140,378.42
DTD 08/25/2025 4.150%08/25/2028
CITIBANK NA (CALLABLE) 17325FBB3 575,000.00 A+ Aa3 10/02/23 10/04/23 572,148.00 5.92 185.37 573,189.39 603,120.95
DTD 09/29/2023 5.803%09/29/2028
COOPERAT RABOBANK UA/NY 21688ABC5 370,000.00 A+ Aa2 01/10/24 01/12/24 370,518.00 4.77 4,045.33 370,353.57 378,441.18
DTD 01/09/2024 4.800%01/09/2029
JPMORGAN CHASE&CO (CALLABLE) 46647PEU6 200,000.00 A Al 01/16/25 01/24/25 200,000.00 4.92 1,829.47 200,000.00 203,605.80
DTD 01/24/2025 4.915%01/24/2029
CISCO SYSTEMS INC (CALLABLE) 17275RBR2 270,000.00 AA- Al 02/21/24 02/26/24 269,905.50 4.86 1,273.13 269,933.85 277,055.91
DTD 02/26/2024 4.850%02/26/2029
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Managed Account Detail of Securities Held For the Month Ending September 30, 2025
CITY OF RANCHO CUCAMONGA, FIRE PROT DIS - 73340100
Security Type/Description S&P Moody's Trade Settle Original YTM Accrued Amortized Market
Dated Date/Coupon/Maturity CUSIP Par Rating Rating Date Date Cost at Cost Interest Cost Value
Corporate
CATERPILLAR FINL SERVICE 14913UA03 95,000.00 A A2 08/12/24 08/16/24 94,742.55 4.44 519.53 94,795.80 96,308.91
DTD 08/16/2024 4.375%08/16/2029
ADOBE INC (CALLABLE) 00724PA38 460,000.00 A+ Al 01/14/25 01/17/25 459.296.20 4.98 4,680.50 459,386.39 476,710.42
DTD 01/17/2025 4.950%01/17/2030
NATIONAL RURAL UTIL COOP (CALLABLE) 63743HFX5 110,000.00 NR A2 02/04/25 02/07/25 109,831.70 4.98 816.75 109,851.56 113,309.13
DTD 02/07/2025 4.950%02/07/2030
PEPSICO INC (CALLABLE) 713448GB8 250,000.00 A+ Al 02/07/25 02/10/25 248,570.00 4.73 1,725.00 248,736.92 255,367.50
DTD 02/07/2025 4.600%02/07/2030
HERSHEY COMPANY (CALLABLE) 427866BL1 300,000.00 A Al 02/24/25 02/25/25 300,921.00 4.68 1,464.58 300,819.89 307,215.00
DTD 02/24/2025 4.750%02/24/2030
MARS INC (CALLABLE) 571676AY1 145,000.00 A A2 03/05/25 03/12/25 144,843.40 4.83 580.00 144,859.08 147,722.67
DTD 03/12/2025 4.800%03/01/2030
STATE STREET CORP (CALLABLE) 857477DB6 145,000.00 A Aa3 04/22/25 04/24/25 145,000.00 4.83 3,056.83 145,000.00 148,858.89
DTD 04/24/2025 4.834%04/24/2030
WALMART INC (CALLABLE) 931142FN8 165,000.00 AA Aa2 04/23/25 04/28/25 164,714.55 4.39 3,050.44 164,736.59 167,708.31
DTD 04/28/2025 4.350%04/28/2030
BLACKROCK INC (CALLABLE) 09247XA04 450,000.00 AA- Aa3 06/26/25 06/27/25 412.749.00 4.31 4,530.00 414,566.66 418,905.00
DTD 01/27/2020 2.400%04/30/2030
COLGATE-PALMOLIVE CO (CALLABLE) 194162ATO 185,000.00 A+ Aa3 04/28/25 05/02/25 184,901.95 4.21 3,215.92 184,909.88 186,449.29
DTD 05/02/2025 4.200%05/01/2030
NATIONAL SECS CLEARING (CALLABLE) 637639AO8 475,000.00 AA+ Aal 05/13/25 05/20/25 474,705.50 4.71 8,123.82 474,726.00 485,321.28
DTD 05/20/2025 4.700%05/20/2030
CITIBANK NA (CALLABLE) 17325FBP2 250,000.00 A+ Aa3 05/21/25 05/29/25 250,000.00 4.91 4,163.25 250,000.00 256,858.00
DTD 05/29/2025 4.914%05/29/2030
HOME DEPOT INC (CALLABLE) 437076D38 95,000.00 A A2 09/08/25 09/15/25 94.658.95 4.03 166.78 94,662.12 94,182.62
DTD 09/15/2025 3.950%09/15/2030
Security Type Sub-Total 14,285,000.00 14,071,163.60 4.28 149,877.33 14,188,241.22 14,367,895.96
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Managed Account Detail of Securities Held For the Month Ending September 30, 2025
CITY OF RANCHO CUCAMONGA, FIRE PROT DIS - 73340100
Security Type/Description S&P Moody's Trade Settle Original YTM Accrued Amortized Market
Dated Date/Coupon/Maturity CUSIP Par Rating Rating Date Date Cost at Cost Interest Cost Value
Certificate of Deposit
NATIXIS NY BRANCH 638730P65 400,000.00 A-1 P-1 09/18/23 09/20/23 400,000.00 5.61 810.33 400,000.00 406,574.80
DTD 09/20/2023 5.610%09/18/2026
CREDIT AGRICOLE CIB NY 22536DWD6 590,000.00 A+ Al 02/01/24 02/05/24 590.000.00 4.76 18.566.64 590.000.00 594,413.20
DTD 02/05/2024 4.760%02/01/2027
Security Type Sub-Total 990,000.00 990,000.00 5.11 19,376.97 990,000.00 1,000,988.00
WELLS FARGO BANK NA (CALLABLE) 9498816D4 400,000.00 A+ Aa2 08/03/23 08/09/23 399,760.00 5.47 3,270.00 399,931.87 404,380.40
DTD 08/09/2023 5.450%08/07/2026
Security Type Sub-Total 400,000.00 399,760.00 5.47 3,270.00 399,931.87 404,380.40
Asset-Backed Security
HAROT 2024-3 A2 43813YAB8 166,744.21 NR Aaa 08/09/24 08/21/24 166,731.15 4.89 226.49 166,736.82 167,032.84
DTD 08/21/2024 4.890%02/22/2027
WOART 2024-A A2A 98164RAB2 2,603.40 AAA NR 02/06/24 02/14/24 2,603.20 5.05 5.84 2,603.30 2,604.04
DTD 02/14/2024 5.050%04/15/2027
NAROT 2023-B A3 65480MAD5 94,756.41 NR Aaa 10/18/23 10/25/23 94,737.18 5.94 249.74 94,745.18 95,562.79
DTD 10/25/2023 5.930%03/15/2028
HAROT 2023-4 A3 438123AC5 65,645.97 NR Aaa 11/01/23 11/08/23 65.634.41 5.67 103.39 65,638.87 66,422.70
DTD 11/08/2023 5.670%06/21/2028
KCOT 2024-2A A3 50117DACO 350,000.00 NR Aaa 02/11/25 02/12/25 354,060.55 4.92 818.22 353,425.39 356,500.90
DTD 06/25/2024 5.260%11/15/2028
TACT 2024-C A3 892370AD2 240,000.00 AAA NR 07/23/24 07/30/24 239,999.86 4.88 520.53 240,000.00 242,679.60
DTD 07/30/2024 4.880%03/15/2029
HART 2024-C A3 448976AD2 200,000.00 AAA NR 10/08/24 10/16/24 199,985.36 4.41 392.00 199,988.64 201,522.20
DTD 10/16/2024 4.410%05/15/2029
BACCT 2024-Al A 05522RD34 500,000.00 AAA Aaa 06/06/24 06/13/24 499,971.95 4.93 1,095.56 499,980.13 508,475.00
DTD 06/13/2024 4.930%05/15/2029
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Managed Account Detail of Securities Held For the Month Ending September 30, 2025
CITY OF RANCHO CUCAMONGA, FIRE PROT DIS - 73340100
Security Type/Description S&P Moody's Trade Settle Original YTM Accrued Amortized Market
Dated Date/Coupon/Maturity CUSIP Par Rating Rating Date Date Cost at Cost Interest Cost Value
Asset-Backed Security
HAROT 2024-4 A3 43816DAC9 500,000.00 AAA Aaa 01/30/25 01/31/25 497,929.69 4.44 962.22 498,227.88 502,718.00
DTD 10/24/2024 4.330%05/15/2029
AMXCA 2024-3 A 02589BAEO 345,000.00 AAA NR 07/16/24 07/23/24 344.984.34 4.65 713.00 344,988.04 349,828.28
DTD 07/23/2024 4.650%07/15/2029
GMCAR 2024-4 A3 38014AAD3 160,000.00 AAA Aaa 10/08/24 10/16/24 159,969.18 4.40 293.33 159,974.96 161,101.44
DTD 10/16/2024 4.400%08/16/2029
VALET 2025-1 A3 92868MADI 375,000.00 NR Aaa 03/18/25 03/25/25 374,987.25 4.50 515.63 374,989.32 378,756.00
DTD 03/25/2025 4.500%08/20/2029
BMWOT 2025-A A3 096924AD7 295,000.00 AAA Aaa 02/04/25 02/12/25 294,970.94 4.56 224.20 294,975.33 297,738.48
DTD 02/12/2025 4.560%09/25/2029
HAROT 2025-2 A3 437921AD1 125,000.00 NR Aaa 04/29/25 05/08/25 124,986.04 4.15 230.56 124,987.47 125,430.63
DTD 05/08/2025 4.150%10/15/2029
WFCIT 2024-A2 A 929700AE5 280,000.00 AAA Aaa 10/17/24 10/24/24 279,958.39 4.29 533.87 279,965.79 282,313.08
DTD 10/24/2024 4.290%10/15/2029
FORDO 2025-A A3 34535KADO 455,000.00 AAA Aaa 03/18/25 03/25/25 454,955.77 4.45 899.89 454,961.38 459,554.55
DTD 03/25/2025 4.450%10/15/2029
BAAT 2025-1A A3 05594BAD8 85.000.00 NR Aaa 05/06/25 05/12/25 84,994.14 4.35 112.98 84,994.86 85.543.32
DTD 05/12/2025 4.350%11/20/2029
MBART 2025-1 A3 58773DAD6 265,000.00 NR Aaa 01/14/25 01/23/25 264,943.63 4.78 562.98 264,951.57 268,528.74
DTD 01/23/2025 4.780%12/17/2029
VZMT 2025-3 AlA 92348KDY6 455,000.00 NR Aaa 03/25/25 03/31/25 454,980.44 4.51 627.02 454,983.45 458,779.68
DTD 03/31/2025 4.510%03/20/2030
FORDO 2025-B A3 34532BAG6 240,000.00 NR Aaa 09/23/25 09/26/25 239,974.10 3.91 130.33 239,975.08 239,934.48
DTD 09/26/2025 3.910%04/15/2030
HART 2025-C A3 449353AD8 310,000.00 AAA NR 09/09/25 09/17/25 309,949.41 3.88 467.76 309,951.05 309,647.53
DTD 09/17/2025 3.880%04/15/2030
AMXCA 2025-2 A 02582JKP4 415,000.00 AAA NR 05/06/25 05/13/25 414,992.49 4.28 789.42 414,993.16 418,964.49
DTD 05/13/2025 4.280%04/15/2030
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Pfm asset
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Managed Account Detail of Securities Held For the Month Ending September 30, 2025
CITY OF RANCHO CUCAMONGA, FIRE PROT DIS - 73340100
Security Type/Description S&P Moody's Trade Settle Original YTM Accrued Amortized Market
Dated Date/Coupon/Maturity CUSIP Par Rating Rating Date Date Cost at Cost Interest Cost Value
Asset-Backed Security
GMCAR 2025-2 A3 362549AD9 100,000.00 AAA Aaa 05/06/25 05/14/25 99,985.28 4.28 178.33 99,986.40 100,761.90
DTD 05/14/2025 4.280%04/16/2030
WFCIT 2025-A1 A 92970OA34 545,000.00 AAA NR 06/03/25 06/10/25 544.990.95 4.34 1,051.24 544,993.16 550,824.42
DTD 06/10/2025 4.340%05/15/2030
AMXCA 2025-4 A 025823KV1 340,000.00 AAA NR 07/15/25 07/22/25 339,951.01 4.30 649.78 339,952.99 343,649.22
DTD 07/22/2025 4.300%07/15/2030
COMET 2025-A1 A 14041NGF2 360,000.00 AAA NR 09/09/25 09/16/25 359,931.74 3.82 573.00 359,933.43 359,812.44
DTD 09/16/2025 3.820%09/16/2030
Security Type Sub-Total 7,269,750.00 7,271,158.45 4.48 12,927.31 7,270,903.65 7,334,686.75
Managed Account Sub-Total 66,456,312.53 64,699,769.33 4.21 396,584.11 65,461,142.30 66,159,688.00
Securities Sub-Total $66,456,312.53 $64,699,769.33 4.23% $396,584.11 $65,461,142.30 $66,159,688.00
Accrued Interest $396,584.11
Total Investments $66,556,272.11
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Managed Account Fair Market Value &Analytics For the Month Ending September 30, 2025
CITY OF RANCHO CUCAMONGA, FIRE PROT DIS - 73340100
Security Type/Description Next Call Market Market Unreal G/L Unreal G/L Effective YTM
Dated Date/Coupon/Maturity CUSIP Par Broker Date Price Value On Cost Amort Cost Duration at Mkt
U.S.Treasury Bond I Note
US TREASURY N/13 91282CCZ2 1,100,000.00 Nomura 97.24 1,069,603.70 57,990.42 (10,300.88) 0.98 3.74
DTD 09/30/2021 0.875%09/30/2026
US TREASURY N/13 91282CDG3 200,000.00 BMO 97.27 194,539.00 5,984.31 840.29 1.05 3.74
DTD 11/01/2021 1.125%10/31/2026
US TREASURY N/B 91282CDG3 310,000.00 MorganSt 97.27 301,535.45 (7,059.86) (8,160.19) 1.05 3.74
DTD 11/01/2021 1.125%10/31/2026
US TREASURY N/B 91282CDG3 1,000,000.00 Citigrou 97.27 972,695.00 (21,250.31) (25,982.21) 1.05 3.74
DTD 11/01/2021 1.125%10/31/2026
US TREASURY N/13 91282CJT9 575,000.00 Nomura 100.38 577,156.25 11,208.01 6,881.58 1.24 3.71
DTD 01/16/2024 4.000%01/15/2027
US TREASURY N/B 91282CJT9 925,000.00 MorganSt 100.38 928,468.75 5,564.45 4,594.97 1.24 3.71
DTD 01/16/2024 4.000%01/15/2027
US TREASURY N/B 91282CMH1 695,000.00 MorganSt 100.54 698,746.75 5,294.21 4,798.54 1.28 3.71
DTD 01/31/2025 4.125%01/31/2027
US TREASURY N/13 912828V98 700,000.00 BOFAML 98.09 686,628.60 573.91 (9,146.57) 1.33 3.70
DTD 02/15/2017 2.250%02/15/2027
US TREASURY N/13 912828ZB9 700,000.00 BMO 96.51 675,554.60 51,761.63 6,481.80 1.38 3.70
DTD 03/02/2020 1.125%02/28/2027
US TREASURY N/B 91282CKEO 300,000.00 WeIlsFar 100.81 302,437.50 1,160.16 1,372.96 1.40 3.69
DTD 03/15/2024 4.250%03/15/2027
US TREASURY N/B 91282CKEO 425,000.00 WeIlsFar 100.81 428,453.13 3,635.75 3,580.75 1.40 3.69
DTD 03/15/2024 4.250%03/15/2027
US TREASURY N/13 912828X88 550,000.00 WeIlsFar 97.99 538,957.10 11,988.35 4,493.43 1.56 3.68
DTD 05/15/2017 2.375%05/15/2027
US TREASURY N/13 91282CF132 500,000.00 BMO 98.44 492,187.50 16,562.50 1,955.05 1.76 3.66
DTD 08/01/2022 2.750%07/31/2027
US TREASURY N/B 91282CFM8 250,000.00 MorganSt 100.96 252,412.00 175.67 251.60 1.90 3.64
DTD 09/30/2022 4.125%09/30/2027
US TREASURY N/13 91282CAL5 300,000.00 BOFAML 93.81 281,425.80 11,789.08 2,619.10 1.95 3.64
DTD 09/30/2020 0.375%09/30/2027
US TREASURY N/B 91282CFM8 425,000.00 WeIlsFar 100.96 429,100.40 (3,469.91) (1,040.57) 1.90 3.64
DTD 09/30/2022 4.125%09/30/2027
US TREASURY N/13 91282CAU5 500,000.00 BOFAML 93.80 469,023.50 43,203.19 1,073.85 2.03 3.64
DTD 11/02/2020 0.500%10/31/2027
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CITY OF RANCHO CUCAMONGA, FIRE PROT DIS - 73340100
Security Type/Description Next Call Market Market Unreal G/L Unreal G/L Effective YTM
Dated Date/Coupon/Maturity CUSIP Par Broker Date Price Value On Cost Amort Cost Duration at Mkt
U.S.Treasury Bond I Note
US TREASURY N/B 91282CAU5 800,000.00 Citigrou 93.80 750,437.60 30,062.60 8,481.18 2.03 3.64
DTD 11/02/2020 0.500%10/31/2027
US TREASURY N/B 91282CLX7 140,000.00 WeIlsFar 101.02 141,427.30 2,296.83 2,079.79 1.99 3.64
DTD 11/15/2024 4.125%11/15/2027
US TREASURY N/13 91282831`5 825,000.00 Citigrou 97.22 802,055.10 25,104.90 (1,665.70) 2.03 3.64
DTD 11/15/2017 2.250%11/15/2027
US TREASURY N/13 91282C1319 825,000.00 BMO 93.64 772,534.95 70,543.74 15,281.23 2.27 3.64
DTD 02/01/2021 0.750%01/31/2028
US TREASURY N/13 9128283W8 1,000,000.00 BMO 98.02 980,195.00 6,523.12 (6,952.25) 2.26 3.65
DTD 02/15/2018 2.750%02/15/2028
US TREASURY N/B 91282CBS9 300,000.00 JPMorgan 94.39 283,171.80 21,468.67 3,372.35 2.42 3.64
DTD 03/31/2021 1.250%03/31/2028
US TREASURY N/13 91282CBS9 500,000.00 BOFAML 94.39 471,953.00 42,031.12 10,923.27 2.42 3.64
DTD 03/31/2021 1.250%03/31/2028
US TREASURY N/B 91282CGT2 525,000.00 WeIlsFar 100.03 525,143.33 6,049.58 4,999.45 2.37 3.63
DTD 03/31/2023 3.625%03/31/2028
US TREASURY N/13 91282CBZ3 650,000.00 BMO 94.21 612,345.50 35,064.25 592.88 2.49 3.64
DTD 04/30/2021 1.250%04/30/2028
US TREASURY N/13 91282CCH2 775,000.00 MorganSt 93.83 727,198.00 61,636.47 16,842.75 2.65 3.64
DTD 06/30/2021 1.250%06/30/2028
US TREASURY N/B 91282CCRO 725,000.00 WeIlsFar 92.97 674,052.08 39,450.52 5,056.87 2.74 3.65
DTD 08/02/2021 1.000%07/31/2028
US TREASURY N/13 912820A0 980,000.00 BOFAML 102.81 1,007,562.50 12,364.84 17,747.88 2.78 3.64
DTD 10/02/2023 4.625%09/30/2028
US TREASURY N/B 91282CJF9 700,000.00 Citigrou 103.56 724,937.50 (6,371.09) 3,920.50 2.80 3.65
DTD 10/31/2023 4.875%10/31/2028
US TREASURY N/13 9128285M8 710,000.00 BMO 98.48 699,183.86 22,770.19 11,529.05 2.91 3.66
DTD 11/15/2018 3.125%11/15/2028
US TREASURY N/13 91282CJR3 1,575,000.00 BMO 100.32 1,579,983.30 45,465.72 33,579.98 3.01 3.66
DTD 01/02/2024 3.750%12/31/2028
US TREASURY N/13 91282CDW8 275,000.00 BMO 94.08 258,725.50 14,587.80 6,448.33 3.18 3.67
DTD 01/31/2022 1.750%01/31/2029
US TREASURY N/13 91282CDW8 550,000.00 Nomura 94.08 517,451.00 18,712.72 1,719.26 3.18 3.67
DTD 01/31/2022 1.750%01/31/2029
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CITY OF RANCHO CUCAMONGA, FIRE PROT DIS - 73340100
Security Type/Description Next Call Market Market Unreal G/L Unreal G/L Effective YTM
Dated Date/Coupon/Maturity CUSIP Par Broker Date Price Value On Cost Amort Cost Duration at Mkt
U.S.Treasury Bond I Note
US TREASURY N/13 9128286131 1,275,000.00 BOFAML 96.76 1,233,661.95 66,538.90 37,210.03 3.18 3.66
DTD 02/15/2019 2.625%02/15/2029
US TREASURY N/13 91282CEE7 1,200,000.00 Citigrou 95.82 1,149,843.60 56,109.22 29,170.03 3.31 3.67
DTD 03/31/2022 2.375%03/31/2029
US TREASURY N/13 91282CEM9 185,000.00 BMO 97.35 180,100.46 7,790.30 4,767.32 3.32 3.68
DTD 05/02/2022 2.875%04/30/2029
US TREASURY N/13 91282CEM9 1,000,000.00 BOFAML 97.35 973,516.00 16,758.19 6,877.16 3.32 3.68
DTD 05/02/2022 2.875%04/30/2029
US TREASURY N/B 91282CEV9 275,000.00 Nomura 98.50 270,885.73 461.90 (488.49) 3.46 3.69
DTD 06/30/2022 3.250%06/30/2029
US TREASURY N/13 91282CEV9 525,000.00 BOFAML 98.50 517,145.48 3,855.44 1,429.40 3.46 3.69
DTD 06/30/2022 3.250%06/30/2029
US TREASURY N/B 91282CFCO 350,000.00 WeIlsFar 96.24 336,847.70 4,142.62 2,883.94 3.59 3.69
DTD 08/01/2022 2.625%07/31/2029
US TREASURY N/B 91282CFCO 490,000.00 Nomura 96.24 471,586.78 708.26 (2,975.85) 3.59 3.69
DTD 08/01/2022 2.625%07/31/2029
US TREASURY N/B 91282CFLO 525,000.00 BOFAML 100.68 528,588.90 1,579.13 1,684.94 3.68 3.70
DTD 09/30/2022 3.875%09/30/2029
US TREASURY N/13 91282CFLO 625,000.00 BOFAML 100.68 629,272.50 12,915.08 11,449.50 3.68 3.70
DTD 09/30/2022 3.875%09/30/2029
US TREASURY N/B 91282CFY2 300,000.00 WeIlsFar 100.64 301,933.50 105.37 134.70 3.77 3.71
DTD 11/30/2022 3.875%11/30/2029
US TREASURY N/B 91282CMDO 375,000.00 Nomura 102.59 384,697.13 8,847.52 8,949.51 3.82 3.72
DTD 12/31/2024 4.375%12/31/2029
US TREASURY N/B 91282CMDO 690,000.00 MorganSt 102.59 707,842.71 17,357.55 17,421.62 3.82 3.72
DTD 12/31/2024 4.375%12/31/2029
US TREASURY N/13 91282CG34 985,000.00 Citigrou 99.15 976,650.16 16,429.07 13,759.25 3.97 3.72
DTD 01/31/2023 3.500%01/31/2030
US TREASURY N/B 91282CGS4 115,000.00 WeIlsFar 99.59 114,528.27 1,873.19 1,704.74 4.12 3.73
DTD 03/31/2023 3.625%03/31/2030
US TREASURY N/B 91282CGS4 320,000.00 WeIlsFar 99.59 318,687.36 6,474.86 5,814.40 4.12 3.73
DTD 03/31/2023 3.625%03/31/2030
US TREASURY N/13 91282CMU2 695,000.00 Nomura 101.14 702,954.27 5,538.06 5,756.09 4.09 3.73
DTD 03/31/2025 4.000%03/31/2030
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Managed Account Fair Market Value &Analytics For the Month Ending September 30, 2025
CITY OF RANCHO CUCAMONGA, FIRE PROT DIS - 73340100
Security Type/Description Next Call Market Market Unreal G/L Unreal G/L Effective YTM
Dated Date/Coupon/Maturity CUSIP Par Broker Date Price Value On Cost Amort Cost Duration at Mkt
U.S.Treasury Bond I Note
US TREASURY N/B 91282CHF1 600,000.00 BMO 100.07 600,421.80 8,554.61 8,100.83 4.20 3.74
DTD 05/31/2023 3.750%05/31/2030
US TREASURY N/B 91282CNN7 470,000.00 WeIlsFar 100.60 472,827.52 (1,835.76) (1,775.59) 4.35 3.74
DTD 07/31/2025 3.875%07/31/2030
US TREASURY N/B 91282CNN7 500,000.00 WeIlsFar 100.60 503,008.00 468.94 502.81 4.35 3.74
DTD 07/31/2025 3.875%07/31/2030
Security Type Sub-Total 32,810,000.00 32,202,282.17 877,545.99 270,646.66 2.63 3.68
Municipal Bond I Note
LOS ANGELES UNIF SD-B 544647KY5 145,000.00 Raymond] 101.56 147,258.96 2,258.96 2,258.96 2.53 3.92
DTD 05/13/2025 4.423%07/01/2028
CONNECTICUT ST-A-TXBL 20772KZK8 175,000.00 Barclays 102.17 178,803.28 3,803.28 3,803.28 3.17 3.83
DTD 05/07/2025 4.489%03/15/2029
Security Type Sub-Total 320,000.00 326,062.24 6,062.24 6,062.24 2.88 3.87
Federal Agency Commercial Mortgage-Backed Security
FHMS K062 A2 3137BUX60 310,000.00 Barclays 99.32 307,897.27 13,397.27 3,617.97 1.14 3.86
DTD 02/01/2017 3.413%12/01/2026
FHMS K067 A2 3137FAWS3 350,000.00 TD Secur 98.70 345,433.90 17,623.35 5,704.18 1.68 3.89
DTD 09/01/2017 3.194%07/01/2027
FHMS K346 Al 3137HAD45 593,649.05 3PMorgan 100.85 598,718.81 5,084.59 5,078.01 1.63 4.13
DTD 07/01/2023 4.777%06/01/2028
FHMS K505 A2 3137HACX2 600,000.00 SAN 101.88 611,278.20 10,762.57 10,990.57 2.43 3.98
DTD 07/01/2023 4.819%06/01/2028
FNA 2023-M6 A2 3136BODE6 572,913.48 3PMorgan 100.19 573,994.57 22,431.06 13,291.40 2.56 4.06
DTD 07/01/2023 4.181%07/01/2028
FHMS K508 A2 3137HAO74 550,000.00 BMO 101.93 560,624.35 22,689.15 18,219.74 2.60 3.94
DTD 10/01/2023 4.740%08/01/2028
FHMS K506 A2 3137HAMH6 600,000.00 WeIlsFar 101.57 609,427.20 18,303.00 14,905.29 2.57 3.98
DTD 09/01/2023 4.650%08/01/2028
FHMS K509 A2 3137HAST4 450,000.00 MorganSt 102.30 460,333.80 24,681.15 19,689.25 2.68 3.94
DTD 10/01/2023 4.850%09/01/2028
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CITY OF RANCHO CUCAMONGA, FIRE PROT DIS - 73340100
Security Type/Description Next Call Market Market Unreal G/L Unreal G/L Effective YTM
Dated Date/Coupon/Maturity CUSIP Par Broker Date Price Value On Cost Amort Cost Duration at Mkt
Federal Agency Commercial Mortgage-Backed Security
FHMS K510 A2 3137HB3D4 220,000.00 JPMorgan 102.70 225,946.60 6,582.62 6,361.72 2.71 4.02
DTD 11/01/2023 5.069%10/01/2028
FHMS K511 A2 3137HB3G7 320,000.00 BOFAML 102.28 327,280.96 8,200.32 7,884.89 2.75 3.99
DTD 12/01/2023 4.860%10/01/2028
FHMS K514 A2 3137HBLV4 290,000.00 JPMorgan 101.46 294,246.18 1,346.47 2,253.37 2.84 4.01
DTD 02/01/2024 4.572%12/01/2028
FHMS K520 A2 3137HCKV3 300,000.00 WellsFar 103.44 310,332.90 7,461.81 8,148.68 3.09 4.04
DTD 04/01/2024 5.180%03/01/2029
FHMS K528 A2 3137HFNZ4 215,000.00 BOFAML 101.54 218,316.59 (979.11) (124.27) 3.43 4.03
DTD 09/01/2024 4.508%07/01/2029
FHMS K527 A2 3137HFF59 425,000.00 MorganSt 101.91 433,131.53 705.08 2,237.62 3.41 4.03
DTD 08/01/2024 4.618%07/01/2029
FHMS K526 A2 3137HDXL9 550,000.00 BMO 101.69 559,318.65 4,173.95 5,248.01 3.42 4.02
DTD 08/01/2024 4.543%07/01/2029
FHMS K529 A2 3137HH6C0 360,000.00 MorganSt 102.54 369,157.32 1,962.00 3,234.52 3.53 4.04
DTD 10/01/2024 4.791%09/01/2029
FHMS K530 A2 3137HH3L6 595,000.00 JPMorgan 102.56 610,209.39 12,111.22 12,561.19 3.54 4.04
DTD 11/01/2024 4.792%09/01/2029
FHMS K539 A2 3137HKX38 210,000.00 JPMorgan 101.27 212,670.15 2,677.50 2,676.77 3.85 4.05
DTD 04/01/2025 4.410%01/01/2030
FHMS K537 A2 3137HKPF5 360,000.00 MorganSt 101.36 364,894.92 4,898.88 4,897.80 3.93 4.06
DTD 03/01/2025 4.430%02/01/2030
FHMS K547 A2 3137HN669 390,000.00 JPMorgan 101.29 395,038.57 (799.34) (890.82) 3.97 4.07
DTD 09/01/2025 4.421%05/01/2030
FHMS K543 A2 3137HMC65 590,000.00 GoldmanS 100.97 595,699.99 5,711.20 5,710.11 4.16 4.07
DTD 07/01/2025 4.329%06/01/2030
FHMS K544 A2 3137HMCE8 400,000.00 JPMorgan 100.70 402,791.20 3,212.80 3,206.10 4.24 4.08
DTD 07/01/2025 4.266%07/01/2030
FHMS K545 A2 3137HMCK4 510,000.00 BOFAML 100.80 514,076.43 4,806.24 4,784.92 4.25 4.08
DTD 08/01/2025 4.290%07/01/2030
Security Type Sub-Total 9,761,562.53 9,900,819.48 197,043.78 159,687.02 3.05 4.02
Federal Agency Bond I Note
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CITY OF RANCHO CUCAMONGA, FIRE PROT DIS - 73340100
Security Type/Description Next Call Market Market Unreal G/L Unreal G/L Effective YTM
Dated Date/Coupon/Maturity CUSIP Par Broker Date Price Value On Cost Amort Cost Duration at Mkt
Federal Agency Bond I Note
FEDERAL HOME LOAN BANK 3130B6R24 620,000.00 Nomura 100.42 622,573.00 3,397.60 3,275.41 1.59 3.64
DTD 06/13/2025 3.875%06/04/2027
Security Type Sub-Total 620,000.00 622,573.00 3,397.60 3,275.41 1.59 3.64
Corporate
CITIGROUP INC 172967KNO 170,000.00 JPMorgan 99.61 169,332.41 (17,781.49) (2,693.47) 0.56 4.14
DTD 05/02/2016 3.400%05/01/2026
TOYOTA MOTOR CREDIT CORP 89236TJK2 110,000.00 JPMorgan 97.99 107,785.81 (1,969.99) (2,177.60) 0.70 4.05
DTD 06/18/2021 1.125%06/18/2026
TOYOTA MOTOR CREDIT CORP 89236TJK2 250,000.00 JANE 97.99 244,967.75 16,662.75 (1,244.47) 0.70 4.05
DTD 06/18/2021 1.125%06/18/2026
MORGAN STANLEY 6176113R8 225,000.00 SEEL 99.27 223,357.95 12,694.95 2,215.91 0.80 4.05
DTD 07/25/2016 3.125%07/27/2026
AMERICAN HONDA FINANCE 02665WDZ1 200,000.00 RBC Capi 97.52 195,044.80 (2,029.20) (4,378.87) 0.92 4.06
DTD 09/09/2021 1.300%09/09/2026
AMERICAN EXPRESS CO (CALLABLE) 025816CM9 225,000.00 JANE 10/04/26 97.50 219,381.08 11,622.83 (1,359.96) 1.06 4.03
DTD 11/04/2021 1.650%11/04/2026
NATIONAL RURAL UTIL COOP (CALLABLE) 63743HFK3 155,000.00 MIZU 10/13/26 101.63 157,520.30 2,574.55 2,541.30 0.98 4.12
DTD 11/02/2023 5.600%11/13/2026
JOHN DEERE CAPITAL CORP 24422EWA3 200,000.00 JPMorgan 97.25 194,500.40 (4,371.60) (5,211.01) 1.24 3.95
DTD 01/10/2022 1.700%01/11/2027
BANK OF AMERICA CORP (CALLABLE) 06051GLE7 350,000.00 JPMorgan 01/20/26 100.18 350,642.95 6,169.45 2,679.03 0.30 5.21
DTD 01/20/2023 5.080%01/20/2027
GOLDMAN SACHS GROUP INC (CALLABLE) 38141GWB6 435,000.00 MorganSt 01/26/26 99.71 433,746.77 12,262.22 2,812.53 0.83 4.08
DTD 01/26/2017 3.850%01/26/2027
IBM CORP (CALLABLE) 459200KM2 125,000.00 Deutsche 01/09/27 97.60 122,004.50 1,170.75 (1,834.37) 1.31 4.06
DTD 02/09/2022 2.200%02/09/2027
TRUIST FINANCIAL CORP (CALLABLE) 89788MAD4 275,000.00 GoldmanS 03/02/26 98.75 271,549.30 16,217.30 2,214.66 0.41 4.66
DTD 03/02/2021 1.267%03/02/2027
CHARLES SCHWAB CORP (CALLABLE) 808513BYO 300,000.00 CSFirstB 02/03/27 97.84 293,511.00 8,781.00 (2,006.06) 1.37 4.07
DTD 03/03/2022 2.450%03/03/2027
NORTHERN TRUST CORP (CALLABLE) 665859AW4 400,000.00 Deutsche 04/10/27 100.16 400,623.20 (4,860.80) (1,083.55) 1.47 3.91
DTD 05/10/2022 4.000%05/10/2027
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CITY OF RANCHO CUCAMONGA, FIRE PROT DIS - 73340100
Security Type/Description Next Call Market Market Unreal G/L Unreal G/L Effective YTM
Dated Date/Coupon/Maturity CUSIP Par Broker Date Price Value On Cost Amort Cost Duration at Mkt
Corporate
UNITEDHEALTH GROUP INC (CALLABLE) 91324PEG3 65,000.00 BOFAML 04/15/27 99.61 64,749.30 (215.60) (239.28) 1.50 3.97
DTD 05/20/2022 3.700%05/15/2027
UNITEDHEALTH GROUP INC (CALLABLE) 91324PEG3 250,000.00 MAXE 04/15/27 99.61 249,035.75 (4,059.25) (1,942.92) 1.50 3.97
DTD 05/20/2022 3.700%05/15/2027
PNC FINANCIAL SERVICES (CALLABLE) 693475AT2 275,000.00 JANE 04/19/27 98.69 271,394.20 629.20 (2,158.86) 1.53 4.03
DTD 05/19/2017 3.150%05/19/2027
NATIONAL AUSTRALIA BK/NY 63254ABE7 400,000.00 JPMorgan 99.98 399,935.20 3,403.20 1,109.22 1.60 3.91
DTD 06/09/2022 3.905%06/09/2027
TRUIST FINANCIAL CORP (CALLABLE) 89788MAC6 190,000.00 JANE 06/03/27 94.85 180,214.81 15,114.31 (519.61) 1.78 4.10
DTD 08/03/2020 1.125%08/03/2027
TRUIST FINANCIAL CORP (CALLABLE) 89788MAC6 200,000.00 GoldmanS 06/03/27 94.85 189,699.80 26,193.80 3,811.38 1.78 4.10
DTD 08/03/2020 1.125%08/03/2027
TOYOTA MOTOR CREDIT CORP 89236TK33 450,000.00 Citigrou 101.15 455,190.75 9,992.25 7,098.97 1.87 3.95
DTD 09/20/2022 4.550%09/20/2027
TEXAS INSTRUMENTS INC (CALLABLE) 882508BC7 400,000.00 MorganSt 08/03/27 98.25 393,017.20 17,585.20 3,490.63 1.92 3.79
DTD 11/03/2017 2.900%11/03/2027
COMCAST CORP (CALLABLE) 20030NEA5 425,000.00 TD Secur 10/15/27 102.74 436,627.58 (6,545.42) 3,757.97 1.90 4.01
DTD 11/07/2022 5.350%11/15/2027
AMAZON.COM INC (CALLABLE) 023135CP9 300,000.00 RBC Capi 11/01/27 101.50 304,504.20 1,813.20 3,358.77 1.97 3.81
DTD 12/01/2022 4.550%12/01/2027
]OHNSON&JOHNSON (CALLABLE) 478160DH4 90,000.00 JPMorgan 02/01/28 101.98 91,781.55 1,833.75 1,823.71 2.22 3.72
DTD 02/20/2025 4.550%03/01/2028
MORGAN STANLEY (CALLABLE) 61747YFP5 235,000.00 JANE 04/13/27 102.24 240,262.12 4,026.02 4,592.12 1.42 4.54
DTD 04/19/2024 5.652%04/13/2028
]PMORGAN CHASE&CO (CALLABLE) 46647PEE2 130,000.00 MAXE 04/22/27 102.18 132,839.33 2,461.03 2,632.76 1.45 4.50
DTD 04/22/2024 5.571%04/22/2028
CINTAS CORPORATION NO.2 (CALLABLE) 17252MAR1 185,000.00 MUFG 04/01/28 100.43 185,793.65 1,030.45 999.30 2.35 4.04
DTD 05/02/2025 4.200%05/01/2028
HERSHEY COMPANY (CALLABLE) 427866BHO 425,000.00 GoldmanS 04/04/28 101.01 429,275.08 46.33 2,112.81 2.35 3.86
DTD 05/04/2023 4.250%05/04/2028
CUMMINS INC (CALLABLE) 231021AY2 30,000.00 JPMorgan 04/09/28 100.75 30,225.18 246.18 243.56 2.36 3.96
DTD 05/09/2025 4.250%05/09/2028
META PLATFORMS INC (CALLABLE) 30303M8L9 450,000.00 JPMorgan 04/15/28 102.05 459,209.25 8,372.25 8,765.36 2.36 3.79
DTD 05/03/2023 4.600%05/15/2028
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Managed Account Fair Market Value &Analytics For the Month Ending September 30, 2025
CITY OF RANCHO CUCAMONGA, FIRE PROT DIS - 73340100
Security Type/Description Next Call Market Market Unreal G/L Unreal G/L Effective YTM
Dated Date/Coupon/Maturity CUSIP Par Broker Date Price Value On Cost Amort Cost Duration at Mkt
Corporate
MERCK&CO INC (CALLABLE) 58933YBH7 475,000.00 Citigrou 04/17/28 100.55 477,590.65 6,043.90 4,410.58 2.39 3.84
DTD 05/17/2023 4.050%05/17/2028
HSBC USA INC 40428HR95 460,000.00 HSBC 101.41 466,504.86 6,468.06 6,471.71 2.46 4.10
DTD 06/03/2025 4.650%06/03/2028
AMERICAN HONDA FINANCE 02665WEM9 300,000.00 GoldmanS 102.54 307,629.30 8,985.30 8,381.29 2.53 4.14
DTD 07/07/2023 5.125%07/07/2028
BMW US CAPITAL LLC (CALLABLE) 05565ECE3 450,000.00 Barclays 07/11/28 102.43 460,928.70 15,995.70 13,837.85 2.58 4.16
DTD 08/11/2023 5.050%08/11/2028
NATIONAL RURAL UTIL COOP (CALLABLE) 63743HFZO 140,000.00 MUFG 07/25/28 100.27 140,378.42 535.22 530.19 2.66 4.06
DTD 08/25/2025 4.150%08/25/2028
CITIBANK NA (CALLABLE) 17325FBB3 575,000.00 GoldmanS 08/29/28 104.89 603,120.95 30,972.95 29,931.56 2.68 4.07
DTD 09/29/2023 5.803%09/29/2028
COOPERAT RABOBANK UA/NY 21688ABC5 370,000.00 MIZU 102.28 378,441.18 7,923.18 8,087.61 2.98 4.06
DTD 01/09/2024 4.800%01/09/2029
]PMORGAN CHASE&CO (CALLABLE) 46647PEU6 200,000.00 JPMorgan 01/24/28 101.80 203,605.80 3,605.80 3,605.80 2.16 4.36
DTD 01/24/2025 4.915%01/24/2029
CISCO SYSTEMS INC (CALLABLE) 17275RBR2 270,000.00 Citigrou 01/26/29 102.61 277,055.91 7,150.41 7,122.06 3.06 4.00
DTD 02/26/2024 4.850%02/26/2029
CATERPILLAR FINL SERVICE 14913UA03 95,000.00 BOFAML 101.38 96,308.91 1,566.36 1,513.11 3.52 3.99
DTD 08/16/2024 4.375%08/16/2029
ADOBE INC (CALLABLE) 00724PA18 460,000.00 BOFAML 12/17/29 103.63 476,710.42 17,414.22 17,324.03 3.78 4.02
DTD 01/17/2025 4.950%01/17/2030
NATIONAL RURAL UTIL COOP (CALLABLE) 63743HFX5 110,000.00 RBC Capi 01/07/30 103.01 113,309.13 3,477.43 3,457.57 3.83 4.21
DTD 02/07/2025 4.950%02/07/2030
PEPSICO INC (CALLABLE) 713448GB8 250,000.00 UBSS 01/07/30 102.15 255,367.50 6,797.50 6,630.58 3.86 4.06
DTD 02/07/2025 4.600%02/07/2030
HERSHEY COMPANY (CALLABLE) 427866BL1 300,000.00 TD Secur 01/24/30 102.41 307,215.00 6,294.00 6,395.11 3.90 4.14
DTD 02/24/2025 4.750%02/24/2030
MARS INC (CALLABLE) 571676AY1 145,000.00 BOFAML 02/01/30 101.88 147,722.67 2,879.27 2,863.59 3.91 4.32
DTD 03/12/2025 4.800%03/01/2030
STATE STREET CORP (CALLABLE) 857477DB6 145,000.00 MorganSt 03/24/30 102.66 148,858.89 3,858.89 3,858.89 3.96 4.17
DTD 04/24/2025 4.834%04/24/2030
WALMART INC (CALLABLE) 931142FN8 165,000.00 BOFAML 03/28/30 101.64 167,708.31 2,993.76 2,971.72 4.02 3.95
DTD 04/28/2025 4.350%04/28/2030
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CITY OF RANCHO CUCAMONGA, FIRE PROT DIS - 73340100
Security Type/Description Next Call Market Market Unreal G/L Unreal G/L Effective YTM
Dated Date/Coupon/Maturity CUSIP Par Broker Date Price Value On Cost Amort Cost Duration at Mkt
Corporate
BLACKROCK INC (CALLABLE) 09247XA04 450,000.00 JANE 01/30/30 93.09 418,905.00 6,156.00 4,338.34 4.20 4.11
DTD 01/27/2020 2.400%04/30/2030
COLGATE-PALMOLIVE CO (CALLABLE) 194162ATO 185,000.00 Citigrou 04/01/30 100.78 186,449.29 1,547.34 1,539.41 4.04 4.02
DTD 05/02/2025 4.200%05/01/2030
NATIONAL SECS CLEARING (CALLABLE) 637639AC8 475,000.00 BOFAML 04/20/30 102.17 485,321.28 10,615.78 10,595.28 4.04 4.17
DTD 05/20/2025 4.700%05/20/2030
CITIBANK NA (CALLABLE) 17325FBP2 250,000.00 Citigrou 04/29/30 102.74 256,858.00 6,858.00 6,858.00 4.04 4.26
DTD 05/29/2025 4.914%05/29/2030
HOME DEPOT INC (CALLABLE) 437076D38 95,000.00 JPMorgan 08/15/30 99.14 94,182.62 (476.33) (479.50) 4.43 4.13
DTD 09/15/2025 3.950%09/15/2030
Security Type Sub-Total 14,285,000.00 14,367,895.96 296,732.36 179,654.74 2.28 4.08
DepositCertificate of
NATIXIS NY BRANCH 638730P65 400,000.00 WellsFar 101.64 406,574.80 6,574.80 6,574.80 0.95 3.82
DTD 09/20/2023 5.610%09/18/2026
CREDIT AGRICOLE CIB NY 22536DWD6 590,000.00 CRAG 100.75 594,413.20 4,413.20 4,413.20 1.27 4.13
DTD 02/05/2024 4.760%02/01/2027
Security Type Sub-Total 990,000.00 1,000,988.00 10,988.00 10,988.00 1.14 4.00
WELLS FARGO BANK NA (CALLABLE) 9498816D4 400,000.00 BOFAML 07/07/26 101.10 404,380.40 4,620.40 4,448.53 0.74 4.10
DTD 08/09/2023 5.450%08/07/2026
Security Type Sub-Total 400,000.00 404,380.40 4,620.40 4,448.53 0.74 4.10
Asset-Backed Security
HAROT 2024-3 A2 43813YAB8 166,744.21 JPMorgan 100.17 167,032.84 301.69 296.02 0.24 4.21
DTD 08/21/2024 4.890%02/22/2027
WOART 2024-A A2A 98164RAB2 2,603.40 MIZU 100.02 2,604.04 0.84 0.74 0.04 4.48
DTD 02/14/2024 5.050%04/15/2027
NAROT 2023-B A3 65480MAD5 94,756.41 MIZU 100.85 95,562.79 825.61 817.61 0.51 4.24
DTD 10/25/2023 5.930%03/15/2028
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Managed Account Fair Market Value &Analytics For the Month Ending September 30, 2025
CITY OF RANCHO CUCAMONGA, FIRE PROT DIS - 73340100
Security Type/Description Next Call Market Market Unreal G/L Unreal G/L Effective YTM
Dated Date/Coupon/Maturity CUSIP Par Broker Date Price Value On Cost Amort Cost Duration at Mkt
Asset-Backed Security
HAROT 2023-4 A3 438123AC5 65,645.97 JPMorgan 101.18 66,422.70 788.29 783.83 0.76 4.18
DTD 11/08/2023 5.670%06/21/2028
KCOT 2024-2A A3 50117DACO 350,000.00 WeIlsFar 101.86 356,500.90 2,440.35 3,075.51 1.40 4.02
DTD 06/25/2024 5.260%11/15/2028
TAOT 2024-C A3 892370AD2 240,000.00 MUFG 101.12 242,679.60 2,679.74 2,679.60 1.13 3.97
DTD 07/30/2024 4.880%03/15/2029
HART 2024-C A3 448976AD2 200,000.00 Barclays 100.76 201,522.20 1,536.84 1,533.56 1.42 3.94
DTD 10/16/2024 4.410%05/15/2029
BACCT 2024-Al A 05522RD34 500,000.00 BOFAML 101.70 508,475.00 8,503.05 8,494.87 1.53 3.90
DTD 06/13/2024 4.930%05/15/2029
HAROT 2024-4 A3 43816DAC9 500,000.00 BOFAML 100.54 502,718.00 4,788.31 4,490.12 1.24 3.95
DTD 10/24/2024 4.330%05/15/2029
AMXCA 2024-3 A 02589BAEO 345,000.00 Citigrou 101.40 349,828.28 4,843.94 4,840.24 1.68 3.89
DTD 07/23/2024 4.650%07/15/2029
GMCAR 2024-4 A3 38014AAD3 160,000.00 MIZU 100.69 161,101.44 1,132.26 1,126.48 1.21 3.90
DTD 10/16/2024 4.400%08/16/2029
VALET 2025-1 A3 92868MAD1 375,000.00 Barclays 101.00 378,756.00 3,768.75 3,766.68 1.77 4.00
DTD 03/25/2025 4.500%08/20/2029
BMWOT 2025-A A3 096924AD7 295,000.00 WeIlsFar 100.93 297,738.48 2,767.54 2,763.15 1.40 3.97
DTD 02/12/2025 4.560%09/25/2029
HAROT 2025-2 A3 437921AD1 125,000.00 JPMorgan 100.34 125,430.63 444.59 443.16 1.94 4.14
DTD 05/08/2025 4.150%10/15/2029
WFCIT 2024-A2 A 929700AE5 280,000.00 WeIlsFar 100.83 282,313.08 2,354.69 2,347.29 1.92 3.91
DTD 10/24/2024 4.290%10/15/2029
FORDO 2025-A A3 34535KADO 455,000.00 SGAS 101.00 459,554.55 4,598.78 4,593.17 1.80 3.96
DTD 03/25/2025 4.450%10/15/2029
BAAT 2025-1A A3 05594BAD8 85,000.00 BOFAML 100.64 85,543.32 549.18 548.46 1.60 4.01
DTD 05/12/2025 4.350%11/20/2029
MBART 2025-1 A3 58773DAD6 265,000.00 SGAS 101.33 268,528.74 3,585.11 3,577.17 1.42 3.92
DTD 01/23/2025 4.780%12/17/2029
VZMT 2025-3 AlA 92348KDY6 455,000.00 BOFAML 100.83 458,779.68 3,799.24 3,796.23 1.92 4.18
DTD 03/31/2025 4.510%03/20/2030
FORDO 2025-B A3 34532BAG6 240,000.00 Barclays 99.97 239,934.48 (39.62) (40.60) 2.17 3.97
DTD 09/26/2025 3.910%04/15/2030
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Managed Account Fair Market Value &Analytics For the Month Ending September 30, 2025
CITY OF RANCHO CUCAMONGA, FIRE PROT DIS - 73340100
Security Type/Description Next Call Market Market Unreal G/L Unreal G/L Effective YTM
Dated Date/Coupon/Maturity CUSIP Par Broker Date Price Value On Cost Amort Cost Duration at Mkt
Asset-Backed Security
HART 2025-C A3 449353AD8 310,000.00 Citigrou 99.89 309,647.53 (301.88) (303.52) 2.14 3.98
DTD 09/17/2025 3.880%04/15/2030
AMXCA 2025-2 A 02582JKP4 415,000.00 RBC Capi 100.96 418,964.49 3,972.00 3,971.33 2.36 3.93
DTD 05/13/2025 4.280%04/15/2030
GMCAR 2025-2 A3 362549AD9 100,000.00 TD Secur 100.76 100,761.90 776.62 775.50 1.90 3.94
DTD 05/14/2025 4.280%04/16/2030
WFCIT 2025-A1 A 92970OA34 545,000.00 WeIlsFar 101.07 550,824.42 5,833.47 5,831.26 2.43 3.97
DTD 06/10/2025 4.340%05/15/2030
AMXCA 2025-4 A 02582XV1 340,000.00 Barclays 101.07 343,649.22 3,698.21 3,696.23 2.58 3.94
DTD 07/22/2025 4.300%07/15/2030
COMET 2025-A1 A 14041NGF2 360,000.00 WeIlsFar 99.95 359,812.44 (119.30) (120.99) 2.75 3.89
DTD 09/16/2025 3.820%09/16/2030
Security Type Sub-Total 7,269,750.00 7,334,686.75 63,528.30 63,783.10 1.78 3.98
Managed Account Sub-Total 66,456,312.53 66,159,688.00 1,459,918.67 698,545.70 2.48 3.86
Securities Sub-Total $66,456,312.53 $66,159,688.00 $1,459,918.67 $698,545.70 2.49 3.85%
Accrued Interest $396,584.11
Total Investments $66,556,272.11
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Managed Account Security Transactions & Interest For the Month Ending September 30, 2025
CITY OF RANCHO CUCAMONGA, FIRE PROT DIS - 73340100
Transaction Type Principal Accrued Realized GIL Realized GIL Sale
Trade Settle Security Description CUSIP Par Proceeds Interest Total Cost Amort Cost Method
09/02/25 09/04/25 US TREASURY N/B 91282CFY2 300,000.00 (301,828.13) (3,049.18) (304,877.31)
DTD 11/30/2022 3.875%11/30/2029
09/02/25 09/04/25 US TREASURY N/B 91282CFM8 250,000.00 (252,236.33) (4,423.67) (256,660.00)
DTD 09/30/2022 4.125%09/30/2027
09/02/25 09/04/25 US TREASURY N/B 91282CNN7 500,000.00 (502,539.06) (1,842.73) (504,381.79)
DTD 07/31/2025 3.875%07/31/2030
09/04/25 09/05/25 US TREASURY N/B 91282CNN7 470,000.00 (474,663.28) (1,781.66) (476,444.94)
DTD 07/31/2025 3.875%07/31/2030
09/08/25 09/15/25 HOME DEPOT INC (CALLABLE) 437076DJ8 95,000.00 (94,658.95) 0.00 (94,658.95)
DTD 09/15/2025 3.950%09/15/2030
09/09/25 09/16/25 COMET 2025-A1 A 14041NGF2 360,000.00 (359,931.74) 0.00 (359,931.74)
DTD 09/16/2025 3.820%09/16/2030
09/09/25 09/17/25 HART 2025-C A3 44935JAD8 310,000.00 (309,949.41) 0.00 (309,949.41)
DTD 09/17/2025 3.880%04/15/2030
09/23/25 09/26/25 FORDO 2025-B A3 34532BAG6 240,000.00 (239,974.10) 0.00 (239,974.10)
DTD 09/26/2025 3.910%04/15/2030
09/23/25 09/29/25 FHMS K547 A2 3137HN6B9 390,000.00 (395,837.91) (1,341.04) (397,178.95)
DTD 09/01/2025 4.421%05/01/2030
Transaction Type Sub-Total 2,915,000.00 (2,931,618.91) (12,438.28) (2,944,057.19)
09/01/25 09/01/25 JOHNSON&JOHNSON (CALLABLE) 478160DH4 0.00 2,172.63 2,172.63
DTD 02/20/2025 4.550%03/01/2028
09/01/25 09/01/25 MARS INC (CALLABLE) 571676AY1 0.00 3,267.33 3,267.33
DTD 03/12/2025 4.800%03/01/2030
09/01/25 09/25/25 FHMS K539 A2 3137HKXJ8 0.00 771.75 771.75
DTD 04/01/2025 4.410%01/01/2030
09/01/25 09/25/25 FHMS K544 A2 3137HMCE8 0.00 1,422.00 1,422.00
DTD 07/01/2025 4.266%07/01/2030
09/01/25 09/25/25 FHMS K545 A2 3137HMCK4 0.00 1,823.25 1,823.25
DTD 08/01/2025 4.290%07/01/2030
09/01/25 09/25/25 FHMS K506 A2 3137HAMH6 0.00 2,325.00 2,325.00
DTD 09/01/2023 4.650%08/01/2028
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Managed Account Security Transactions & Interest For the Month Ending September 30, 2025
CITY OF RANCHO CUCAMONGA, FIRE PROT DIS - 73340100
Transaction Type Principal Accrued Realized GIL Realized GIL Sale
Trade Settle Security Description CUSIP Par Proceeds Interest Total Cost Amort Cost Method
09/01/25 09/25/25 FHMS K529 A2 3137HH6C0 0.00 1,437.30 1,437.30
DTD 10/01/2024 4.791%09/01/2029
09/01/25 09/25/25 FHMS K526 A2 3137HDXL9 0.00 2,082.21 2,082.21
DTD 08/01/2024 4.543%07/01/2029
09/01/25 09/25/25 FHMS K520 A2 3137HCKV3 0.00 1,295.00 1,295.00
DTD 04/01/2024 5.180%03/01/2029
09/01/25 09/25/25 FHMS K067 A2 3137FAWS3 0.00 931.58 931.58
DTD 09/01/2017 3.194%07/01/2027
09/01/25 09/25/25 FHMS K530 A2 3137HHJL6 0.00 2,376.03 2,376.03
DTD 11/01/2024 4.792%09/01/2029
09/01/25 09/25/25 FHMS KJ46 Al 3137HAD45 0.00 2,365.70 2,365.70
DTD 07/01/2023 4.777%06/01/2028
09/01/25 09/25/25 FHMS K508 A2 3137HAO74 0.00 2,172.50 2,172.50
DTD 10/01/2023 4.740%08/01/2028
09/01/25 09/25/25 FHMS K505 A2 3137HACX2 0.00 2,409.50 2,409.50
DTD 07/01/2023 4.819%06/01/2028
09/01/25 09/25/25 FHMS K509 A2 3137HAST4 0.00 1,818.75 1,818.75
DTD 10/01/2023 4.850%09/01/2028
09/01/25 09/25/25 FHMS K527 A2 3137HFF59 0.00 1,635.54 1,635.54
DTD 08/01/2024 4.618%07/01/2029
09/01/25 09/25/25 FHMS K543 A2 3137HMC65 0.00 2,128.43 2,128.43
DTD 07/01/2025 4.329%06/01/2030
09/01/25 09/25/25 FHMS K510 A2 3137HB3D4 0.00 929.32 929.32
DTD 11/01/2023 5.069%10/01/2028
09/01/25 09/25/25 FNA 2023-M6 A2 3136130DE6 0.00 2,000.61 2,000.61
DTD 07/01/2023 4.181%07/01/2028
09/01/25 09/25/25 FHMS K062 A2 3137BUX60 0.00 881.69 881.69
DTD 02/01/2017 3.413%12/01/2026
09/01/25 09/25/25 FHMS K528 A2 3137HFNZ4 0.00 807.68 807.68
DTD 09/01/2024 4.508%07/01/2029
09/01/25 09/25/25 FHMS K514 A2 3137HBLV4 0.00 1,104.90 1,104.90
DTD 02/01/2024 4.572%12/01/2028
09/01/25 09/25/25 FHMS K537 A2 3137HKPF5 0.00 1,329.00 1,329.00
DTD 03/01/2025 4.430%02/01/2030
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Managed Account Security Transactions & Interest For the Month Ending September 30, 2025
CITY OF RANCHO CUCAMONGA, FIRE PROT DIS - 73340100
Transaction Type Principal Accrued Realized GIL Realized GIL Sale
Trade Settle Security Description CUSIP Par Proceeds Interest Total Cost Amort Cost Method
09/01/25 09/25/25 FHMS K511 A2 3137HB3G7 0.00 1,296.00 1,296.00
DTD 12/01/2023 4.860%10/01/2028
09/02/25 09/02/25 TRUIST FINANCIAL CORP (CALLABLE) 89788MAD4 0.00 1,742.13 1,742.13
DTD 03/02/2021 1.267%03/02/2027
09/03/25 09/03/25 CHARLES SCHWAB CORP (CALLABLE) 808513BYO 0.00 3,675.00 3,675.00
DTD 03/03/2022 2.450%03/03/2027
09/03/25 09/03/25 MONEY MARKET FUND MONEY0002 0.00 82.32 82.32
DTD 01/01/2010 0.000% --
09/09/25 09/09/25 AMERICAN HONDA FINANCE 02665WDZ1 0.00 1,300.00 1,300.00
DTD 09/09/2021 1.300%09/09/2026
09/15/25 09/15/25 BACCT 2024-A1 A 05522RDJ4 0.00 2,054.17 2,054.17
DTD 06/13/2024 4.930%05/15/2029
09/15/25 09/15/25 WFCIT 2024-A2 A 929700AE5 0.00 1,001.00 1,001.00
DTD 10/24/2024 4.290%10/15/2029
09/15/25 09/15/25 HART 2024-C A3 448976AD2 0.00 735.00 735.00
DTD 10/16/2024 4.410%05/15/2029
09/15/25 09/15/25 MBART 2025-1 A3 58773DAD6 0.00 1,055.58 1,055.58
DTD 01/23/2025 4.780%12/17/2029
09/15/25 09/15/25 TACIT 2024-C A3 892370AD2 0.00 976.00 976.00
DTD 07/30/2024 4.880%03/15/2029
09/15/25 09/15/25 WFCIT 2025-A1 A 929700AJ4 0.00 1,971.08 1,971.08
DTD 06/10/2025 4.340%05/15/2030
09/15/25 09/15/25 WOART 2024-A A2A 98164RAB2 0.00 54.66 54.66
DTD 02/14/2024 5.050%04/15/2027
09/15/25 09/15/25 FORDO 2025-A A3 34535KADO 0.00 1,687.29 1,687.29
DTD 03/25/2025 4.450%10/15/2029
09/15/25 09/15/25 CONNECTICUT ST-A-TXBL 20772KZK8 0.00 2,793.16 2,793.16
DTD 05/07/2025 4.489%03/15/2029
09/15/25 09/15/25 US TREASURY N/B 91282CKEO 0.00 15,406.25 15,406.25
DTD 03/15/2024 4.250%03/15/2027
09/15/25 09/15/25 KCOT 2024-2A A3 50117DACO 0.00 1,534.17 1,534.17
DTD 06/25/2024 5.260%11/15/2028
09/15/25 09/15/25 AMXCA 2025-4 A 02582JKV1 0.00 1,218.33 1,218.33
DTD 07/22/2025 4.300%07/15/2030
PFM Asset Management,a division of Account 73340100 Page 31
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Pfm asset
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Managed Account Security Transactions & Interest For the Month Ending September 30, 2025
CITY OF RANCHO CUCAMONGA, FIRE PROT DIS - 73340100
Transaction Type Principal Accrued Realized GIL Realized GIL Sale
Trade Settle Security Description CUSIP Par Proceeds Interest Total Cost Amort Cost Method
09/15/25 09/15/25 NAROT 2023-B A3 65480MAD5 0.00 513.01 513.01
DTD 10/25/2023 5.930%03/15/2028
09/15/25 09/15/25 AMXCA 2025-2 A 02582JKP4 0.00 1,480.17 1,480.17
DTD 05/13/2025 4.280%04/15/2030
09/15/25 09/15/25 AMXCA 2024-3 A 02589BAEO 0.00 1,336.88 1,336.88
DTD 07/23/2024 4.650%07/15/2029
09/15/25 09/15/25 HAROT 2025-2 A3 437921AD1 0.00 432.29 432.29
DTD 05/08/2025 4.150%10/15/2029
09/15/25 09/15/25 HAROT 2024-4 A3 43816DAC9 0.00 1,804.17 1,804.17
DTD 10/24/2024 4.330%05/15/2029
09/16/25 09/16/25 GMCAR 2025-2 A3 362549AD9 0.00 356.67 356.67
DTD 05/14/2025 4.280%04/16/2030
09/16/25 09/16/25 GMCAR 2024-4 A3 38014AAD3 0.00 586.67 586.67
DTD 10/16/2024 4.400%08/16/2029
09/18/25 09/18/25 NATIXIS NY BRANCH 638730P65 0.00 22,751.67 22,751.67
DTD 09/20/2023 5.610%09/18/2026
09/20/25 09/20/25 BAAT 2025-1A A3 05594BAD8 0.00 308.13 308.13
DTD 05/12/2025 4.350%11/20/2029
09/20/25 09/20/25 VZMT 2025-3 AIA 92348KDY6 0.00 1,710.04 1,710.04
DTD 03/31/2025 4.510%03/20/2030
09/20/25 09/20/25 TOYOTA MOTOR CREDIT CORP 89236TKJ3 0.00 10,237.50 10,237.50
DTD 09/20/2022 4.550%09/20/2027
09/20/25 09/20/25 VALET 2025-1 A3 92868MAD1 0.00 1,406.25 1,406.25
DTD 03/25/2025 4.500%08/20/2029
09/21/25 09/21/25 HAROT 2023-4 A3 438123AC5 0.00 332.11 332.11
DTD 11/08/2023 5.670%06/21/2028
09/21/25 09/21/25 HAROT 2024-3 A2 43813YAB8 0.00 815.61 815.61
DTD 08/21/2024 4.890%02/22/2027
09/25/25 09/25/25 BMWOT 2025-A A3 096924AD7 0.00 1,121.00 1,121.00
DTD 02/12/2025 4.560%09/25/2029
09/29/25 09/29/25 CITIBANK NA (CALLABLE) 17325FBB3 0.00 16,683.63 16,683.63
DTD 09/29/2023 5.803%09/29/2028
09/30/25 09/30/25 US TREASURY N/B 91282CEE7 0.00 14,250.00 14,250.00
DTD 03/31/2022 2.375%03/31/2029
PFM Asset Management,a division of Account 73340100 Page 32
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Pfm asset
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Managed Account Security Transactions & Interest For the Month Ending September 30, 2025
CITY OF RANCHO CUCAMONGA, FIRE PROT DIS - 73340100
Transaction Type Principal Accrued Realized GIL Realized GIL Sale
Trade Settle Security Description CUSIP Par Proceeds Interest Total Cost Amort Cost Method
09/30/25 09/30/25 US TREASURY N/B 91282CMU2 0.00 13,900.00 13,900.00
DTD 03/31/2025 4.000%03/31/2030
09/30/25 09/30/25 US TREASURY N/B 91282CFLO 0.00 22,281.25 22,281.25
DTD 09/30/2022 3.875%09/30/2029
09/30/25 09/30/25 US TREASURY N/B 91282CAL5 0.00 562.50 562.50
DTD 09/30/2020 0.375%09/30/2027
09/30/25 09/30/25 US TREASURY N/B 91282CBS9 0.00 5,000.00 5,000.00
DTD 03/31/2021 1.250%03/31/2028
09/30/25 09/30/25 US TREASURY N/B 91282CGT2 0.00 9,515.63 9,515.63
DTD 03/31/2023 3.625%03/31/2028
09/30/25 09/30/25 US TREASURY N/B 91282CCZ2 0.00 4,812.50 4,812.50
DTD 09/30/2021 0.875%09/30/2026
09/30/25 09/30/25 US TREASURY N/B 91282CJAO 0.00 22,662.50 22,662.50
DTD 10/02/2023 4.625%09/30/2028
09/30/25 09/30/25 US TREASURY N/B 91282CFM8 0.00 13,921.88 13,921.88
DTD 09/30/2022 4.125%09/30/2027
09/30/25 09/30/25 US TREASURY N/B 91282CGS4 0.00 7,884.38 7,884.38
DTD 03/31/2023 3.625%03/31/2030
Transaction Type Sub-Total 0.00 254,736.28 254,736.28
09/01/25 09/25/25 FHMS KJ46 Al 3137HAD45 622.99 622.99 0.00 622.99 0.01 0.00
DTD 07/01/2023 4.777%06/01/2028
09/01/25 09/25/25 FNA 2023-M6 A2 3136BODE6 54.03 54.03 0.00 54.03 2.01 1.19
DTD 07/01/2023 4.181%07/01/2028
09/15/25 09/15/25 WOART 2024-A A2A 98164RAB2 10,384.06 10,384.06 0.00 10,384.06 0.81 0.41
DTD 02/14/2024 5.050%04/15/2027
09/15/25 09/15/25 NAROT 2023-B A3 65480MAD5 9,057.14 9,057.14 0.00 9,057.14 1.84 1.09
DTD 10/25/2023 5.930%03/15/2028
09/21/25 09/21/25 HAROT 2024-3 A2 43813YAB8 33,405.32 33,405.32 0.00 33,405.32 2.61 1.50
DTD 08/21/2024 4.890%02/22/2027
09/21/25 09/21/25 HAROT 2023-4 A3 438123AC5 4,641.73 4,641.73 0.00 4,641.73 0.82 0.51
DTD 11/08/2023 5.670%06/21/2028
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Pfm asset
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Managed Account Security Transactions & Interest For the Month Ending September 30, 2025
CITY OF RANCHO CUCAMONGA, FIRE PROT DIS - 73340100
Transaction Type Principal Accrued Realized GIL Realized GIL Sale
Trade Settle Security Description CUSIP Par Proceeds Interest Total Cost Amort Cost Method
Transaction Type Sub-Total 58,165.27 58,165.27 0.00 58,165.27 8.10 4.70
09/02/25 09/04/25 US TREASURY N/B 9128282A7 500,000.00 488,945.31 407.61 489,352.92 19,433.59 (4,380.54) FIFO
DTD 08/15/2016 1.500%08/15/2026
09/02/25 09/04/25 US TREASURY N/B 91282CC38 525,000.00 512,141.60 823.88 512,965.48 15,524.41 196.81 FIFO
DTD 06/30/2021 0.875%06/30/2026
09/02/25 09/04/25 STATE STREET CORP (CALLABLE) 857477CD3 215,000.00 216,829.65 976.05 217,805.70 1,709.25 1,795.36 FIFO
DTD 08/03/2023 5.272%08/03/2026
09/02/25 09/04/25 US TREASURY N/B 91282CC38 125,000.00 121,938.48 196.16 122,134.64 (34.18) (2,507.90) FIFO
DTD 06/30/2021 0.875%06/30/2026
09/04/25 09/05/25 WELLS FARGO BANK NA (CALLABLE) 9498836D4 475,000.00 480,343.75 2,013.47 482,357.22 5,628.75 5,431.52 FIFO
DTD 08/09/2023 5.450%08/07/2026
09/10/25 09/11/25 US TREASURY N/B 9128282A7 400,000.00 391,906.25 440.22 392,346.47 16,296.87 (2,862.77) FIFO
DTD 08/15/2016 1.500%08/15/2026
09/23/25 09/26/25 US TREASURY N/B 9128282A7 100,000.00 98,074.22 171.20 98,245.42 4,171.88 (676.07) FIFO
DTD 08/15/2016 1.500%08/15/2026
09/24/25 09/26/25 US TREASURY N/B 91282CCZ2 400,000.00 388,906.25 1,711.75 390,618.00 21,046.87 (3,685.95) FIFO
DTD 09/30/2021 0.875%09/30/2026
Transaction Type Sub-Total 2,740,000.00 2,699,085.51 6,740.34 2,705,825.85 83,777.44 (6,689.54)
Managed Account Sub-Total (174,368.13) 249,038.34 74,670.21 83,785.54 (6,684.84)
Total Security Transactions ($174,368.13) $249,038.34 $74,670.21 $83,785.54 ($6,684.84)
PFM Asset Management,a division of Account 73340100 Page 34
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Page 108
CITY OF RANCHO CUCAMONGA
DATE: November 19, 2025
TO: Mayor and Members of the City Council
FROM: John R. Gillison, City Manager
INITIATED BY: Michael J. Smith, Chief of Police
Mauricio Hurtado, Administrative Lieutenant
Cinthia Barboza, Sheriff's Service Specialist
SUBJECT: Consideration of an Appropriation in the Amount of $49,271 from the
Homeland Security Grant for the Purchase of Stop the Bleed Kits
Through a Competitive Bid. (CITY)
RECOMMENDATION:
Staff recommends the City Council approve the appropriation of funds in the amount of$49,271
from the Homeland Security Grant fund for the purchase of Stop the Bleed trauma kits. These kits
will support the Rancho Cucamonga Police Department Solution Oriented Policing (SOP)Team's
Active Shooter Training and mass casualty preparedness efforts.
BACKGROUND:
The Rancho Cucamonga Police Department's SOP Team currently provides Active Shooter
Training to 35 public schools, multiple private and faith-based schools, and various businesses
within the City's jurisdiction upon request. A critical component of this training includes
familiarizing attendees with trauma kit equipment and proper usage. At the conclusion of each
session, attendees receive a list of recommended trauma equipment for their facilities.
ANALYSIS:
To enhance the effectiveness of Active Shooter Training and promote community safety, the
Police Department seeks to purchase Stop the Bleed trauma kits. These kits will include chest
seals, tourniquets, QuikClot products, pressure dressings, pressure wraps, scissors, blankets,
gloves, and a Sharpie. Providing these kits to schools and businesses immediately after training
will improve preparedness and response capabilities during emergencies. Additionally,
maintaining an inventory of kits at the Police Department will ensure readiness for mass casualty
incidents, strengthening the City's overall emergency response framework.
The Rancho Cucamonga Police Department will initiate a formal procurement process in
accordance with Homeland Security Grant requirements and the City's purchasing policies to
select qualified vendors for the purchase of Stop the Bleed trauma kits. Upon completion of the
bidding process, a contract will be awarded to the vendor that best meets the operational needs
and specifications for this purchase.
FISCAL IMPACT:
This action will appropriate Homeland Security Grant funds from Fiscal Year 2024/25 in the
amount of$49,271 to the City's FY 2025/26 Budget. These funds will be used for the purchase of
Page 109
Stop the Bleed trauma kits to support the Rancho Cucamonga Police Department's public safety
and emergency preparedness efforts.
$49,271 — F380 CC701 6101- (Material and Minor Equipment) SC1201 (Minor Equipment and
Small Tools).
COUNCIL MISSION /VISION /VALUE(S) ADDRESSED:
This project supports the City Council's Core Value of promoting and enhancing a safe and
healthy community for all by strengthening emergency preparedness and response capabilities
to protect lives and property, and fostering partnerships with schools, businesses, and community
organizations to build resilience and awareness.
ATTACHMENTS:
None.
Page 2
Page 110
CITY OF RANCHO CUCAMONGA
DATE: November 19, 2025
TO: Mayor and Members of the City Council
FROM: John R. Gillison, City Manager
INITIATED BY: Peter Castro, Deputy City Manager, Community Development
Maritza Martinez, Public Works Services Director
Richard Favela, Streets, Storm Drains and Fleet Superintendent
Fily Reyes, Assistant Engineer
John Standi, Streets Maintenance Coordinator
SUBJECT: Consideration of a Contract with CJ Concrete Construction Inc. for the
CDBG Concrete Rehabilitation Project FY 2025/26 in the Amount of
$227,940, Plus a Contingency in the Amount of$56,985. (CITY)
RECOMMENDATION:
Staff recommends City Council:
1. Approve the specifications for the CDBG Concrete Rehabilitation Project FY 2025/26
(Project).
2. Accept the bid received for the Project.
3. Award and authorize the execution of a contract for the Project to the lowest responsive
bidder, CJ Concrete Construction, Inc. of Santa Fe Springs, California, in the amount of
$227,940.
4. Authorize an expenditure of a contingency in an amount of$56,985.
BACKGROUND:
The CDBG Concrete Rehabilitation Project FY 2025/26 will repair concrete sidewalks, ADA
ramps, and curb/gutters with lifts and/or gaps in the public right-of-way and in City maintained
landscapes, including City parks and paseos. The locations requiring repair have been identified
by our in-house sidewalk inspection program and/or citizen requests. Once Public Works Services
staff identifies a concrete issue, a crew will ramp or grind the lifts or gaps as a temporary repair.
These locations are then scheduled for permanent repairs as funds become available. In many
cases, the damage to the sidewalks is caused by tree roots. It is the City's intention to protect and
preserve the urban forest whenever possible while still facilitating the necessary sidewalk repairs.
However, from time to time, some trees may be removed to complete the sidewalk repair.
This project includes sidewalk, driveway approaches, and curb/gutter repairs in the Arrow Route
to Feron Boulevard from Archibald Avenue to Hermosa Avenue area.
ANALYSIS:
The Public Works Services Department and the City Clerk's Office first advertised the Notice
Inviting Bids for the CDBG Concrete Rehabilitation Project FY 25-26 on September 30, 2025.
Fifteen (15) bids for this project were electronically submitted at 2:00 pm on Tuesday, October
Page 111
21, 2025 (see attached Bid Summary). Staff has completed the review of bids from the Seven (7)
qualifying firms and has identified the lowest responsive bidder to be CJ Concrete Construction
Inc. of Sante Fe Springs, California. In addition, CJ Concrete Construction Inc. has met the
requirements of the bid documents.
The CDBG Concrete Rehabilitation Project FY 2025/26 is scheduled to be completed within thirty
(30) working days.
A copy of the project contract is on file with the City Clerk's Office.
FISCAL IMPACT:
This project was requested by the Public Works Services Department and approved in the FY
2025/26 Budget.
This project is being funded by the Department of Housing and Urban Development (HUD)
Federal Community Development Block Grant (CDBG) funds.
Adequate funds were included in the Fiscal Year 2025/26 Adopted Budget in F204 CC318 7000
SC7004 GR-000097
FUND BUDGETED AWARDED
AMOUNT AMOUNT
F204 CC318 7000 SC7004 GR-000097 $500,000 $227,940
TOTALS $500,000 $227,940
COUNCIL MISSION /VISION /VALUE(S) ADDRESSED:
By removing and replacing damaged sidewalks, driveway approaches, and curbs/gutters, the
CDBG Concrete Rehabilitation Project FY 2025/26 supports City Council's Core Values of the
relentless pursuit of improvement and promoting and enhancing a safe and healthy community
for all.
ATTACHMENTS:
Attachment 1 — Bid Summary
Attachment 2 —Vicinity Map
Page 2
Page 112
City of Rancho Cucamonga-Construction
Bid Results for Project CDBG CONCRETE REHABILITATION PROJECT FY 25-26
Lowest Responsive Bidder Non Responsive Bidder Non Responsive Bidder Non Responsive Bidder Non Responsive Bidder Non Responsive Bidder Non Responsive Bidder Non Responsive Bidder Non Responsive Bidder
Item Section Item LLC
Code Description Unit Qty CI Concrete Construction,Inc Kalban,Inc ONYX COMPANY,INC. SAVI Construction Inc Hardy&Harper,Inc. NPL Construction Co Siterep Construction Services R L Hitchcock Construction Inc. ANEEN CONSTRUCTION,INC. NR Construction Engineering
Num FS Contractors Inc. Van Engineering Inc NoUmlt Construction Global Builders Inc LC Paving&Sealing,Inc.
Unit Price Line Total Unit Price Line total Unit Price Line Total Unit Price Line Total Unit Price Line Total Unit Price Line Total Unit Price Line Total Unit Price Line Total Unit Price Line Total Unti Price Line Total Unit Price Line Total Unit Price Line Total Unit Price Line Total Unti Price Line Total Unit Price Line Total
1 Section 1 Mobilization EA 1 $2,500.00 $2,500.00 $12,000.00 $12,000.00 $5,000.00 $5,000.00 $13,500.00 $13,500.00 $7,700.00 $7,700.00 $3,500.00 $3,500.00 $30,600.00 $30,600.00 $6,500.00 $6,500.00 $15,000.00 $15,000.00 $3,000.00 $3,000.00 $25,000.00 $25,000.00 $35,000.00 $35,000.00 $17,966.60 $17,966.60 $18,678.00 $18,678.00 $28,500.00 $28,500.00
2 Section 2 600,601 Traffic Control EA 1 $5,000.00 $5,000.00 $5,000.00 $5,000.00 $13,000.00 $13,000.00 $6,000.00 $6,000.00 $29,700.00 $29,700.00 $8,000.00 $8,000.00 $28,000.00 $28,000.00 $7,500.00 $7,500.00 $15,000.00 $15,000.00 $3,000.00 $3,000.00 $25,000.00 $25,000.00 $30,000.00 $30,000.00 $21,303.40 $21,303.40 $12,300.00 $12,300.00 $36,000.00 $36,000.00
3 Section 3 300-1 Remove Existing 4"P.C.C.Sidewalk SQFT 14400 $3.00 $43,200.00 $5.00 $72,000.00 $4.00 $57,600.00 $2.00 $28,800.00 $4.00 $57,600.00 $5.00 $72,000.00 $5.00 $72,000.00 $4.00 $57,600.00 $5.00 $72,000.00 $3.50 $50,400.00 $3.00 $43,200.00 $3.00 $43,200.00 $4.52 $65,088.00 $4.00 $57,600.00 $9.75 $140,400.00
4 Section 4 201,303-5 Construct New 4"P.C.C.Sidewalk SQFT 14400 $9.00 $129,600.00 $7.00 $100,800.00 $9.00 $129,600.00 $11.00 $158,400.00 $8.60 $123,940.00 $11.00 $158,400.00 $7.50 $108,000.00 $12.00 $172,800.00 $11.00 $158,400.00 $14.50 $208,800.00 $13.00 $187,200.00 $13.00 $187,200.00 $8.58 $123,552.00 $20.00 $288,000.00 $12.00 $172,800.00
5 Section 5 300-1 Remove Existing 6"P.C.C.Drive Approach SOFT 2360 $5.00 $11,800.00 $7.00 $16,520.00 $6.00 $14,160.00 $2.00 $4,720.00 $6.00 $14,160.00 $6.50 $15,340.00 $5.50 $12,980.00 $4.50 $10,620.00 $5.00 $11,800.00 $3.50 $8,260.00 $4.00 $9,440.00 $4.00 $9,440.00 $13.00 $30,680.00 $5.00 $11,800.00 $8.00 $18,880.00
6 Section 6 201,303-5 Construct New 6"P.C.C.Drive Approach SQFT 2360 $9.00 $21,240.00 $9.00 $21,240.00 $13.00 $30,680.00 $20.00 $47,200.00 $13.20 $31,152.00 $15.50 $36,580.00 $19.00 $44,840.00 $14.50 $34,220.00 $15.00 $35,400.00 $15.00 $35,400.00 $14.00 $33,040.00 $14.00 $33,040.00 $18.00 $42,480.00 $23.00 $54,280.00 $17.50 $41,300.00
7 Section 7 300-1 Remove Existing 8"P.C.C.Curb&Gutter LF 160 $10.00 $1600.00 $40.00 $6,400.00 $24.00 $3 840.00 $20.00 $3 200.00 $26.40 $4,224.00 $33.00 $5,280.00 $41.00 $6,560.00 $65.00 $10 400.00 $20.00 $3 200.00 $7.00 $1,120.00 $20.00 $3,200.00 $15.00 $2,400.00 $175.00 $28,000.00 $30.00 $4,800.00 $60.50 $9 680.00
8 Section 201,303-5 Construct New 8"P.C.C.Curb&Gutter LF 160 $60.00 $9600.00 $60.00 $9600.00 $75.00 $12000.00 $80.00 $12800.00 $57.20 $9152.00 $77.00 $12,320.00 $58.00 $9,280.00 $85.00 $13,600.00 $100.00 $16,000.00 $110.00 $17,600.00 $80.00 $12,800.00 $45.00 $7,200.00 $183.00 $29,280.00 $120.00 $19,200.00 $170.50 $27,280.00
9 Section 9 300-1 Remove A.C.Pavement SOFT 170 $10.00 $1,700.00 $6.00 $1,020.00 $12.00 $2,040.00 $20.00 $3,400.00 $8.00 $1,360.00 $7.50 $1,275.00 $50.00 $8,500.00 $4.00 $680.00 $20.00 $3,400.00 $8.00 $1,360.00 $5.00 $850.00 $5.00 $850.00 $110.00 $18,700.00 $5.00 $850.00 $28.00 $4,760.00
10 Section 10 203-6,302-5 Install New A.C.Pavement SQFT 170 $10.00 $1,700.00 $8.00 $1,360.00 $24.00 $4,080.00 $20.00 $3,400.00 $45.00 $7,650.00 $17.50 $2,975,00 $25.00 $4,250.00 $95.00 $16,150.00 $20.00 $3,400.00 $35.00 $5,950.00 $10.00 $1,700.00 $10.00 $1,700.00 $135.00 $22,950.00 $14.00 $2,380.00 $26.00 $4,420,01
Total $227,940.00 $245,940.00 $272,000.00 $281,420.00 $286,538.001 $315,670.00 $325,010.00 $330,070.00 $333,600.00 $334,890.00 $341,430.00 $350,030.00 $400,000.00 $469,898.00 $484,020.00
ATTACHMENT 1
Page 113
FY 2025/26 CDBG Concrete Project Map
ATTACHMENT 2
Page 114
CITY OF RANCHO CUCAMONGA
DATE: November 19, 2025
TO: Mayor and Members of the City Council
FROM: John R. Gillison, City Manager
INITIATED BY: Peter Castro, Deputy City Manager— Community Development
Maritza Martinez, Public Works Services Director
Daniel Akers, Deputy Director of Public Works
Andy Miller, Facilities Superintendent
Fily Reyes, Assistant Engineer
SUBJECT: Consideration of a Contract with AME Builders, Inc. for the Civic Center
Waterproofing and Roof Repairs Project and an appropriation in the
Amount of$2,654,100. (CITY)
RECOMMENDATION:
Staff recommends City Council:
1. Approve the specifications for the Civic Center Waterproofing and Roof Repairs Project.
2. Accept the bid received for the Project.
3. Award and authorize the execution of a contract for the Civic Center Waterproofing and
Roof Repairs Project to the lowest responsive bidder, AME Builders, Inc. of Upland,
California, in the amount of$ 2,412,800.
4. Authorize an expenditure of a ten percent contingency, in an amount of$241,300.
5. Approve appropriation of$2,654,100 from the Capital Reserve Fund (025) balance.
6. Approve transfer of$2,654,100 to F0251CC3121SC2101 IPID-2136
BACKGROUND:
The existing roofing and patio system of the Civic Center (City Hall) has deteriorated and needs
to be replaced. Exposure to the outside environment has caused the sealant for the City Hall
building's brick veneer to deteriorate. Likewise, the existing joints on the outside of City Hall have
shrunken and cracked due to exposure to the environment. This allows water to seep into the
building causing damage.
The architect firm of DLR Group and a waterproofing consultant, Thorton Tomasetti, Inc. was
contracted to survey the leaks and produce a design to address those repairs.
ANALYSIS:
The Civic Center Waterproofing and Roof Repairs Project will consist of the removal of existing
roof, installation of new roof membrane, demolition of concrete planters, and sealants at joints
and exterior surfaces. The contract documents call for one hundred (100) working days for
construction completion.
Page 115
The Notice Inviting Bids was released to the general contracting community and was published
in the Daily Bulletin Newspaper on September 30th, 2025, and October 7th, 2025.
Three (3) bids for this project were opened at 2:00 pm on Tuesday, November 4th, 2025. The
Engineer's estimate for the Project was $2,710,000. The apparent low bidder, AME Builders, Inc.,
submitted a bid in the amount of$2,412,800. A full bid summary is included as Attachment 1.
Public Works staff has reviewed all bids received and found all to be complete and in compliance
with the bid requirements, with any irregularities deemed inconsequential. Staff has completed
the required background investigation and finds the lowest responsive AME Builders, Inc. meets
all bid document requirements.
The proposed project contract is attached as Attachment 2.
Anticipated construction costs are estimated to be as follows:
Expenditure Category Amount
Construction Contract $2,412,800
Construction Contract Contingency (10%) $241,300
Estimated Construction Costs $2,654,100
FISCAL IMPACT:
A total of$2,048,530 was appropriated in Fiscal Year 2024/25 Budget from the Capital Reserve
Fund (025) through the MPP process, however funds did not roll over as anticipated due to
Workday challenges.
Based on the bids received, staff is requesting $2,654,100 (base bid and contingency amounts)
be appropriated from the project's original funding source, Capital Reserve Fund, and budgeted
in account F025 CC312 SC2101 PID2136.
COUNCIL MISSION /VISION /VALUE(S) ADDRESSED:
The Civic Center Waterproofing and Roof Repairs Project will provide continuous improvement
to ensure a safe and high quality of life for all.
ATTACHMENTS:
Attachment 1 - Bid Summary
Attachment 2 - Draft Contract
Page 2
Page 116
City of Rancho Cucamonga
Bid Results for Project Civic Center Waterproofing and Roof Repairs Project
Description Unit of Quantity AME Builders,Inc. Final Touch Construction Best Contracting Services,Inc.
Measure
Furnish all labor,materials,equipment,supervision and
incidentals necessary for removal of existing roof,installation Lump Sum 1 $2,412,800 $2,480,000 $2,597,421
of new roof membrane,demolition of concrete planters,and
sealants at joints and exterior surfaces.
ATTACHMENT 1
Page 117
CONTRACT
AGREEMENT
KNOW ALL MEN BY THESE PRESENT: That the following agreement is made and entered into,
in triplicate, as of the date executed by the City Clerk and the Mayor, by and
between , hereinafter referred to as the "CONTRACTOR" and
the City of Rancho Cucamonga, California, hereinafter referred to as "CITY."
WHEREAS, pursuant to the Notice Inviting Sealed Bids or Proposals, bids were received, publicly
opened, and declared on the date specified in said notice; and
WHEREAS, City did accept the bid of Contractor; and
WHEREAS, City has authorized the City Clerk and Mayor to enter into a written contract with
Contractor for furnishing labor, equipment, and material for the construction of "CIVIC CENTER
WATERPROOFING AND ROOF REPAIRS PROJECT."
NOW THEREFORE, in consideration of the mutual covenants herein contained, it is agreed:
1. GENERAL SCOPE OF WORK: Contractor shall furnish all necessary labor, tools,
materials, appliances, and equipment for and do the work for the "CIVIC CENTER
WATERPROOFING AND ROOF REPAIRS PROJECT." Said work to be performed in
accordance with specifications and standards on file in the office of the City Engineer and
in accordance with bid prices hereinafter mentioned and in accordance with the instruction
of the City Engineer.
2. INCORPORATED DOCUMENTS TO BE CONSIDERED COMPLEMENTARY: The
aforesaid specifications are incorporated herein by reference thereto and made a part
hereof with like force and effect as if all of said documents were set forth in full herein.
Said documents, the Resolution Inviting Bids attached hereto, together with this written
agreement, shall constitute the entire contract between the parties. This contract is
intended to require a complete and finished piece of work and anything necessary to
complete the work properly and in accordance with the law and lawful governmental
regulations shall be performed by the Contractor whether set out specifically in the
contract or not. Should it be ascertained that any inconsistency exists between the
aforesaid documents and this written agreement, the provisions of this written agreement
shall control.
3. TERMS OF CONTRACT: The undersigned bidder agrees to execute the contract within
fifteen (15) days from the date of notice of award of the contract or upon notice by City
after the fifteen (15) days, and to complete his portion of the work within 100 working days
from the date specified in the Notice to Proceed. The bidder agrees further to the
assessment of liquidated damages in the amount of $5,200 for each calendar day the
work remains incomplete beyond the expiration of the completion date. City may deduct
the amount thereof from any monies due or that may become due the Contractor under
this contract. Progress payments made after the scheduled date of completion shall not
constitute a waiver of liquidated damages.
4. INSURANCE: Contractor shall procure and maintain for the duration of the contract, and
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ATTACHMENT 2
Page 118
for 2 years thereafter, insurance against claims for injuries to persons or damages to
property which may arise from or in connection with the performance of the work
hereunder by the Contractor, his agents, representatives, employees, or subcontractors.
MINIMUM SCOPE AND LIMIT OF INSURANCE
Coverage shall be at least as broad as:
a. Commercial General Liability (CGL): Insurance Services Office (ISO) Form CG 00
01 covering CGL on an "occurrence" basis, including products and completed
operations, property damage, bodily injury and personal & advertising injury with
limits no less than $5,000,000 per occurrence. If a general aggregate limit applies,
either the general aggregate limit shall apply separately to this project/location
(ISO CG 25 03 or 25 04) or the general aggregate limit shall be twice the required
occurrence limit.
b. Automobile Liability: Insurance Services Office Form CA 0001 covering Code 1
(any auto), with limits no less than $1,000,000 per accident for bodily injury and
property damage.
c. Workers' Compensation insurance as required by the State of California, with
Statutory Limits, and Employers' Liability insurance with a limit of no less than
$1,000,000 per accident for bodily injury or disease.
d. Builder's Risk (Course of Construction) insurance utilizing an "All Risk" (Special
Perils) coverage form, with limits equal to the completed value of the project and
no coinsurance penalty provisions.
e. Surety Bonds. Contractor shall provide the following Surety Bonds:
i. Bid bond
ii. Performance bond
iii. Payment bond
iv. Maintenance bond
f. The Payment Bond and the Performance Bond shall be in a sum equal to the
contract price. If the Performance Bond provides for a one-year warranty a
separate Maintenance Bond is not necessary. If the warranty period specified in
the contract is for longer than one year a Maintenance Bond equal to 10% of the
contract price is required. Bonds shall be duly executed by a responsible corporate
surety, authorized to issue such bonds in the State of California and secured
through an authorized agent with an office in California.
g. Professional Liability (if Design/Build), with limits no less than $2,000,000 per
occurrence or claim, and $2,000,000 policy aggregate. The retroactive date must
be shown, and this date must be before the execution date of the contract or the
beginning of contract work. Insurance must be maintained and evidence of
insurance must be provided for at least five (5) years after completion of contract
work. If coverage is canceled or non-renewed, and not replaced with another
claims-made policy form with a retroactive date prior to the contract effective, or
start of work date, the Contractor must purchase extended reporting period
coverage for a minimum of five (5) years after completion of contract work. A copy
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of the claims reporting requirements must be submitted to the Entity for review.
h. Contractors' Pollution Legal Liability and/or Asbestos Legal Liability and/or Errors
and Omissions (if project involves environmental hazards) with limits no less than
$1,000,000 per occurrence or claim, and $2,000,000 policy aggregate. If the
services involve lead-based paint or asbestos identification/remediation, the
Contractors Pollution Liability policy shall not contain lead-based paint or asbestos
exclusions. If the services involve mold identification/remediation, the Contractors
Pollution Liability policy shall not contain a mold exclusion, and the definition of
Pollution shall include microbial matter, including mold.
If the contractor maintains broader coverage and/or higher limits than the minimums
shown above for all policies, the Entity requires and shall be entitled to the broader
coverage and/or higher limits maintained by the contractor. Any available insurance
proceeds in excess of the specified minimum limits of insurance and coverage shall
be available to the Entity.
Self-Insured Retentions
Self-insured retentions must be declared to and approved by the Entity. At the option of
the Entity, either: the contractor shall cause the insurer shall to reduce or eliminate such
self-insured retentions as respects the Entity, its officers, officials, employees, and
volunteers; or the Contractor shall provide a financial guarantee satisfactory to the Entity
guaranteeing payment of losses and related investigations, claim administration, and
defense expenses. The policy language shall provide, or be endorsed to provide, that
the self-insured retention may be satisfied by either the named insured or Entity.
Other Insurance Provisions:
Additional Insured
The Entity, its officers, officials, employees, and volunteers are to be covered as
additional insureds on the CGL policy with respect to liability arising out of work or
operations performed by or on behalf of the Contractor including materials, parts,
or equipment furnished in connection with such work or operations and
automobiles owned, leased, hired, or borrowed by or on behalf of the Contractor.
General liability coverage can be provided in the form of an endorsement to the
Contractor's insurance at least as broad as one of the following ISO ongoing
operations Forms: CG 20 10 or CG 20 26 or CG 20 33 (not allowed from
subcontractors), or CG 20 38; and one of the following ISO completed operations
Forms: CG 20 37, 2039 (not allowed from subcontractors), or CG 20 40.
Primary Insurance
For any claims related to this project, the Contractor's insurance coverage shall be
primary insurance coverage at least as broad as ISO CG 20 01 04 13 as respects
the Entity, its officers, officials, employees, and volunteers. Any insurance or self-
insurance maintained by the Entity, its officers, officials, employees, or volunteers
shall be excess of the Contractor's insurance and shall not contribute with it.
Notice of Cancellation
Contractor shall provide immediate written notice if (1) any of the required
insurance policies is terminated; (2) the limits of any of the required polices are
reduced; (3) or the deductible or self-insured retention is increased. In the event
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of any cancellation or reduction in coverage or limits of any insurance, Contractor
shall forthwith obtain and submit proof of substitute insurance.
Builder's Risk (Course of Construction) Insurance
Contractor may submit evidence of Builder's Risk insurance in the form of Course
of Construction coverage. Such coverage shall name the Entity as a loss payee as
their interest may appear.
If the project does not involve new or major reconstruction, at the option of the
Entity, an Installation Floater may be acceptable. For such projects, a Property
Installation Floater shall be obtained that provides for the improvement, remodel,
modification, alteration, conversion or adjustment to existing buildings, structures,
processes, machinery and equipment. The Property Installation Floater shall
provide property damage coverage for any building, structure, machinery or
equipment damaged, impaired, broken, or destroyed during the performance of
the Work, including during transit, installation, and testing at the Entity's site.
Acceptability of Insurers
Insurance is to be placed with insurers authorized to conduct business in the state
with a current A.M. Best rating of no less than A: VII, unless otherwise acceptable
to the Entity.
Waiver of Subrogation
Contractor hereby agrees to waive rights of subrogation which any insurer of
Contractor may acquire from Contractor by virtue of the payment of any loss.
Contractor agrees to obtain any endorsement that may be necessary to affect this
waiver of subrogation, but this provision applies regardless of whether or not the
Entity has received a waiver of subrogation endorsement from the
insurer. However, the Workers' Compensation policy shall be endorsed with a
waiver of subrogation in favor of the Entity for all work performed by the Contractor,
its employees, agents and subcontractors.
Verification of Coverage
Contractor shall furnish the Entity with original Certificates of Insurance including
all required amendatory endorsements (or copies of the applicable policy language
effecting coverage required by this clause) and a copy of the Declarations and
Endorsement Page of the CGL policy listing all policy endorsements to Entity
before work begins. However, failure to obtain the required documents prior to the
work beginning shall not waive the Contractor's obligation to provide them. The
Entity reserves the right to require complete, certified copies of all required
insurance policies, including endorsements, required by these specifications, at
any time.
Subcontractors
Contractor shall require and verify that all subcontractors maintain insurance
meeting all the requirements stated herein, and Contractor shall ensure that Entity
is an additional insured on insurance required from subcontractors. For CGL
coverage subcontractors shall provide coverage with a form at least as broad as
CG 20 38 04 13.
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Special Risks or Circumstances
Entity reserves the right to modify these requirements, including limits, based on
the nature of the risk, prior experience, insurer, coverage, or other circumstances.
5. PREVAILING WAGE: Notice is hereby given that in accordance with the provisions of
California Labor Code, Division 2, Part 7, Chapter 1, Articles 1 and 2, the Contractor is
required to pay not less than the general prevailing rate of per diem wages for work of a
similar character in the locality in holiday and overtime work. In that regard, the Director
of the Department of Industrial Relations of the State of California is required to and has
determined such general prevailing rates of per diem wages. Copies of such prevailing
rates of per diem wages are on file in the office of the City Clerk of the City of Rancho
Cucamonga, 10500 Civic Center Drive, Rancho Cucamonga, California, and are available
to any interested party on request. City also shall cause a copy of such determinations to
be posted at the job site.
Pursuant to provisions of Labor Code Section 1775, the Contractor shall forfeit, as penalty
to City, not more than two hundred dollars ($200.00) for each laborer, workman, or
mechanic employed for each calendar day or portion thereof if such laborer, workman, or
mechanic is paid less than the general prevailing rate of wages hereinbefore stipulated for
any work done under the attached contract, by him or by any subcontractor under him, in
violation of the provisions of said Labor Code.
6. APPRENTICESHIP EMPLOYMENT: In accordance with the provisions of Section 1777.5
of the Labor Code as amended by Chapter 971, Statutes of 1939, and in accordance with
the regulations of the California Apprenticeship Council, properly indentured apprentices
may be employed in the prosecution of the work.
Attention is directed to the provisions in Section 1777.5 and 1777.6 of the Labor Code
concerning the employment of apprentices by the Contractor or any subcontractor under
him.
Section 1777.5, as amended, requires the Contractor or subcontractor employing
tradesmen in any apprenticable occupation to apply to the joint apprenticeship committee
nearest the site of the public works project and which administers the apprenticeship
program in that trade for a certificate of approval. The certificate will also fix the ratio of
apprentices to journeymen that will be used in the performance of the contract. The ratio
of apprentices to journeymen in such cases shall not be less than one to five except:
a. When unemployment in the area of coverage by the joint apprenticeship committee has
exceeded an average of 15 percent in the 90 days prior to the request for certificate, or
b. When the number of apprentices in training in the area exceeds a ratio of one to five,
or
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C. When the trade can show that it is replacing at least 1/30 of its membership through
apprenticeship training on an annual basis statewide or locally, or
d. When the Contractor provides evidence that he employs registered apprentices on all
of his contracts on an annual average of not less than one apprentice to eight
journeymen.
The Contractor is required to make contributions to funds established for the
administration of apprenticeship programs if he employs registered apprentices or
journeymen in any apprenticable trade on such contracts and if other contractors on the
public works site are making such contributions.
The Contractor and subcontractor under him shall comply with the requirements of
Sections 1777.5 and 1777.6 in the employment of apprentices.
7. LEGAL HOURS OF WORK: Eight(8) hours of labor shall constitute a legal day's work for
all workmen employed in the execution of this contract, and the Contractor and any
subcontractor under him shall comply with and be governed by the laws of the State of
California having to do with working hours set forth in Division 2, Part 7, Chapter 1, Article
3, of the Labor Code of the State of California as amended.
The Contractor or Subcontractor shall forfeit, as a penalty to the City of Rancho
Cucamonga, twenty-five dollars ($25.00)for each worker employed in the execution of the
contract by the respective contractor or subcontractor for each calendar day during which
the worker is required or permitted to work more than 8 hours in any one calendar day
and 40 hours in any one calendar week in violation of the provisions of this article.
8. TRAVEL AND SUBSISTENCE PAY: Contractor agrees to pay travel and subsistence pay
to each workman needed to execute the work required by this contract as such travel and
subsistence payments are defined in the applicable collective bargaining agreements filed
in accordance with Labor Code Section 1773.1.
9. CONTRACTOR'S LIABILITY: The City of Rancho Cucamonga and its elected officials,
officers, agents and employees shall not be answerable or accountable in any manner for
any loss or damage that may happen to the work or any part thereof, or for any of the
materials or other things used or employed in performing the work; or for injury or damage
to any person or persons, either workmen, employees of the Contractor or his
subcontractors or the public, or for damage to adjoining or other property from any cause
whatsoever arising out of or in connection with the performance of the work. The
Contractor shall be responsible for any damage or injury to any person or property
resulting from defects or obstructions or from any cause whatsoever, except the sole
negligence or willful misconduct of the City, its employees, servants, or independent
contractors who are directly responsible to City during the progress of the work or at any
time before its completion and final acceptance.
The Contractor will indemnify City against and will hold and save City harmless from any
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and all actions, claims, damages to persons or property, penalties, obligations, or liabilities
that may be asserted or claimed by any person, firm, entity, corporation, political
subdivision, or other organization arising out of or in connection with the work, operation,
or activities of the Contractor, his agents, employees, subcontractors, or invitees provided
for herein, whether or not there is concurrent passive or active negligence on the part of
City, but excluding such actions, claims, damages to persons or property, penalties,
obligations, or liabilities arising from the sole negligence or willful misconduct of City, its
employees, servants, or independent contractors who are directly responsible to City, and
in connection therewith:
a. The Contractor will defend any action or actions filed in connection with any of said
claims, damages, penalties, obligations, or liabilities and will pay all costs and
expenses, including attorneys' fees incurred in connection therewith.
b. The Contractor will promptly pay any judgment or award rendered against the
Contractor or City covering such claims, damages, penalties, obligations, and liabilities
arising out of or in connection with such work, operations, or activities of the Contractor
hereunder or reasonable settlement in lieu of judgment or award, and the Contractor
agrees to save and hold the City harmless therefrom.
C. In the event City is made a party to any action or proceeding filed or prosecuted against
the Contractor for damages or other claims arising out of or in connection with the
project, operation, or activities of the Contractor hereunder, the Contractor agrees to
pay to City any and all costs and expenses incurred by City in such action or proceeding
together with reasonable attorneys' fees.
So much of the money due to the Contractor under and by virtue of the contract as shall
be considered necessary by City may be retained by City until disposition has been
made of such actions or claims for damage as aforesaid.
10. NON-DISCRIMINATION: No discrimination shall be made in the employment of persons
upon public works because of age, disability, race, color, religion, sex, sexual orientation
or national origin of such persons, and every contractor for public works violating this
section is subject to all the penalties imposed for a violation of Division 2, Part 7, Chapter
1 of the Labor Code in accordance with the provisions of Section 1735 of said Code.
11. CONTRACT PRICE AND PAYMENT: City shall pay to the Contractor for furnishing the
material and doing the prescribed work per the unit prices set forth in accordance with
Contractor's Proposal.
IN WITNESS WHEREOF, the parties hereto have caused these present to be duly executed with
all the formalities required by law on the respective dates set forth opposite their signatures.
State of California Contractor's License #:
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Page124
Date
By:
Signature Print Name &Title
By:
Signature Print Name &Title
CITY OF RANCHO CUCAMONGA, CALIFORNIA
By: BY:
L. Dennis Michael, Mayor Kim Sevy, City Clerk
Date
Contractor's Business Phone Number: Emergency Name and Phone
Number at which Contractor can be reached at any time:
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2025/11/19— CCM - UPDATED STAFF REPORT— ITEM D7 CONSENT CALENDAR
CITY OF RANCHO CUCAMONGA
DATE: November 19, 2025
TO: Mayor and Members of the City Council
FROM: John R. Gillison, City Manager
INITIATED BY: Peter Castro, Deputy City Manager— Community Development
Maritza Martinez, Public Works Services Director
Daniel Akers, Deputy Director of Public Works
Andy Miller, Facilities Superintendent
Fily Reyes, Assistant Engineer
SUBJECT: Consideration of a Contract with AME Builders, Inc. for the Civic Center
Waterproofing and Roof Repairs Project and an appropriation in the
Amount of$2,654,100. (CITY)
RECOMMENDATION:
Staff recommends City Council:
1. Approve the specifications for the Civic Center Waterproofing and Roof Repairs Project.
2. Accept the bid received for the Project.
3. Award and authorize the execution of a contract for the Civic Center Waterproofing and
Roof Repairs Project to the lowest responsive bidder, AME Builders, Inc. of Upland,
California, in the amount of$ 2,412,800.
4. Authorize an expenditure of a ten percent contingency, in an amount of$241,300.
5. Approve appropriation of$2,654,100 from the Capital Reserve Fund (025) balance.
6. Approve transfer of$2,654,100 to F0251CC3121SC2101IPID-2136
BACKGROUND:
The existing roofing and patio system of the Civic Center (City Hall) has deteriorated and needs
to be replaced. Exposure to the outside environment has caused the sealant for the City Hall
building's brick veneer to deteriorate. Likewise, the existing joints on the outside of City Hall have
shrunken and cracked due to exposure to the environment. This allows water to seep into the
building causing damage.
The architect firm of DLR Group and a waterproofing consultant, Thorton Tomasetti, Inc. was
contracted to survey the leaks and produce a design to address those repairs.
ANALYSIS:
The Civic Center Waterproofing and Roof Repairs Project will consist of the removal of existing
roof, installation of new roof membrane, demolition of concrete planters, and sealants at joints
and exterior surfaces. The contract documents call for one hundred (100) working days for
construction completion.
The Notice Inviting Bids was released to the general contracting community and was published
in the Daily Bulletin Newspaper on September 30th, 2025, and October 7th, 2025.
Three (3) bids for this project were opened at 2:00 pm on Tuesday, November 4th, 2025. The
Engineer's estimate for the Project was $2,710,000. The apparent low bidder, AME Builders, Inc.,
submitted a bid in the amount of$2,412,800. A full bid summary is included as Attachment 1.
Public Works staff has reviewed all bids received and found all to be complete and in compliance
with the bid requirements, with any irregularities deemed inconsequential. Staff has completed
the required background investigation and finds the lowest responsive AME Builders, Inc. meets
all bid document requirements.
The proposed project contract is attached as Attachment 2.
Anticipated construction costs are estimated to be as follows:
Expenditure Category Amount
Construction Contract $2,412,800
Construction Contract Contingency (10%) $241,300
Estimated Construction Costs $2,654,100
FISCAL IMPACT:
A total of $2,048,530 was appropriated in Fiscal Year 2024/25 Budget from the Capital Reserve
Fund (025) through the MPP process, however funds did not roll over as anticipated due to
Workday challenges.
Based on the bids received, staff is requesting $2,654,100 (base bid and contingency amounts)
be appropriated from the project's original funding source, Capital Reserve Fund, and budgeted
in account F025 CC312 SC2101 PID2136.
To provide construction management and inspection support for this project, a second project
appropriation request for award of a professional services agreement for a few hundred thousand
dollars will be presented to Council on the December 3, 2025 City Council Meeting.
COUNCIL MISSION /VISION /VALUE(S) ADDRESSED:
The Civic Center Waterproofing and Roof Repairs Project will provide continuous improvement
to ensure a safe and high quality of life for all.
ATTACHMENTS:
Attachment 1 - Bid Summary
Attachment 2 - Draft Contract
Page 2
CITY OF RANCHO CUCAMONGA
qw-_00r=
$aeAA&M
DATE: November 19, 2025
TO: Mayor and Members of the City Council
FROM: John R. Gillison, City Manager
INITIATED BY: Jason C. Welday, Director of Engineering Services/City Engineer
Marlena C. Perez, Principal Engineer
Lelani B. Gnaster, Assistant Engineer
SUBJECT: Consideration to Approve a Preliminary Engineering Services
Agreement with BNSF Railway Company for Design Oversight for the 6th
Street At-Grade Crossing at the Existing Spur Track, 600' East of Santa
Anita Avenue. (CITY)
RECOMMENDATION:
Staff recommends the City Council:
1. Approve the Preliminary Engineering Services Agreement (Agreement) between the City
of Rancho Cucamonga and BNSF Railway Company (BNSF) for design oversight for the
6th Street at-grade railroad crossing at the existing spur track, 600' East of Santa Anita
Avenue (Project); and
2. Authorize the City Manager to execute the Agreement, including any minor amendments,
and any related documents necessary to implement the agreement.
BACKGROUND:
The City of Rancho Cucamonga is planning to construct an at-grade railroad crossing on 6th
Street, 600' East of Santa Anita Avenue, at the existing spur track. The connection of 6th Street
at the crossing has been identified in the City's General Plan for many years. An additional study,
titled the Southeast Industrial Quadrant Roadway Network Assessment, was completed in 2021
to understand traffic circulation with the planned developments. Both PlanRC and the Southeast
Industrial Quadrant Roadway Network Assessment confirmed and reinforced the need for the
new crossing to provide additional emergency access and circulation in and to the Southeast
Industrial Area. The only existing access points to this area for traffic and emergency services are
along Arrow Route, 4th Street, and Etiwanda Avenue which are projected to be over-capacity. The
spur track serves limited industrial properties in the area. A train count was collected at the
crossing in 2024 which showed that nine (9) trains crossed the spur track within a two (2) week
period.
ANALYSIS:
The proposed crossing will provide a safe and efficient vehicular and bicycle connection across
the spur track, consistent with both the City and railroad safety standards. Improvements will
include constructing asphalt paving, median islands, sidewalks, crossing safety arms, and
Page 126
crossing safety signage. City Staff will coordinate with California Public Utilities Commission
(CPUC) and BNSF to undergo design review and prepare an application for the new crossing in
the coming months.
The Agreement defines the roles and responsibilities for both the City and BNSF for the planning
and design of the Project. A draft of the Agreement is included in Attachment 2, however, due to
expedited project timing, the final document will be prepared in the coming weeks. BNSF will be
responsible for conducting on-site visits, preliminary engineering review services, developing
construction cost estimates, and preparing draft agreements including legal review. The City will
be responsible for preparing all drawings for BNSF review.
FISCAL IMPACT:
Design and review costs for BNSF oversight and construction of the crossing protection devices
outlined in the MOU are as follows:
Expenditure Category Amount
BSNF Oversight Cost $,50,000
Total BNSF Oversight Cost $50,000
A total of $302,500 is budgeted in the Fiscal Year 2025/26 Budget for this Project consisting of
funds from the Transportation Fund (124). Funding available for BNSF oversight and construction
as outlined in the Agreement is identified under the Capital Improvement Project account number
listed below:
Account No. Funding Source Description Amount
F124 CC307 SC7004 Transportation Fund 6t" Street at BNSF $302,500
PID 1839-124 124 Spur Crossing
Total $302,500
$252,500 will remain in the Project account to cover the cost of design, environmental, and right
of way support services.
COUNCIL MISSION /VISION /VALUE(S) ADDRESSED:
The Project meets our City Council core values by promoting and enhancing a safe and healthy
community for all, and by providing continuous improvement through the construction of high-
quality public improvements.
ATTACHMENTS:
Attachment 1 - Vicinity Map
Attachment 2 — Preliminary Engineering Services Agreement
Page 2
Page 127
ATTACHMENT 1
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PROJECT LOCATION
CITY BOUNDARDY ------------
Page 128
Contract Number: BF-20600522
PRELIMINARY ENGINEERING SERVICES AGREEMENT
Project Review and Diagnostic Evaluation
BNSF File No.: BF-20600522
Mile Post 41.236
Line Segment 7608
U.S. DOT Number Pending
SCAX San Gabriel Subdivision
This Agreement ("Agreement") is executed to be effective as of
("Effective Date"), by and between BNSF RAILWAY COMPANY, a Delaware
corporation ("BNSF") and the City of Rancho Cucamonga, a political subdivision of the
State of CA ("Agency").
RECITALS
WHEREAS, BNSF owns and operates a line of railroad in and through the City of Rancho
Cucamonga, State of CA;
WHEREAS, Agency has stated its intention to proceed initially with a project to design
and construct a new at-grade crossing at 6t" Street (the "Project");
WHEREAS, Agency has requested that BNSF perform certain preliminary engineering
review services and other Work (defined below) with respect to its railroad facilities
located at or near the Project site to facilitate Agency's evaluation of the feasibility of
proceeding with the Project; and
WHEREAS, BNSF is agreeable to performing the Work, subject to the terms and
conditions of this Agreement;
AGREEMENT
NOW, THEREFORE, in consideration of the mutual covenants and agreements of the
parties contained herein, the receipt and sufficiency of which are hereby acknowledged,
the parties agree as follows:
ATTACHMENT 2
1 of 5
Page 129
17A Wq Y
Contract Number: BF-20600522
1) Scope of Work
As used herein, the term "Work" includes all work performed by BNSF, its employees,
contractors, consultants, or other agents (collectively, the "BNSF Parties") pursuant
to this Agreement, including, but not limited to: (a) conducting on-site visits including
diagnostic evaluations; (b) performing preliminary engineering services; (c)
developing cost estimates for construction of the Project; (d) preparing draft
agreements including legal review; and (e) reviewing and/or providing comments on
preliminary layouts or other designs, plans, and/or documents in connection with the
Project.
2) Payment and Deposit for Work
Agency authorizes BNSF to proceed with the Work relating to the Project. Agency
shall pay and reimburse BNSF for all actual costs and expenses that BNSF incurs in
performing the Work, including without limitation: (a) labor, supplies, and material; (b)
direct and indirect labor and contractor charges including additives; (c) delivery
charges; (d) BNSF's additives and overhead, as such are in effect on the date BNSF
prepares its final billing; and (e) all applicable taxes due, paid, or payable by BNSF on
such products and services, including sales and use taxes, business and occupation
taxes, and similar taxes (collectively, "Actual Costs"). BNSF's estimated cost for
Work on this Project is $50,000 ("Estimated Cost"). Any estimate provided by BNSF
for the Work shall not be a limitation on the Work to be performed or the costs and
expenses incurred, which Agency shall reimburse to BNSF in full.
During its performance of the Work pursuant to this Agreement, BNSF will send
Agency progressive invoices detailing the costs of the Work performed to date.
Agency must reimburse BNSF for completed Work within thirty (30) days of the date
of the invoice for such Work. Upon final completion of the Work, BNSF will send
Agency a detailed invoice of final costs. Agency must pay the final invoice within
ninety (90) days of the date of the final invoice. BNSF will assess a finance charge of
.033% per day (12% per annum) on any unpaid sums or other charges due under this
Agreement which are past such thirty (30) or ninety (90)day terms, as applicable. The
finance charge continues to accrue daily until the date payment is received by BNSF,
not the date payment is made or the date postmarked on the payment. Finance
charges will be assessed on delinquent sums and other charges as of the end of the
month and will be reduced by amounts in dispute and any unposted payments
received by the month's end. Finance charges will be noted on invoices sent to
Agency under this section.
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Page130
Contract Number: BF-20600522
3) Scope and Limitations of Agreement
The parties acknowledge that entering into this Agreement does not of itself obligate
either BNSF or Agency to participate in the construction of the Project. If Agency
elects to proceed with the Project after the Work is performed, then BNSF and Agency
agree to enter into negotiations for appropriate agreements regarding the construction
of the Project and other related activities. Nothing in this Agreement — including
BNSF's performance of the Work— shall obligate BNSF to enter into any subsequent
agreement or otherwise permit the Project except and subject to any terms and
conditions that BNSF may subsequently approve in its sole discretion.
Notwithstanding anything to the contrary in this Agreement, BNSF's review, approval,
and/or other participation in the Project or any element thereof, including the Work
performed by the BNSF Parties hereunder, are expressly limited to — and are intended
and understood by the parties to be in furtherance of — BNSF's railroad purposes, and
are not in furtherance of Agency's purposes in undertaking the Project. All Work
performed hereunder is intended for use in evaluating the impact of the Project on BNSF's
railroad and the costs to Agency associated therewith. BNSF is providing the Work in
consideration of BNSF's subjective standards for its railroad purposes only.
Consequently, the Work shall in no way be construed or deemed to be BNSF's
recommendation, condition, or direction to Agency, nor shall the Work be construed or
deemed to be BNSF's opinion or approval that the plans and specifications or any work
intended or completed on the Project (a) is appropriate for any other purpose including
highway purposes; (b) is structurally sound; or (c) meets applicable standards,
regulations, laws, statutes, local ordinances, and/or building codes. No benefits to
Agency or any third party are provided, intended, or implied herein. Agency shall at all
times be solely responsible for the adequacy and compliance of all design elements of
the Project for highway and other public purposes. AGENCY SHALL WAIVE ANY
CLAIMS AGAINST BNSF FOR — AND SHALL RELEASE BNSF FROM — ANY AND
ALL CLAIMS WHICH MAY OR COULD RESULT FROM THE WORK PERFORMED
HEREUNDER, AND IF APPLICABLE TO THE FULLEST EXTENT PERMITTED BY
LAW, AGENCY SHALL INDEMNIFY BNSF FOR AND HOLD IT HARMLESS FROM
AND AGAINST ANY SUCH CLAIMS.
4) No Right of Entry
Nothing in this Agreement shall be construed as providing Agency or its contractors,
consultants, or other agents any right of entry upon property owned or occupied by BNSF.
Any preliminary engineering or other work required by Agency in connection with the
Project necessitating entry upon BNSF's railroad right-of-way shall only be conducted as
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Contract Number: BF-20600522
authorized by a separate written permit obtained by Agency from BNSF for such entry
("Entry Permit").
The Entry Permit will provide that any on-site visits, including diagnostic evaluations, by
Agency and its parties required for the Project shall be conducted only from adjoining
properties, and Agency shall ensure that no attendees enter or remain on BNSF's right-
of-way, except when using an authorized highway-rail crossing designated for such
purpose.
Agency or its agents must contact BNSF's Manager of Public Projects, or BNSF's
permitting agent Jones Lang LaSalle Brokerage, Inc. ("JLL") at
http://bnsf.railpermitting.com/ to obtain the required Entry Permit prior to any entry.
5) Disclaimer
BNSF GIVES NO WARRANTY, EXPRESS OR IMPLIED, AS TO THE ACCURACY,
QUALITY, MERCHANTABILITY, FITNESS FOR ANY PARTICULAR PURPOSE, OR
ANY OTHER MATTER, OF OR FOR THE WORK PERFORMED PURSUANT TO THIS
AGREEMENT OR ANY REPORT OR OTHER DELIVERABLE WHICH BNSF MAY
FURNISH TO AGENCY PURSUANT TO THIS AGREEMENT. BNSF SHALL IN NO
WAY BE RESPONSIBLE FOR AGENCY'S PROPER RELIANCE UPON,
INTERPRETATION OF, OR OTHER USE OF THE WORK. BNSF IS NOT A
CONTRACTOR, AGENT, PARTNER, OR JOINT VENTURER OF AGENCY BECAUSE
OF THIS AGREEMENT OR BECAUSE OF BNSF'S PERFORMANCE OF THE WORK.
LIKEWISE, THE BNSF PARTIES WHO MAY ASSIST BNSF IN PERFORMING THE
WORK ARE DOING SO FOR BNSF'S BENEFIT ONLY, AND ARE NOT—AND SHALL
NOT BE DEEMED TO BE — CONTRACTORS, SUBCONTRACTORS, OR AGENTS
OF AGENCY.
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17A Wq Y
Contract Number: BF-20600522
IN WITNESS WHEREOF, the parties have caused this Agreement to be executed as of
the day and year first written above.
City of Rancho Cucamonga BNSF Railway Company
By: By:
Name: Name:
Title: Title:
Accepted and effective this
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Page133
CITY OF RANCHO CUCAMONGA
DATE: November 19, 2025
TO: Mayor and Members of the City Council
FROM: John R. Gillison, City Manager
INITIATED BY: Michael Parmer, Engagement and Special Programs Director
Trina Valdez, Utilities Operations Supervisor
SUBJECT: Consideration of a Professional Services Agreement with ETAP
Automation, Inc. for a Supervisory Control and Data Acquisition System
and Engineering Model for the Rancho Cucamonga Municipal Utility in
the Amount of$189,350. (CITY)
RECOMMENDATION:
Staff recommends the City Council approve a three (3) year agreement with ETAP Automation,
Inc. for a Supervisory Control and Data Acquisition system and engineering model for the Rancho
Cucamonga Municipal Utility (RCMU) in the amount of$189,350.
BACKGROUND:
On August 31, 2001, the Rancho Cucamonga City Council authorized the creation and operation
of a municipally owned utility for the purpose of providing various utility services, including the
Arbors Substation and permanent electric service to developments, within the Rancho
Cucamonga Municipal Utility (RCMU) service area.
As RCMU's customer base and electric load continues to grow and the existing infrastructure
ages, the need to monitor equipment, manage electric load, collect historic data, and be able to
detect, respond, and restore power outages more efficiently is critical to maintain reliability of the
electric distribution system.
RCMU currently does not use a Supervisory Control and Data Acquisition (SCADA) system to
monitor and control its electric substation. A SCADA system is a computer-based control system
that allows staff to remotely control operations (including managing and balancing power loads
and performing systems diagnostics), monitor equipment status, and analyze historical and real-
time electric load data. SCADA is a critical component of an electric utility's operations as it also
detects and responds to faults, monitors the status of protective relays and other safety
equipment, and allows the ability to analyze energy data for troubleshooting and planning
purposes.
RCMU also has limited resources to engineering modeling tools that allow a utility to perform
system studies, including the ability to test various scenarios such as outage(s), test switching for
proper voltage, and capacity limits before implementing in the field. These tools also provide real-
time data of the operating system and will monitor and visualize the electric network's power
consumption allowing for predictive analysis capabilities of the system. The modeling capability
Page134
is invaluable to RCMU as the utility nears capacity and assessing the impact of new load to the
system is critical.
ANALYSIS:
In the electric utility field, ETAP Automation, Inc. is a well-established organization that specializes
in fundamental engineering modeling tools, SCADA systems, and outage management solutions
that cohesively work together. Their extensive experience in electrical power systems, software
design, and engineering experience offers a centralized approach allowing multiple products to
be integrated together for a successful implementation and user-friendly interface for the end
user.
ETAP offers an integrated and cohesive platform that includes an engineering model design, a
SCADA solution, a centralized local machine interface, and training in a single solution. The ETAP
systems are scalable and will easily accommodate additional resources in the future such as
multiple substations. Once the model and SCADA system are completed, RCMU can then
integrate the outage management system component. RCMU has had a preliminary discussion
with the City's I.T. Department (DoIT) regarding RCMU's need for a SCADA system. Prior to
implementation, and throughout deployment and migration of data, RCMU will continue to work
alongside DoIT to ensure the system meets the City's cybersecurity and network needs,
standards, and protocols.
Staff recommends awarding a single-source agreement to ETAP Automation, Inc. based on it
being a comprehensive solution that meets the needs of RCMU. The single-source selection of
ETAP is justified because its unified Digital Twin and Advanced Distribution Management System
(ADMS) capabilities directly address RCMU's critical need for integrated utility distribution
management in a way that no single competing platform currently matches. ETAP offers unique
technical advantages over competitors (such as Milsoft, Electric Power Engineers and Aspen).
The advantages include but are not limited to ETAP's ability to provide and customize a digital
twin -a single, consistent model that integrates all analysis, planning, and operations data, linking
and unifying planning tools with real-time SCADA/OMS. While other platforms offer robust power
system analysis modules, they are often designed primarily for industrial plants or require
extensive, complex integration of third-party systems (often through clunky separate modules or
complex interfaces) to achieve a full utility operational solution.
Additionally, ETAP's offerings are more tailored for municipal distribution system control, rather
than other platforms that are known for specialized power system analysis. Having a centralized
system reduces costs, administrative burden, and provides a more efficient and effective solution
for staff.
FISCAL IMPACT:
Funding for Year 1 in the amount of $120,350 was approved in the Fiscal Year 2025/26 Budget
with funds from the Municipal Utility Fund (705). Funding for Year 2 and 3 for annual software
license and support fees in the amount of$34,500 per year will be budgeted in Fiscal Year 26/27
and Fiscal Year 27/28.
Account No. Funding Source Description Amount
F705 CC304 SC7009 Municipal Utility RCMU Electrical Outage $120,350
PID 2181 (F705) Response Improvement
Project
Page 2
Page 135
COUNCIL MISSION /VISION /VALUE(S) ADDRESSED:
This item addresses the City Council's core value of intentionally embracing and anticipating the
future by providing a secure and reliable electric distribution system.
ATTACHMENTS:
Attachment 1 — Single Source Justification Form and Memo
Page 3
Page136
ATTACHMENT 1
CITY OF RANCHO CUCAMONGA
SINGLE/SOLE SOURCE JUSTIFICATION
FOR PURCHASES $8,500 AND ABOVE
RANCI-IO
CUCAMONGA
LIFORNIA
The below information is provided in support of my Department requesting approval for a single/sole
source. Outside of a duly declared emergency, the time to develop a statement of work or
specifications is not in itself justification for single or sole source.
Vendor: ETAP Automation Inc. Date: 10/31/2025
Commodity/Service: Software Design and Modeling
Estimated expenditure: $189,350 Your Name: Trina Valdez
Extent of market search conducted: Researched various vendors
Price Reasonableness: Yes
Does moving forward on this product/service further obligate the City to future similar contract actual
arrangements? Yes,there would bean annual licensing fee.
DEFINITIONS:
SINGLE SOURCE — a transaction with a business entity that is chosen, without competition, from
among two or more business entities capable of supplying or providing the goods or services that
meet the specified need.
SOLE SOURCE - A transaction with the only business entity capable of supplying or providing the
goods or services that meet the specified need.
Initial all entries below that apply to the proposed purchase (more than one entry will apply to most
single/sole source products/services requested). If needed, attach a memorandum containing
complete justification and support documentation as directed in initial entry.
This is a Single Source ❑� THIS IS A SOLE SOURCE PURCHASE ❑ (check one).
1. SINGLE/SOLE SOURCE REQUEST IS FOR THE ORIGINAL MANUFACTURER,
THERE ARE NO REGIONAL DISTRIBUTORS. (Item no. 3 also must also be
completed).
2. THE PARTS/EQUIPMENT ARE NOT INTERCHANGEABLE WITH SIMILAR PARTS
OF ANOTHER MANUFACTURER. (Explain in separate memorandum).
IAPURCHASE.TEMPLATES,F0RMSIRFQ,RFQua1,RFB,RFP TEMPLATES',Sole Source Justification Form.doc
Single/Sole Source Justification Form
Page 2
3. THIS IS THE ONLY KNOWN ITEM OR SERVICE THAT WILL MEET THE
SPECIALIZED NEEDS OF THIS DEPARTMENT OR PERFORM THE INTENDED
FUNCTION. (Attach memorandum with details of specialized function or application).
4. UNIQUE FEATURES OF THE SUPPLY/SERVICE BEING REQUESTED. THERE IS
NO ALTERNATIVE SUPPLIER. (Attach memorandum with reasons why these unique
features are and what benefit the City will accrue.)
5. THE PARTS/EQUIPMENT ARE REQUIRED FROM THIS SOURCE TO PERMIT
STANDARDIZATION (Attach memorandum describing basis for standardization
request).
6. ✓ NONE OF THE ABOVE APPLY. A DETAILED EXPLANATION AND JUSTIFICATION
FOR THIS SINGLE/SOLE SOURCE REQUEST IS CONTAINED IN ATTACHED
MEMORANDUM.
The undersigned requests that competitive procurement be waived, and that the vendor identified as
the supplier of the service or m rial described in this single/sole source justification be authorized
as a single/sole so erial.
Department Head: Department: Engagement and Special Programs
F1 APPRO EDT
APPROVED WITH CONDITION/S
F1 DISAPPROVE
Comments:
$5,000 - $49,999
APPROVED BY PURCHASING MANAGER: Date:
$50,000 - $150,000
APPROVED BY CITY MANAGER: Date:
$150,000 AND OVER
See comments above by Purchasing Division, attach to Council Request
CITY COUNCIL ACTION: Date:
IAPURCHASE`,TEMPLATES,FORMSIRFQ,RFQuaI,RFB,RFP TEMPLATES\Sole Source Justification Form.doc
05/23/2024
CITY OF RANCHO CUCAMONGA
MEMORANDUM
DATE: October 31, 2025
TO: Procurement Division
FROM: Michael Parmer, Engagement and Special Programs Director
BY: Trina Valdez, Utilities Operations Supervisor
SUBJECT: Single Source Justification for ETAP Automation, Inc.
This memorandum is a supplement to the "Single/Sole Source Justification" form submitted
regarding Rancho Cucamonga Municipal Utilities' (RCMU) proposed agreement with ETAP
Automation, Inc. for a Supervisory Control and Data Acquisition System and Engineering Model.
RCMU currently does not use a Supervisory Control and Data Acquisition (SCADA) system to
monitor and control its electric substation. A SCADA system is a computer-based control system
that allows staff to remotely control operations (including managing and balancing power loads
and performing systems diagnostics), monitor equipment status, and analyze historical and real-
time electric load data. SCADA is a critical component of an electric utility's operations as it also
detects and responds to faults, monitors the status of protective relays and other safety
equipment, and allows the ability to analyze energy data for troubleshooting and planning
purposes.
Staff recommends awarding a single-source agreement to ETAP Automation, Inc. based on it
being a comprehensive solution that meets the needs of RCMU. The single-source selection of
ETAP is justified because its unified Digital Twin and Advanced Distribution Management System
(ADMS) capabilities directly address RCMU's critical need for integrated utility distribution
management in a way that no single competing platform currently matches. ETAP offers unique
technical advantages over competitors (such as Milsoft, Electric Power Engineers and Aspen).
The advantages include but are not limited to ETAP's ability to provide and customize a digital
twin-a single, consistent model that integrates all analysis, planning, and operations data, linking
and unifying planning tools with real-time SCADA/OMS. While other platforms offer robust power
system analysis modules, they are often designed primarily for industrial plants or require
extensive, complex integration of third-party systems (often through clunky separate modules or
complex interfaces)to achieve a full utility operational solution.
Additionally, ETAP's offerings are more tailored for municipal distribution system control, rather
than other platforms that are known for specialized power system analysis. Having a centralized
system reduces costs, administrative burden, and provides a more efficient and effective solution
for staff.
Page 1 of 1
HONOR
a CITY OF
RANCHO CUCAMONGA
m
DATE: November 19, 2025
TO: Mayor and Members of the City Council
President and Members of the Board of Directors
FROM: John R. Gillison, City Manager
INITIATED BY: Maritza Martinez, Public Works Services Director
Danny Akers, Deputy Public Works Services Director
Lisa O'Brien, Business Manager
Hank Merenda, Parks Superintendent
SUBJECT: Consideration of Amendment No. 1 to Contract CO 2025-114 with
Mariposa Landscapes, Inc. for Park Mowing and Facility Landscape
Maintenance in the Amount Not to Exceed $997,609.35 for FY 2025/26.
(CITY/FIRE)
RECOMMENDATION:
Staff recommends City Council approve Amendment No. 1 to contract CO 2025-114 with
Mariposa Landscapes, Inc., adding the 9/11 Memorial Park location and increasing the amount
not to exceed to $997,609.35 (City $867,609.35 and Fire $130,000) for FY 2025/26.
BACKGROUND:
The Public Works Services Department and the Procurement Division routinely issue requests
for proposals to ensure vendor services remain competitive. On September 3, 2025, City Council
awarded a competitively bid contract(CO 2025-114)for Park Mowing and Facility Landscape and
Maintenance to Mariposa Landscapes, Inc., effective October 1, 2025 for a nine (9) month term
with an option to renew in (1)year increments up to a total of six(6)additional years through June
30, 2032; the current contract is for a not to exceed amount of$974,922. If approved Amendment
No. 1 to contract CO 2025-114, will add monthly maintenance services for the 9/11 Memorial Park
location, increasing the monthly cost by $3,241.05.
ANALYSIS:
Mariposa Landscapes, Inc., has submitted a Proposal expressing their desire to provide services
at the 9/11 Memorial Park location for the City of Rancho Cucamonga. The annual increase to
this year's contract will total $22,687.35.
Mariposa Landscapes, Inc., continues to meet the services needs of the City. Staff recommends
the City Council approve the amendment of contract CO 2025-114, effective December 1, 2025,
and a new not to exceed amount of$997,609.35 for FY 2025/26.
FISCAL IMPACT:
The Proposed FY 2025/26 Budget includes $997,609.35 for Park Mowing and Facility
Page140
Landscape in accounts F001/CC319/SC2105, F131/CC319/SC2105, F133/CC320/SC2106,
F134/CC319/SC2105, F137/CC319/SC2105, F139/CC319/SC2105, F140/CC319/SC2105,
F281/CC529/SC2109/POO128, F868/CC319/SC2105.
The contract spending limit of $997,609.35 includes a contingency of $76,810 for unforeseen
work resulting from wind events or other emergencies.
COUNCIL MISSION /VISION / GOAL(S) ADDRESSED:
This item addresses the City Council's core values of promoting and enhancing a safe and healthy
community for all, while providing high quality outdoor spaces.
ATTACHMENTS:
Attachment 1-Proposal
Attachment 2-Proposed Amendment
Page 2
Page 141
M A R 1 P ® S A
L A N D S C A P E S I N C
PROPOSAL
October 16, 2025
Hank Merenda
Park Maintenance Supervisor
City Of Rancho Cucamonga
8794 Lion Street.
Rancho Cucamonga, CA 91730
Phone 909-477-2730
Landscape Maintenance Additions
Description This proposal provides for all labor, equipment and materials needed to
perform the landscape maintenance services to the 9/11 Memorial Park and
the Hellman and 81", parkway and landscape area. Mariposa will adhere to the
scope of work from the Parks and Facilities Landscape Maintenance contract
at Level "A".
-9/11 Memorial Park Monthly cost.............................................$ 3,241.05
-Hellman and 8th Street Monthly Cost..................................... $ 988.12
Price Total price for above-described work $4,229.17
(Four Thousand Two Hundred and Twenty-Nine Dollars and 17/100)
Terms: Total due upon completion.
Exclusions: Any unforeseen underground obstacles.
Time Project start date currently is upon acceptance.
Limits Time limit for the acceptance of this proposal is (30) calendar days from the
above date.
TEL 800• 794 • 9458 • FAX 626 •960• 8477 • www.mariposa-ca.com
6232 SANTOS DIAZ ST.,IRWINDALE,CA 91702 • CA CONTRACTOR'S LIC#592268 A,C-27,D-49
Our Core Values —Safety • Teamwork • Quality • Integrity
ATTACHMENT 1
Page142
Respectfully submitted,
Dirk Bennett—Account Manager Hank Merenda- Maintenance Supervisor
Dirk.Bennett@mariposa-ca.com Signature and Date
626-931-6712 cell
Our Core Values —Safety Teamwork Quality Integrity
Page143
AMENDMENT NO. 1
to
Agreement(CO 2025-114)
between
Mariposa Landscapes,Inc.(hereinafter Contractor)
and
City of Rancho Cucamonga(hereinafter"City")
This Amendment No. 1 will serve to amend the Professional Services Agreement (hereinafter "Agreement"),
CO#2025-114 to incorporate the following:
RECITALS
A. City and Contractor entered into the Agreement on October 1, 2025 pursuant to which Contractor is in
the business of performing Park Mowing and Facility Landscape Maintenance: and
B. Customer and Contractor desire to set forth in this Amendment Number One(1)certain modifications to
the Agreement,and
C. In all other respects,the Agreement, as amended shall control the relationship between the Parties.
NOW, THEREFORE, in consideration of the Recitals and for other goods and valuable consideration, the
receipt and sufficiency of which is hereby acknowledged,the parties agree as follows:
Item 1: The term of this agreement is amended to an amount that shall not exceed $867,609.35 for routine
maintenance and extra work at City Facilities and shall not exceed$130,000 for extra work at RCFPD
Facilities during the period December 1,2025 through June 30,2026.
Said amendment will be in accordance with Contractor's proposal dated October 16, 2025 attached
hereto as Exhibit A.
Item 2: Add location "9/11 Memorial Park"to routine landscape maintenance services at service level "A",
effective December 1,2025.
All other Terms and Conditions of the original Agreement CO 2025-114 will remain in full effect.
IN WITNESS WHEREOF, the parties, through their respective authorized representatives, have executed this
Amendment by way of e-signature by both parties and on the date indicated below. Please electronically sign
through Docusign no later than November 24,2025. The Contractor will be provided one(1)fully executed copy
of the Amendment once all e-signatures are obtained.
Mariposa Landscapes,Inc. City of Rancho Cucamonga
By:
Name Date By:
Name Date
Title Title
ATTACHMENT 2
Initials
Page 1 of 2
Page 144
By: By:
Name Date Name Date
Title
(two signatures required if corporation)
Initials
Page 2 of 2
Page145
CITY OF RANCHO CUCAMONGA
DATE: November 19, 2025
TO: Mayor and Members of the City Council
FROM: John R. Gillison, City Manager
INITIATED BY: Jennifer Gracia, Deputy City Manager-Community Programs
Wess Garcia, Library Director
SUBJECT: Consideration of Amendment No. 2 to the Professional Services
Agreement (CO 2019-168) with Brodart Co., Increasing Materials
Acquisition Services in an Amount not to Exceed $500,000. (CITY)
RECOMMENDATION:
Staff recommends the City Council approve Amendment No. 2 to contract number 2019-168 with
Brodart Co. for materials acquisition services in an amount not to exceed $500,000.
BACKGROUND:
After undergoing a single source procurement process, the City entered into a contract on July 1,
2019, with Brodart Co. to provide full-service materials acquisitions services, including providing
books, cataloging, processing, selection ordering lists, curating of specialty collections and more,
for the Rancho Cucamonga Public Library.
Brodart currently provides these services to the Rancho Cucamonga Public Library, and the
Library orders thousands of titles each year for the Archibald Library, Paul A. Biane Library, 24/7
Library kiosks and Second Story and Beyond°collections.
ANALYSIS:
As a result of inflationary trends since the original 2019 contract executed with Brodart, the cost
for books overall has increased. As a result, the cost of materials procured through Brodart has
risen, and the cost for processing and cataloging materials is higher in proportion to the materials
costs. The costs for cataloging and processing, reinforcement and collection development
services are reflected in a revised Brodart pricing sheet attached as Attachment 2. The Library
has subsequently made increases to its annual materials budget with this vendor to meet these
increases.
Amendment No. 2 adjusts the"not to exceed"compensation limit established in Amendment No.1,
allowing the Library to fully utilize its full Brodart materials acquisition budget.
Contract No. 2019-168 is on file with the City Clerk's Office.
FISCAL IMPACT:
The cost of the Amendment totals $50,000 for a total contract amount not to exceed $500,000.
Materials acquisition services are to be fully funded through Library Funds: CC601 F290SC1404
and CC601 F290SC2106. Funding to cover costs has been included in the Fiscal Year 2025/26
Page146
annual budget.
Breakdown
Amount Not to Exceed
Current Contract $450,000
Amendment No. 2 $50,000
Grand Total $500,000
COUNCIL MISSION /VISION /VALUE(S) ADDRESSED:
Providing superior library services enhances the overall quality of life for residents in Rancho
Cucamonga and supports the City Council Core Value of creating equitable opportunity for all to
prosper.
ATTACHMENTS:
Attachment 1 —Amendment No. 2
Attachment 2 — Brodart Pricing Sheet
Page 2
Page 147
AMENDMENT NO. 2
to
Professional Services Agreement(CO#2019-168)
between
Brodart(hereinafter"Consultant")
and
City of Rancho Cucamonga(hereinafter the"City")
This Amendment No. 2 will serve to amend the Professional Services Agreement (hereinafter
"Agreement"), CO#2019-168,to incorporate the following:
Compensation. City shall compensate Contractor as set forth in revised Exhibit A, provided,
however, that full, total and complete amount payable to Contractor shall not exceed $500,000.
All other Terms and Conditions of the original Agreement CO#2019-168,will remain in full effect.
IN WITNESS WHEREOF,the parties,through their respective authorized representatives,
have executed this Amendment by way of signature by both parties and on the date indicated below. Please
return two (2) original signed copies to the City no later than 10/8/25. The City will process both copies
for signature and provide Consultant with one(1) fully executed copy of the Amendment.
Brodart Co. City of Rancho Cucamonga
By: By:
Name Date Name Date
Title Title
By: By:
Name Date Name Date
Title Title
(two signatures required if corporation)
ATTACHMENT 1
Last Revised.• 1112712018 Page I of I
Page 148
• Pricing for Rancho Cucamonga Public Library
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Cataloging and Processing
Compleat options:
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*Price change effective 711125— 6130126
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Brodart will complete the physical processing for books as specified by the library. Pricing offered is a bundled price and
includes the following:
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• Branch labels or system stamps
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Collection Development Services
Collection Builder(Customized Selection Lists)
Collection Builder Custom Selection Lists No Charge
FASTips (Standing Orders)
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Silver TIPS No Charge
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Lists posted to your Bibz account No Charge
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Unlimited Users No Charge
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ATTACHMENT 2
Page 149
CITY OF RANCHO CUCAMONGA
qw-_00r=
$aeAA&M
DATE: November 19, 2025
TO: Mayor and Members of the City Council
FROM: John R. Gillison, City Manager
INITIATED BY: Maritza Martinez, Public Works Services Director
Daniel Akers, Deputy Director of Public Works
Andy Miller, Facilities Superintendent
Fily Reyes, Assistant Engineer
SUBJECT: Consideration to Accept the Council Chambers Carpeting and Seating
Replacement Project as Complete, File the Notice of Completion, and
Authorize Release of Retention and Bonds. (CITY)
RECOMMENDATION:
Staff recommends the City Council:
1. Accept the Council Chambers Carpeting and Seating Replacement Project as
Complete, Contract No. 2025-010, as complete.
2. Approve the final contract amount of$210,904.00
3. Authorize the release of the Faithful Performance Bond 35 days after recordation of
the Notice of Completion and accept a Maintenance Guarantee Bond
4. Authorize the release of the Labor and Materials Bond in the amount of$210,904.00,
six months after the recordation of said notice if no claims have been received.
5. Authorize the Public Works Service Director to file a Notice of Completion and release
the Project retention, 35 days after recordation of the Notice of Completion; and
6. Authorize the Public Works Service Director to approve the release of the Maintenance
Bond one (1) year following the filing of the Notice of Completion if the improvements
remain free from defects in material and workmanship
BACKGROUND:
On January 15, 2025, the City Council awarded a construction contract to Lawrence W. Rosine
in the amount of $210,383.00 plus 10% contingency in the amount of $21,038.30 to address
unforeseen construction-related incidentals. A copy of the January 15, 2025 City Council staff
report is on file with the City Clerk. This project consisted of replacing carpeting and seating in
City Council Chambers, plus new carpet in adjacent hallways and DeAnza and Serrano
conference rooms.
ANALYSIS:
Page 150
The Project was completed in accordance with the approved plans and specifications and to the
satisfaction of the Public Works Service Director. One (1) change order was issued during
construction, resulting in a net increase of$521.00 to the contract amount. A detailed description
of the contract change order is on file with the City's Engineering Services Department.
At the end of the one (1) year maintenance period, if the improvements remain free from defects
in materials and workmanship, the City Clerk will release the Maintenance Bond upon approval
by the City Engineer.
FISCAL IMPACT:
There was no fiscal impact due to this project as adequate Funds were included in the Fiscal
Year 2024/2025 adopted budget for this project in account number F025 CC312 SC7002
PID2137.
COUNCIL MISSION /VISION /VALUE(S) ADDRESSED:
The Council Chambers Carpeting and Seating Replacement Project aims to revitalize the
Council Chambers which houses City Council meetings and serves as a point of contact with
the community. This item addresses the City Council's vision for the City by ensuring the
maintenance of high-quality improvements that promote a world class community.
ATTACHMENTS:
Attachment 1 - Vicinity Map
Page 2
Page 151
ATTACHMENT 1
COUNCIL CHAMBERS CARPETING AND SEATING REPLACEMENT
VICINITY MAP
NOT TO SCALE
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Page 152
CITY OF RANCHO CUCAMONGA
qw-_00r=
$aeAA&M
DATE: November 19, 2025
TO: Mayor and Members of the City Council
FROM: John R. Gillison, City Manager
INITIATED BY: Maritza Martinez, Public Works Director
Danny Akers, Deputy Director of Public Works
Andy Miller, Facilities Superintendent
Fily Reyes, Assistant Engineer
SUBJECT: Consideration to Accept the Civic Center HVAC Replacement Project as
Complete, File the Notice of Completion, and Authorize Release of
Retention and Bonds. (CITY)
RECOMMENDATION:
Staff recommend the City Council:
1. Accept the Civic Center HVAC Replacement Project, Contract No. 2023-028, as
complete.
2. Approve the final contract amount of$2,399,723.12.
3. Authorize the release of the Faithful Performance Bond 35 days after recordation of
the Notice of Completion and accept a Maintenance Guarantee Bond
4. Authorize the release of the Labor and Materials Bond in the amount of$1,926,000.00,
six months after the recordation of said notice if no claims have been received.
5. Authorize the Public Works Service Director to file a Notice of Completion and release
the Project retention, 35 days after recordation of the Notice of Completion; and
6. Authorize the Public Works Service Director to approve the release of the Maintenance
Bond one (1) year following the filing of the Notice of Completion if the improvements
remain free from defects in material and workmanship
BACKGROUND:
On March 15, 2023, the City Council awarded a construction contract to Bon Air, Inc. in the
amount of $1,926,000 plus a contingency in the amount of $374,000 to address unforeseen
construction-related incidentals. A copy of the March 15, 2023, City Council staff report is on file
with the City Clerk. The scope of work performed consisted of removing and replacing major
components of the existing Heating and Ventilation Air Conditioning (HVAC) system including the
chillers, compressors, piping, pumps, boilers and other related components related to the central
plant HVAC system that supplies warm and cool air to City Hall.
Page 153
ANALYSIS:
The Project was completed in accordance with the approved plans and specifications and to the
satisfaction of the Public Works Service Director. Eighteen (18)change orders were issued during
construction, resulting in a net increase of $473,723.12 to the contract amount. A detailed
description of each contract change order is on file with the City's Engineering Services
Department. The balancing statement conforms to the actual quantities placed or constructed
during the contract.
At the end of the one (1) year maintenance period, if the improvements remain free from defects
in materials and workmanship, the City Clerk will release the Maintenance Bond upon approval
by the City Engineer.
Adequate funds were included in the Fiscal Year 2022/2023 adopted budget for this project in
account number 1025001-5650 (Capital Reserve). Additional funds needed to complete the
project were appropriated to account F025 CC001 7000 SC7000 when the city moved to
Workday.
Account No. Funding Source Amount
1025001-5650 Capital Reserve $2,335,504.21
F025 CC001 7000 SC7000 City Capital Reserve Fund 25 $64,218.91
Total Project Funding $2,399,732.00
FISCAL IMPACT:
The recommended action will not have a fiscal impact.
COUNCIL MISSION /VISION /VALUE(S) ADDRESSED:
By replacing the out-of-date HVAC system, it ensures that residents and City staff have a safe
and comfortable experience while at the Civic Center and Public Safety, this project addresses
the City Council goal of providing and nurturing a high quality of life for all.
ATTACHMENTS:
Attachment 1 - Vicinity Map
Page 2
Page 154
ATTACHMENT 1
Civic Center HVAC Replacement Project
VICINITY MAP
NOT TO SCALE
+ Almond St beer Creek '
ichalnnei
• Hlllside Rd WIW&Rd HR15ide Rd e+
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Page 155
CITY OF RANCHO CUCAMONGA
qw--00r=
$aeAA&M
DATE: November 19, 2025
TO: Mayor and Members of the City Council
FROM: John R. Gillison, City Manager
INITIATED BY: Jason C. Welday, Director of Engineering Services/City Engineer
Marlena C. Perez, Principal Engineer
Lelani Gnaster, Assistant Engineer
SUBJECT: Consideration to Accept as Complete, File a Notice of Completion, and
Authorize Release of Retention and Bonds for the Hellman Avenue and
Feron Boulevard Storm Drain Improvement Project (Project). This
Project is Exempt from the Requirements of the California Environmental
Quality Act (CEQA) per Government Code Section 15301 — Existing
Facilities. (CITY)
RECOMMENDATION:
Staff recommends the City Council:
1. Accept Hellman Avenue and Feron Boulevard Storm Drain Improvement Project, Contract
2025-061 (Project), as complete;
2. Approve the final contract amount as $155,745;
3. Authorize the release of the Faithful Performance Bond 35 days after recordation of Notice
of Completion and accept a Maintenance Guarantee Bond;
4. Authorize the release of the Labor and Materials Bond in the amount of$158,890 six (6)
months after the recordation of said notice if no claims have been received;
5. Authorize the City Engineer to file a Notice of Completion and release the Project retention,
35 days after recordation of the Notice of Completion; and
6. Authorize the City Engineer to approve the release of the Maintenance Bond one (1) year
following the filing of the Notice of Completion if the improvements remain free from
defects in material and workmanship.
BACKGROUND:
On May 21, 2025, the City Council awarded a construction contract to Gentry Brothers, Inc., in
the amount of $158,890 plus 10% contingency in the amount of $15,890 for the construction of
the Project. A copy of the May 21, 2025, City Council Staff Report is on file with the City Clerk.
Page 156
The scope of work consisted of construction of a storm drain lateral, catch basin, and minor
concrete and asphalt repairs. A vicinity map illustrating the limits of the project is included as
Attachment 1.
ANALYSIS:
The Project has been completed in accordance with the approved plans and specifications and
to the satisfaction of the City Engineer. One (1) contract change order was issued during
construction, resulting in a net decrease of $3,145 to the contract amount due to additional
inspection and materials testing costs incurred by the City. A detailed description of the contract
change order is on file with the City's Engineering Services Department. Construction inspection
services exceeded the budgeted amount by$4,525 due to an exceedance of working days on the
contract. Soils and material testing services exceeded the budgeted amount by $6,495 due to
unexpected construction delays and cancellations.
No final balancing statement is required as the final contract quantities conform to the actual
quantities placed or constructed during the contract.
At the end of the one (1) year maintenance period, if the improvements remain free from defects
in materials and workmanship, the City Clerk will release the Maintenance Bond upon approval
by the City Engineer.
FISCAL IMPACT:
A total of $226,490 was budgeted in the Fiscal Year 2024/25 Budget for this Project, consisting
of Funds from the Drainage General Fund (112). From this available budget, funds were allocated
for construction to this Project as identified under the Capital Improvement Project Account
number listed below:
Account No. Funding Source Description Amount
F112 CC307 SC7004 Drainage General Hellman Avenue and Feron
PID 2166-112 Fund Boulevard Storm Drain $219,460
Improvement Project
Total Project Funding $219,460
The final project cost is $213,010 as shown below:
Expenditure Amount
Construction Contract $155,745
Construction Inspection Services $33,605
Soils and Material Testing Services $22,095
Bid Noticing Advertisement $1,565
Estimated Contract Costs $213,010
Construction support costs including inspection and materials testing were approximately 36% of
the final contract amount. Construction management services were performed in-house.
A total of $6,450 remains in the budget for this Project and will be returned to the Drainage
General Fund (112) balance to be used for applicable expenses or future capital improvement
projects as appropriate.
Page 2
Page 157
COUNCIL MISSION /VISION /VALUE(S) ADDRESSED:
This project meets our City Council core values by promoting and enhancing a safe and healthy
community for all by providing continuous improvement through the construction of high-quality
public improvements.
ATTACHMENTS:
Attachment 1 —Vicinity Map
Page 3
Page 158
ATTACHMENT 1
HELLMAN AVE AND FERON BLVD STORM DRAIN PROJECT VICINITY MAP
NOT TO SCALE
Arrow Rte ..,
E
Business Center Dr
[ucamonga
channel
Depanment of
Motor Vehicles
3
9th St 75 9th St
y 9Lh S[
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sigh School •\y n Meadow St m House
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N Project Intersection:
Hellman Ave and Feron Blvd
City Boundary:
Page 159
CITY OF RANCHO CUCAMONGA
DATE: November 19, 2025
TO: Mayor and Members of the City Council
FROM: John R. Gillison, City Manager
INITIATED BY: Julie A. Sowles, Deputy City Manager-Administrative Services
Jevin Kaye, Finance Director
Rick Flinchum, Deputy Director of Finance
Kelly Guerra, Special Districts Analyst
SUBJECT: Consideration to Approve and Adopt Resolutions Certifying the Results
of Elections and Adding Annexation Nos. 2025-12, 2025-13, 2025-14,
2025-15, 2025-16, and 2025-17 to Community Facilities District No.
2022-01 (Street Lighting Services) of the City of Rancho Cucamonga.
(RESOLUTION NOS. 2025-088 to 2025-093) (CITY)
RECOMMENDATION:
Staff recommends the City Council approve and adopt the Resolutions Certifying the Results of
Elections and Adding Annexations Nos. 2025-12, 2025-13, 2025-14, 2025-15, 2025-16, and
2025-17 to Community Facilities District No. 2022-01.
BACKGROUND:
On June 1, 2022,the City Council approved Resolution No. 2022-063 (the"Resolution Authorizing
Future Annexation") authorizing the future annexation of territory to Community Facilities District
No. 2022-01 (Street Lighting Services) (the "CFD 2022-01")to provide maintenance and services
to streetlights, traffic signals, and appurtenant facilities for new development.
The City conditions property owners to annex such properties into the existing CFD 2022-01 to
fund street light service and maintenance. In September 2025, the Property Owners signed an
Annexation Proceeding Deposit Agreement to initiate the annexation process.
ANALYSIS:
In October 2025, the Property Owners submitted their Consent and Waivers and their Official
Ballots, one for each annexation, to the City Clerk's Office Election Official. The Election Official
has canvassed the ballots and completed the statement of votes cast (See Exhibit "A" of their
respective Resolution). The Property Owners cast their vote unanimously in favor of the special
tax levy for CFD 2022-01.
Adoption of the Resolutions constitutes the City Council's formal action certifying the election
results and adding the Annexation territories to CFD 2022-01, and directs the recordation of an
amendment to the existing Notice of Special Tax Lien. By recording this amendment, prospective
purchasers of the property within the Annexation territories will have notice of the special tax
obligation affecting such properties.
Page160
A map showing the property is included in their respective Resolution.
FISCAL IMPACT:
CFD 2022-01 was formed to be financially self-sufficient, meaning the revenues generated by the
District offset the costs of providing services and can be adjusted annually based on changes in
the overall operating costs of streetlights.
COUNCIL MISSION /VISION /VALUE(S) ADDRESSED:
This item addresses the City Council's core value of intentionally embracing and anticipating our
future by ensuring that new development is fiscally sustainable.
ATTACHMENTS:
Attachment 1 — Resolution Certifying the Results of an Election and Adding Annexation 2025-12
Attachment 2 — Resolution Certifying the Results of an Election and Adding Annexation 2025-13
Attachment 3— Resolution Certifying the Results of an Election and Adding Annexation 2025-14
Attachment 4 — Resolution Certifying the Results of an Election and Adding Annexation 2015-15
Attachment 5— Resolution Certifying the Results of an Election and Adding Annexation 2015-16
Attachment 6— Resolution Certifying the Results of an Election and Adding Annexation 2015-17
Page 2
Page 161
RESOLUTION NO. 2025-XXX
RESOLUTION OF THE CITY COUNCIL OF THE CITY OF
RANCHO CUCAMONGA, CALIFORNIA, CERTIFYING THE
RESULTS OF AN ELECTION AND ADDING TERRITORY
TO COMMUNITY FACILITIES DISTRICT NO. 2022-01
(STREET LIGHTING SERVICES) OF THE CITY OF
RANCHO CUCAMONGA, ANNEXATION NO. 2025-12.
WHEREAS, the City Council of the City of Rancho Cucamonga, California (the
"City Council") has previously formed Community Facilities District No. 2022-01 (Street
Lighting Services) of the City of Rancho Cucamonga ("CFD No. 2022-01") pursuant to
the Mello-Roos Community Facilities Act of 1982 (the "Act"), as amended, for the purpose
of financing certain municipal maintenance services; and
WHEREAS, acting pursuant to the Act, the City Council also authorized by the
adoption of Resolution No. 2022-063 (the "Resolution Authorizing Future Annexation")
the annexation in the future of territory to CFD No. 2022-01, such territory designated as
Future Annexation Area, Community Facilities District No. 2022-01 (the "Future
Annexation Area"); and
WHEREAS, at this time the unanimous consent to the annexation of certain
territory located within the Future Annexation Area to CFD No. 2022-01 has been
received from the property owner of such territory, and such territory has been designated
as ANNEXATION NO. 2025-12 (the "Territory"); and
WHEREAS, less than twelve (12) registered voters have resided within the
Territory for each of the ninety (90) days preceding the election date established for the
Territory, therefore, pursuant to the Act the qualified elector of the Territory shall be the
"landowner," as such term is defined in Government Code Section 53317(f), of such
Territory and such landowner who is the owner of record as of the applicable election
date, or the authorized representative thereof, shall have one vote for each acre or portion
of an acre of the parcel of land that landowner owns within such Territory; and
WHEREAS, the time limit specified by the Act for conducting an election to submit
the levy of the special taxes on the Territory to the qualified elector thereof and the
requirements for impartial analysis and ballot arguments have been waived with the
unanimous consent of the qualified elector of the Territory; and
WHEREAS, the City Clerk of the City of Rancho Cucamonga has caused a ballot
to be distributed to the qualified elector of the Territory, has received and canvassed such
ballot and made a report to the City Council regarding the results of such canvass, a copy
of which is attached as Exhibit "A" hereto and incorporated herein by this reference; and
Resolution 2025-XXX Page 1 of 3
ATTACHMENT 1
Page 162
WHEREAS, at this time the measure voted upon and such measure did receive
the favorable vote of the qualified elector of the Territory, and the City Council desires to
declare the results of the election; and
WHEREAS, a map showing the Territory and designated as Annexation Map No.
2025-12 (the "Annexation Map"), a copy of which is attached as Exhibit "B" hereto and
incorporated herein by this reference, has been submitted to this legislative body.
NOW, THEREFORE, IT IS HEREBY RESOLVED by the City Council of the City
of Rancho Cucamonga, California, acting as the legislative body of Community Facilities
District No. 2022-01, as follows:
Section 1. Recitals. The above recitals are true and correct.
Section 2. Findings. This legislative body does hereby further determine as
follows:
A. The unanimous consent as described in the recitals hereto to the
annexation of the Territory to CFD No. 2022-01 has been given by the owner of the
Territory and such consent shall be kept on file in the Office of the City Clerk of the City
of Rancho Cucamonga.
B. Less than twelve (12) registered voters have resided within the Territory for
each of the ninety (90) days preceding the election date established for the each of the
parcels located within the Territory, therefore, pursuant to the Act the qualified elector for
the Territory shall be the "landowner" of the Territory as such term is defined in
Government Code Section 53317(f).
C. The qualified elector of the Territory has voted in favor of the levy of special
taxes on the Territory upon its annexation to CFD No. 2022-01.
Section 3. Territory. The boundaries and parcels of property within the
Territory and on which special taxes will be levied in order to pay for the costs and
expenses of authorized municipal maintenance services are shown on the Annexation
Map as submitted to and hereby approved by this legislative body.
Section 4. Declaration of Annexation. This legislative body does hereby
determine and declare that the Territory, and each parcel therein, is now added to and
becomes a part of CFD No. 2022-01. The City Council, acting as the legislative body of
CFD No. 2022-01, is hereby empowered to levy the authorized special tax within the
Territory.
Section 5. Notice. Immediately upon adoption of this Resolution, notice shall
be given as follows:
Resolution 2025-XXX Page 2 of 3
Page 163
A. A copy of the Annexation Map as approved shall be filed in the Office of the
County Recorder no later than fifteen (15) days after the date of adoption of this
Resolution.
B. An Amendment to the Notice of Special Tax Lien (Notice of Annexation)
shall be recorded in the Office of the County Recorder no later than fifteen (15) days after
the date of adoption of this Resolution.
Section 6. Effective Date. This Resolution shall become effective upon its
adoption.
PASSED, APPROVED, AND ADOPTED this day of 2025.
Resolution 2025-XXX Page 3 of 3
Page 164
EXHIBIT "A"
CERTIFICATE OF ELECTION OFFICIAL
AND STATEMENT OF VOTES CAST
STATE OF CALIFORNIA )
COUNTY OF SAN BERNARDINO) :ss.
CITY OF RANCHO CUCAMONGA)
The undersigned, ELECTION OFFICIAL OF THE CITY OF RANCHO CUCAMONGA, COUNTY
OF SA BERNARDINO, STATE OF CALIFORNIA, DOES HEREBY CERTIFY that pursuant to
the provisions of Section 53 26 of the Government Code and Division 12, commencing with
Section 17000 of the Elections Code of the State of California, I did canvass the returns of the
votes east at the
COMMUNITY FACILITIES DISTRICT NO. 202 -01
(STREET LIGHTING SERVICES)
OF THE CJTY OF RANCH0 CU CAM ON A
SPECIAL ELECTION
ANNEXATION NO_ 025-12
held on the election date established for each parcel located within the territory included in
Annexation No. 2025-12,
1 FURTHER GERTIFY that this Statement of Metes Cast shows the whole nornber of votes cast
in the area,proposed to be annexed to Community Fa ilikies District No. 202 -01 (Street Lighting
Services) of the City of Rancho Cucamonga for or against the Measure are fu11,true and correct,
VOTES CAST ON PROPOSITION T. YES
NO
WITNESS my hand this �day of�� , 2025.
r� .EE C_ N OFFICIAL
CITY CLERK
CITY OF RANCHO CUCAMONGA
OF THE STATE OF CALIFORNIA
A - 1
Page165
EXHIBIT "B"
ANNEXATION MAP
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Page 166
RESOLUTION NO. 2025-XXX
RESOLUTION OF THE CITY COUNCIL OF THE CITY OF
RANCHO CUCAMONGA, CALIFORNIA, CERTIFYING THE
RESULTS OF AN ELECTION AND ADDING TERRITORY
TO COMMUNITY FACILITIES DISTRICT NO. 2022-01
(STREET LIGHTING SERVICES) OF THE CITY OF
RANCHO CUCAMONGA, ANNEXATION NO. 2025-13.
WHEREAS, the City Council of the City of Rancho Cucamonga, California (the
"City Council") has previously formed Community Facilities District No. 2022-01 (Street
Lighting Services) of the City of Rancho Cucamonga ("CFD No. 2022-01") pursuant to
the Mello-Roos Community Facilities Act of 1982 (the "Act"), as amended, for the purpose
of financing certain municipal maintenance services; and
WHEREAS, acting pursuant to the Act, the City Council also authorized by the
adoption of Resolution No. 2022-063 (the "Resolution Authorizing Future Annexation")
the annexation in the future of territory to CFD No. 2022-01, such territory designated as
Future Annexation Area, Community Facilities District No. 2022-01 (the "Future
Annexation Area"); and
WHEREAS, at this time the unanimous consent to the annexation of certain
territory located within the Future Annexation Area to CFD No. 2022-01 has been
received from the property owner of such territory, and such territory has been designated
as ANNEXATION NO. 2025-13 (the "Territory"); and
WHEREAS, less than twelve (12) registered voters have resided within the
Territory for each of the ninety (90) days preceding the election date established for the
Territory, therefore, pursuant to the Act the qualified elector of the Territory shall be the
"landowner," as such term is defined in Government Code Section 53317(f), of such
Territory and such landowner who is the owner of record as of the applicable election
date, or the authorized representative thereof, shall have one vote for each acre or portion
of an acre of the parcel of land that landowner owns within such Territory; and
WHEREAS, the time limit specified by the Act for conducting an election to submit
the levy of the special taxes on the Territory to the qualified elector thereof and the
requirements for impartial analysis and ballot arguments have been waived with the
unanimous consent of the qualified elector of the Territory; and
WHEREAS, the City Clerk of the City of Rancho Cucamonga has caused a ballot
to be distributed to the qualified elector of the Territory, has received and canvassed such
ballot and made a report to the City Council regarding the results of such canvass, a copy
of which is attached as Exhibit "A" hereto and incorporated herein by this reference; and
Resolution 2025-XXX Page 1 of 3
ATTACHMENT 2
Page 167
WHEREAS, at this time the measure voted upon and such measure did receive
the favorable vote of the qualified elector of the Territory, and the City Council desires to
declare the results of the election; and
WHEREAS, a map showing the Territory and designated as Annexation Map No.
2025-13 (the "Annexation Map"), a copy of which is attached as Exhibit "B" hereto and
incorporated herein by this reference, has been submitted to this legislative body.
NOW, THEREFORE, IT IS HEREBY RESOLVED by the City Council of the City
of Rancho Cucamonga, California, acting as the legislative body of Community Facilities
District No. 2022-01, as follows:
Section 1. Recitals. The above recitals are true and correct.
Section 2. Findings. This legislative body does hereby further determine as
follows:
A. The unanimous consent as described in the recitals hereto to the
annexation of the Territory to CFD No. 2022-01 has been given by the owner of the
Territory and such consent shall be kept on file in the Office of the City Clerk of the City
of Rancho Cucamonga.
B. Less than twelve (12) registered voters have resided within the Territory for
each of the ninety (90) days preceding the election date established for the each of the
parcels located within the Territory, therefore, pursuant to the Act the qualified elector for
the Territory shall be the "landowner" of the Territory as such term is defined in
Government Code Section 53317(f).
C. The qualified elector of the Territory has voted in favor of the levy of special
taxes on the Territory upon its annexation to CFD No. 2022-01.
Section 3. Territory. The boundaries and parcels of property within the
Territory and on which special taxes will be levied in order to pay for the costs and
expenses of authorized municipal maintenance services are shown on the Annexation
Map as submitted to and hereby approved by this legislative body.
Section 4. Declaration of Annexation. This legislative body does hereby
determine and declare that the Territory, and each parcel therein, is now added to and
becomes a part of CFD No. 2022-01. The City Council, acting as the legislative body of
CFD No. 2022-01, is hereby empowered to levy the authorized special tax within the
Territory.
Section 5. Notice. Immediately upon adoption of this Resolution, notice shall
be given as follows:
Resolution 2025-XXX Page 2 of 3
Page 168
A. A copy of the Annexation Map as approved shall be filed in the Office of the
County Recorder no later than fifteen (15) days after the date of adoption of this
Resolution.
B. An Amendment to the Notice of Special Tax Lien (Notice of Annexation)
shall be recorded in the Office of the County Recorder no later than fifteen (15) days after
the date of adoption of this Resolution.
Section 6. Effective Date. This Resolution shall become effective upon its
adoption.
PASSED, APPROVED, AND ADOPTED this day of 2025.
Resolution 2025-XXX Page 3 of 3
Page 169
EXHIBIT "A"
CERTIFICATE OF ELECTION OFFICIAL
AND STATEMENT OF VOTES CAST
STATE OF CALIFORNIA )
COUNTY OF SAN BERNARDIN0) ss,
CITY OF RANCHO CUCAMONGA)
The undersigned, ELECTION OFFICIAL OF THE CITE' OF RANCHO CUCAMONGA, CDUNTY
OF SAN BERNARDINO, STATE OF CALIFORNIA_ DOES HEREBY CERTI FY that pursuant to
the provisions of Section 53326 of the Government Code and Division 12, cl3mmencin0 with
Section 17000 of the Elections Cede of the State of California. I did canvass the returns of the
votes oast at the
COMMUNITY FACILITIES DISTRICT NO. 2022-01
(STREET LIGHTING SERVICES}
OF THE CITY OF RANCHO CUCAMONGA
SPECIAL ELECTION
ANNEXATION NO. 2025-13
held on the election date established far each panel located within the territiary included in
Annexation No_ 20 5-13_
1 FURTHER CERTIFY that this Statement of Dotes Cast shows the whole number of votes oast
in the area pfoposed to be annexed to Community Facilities District No.2022-01 (Street Lighting
Services)of the City of Rancho Cucamonga for oragainstthe Measure are full,true and correct.
VOTES CAST ON PROPOSITION 1: YES Zf
NO 411
r
WITNESS my hand this y�day of 4 . 2025.
6elt: ut-C WOFFICIAL
CITY CLERK
CITY OF RANCHO CUCAMONGA
OF THE STATE OF CALIFORNIA
A - 1
Page 170
EXHIBIT "B"
ANNEXATION MAP
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B - 1
Page 171
RESOLUTION NO. 2025-XXX
RESOLUTION OF THE CITY COUNCIL OF THE CITY OF
RANCHO CUCAMONGA, CALIFORNIA, CERTIFYING THE
RESULTS OF AN ELECTION AND ADDING TERRITORY
TO COMMUNITY FACILITIES DISTRICT NO. 2022-01
(STREET LIGHTING SERVICES) OF THE CITY OF
RANCHO CUCAMONGA, ANNEXATION NO. 2025-14.
WHEREAS, the City Council of the City of Rancho Cucamonga, California (the
"City Council") has previously formed Community Facilities District No. 2022-01 (Street
Lighting Services) of the City of Rancho Cucamonga ("CFD No. 2022-01") pursuant to
the Mello-Roos Community Facilities Act of 1982 (the "Act"), as amended, for the purpose
of financing certain municipal maintenance services; and
WHEREAS, acting pursuant to the Act, the City Council also authorized by the
adoption of Resolution No. 2022-063 (the "Resolution Authorizing Future Annexation")
the annexation in the future of territory to CFD No. 2022-01, such territory designated as
Future Annexation Area, Community Facilities District No. 2022-01 (the "Future
Annexation Area"); and
WHEREAS, at this time the unanimous consent to the annexation of certain
territory located within the Future Annexation Area to CFD No. 2022-01 has been
received from the property owner of such territory, and such territory has been designated
as ANNEXATION NO. 2025-14 (the "Territory"); and
WHEREAS, less than twelve (12) registered voters have resided within the
Territory for each of the ninety (90) days preceding the election date established for the
Territory, therefore, pursuant to the Act the qualified elector of the Territory shall be the
"landowner," as such term is defined in Government Code Section 53317(f), of such
Territory and such landowner who is the owner of record as of the applicable election
date, or the authorized representative thereof, shall have one vote for each acre or portion
of an acre of the parcel of land that landowner owns within such Territory; and
WHEREAS, the time limit specified by the Act for conducting an election to submit
the levy of the special taxes on the Territory to the qualified elector thereof and the
requirements for impartial analysis and ballot arguments have been waived with the
unanimous consent of the qualified elector of the Territory; and
WHEREAS, the City Clerk of the City of Rancho Cucamonga has caused a ballot
to be distributed to the qualified elector of the Territory, has received and canvassed such
ballot and made a report to the City Council regarding the results of such canvass, a copy
of which is attached as Exhibit "A" hereto and incorporated herein by this reference; and
Resolution 2025-XXX Page 1 of 3
ATTACHMENT 3
Page 172
WHEREAS, at this time the measure voted upon and such measure did receive
the favorable vote of the qualified elector of the Territory, and the City Council desires to
declare the results of the election; and
WHEREAS, a map showing the Territory and designated as Annexation Map No.
2025-14 (the "Annexation Map"), a copy of which is attached as Exhibit "B" hereto and
incorporated herein by this reference, has been submitted to this legislative body.
NOW, THEREFORE, IT IS HEREBY RESOLVED by the City Council of the City
of Rancho Cucamonga, California, acting as the legislative body of Community Facilities
District No. 2022-01, as follows:
Section 1. Recitals. The above recitals are true and correct.
Section 2. Findings. This legislative body does hereby further determine as
follows:
A. The unanimous consent as described in the recitals hereto to the
annexation of the Territory to CFD No. 2022-01 has been given by the owner of the
Territory and such consent shall be kept on file in the Office of the City Clerk of the City
of Rancho Cucamonga.
B. Less than twelve (12) registered voters have resided within the Territory for
each of the ninety (90) days preceding the election date established for the each of the
parcels located within the Territory, therefore, pursuant to the Act the qualified elector for
the Territory shall be the "landowner" of the Territory as such term is defined in
Government Code Section 53317(f).
C. The qualified elector of the Territory has voted in favor of the levy of special
taxes on the Territory upon its annexation to CFD No. 2022-01.
Section 3. Territory. The boundaries and parcels of property within the
Territory and on which special taxes will be levied in order to pay for the costs and
expenses of authorized municipal maintenance services are shown on the Annexation
Map as submitted to and hereby approved by this legislative body.
Section 4. Declaration of Annexation. This legislative body does hereby
determine and declare that the Territory, and each parcel therein, is now added to and
becomes a part of CFD No. 2022-01. The City Council, acting as the legislative body of
CFD No. 2022-01, is hereby empowered to levy the authorized special tax within the
Territory.
Section 5. Notice. Immediately upon adoption of this Resolution, notice shall
be given as follows:
Resolution 2025-XXX Page 2 of 3
Page 173
A. A copy of the Annexation Map as approved shall be filed in the Office of the
County Recorder no later than fifteen (15) days after the date of adoption of this
Resolution.
B. An Amendment to the Notice of Special Tax Lien (Notice of Annexation)
shall be recorded in the Office of the County Recorder no later than fifteen (15) days after
the date of adoption of this Resolution.
Section 6. Effective Date. This Resolution shall become effective upon its
adoption.
PASSED, APPROVED, AND ADOPTED this day of 2025.
Resolution 2025-XXX Page 3 of 3
Page 174
EXHIBIT "A"
CERTIFICATE OF ELECTION OFFICIAL
AND STATEMENT OF VOTES CAST
STATE OF CALIFORNIA )
COUNTY OF SAN BERf*IARDINO) ss_
CITY OF RANCHO CUCAMONGA)
The un-dersigned, ELECTION OFFICIAL OF THE CITY OF RANCHO CUCAMONGA, COUNTY
OF SAN BERNARDINO, STATE OF CALIFORN IA, DOES HEREBY CERTIFY that pursuant to
the pravisiens of Section 5a3215 of the Government Code and Division 12. commencing with
Section 17000 of the Elections Code of the State of California, I did canvass the retums of the
votes cast at the
COMMUNITY FACILITIES DISTRICT NQ- 2022-01
(STREET LIGHTING SERVICES)
OF THE CITY OF RANCHO CU CAM ONGA
SPECIAL ELECTION
ANNEXATION NO. 025-14
held on the election date established for each parael located within the territory included in
Annexation No. 202 14.
1 FURTHER CERTIFY that this Statement of dotes Cast shows the whole number of votes cast
in the area proposed to be annexed to Community Facilities district No. 2022-01 (Street Lighting
Services) of the City of Rancho Cucaman9a for or aga inst the Measure are full,true andl correct.
VOTES CAST ON PROPOSITION 1= YES
NO
WITNESS my hand this &day of � , 2025-
�L �ONf•[OFFICIAL
CITY CLERIC
CITY OF RANCHO CUCAMONGA
OF THE STATE OF CALIFORNIA
A - 1
Page175
EXHIBIT "B"
ANNEXATION MAP
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B - 1
Page 176
RESOLUTION NO. 2025-XXX
RESOLUTION OF THE CITY COUNCIL OF THE CITY OF
RANCHO CUCAMONGA, CALIFORNIA, CERTIFYING THE
RESULTS OF AN ELECTION AND ADDING TERRITORY
TO COMMUNITY FACILITIES DISTRICT NO. 2022-01
(STREET LIGHTING SERVICES) OF THE CITY OF
RANCHO CUCAMONGA, ANNEXATION NO. 2025-15.
WHEREAS, the City Council of the City of Rancho Cucamonga, California (the
"City Council") has previously formed Community Facilities District No. 2022-01 (Street
Lighting Services) of the City of Rancho Cucamonga ("CFD No. 2022-01") pursuant to
the Mello-Roos Community Facilities Act of 1982 (the "Act"), as amended, for the purpose
of financing certain municipal maintenance services; and
WHEREAS, acting pursuant to the Act, the City Council also authorized by the
adoption of Resolution No. 2022-063 (the "Resolution Authorizing Future Annexation")
the annexation in the future of territory to CFD No. 2022-01, such territory designated as
Future Annexation Area, Community Facilities District No. 2022-01 (the "Future
Annexation Area"); and
WHEREAS, at this time the unanimous consent to the annexation of certain
territory located within the Future Annexation Area to CFD No. 2022-01 has been
received from the property owner of such territory, and such territory has been designated
as ANNEXATION NO. 2025-15 (the "Territory"); and
WHEREAS, less than twelve (12) registered voters have resided within the
Territory for each of the ninety (90) days preceding the election date established for the
Territory, therefore, pursuant to the Act the qualified elector of the Territory shall be the
"landowner," as such term is defined in Government Code Section 53317(f), of such
Territory and such landowner who is the owner of record as of the applicable election
date, or the authorized representative thereof, shall have one vote for each acre or portion
of an acre of the parcel of land that landowner owns within such Territory; and
WHEREAS, the time limit specified by the Act for conducting an election to submit
the levy of the special taxes on the Territory to the qualified elector thereof and the
requirements for impartial analysis and ballot arguments have been waived with the
unanimous consent of the qualified elector of the Territory; and
WHEREAS, the City Clerk of the City of Rancho Cucamonga has caused a ballot
to be distributed to the qualified elector of the Territory, has received and canvassed such
ballot and made a report to the City Council regarding the results of such canvass, a copy
of which is attached as Exhibit "A" hereto and incorporated herein by this reference; and
Resolution 2025-XXX Page 1 of 3
ATTACHMENT 4
Page 177
WHEREAS, at this time the measure voted upon and such measure did receive
the favorable vote of the qualified elector of the Territory, and the City Council desires to
declare the results of the election; and
WHEREAS, a map showing the Territory and designated as Annexation Map No.
2025-15 (the "Annexation Map"), a copy of which is attached as Exhibit "B" hereto and
incorporated herein by this reference, has been submitted to this legislative body.
NOW, THEREFORE, IT IS HEREBY RESOLVED by the City Council of the City
of Rancho Cucamonga, California, acting as the legislative body of Community Facilities
District No. 2022-01, as follows:
Section 1. Recitals. The above recitals are true and correct.
Section 2. Findings. This legislative body does hereby further determine as
follows:
A. The unanimous consent as described in the recitals hereto to the
annexation of the Territory to CFD No. 2022-01 has been given by the owner of the
Territory and such consent shall be kept on file in the Office of the City Clerk of the City
of Rancho Cucamonga.
B. Less than twelve (12) registered voters have resided within the Territory for
each of the ninety (90) days preceding the election date established for the each of the
parcels located within the Territory, therefore, pursuant to the Act the qualified elector for
the Territory shall be the "landowner" of the Territory as such term is defined in
Government Code Section 53317(f).
C. The qualified elector of the Territory has voted in favor of the levy of special
taxes on the Territory upon its annexation to CFD No. 2022-01.
Section 3. Territory. The boundaries and parcels of property within the
Territory and on which special taxes will be levied in order to pay for the costs and
expenses of authorized municipal maintenance services are shown on the Annexation
Map as submitted to and hereby approved by this legislative body.
Section 4. Declaration of Annexation. This legislative body does hereby
determine and declare that the Territory, and each parcel therein, is now added to and
becomes a part of CFD No. 2022-01. The City Council, acting as the legislative body of
CFD No. 2022-01, is hereby empowered to levy the authorized special tax within the
Territory.
Section 5. Notice. Immediately upon adoption of this Resolution, notice shall
be given as follows:
Resolution 2025-XXX Page 2 of 3
Page 178
A. A copy of the Annexation Map as approved shall be filed in the Office of the
County Recorder no later than fifteen (15) days after the date of adoption of this
Resolution.
B. An Amendment to the Notice of Special Tax Lien (Notice of Annexation)
shall be recorded in the Office of the County Recorder no later than fifteen (15) days after
the date of adoption of this Resolution.
Section 6. Effective Date. This Resolution shall become effective upon its
adoption.
PASSED, APPROVED, AND ADOPTED this day of 2025.
Resolution 2025-XXX Page 3 of 3
Page 179
EXHIBIT "A"
CERTIFICATE OF ELECTION OFFICIAL
AND STATEMENT OF VOTES CAST
STATE OF CALIFORNIA )
COUNTY OF SAN BERNARDINO)ss.
CITY OF RANCHO CUCAMONGA)
The urdersigned, ELECTION OFFICIAL OF THE CITY OF RANCHO CUCAMONGA, COUNTY
OF SAN BERNARDINO. STATE OF CALIFORNIA, DOES HEREBY CERTIFY that pursuant to
the provisions of Section 53326 of the Government Code and Division 12, cornnrenoing with
Section 170013 of the ElectiorLs Code of the State of California, I did canvass the returns of the
votes cast at the
COMMUNITY FACILITIES DISTRICT NO, 202 -01
(STREET LIGHTINGSERVICES)
OF THE CITY OF RANCHO CUCAMONGA
SPECIAL ELECTION
ANNEXATION NG. 025-15
hel-d on the ekection date estaf fished for each parcel located within the territory included in
Annexation No. 2025-15.
1 FURTHER CERTIFY that this Staternent of Votes Cast shows the whole number of votes cast
in the area propel to he annexed to Community Facilities District No. 202 -4�1 (Street Lighting
Services)of the City of Rancho Cucamonga for or against the Measure are fu11, true and correct.
VOTES CAST ON PROPOSITION 1 YES
NO
V{ITNESS my hand this day of ' 025.
L-& BTI. OFFICIAL
CITY dLERK
CITY OF RANCHO CUCAMONGA
OF THE STATE OF CAI-IFORNIA
A - 1
Page 180
EXHIBIT "B"
ANNEXATION MAP
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Page 181
RESOLUTION NO. 2025-XXX
RESOLUTION OF THE CITY COUNCIL OF THE CITY OF
RANCHO CUCAMONGA, CALIFORNIA, CERTIFYING THE
RESULTS OF AN ELECTION AND ADDING TERRITORY
TO COMMUNITY FACILITIES DISTRICT NO. 2022-01
(STREET LIGHTING SERVICES) OF THE CITY OF
RANCHO CUCAMONGA, ANNEXATION NO. 2025-16.
WHEREAS, the City Council of the City of Rancho Cucamonga, California (the
"City Council") has previously formed Community Facilities District No. 2022-01 (Street
Lighting Services) of the City of Rancho Cucamonga ("CFD No. 2022-01") pursuant to
the Mello-Roos Community Facilities Act of 1982 (the "Act"), as amended, for the purpose
of financing certain municipal maintenance services; and
WHEREAS, acting pursuant to the Act, the City Council also authorized by the
adoption of Resolution No. 2022-063 (the "Resolution Authorizing Future Annexation")
the annexation in the future of territory to CFD No. 2022-01, such territory designated as
Future Annexation Area, Community Facilities District No. 2022-01 (the "Future
Annexation Area"); and
WHEREAS, at this time the unanimous consent to the annexation of certain
territory located within the Future Annexation Area to CFD No. 2022-01 has been
received from the property owner of such territory, and such territory has been designated
as ANNEXATION NO. 2025-16 (the "Territory"); and
WHEREAS, less than twelve (12) registered voters have resided within the
Territory for each of the ninety (90) days preceding the election date established for the
Territory, therefore, pursuant to the Act the qualified elector of the Territory shall be the
"landowner," as such term is defined in Government Code Section 53317(f), of such
Territory and such landowner who is the owner of record as of the applicable election
date, or the authorized representative thereof, shall have one vote for each acre or portion
of an acre of the parcel of land that landowner owns within such Territory; and
WHEREAS, the time limit specified by the Act for conducting an election to submit
the levy of the special taxes on the Territory to the qualified elector thereof and the
requirements for impartial analysis and ballot arguments have been waived with the
unanimous consent of the qualified elector of the Territory; and
WHEREAS, the City Clerk of the City of Rancho Cucamonga has caused a ballot
to be distributed to the qualified elector of the Territory, has received and canvassed such
ballot and made a report to the City Council regarding the results of such canvass, a copy
of which is attached as Exhibit "A" hereto and incorporated herein by this reference; and
Resolution 2025-XXX Page 1 of 3
ATTACHMENT 5
Page 182
WHEREAS, at this time the measure voted upon and such measure did receive
the favorable vote of the qualified elector of the Territory, and the City Council desires to
declare the results of the election; and
WHEREAS, a map showing the Territory and designated as Annexation Map No.
2025-16 (the "Annexation Map"), a copy of which is attached as Exhibit "B" hereto and
incorporated herein by this reference, has been submitted to this legislative body.
NOW, THEREFORE, IT IS HEREBY RESOLVED by the City Council of the City
of Rancho Cucamonga, California, acting as the legislative body of Community Facilities
District No. 2022-01, as follows:
Section 1. Recitals. The above recitals are true and correct.
Section 2. Findings. This legislative body does hereby further determine as
follows:
A. The unanimous consent as described in the recitals hereto to the
annexation of the Territory to CFD No. 2022-01 has been given by the owner of the
Territory and such consent shall be kept on file in the Office of the City Clerk of the City
of Rancho Cucamonga.
B. Less than twelve (12) registered voters have resided within the Territory for
each of the ninety (90) days preceding the election date established for the each of the
parcels located within the Territory, therefore, pursuant to the Act the qualified elector for
the Territory shall be the "landowner" of the Territory as such term is defined in
Government Code Section 53317(f).
C. The qualified elector of the Territory has voted in favor of the levy of special
taxes on the Territory upon its annexation to CFD No. 2022-01.
Section 3. Territory. The boundaries and parcels of property within the
Territory and on which special taxes will be levied in order to pay for the costs and
expenses of authorized municipal maintenance services are shown on the Annexation
Map as submitted to and hereby approved by this legislative body.
Section 4. Declaration of Annexation. This legislative body does hereby
determine and declare that the Territory, and each parcel therein, is now added to and
becomes a part of CFD No. 2022-01. The City Council, acting as the legislative body of
CFD No. 2022-01, is hereby empowered to levy the authorized special tax within the
Territory.
Section 5. Notice. Immediately upon adoption of this Resolution, notice shall
be given as follows:
Resolution 2025-XXX Page 2 of 3
Page 183
A. A copy of the Annexation Map as approved shall be filed in the Office of the
County Recorder no later than fifteen (15) days after the date of adoption of this
Resolution.
B. An Amendment to the Notice of Special Tax Lien (Notice of Annexation)
shall be recorded in the Office of the County Recorder no later than fifteen (15) days after
the date of adoption of this Resolution.
Section 6. Effective Date. This Resolution shall become effective upon its
adoption.
PASSED, APPROVED, AND ADOPTED this day of 2025.
Resolution 2025-XXX Page 3 of 3
Page 184
EXHIBIT "A"
CERTIFICATE OF ELECTION OFFICIAL
AND STATEMENT OF VOTES CAST
STATE OF CALIFORNIA )
CDUNTY OF ,SAN BERNARDINO) ss_
CITY OF RANCHO CUCAMONGA)
The undersigned, ELECTION OFFICIAL OF THE CITY OF RANCHO CUCAMONGA, COUNTY
OF SAN BE RNA RDINO. STATE OF CAL[FOR NIA, DOES HEREBY CERTIFY that pursuant to
the provisions of Section 53326 of the Oovemment Code and Division 12, commending with
Section 17000 of the Elections Code of the Stye of California. I did canvass the returns of the
rotes cast at the
COMMUNITY FACILITIES DISTRICT NO. 2022-01
(STREET LIGHTING SERVICES)
OF THE CITY OF RANCHO CUCAMONGA
SPECIAL ELECTION
ANNEXATION NO. 2025-16
held on the election date established for each parcel located within the territory ini�Iuded in
Annexation No. 2025-16.
1 FURTHER CERTIFY that this Statement of Motes Cast shows the whole number cf votes cast
in the area proposed to be annexed to Community Facilities District No. 2022-01 (Street Lighting
Service) of the City of Rancho Cucamonga for or aga inst the Measure are fu11,true and Correct.
VOTES CAST ON PROPOSITION 1. YES I
NO
WITNESS my hand this 161 day of � , 2025_
EL l OFFICIAL
ITY ERK
CITY OF RANCHO CUCAMONGA
OF THE STATE OF CALIFORNIA
A - 1
Page185
EXHIBIT "B"
ANNEXATION MAP
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Page 186
RESOLUTION NO. 2025-XXX
RESOLUTION OF THE CITY COUNCIL OF THE CITY OF
RANCHO CUCAMONGA, CALIFORNIA, CERTIFYING THE
RESULTS OF AN ELECTION AND ADDING TERRITORY
TO COMMUNITY FACILITIES DISTRICT NO. 2022-01
(STREET LIGHTING SERVICES) OF THE CITY OF
RANCHO CUCAMONGA, ANNEXATION NO. 2025-17.
WHEREAS, the City Council of the City of Rancho Cucamonga, California (the
"City Council") has previously formed Community Facilities District No. 2022-01 (Street
Lighting Services) of the City of Rancho Cucamonga ("CFD No. 2022-01") pursuant to
the Mello-Roos Community Facilities Act of 1982 (the "Act"), as amended, for the purpose
of financing certain municipal maintenance services; and
WHEREAS, acting pursuant to the Act, the City Council also authorized by the
adoption of Resolution No. 2022-063 (the "Resolution Authorizing Future Annexation")
the annexation in the future of territory to CFD No. 2022-01, such territory designated as
Future Annexation Area, Community Facilities District No. 2022-01 (the "Future
Annexation Area"); and
WHEREAS, at this time the unanimous consent to the annexation of certain
territory located within the Future Annexation Area to CFD No. 2022-01 has been
received from the property owner of such territory, and such territory has been designated
as ANNEXATION NO. 2025-17 (the "Territory"); and
WHEREAS, less than twelve (12) registered voters have resided within the
Territory for each of the ninety (90) days preceding the election date established for the
Territory, therefore, pursuant to the Act the qualified elector of the Territory shall be the
"landowner," as such term is defined in Government Code Section 53317(f), of such
Territory and such landowner who is the owner of record as of the applicable election
date, or the authorized representative thereof, shall have one vote for each acre or portion
of an acre of the parcel of land that landowner owns within such Territory; and
WHEREAS, the time limit specified by the Act for conducting an election to submit
the levy of the special taxes on the Territory to the qualified elector thereof and the
requirements for impartial analysis and ballot arguments have been waived with the
unanimous consent of the qualified elector of the Territory; and
WHEREAS, the City Clerk of the City of Rancho Cucamonga has caused a ballot
to be distributed to the qualified elector of the Territory, has received and canvassed such
ballot and made a report to the City Council regarding the results of such canvass, a copy
of which is attached as Exhibit "A" hereto and incorporated herein by this reference; and
Resolution 2025-XXX Page 1 of 3
ATTACHMENT 6
Page 187
WHEREAS, at this time the measure voted upon and such measure did receive
the favorable vote of the qualified elector of the Territory, and the City Council desires to
declare the results of the election; and
WHEREAS, a map showing the Territory and designated as Annexation Map No.
2025-17 (the "Annexation Map"), a copy of which is attached as Exhibit "B" hereto and
incorporated herein by this reference, has been submitted to this legislative body.
NOW, THEREFORE, IT IS HEREBY RESOLVED by the City Council of the City
of Rancho Cucamonga, California, acting as the legislative body of Community Facilities
District No. 2022-01, as follows:
Section 1. Recitals. The above recitals are true and correct.
Section 2. Findings. This legislative body does hereby further determine as
follows:
A. The unanimous consent as described in the recitals hereto to the
annexation of the Territory to CFD No. 2022-01 has been given by the owner of the
Territory and such consent shall be kept on file in the Office of the City Clerk of the City
of Rancho Cucamonga.
B. Less than twelve (12) registered voters have resided within the Territory for
each of the ninety (90) days preceding the election date established for the each of the
parcels located within the Territory, therefore, pursuant to the Act the qualified elector for
the Territory shall be the "landowner" of the Territory as such term is defined in
Government Code Section 53317(f).
C. The qualified elector of the Territory has voted in favor of the levy of special
taxes on the Territory upon its annexation to CFD No. 2022-01.
Section 3. Territory. The boundaries and parcels of property within the
Territory and on which special taxes will be levied in order to pay for the costs and
expenses of authorized municipal maintenance services are shown on the Annexation
Map as submitted to and hereby approved by this legislative body.
Section 4. Declaration of Annexation. This legislative body does hereby
determine and declare that the Territory, and each parcel therein, is now added to and
becomes a part of CFD No. 2022-01. The City Council, acting as the legislative body of
CFD No. 2022-01, is hereby empowered to levy the authorized special tax within the
Territory.
Section 5. Notice. Immediately upon adoption of this Resolution, notice shall
be given as follows:
Resolution 2025-XXX Page 2 of 3
Page 188
A. A copy of the Annexation Map as approved shall be filed in the Office of the
County Recorder no later than fifteen (15) days after the date of adoption of this
Resolution.
B. An Amendment to the Notice of Special Tax Lien (Notice of Annexation)
shall be recorded in the Office of the County Recorder no later than fifteen (15) days after
the date of adoption of this Resolution.
Section 6. Effective Date. This Resolution shall become effective upon its
adoption.
PASSED, APPROVED, AND ADOPTED this day of 2025.
Resolution 2025-XXX Page 3 of 3
Page 189
EXHIBIT "A"
CERTIFICATE OF ELECTION OFFICIAL
AND STATEMENT OF VOTES CAST
STATE OF CALIFORNIA )
COUNTY OF SAN BERNARDINO) ss.
CITY OF RANCHO CUCAMONGA)
The undersigned, ELECTION OFFICIAL OF THE CITY OF RANCHO CUCAMONGA. COUNTY
OF SAN BERNARDINO, STATE OF CALIFORNIA, DOES HEREBY CERTIFY that pursuant to
the provisions of Section 53326 of the Government Code and DIvislon 12, commencing with
eetion 17000 of the Elections Code of the State of California, I did can-vass the returns of the
votes cast at the
COMMUNITY FACILITIES DISTRICT NO. 022-01
(STREET LI(3HTING SERVICES)
OF THE CITY OF RANCHO CUCAMONGA
SPECIAL ELECTION
ANNEXATION NO, 2025-17
held on the election date established for each paTrel looted withlin the tefritory included in
Annexation. No. 2D25-17.
FURTHER CERTIFY that this 5taternent of Votes Cast shows the whole nurnber of votes cast
in the area proposed to he annexed to Community Facilities District No.2022-01 (Street Lighting
Services) of the City of Rancho Cucamonga for or aga inst the Measure are full,true and carrect.
VOTES CAST ON PROPOSITION 1= YES
NO
WITNESS my hand this day of_ . 2026.
�__E OFFICIAL
I CLERK
CITY OF RANCHO CUCAMONGA
OF THE STATE OF CALIFORNIA
A - 1
Page 190
EXHIBIT "B"
ANNEXATION MAP
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Page 191
CITY OF RANCHO CUCAMONGA
DATE: November 19, 2025
TO: Mayor and Members of the City Council
FROM: John R. Gillison, City Manager
INITIATED BY: Jennifer Nakamura, CNU-A, Planning Director
Sophia Serafin, AICP, Assistant Planner
SUBJECT: Preliminary Review Hearing to Consider Proposed a General Plan
Amendment and Zoning Map Amendment to Redesignate a 6.7 Acre
Parcel from a General Plan Land Use Designation of General Open
Space and Facilities to Suburban Neighborhood—Very Low and Rezone
the Parcel from Parks (P) to Very Low (VL) Residential for a Property at
the Southwest Corner of East Avenue and 23rd Street at 13149 23rd
Street for the Purpose of Development of a Worship Center. (CITY)
RECOMMENDATION:
Staff recommends that the City Council consider the following:
1. That the City Council consider the policy implications of a proposed General Plan Map
Amendment and Zoning Map Amendment for the purpose of redesignating an Open
Space and Facilities General Plan land use designation to Suburban Neighborhood—Very
Low and rezoning a Parks (P) zone to Very Low (VL) Residential for a parcel located at
the southwest corner of East Avenue and 23rd Street at 13149 23rd Street.
2. That the City Council provide comments so that the applicant can consider whether to
proceed with the applications, recognizing that the Council's direction is not an approval,
a guarantee of future approval, nor a guarantee of future recommendation of approval
from staff.
BACKGROUND:
Policy
In August 2021, the City Council adopted a policy on providing early Council feedback on
applicant-initiated General Plan amendments, Specific Plans, Master Plans, and Development
Code amendments, which are considered legislative actions that vest considerable discretion in
the City Council. This early feedback from Council is to be provided via an administrative hearing.
The Policy is attached to this staff report for reference as Attachment 1.
In summary, the intent of this policy is that after receiving early Council feedback, the applicant
can decide whether to pursue the legislative amendments, and any other entitlements necessary
for their project prior to investing significant costs and resources into a project, with the Council's
preliminary policy considerations in mind.
Page192
Intent
The purpose of a General Plan Map Amendment is to change the General Plan land use
designation for any parcel(s), provided it can be found that the amendment is in the public interest
and that the General Plan, as amended, will remain internally consistent. For General Plan
Amendments requested by a private property owner, the applicant will have to demonstrate that
there is substantial public benefit to be derived from such amendment and how the proposed
amendment furthers the goals of the General Plan.
The purpose of a Zoning Map Amendment is to rezone or change the zoning designation on the
zoning map for any parcel(s), provided it can be found that the Zoning Map Amendment is
consistent with the General Plan goals, policies, and implementation programs.
Site Context and Proposal
The subject site is a 6.7-acre vacant parcel located at the southwest corner of East Avenue and
23rd Street. 23rd Street is currently unimproved along the site, and access is blocked to the
property as there is not an entry point from East Avenue. The following are the existing land uses,
zoning designations, and General Plan land use designations of the subject site and surrounding
properties:
Land Use General Plan Zoning
Site Vacant General Open Space and Facilities Parks (P)
North Vacant Suburban Neighborhood Very Low Very Low (VL)
Residential
Elementary School /
South School District General Open Space and Facilities Parks (P)
Facilities
East Park General Open Space and Facilities Parks (P)
West Single-Family Suburban Neighborhood Very Low Very Low (VL)
Residence Residential
ILr:
f - N\
Figure 1 — Site Aerial
Page 2
Page193
Based on historic records, the site has shifted between residential, facility, and open space
General Plan land use classifications. The following is a breakdown of the previous General Plan
designations for the subject site:
General Plan Period General Plan Designation Zone
1981-2009 Residential Very Low Residential
2010-2021 Public Facility Schools
2022-Present Open Space General Open Space and Facilities
While historical documentation does not exist to account for the General Plan land use
designation change that occurred with the 2010 General Plan to switch the site from `Very Low'
to `Schools', staff surmise that the development of the Etiwanda Colony Elementary School and
Etiwanda School District facilities taking place south of the subject site and the potential for future
expansion may have led to this change in designation. However, the subject property was never
under the ownership of the Etiwanda School District. The `Schools' General Plan land use
designation was folded into the `General Open Space and Facilities' designation with the adoption
of the current General Plan. At the time, there was no research into the ownership of the property
or consideration for any change from the current designation. Since the property has been on the
market, the Etiwanda School District has not purchased the site.
The property owner of the subject site has received interest from private parties looking to develop
the site for residential or assembly purposes. One of the interested parties, who is currently in the
process of attempting to acquire the parcel, is the applicant who requested this early action
hearing, Verve Church. They intend to receive feedback on potential map amendment requests
to both the General Plan land use designation and the zoning designation for the purpose of
developing a multi-phase worship center on the site that would consist of a worship center, student
center, classrooms facility, and various other onsite improvements.
Under the current General Plan land use designation of General Open Space and Facilities and
associated zoning designation, the site is intended for usage as recreational, educational, public
utility, and flood control uses and systems that are typically owned by the City or other public
agencies. Privately owned land under this designation is permitted to have a maximum residential
density of one unit per ten acres. The current interest that the property owner has received from
parties looking to do residential or assembly uses on the site could not permitted under current
standards and designations.
Figure 2 — Potential Site Plan
ANALYSIS:
Some of the policy considerations that the Council may contemplate as part of their initial
feedback on the subject property may include neighborhood impacts, impact development, and
whether the use is appropriate for the site. Below is a summary of the proposed legislative
changes with an analysis by staff.
Page 3
Page194
Summary and Analysis of Proposed Legislative Changes
A General Plan Map Amendment to designate the site from a General Plan land use designation
of Open Space and Facilities to Suburban Neighborhood - Very Low and a Zoning Map
Amendment to convert the zoning from Parks (P) to Very Low (VL) Residential for the purpose of
potential development of a use permitted in that zone.
The pros of this action would include:
1. Potential for Housing — The proposed General Plan land use designation of Suburban
Neighborhood — Very Low and zoning designation of Very Low (VL) Residential are
intended for the development of low density, single-family detached housing with
allowance for limited neighborhood serving civic uses. As such, the opportunity to develop
more housing units could be created should the future owner of the property choose to
pursue such an action. The proposed change to this General Plan Designation and Zone
could result in approximately 13 units to be developed. Redesignating the property to go
from an open space and facilities classification to a residential classification will support
General Plan Goal and Policy H-1.1, which encourages development of housing options
such that the City can achieve its share of the RHNA.
2. Compatible to Existing Designations—The current block that the site is situated on, bound
by East Avenue to the east, Wilson Avenue to the north, Etiwanda Avenue to the west,
and Banyan Street to the south, currently consists of parcels that have a General Plan
land use designation of either Suburban Neighborhood — Very Low or General Open
Space and Facilities. The zoning designations are similarly either Very Low (VL)
Residential or Parks (P). The are two parcels at the northeast corner of the block that do
contain a different General Plan land use designation of Neighborhood Center and are
zoned as Neighborhood General 3 — Limited (NG3-L), but these parcels are the minority
within the block. While the subject parcel currently aligns with the General Open Space
and Facilities General Plan land use and Parks zoning designations already present within
the block, converting the site to a Suburban Neighborhood —Very Low General Plan land
use and Very Low Residential zoning designations would still be in keeping with the
existing designations in the immediate area and overall block. Per General Plan Goal LC-
1.11, flexibility in density and intensity to address site specific conditions shall be permitted
in addition to ensuring that new development will be compatible within the adjacent
context. Providing flexibility in the designations will allow for this site to go from a permitted
density of one dwelling unit per ten acres under General Open Space and Facilities to six
units per acre under the Suburban Neighborhood — Very Low General Plan land use
designation. This increase is density and intensity for the site would be compatible within
the adjacent context as properties to the north and east are permitted the same density
and intensity.
Page 4
Page 195
Wilson Avenue
Neighborhood Center/
Neighborhood General 3
- Limited
General Open Space and
Facilities/ Parks
Suburban Neighborhood—
Very Low/Very Low
Residential
a)
c �
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Q _ a�
Subject Site
c
ca ,
W
Suburban Neighborhood— General Open Space and
Very Low/Very Low Facilities/Parks
Residential
Banyan Street
Figure 3 — General Plan and Zoning Designations
3. Encouraging Infill Development — The subject site has been vacant and undeveloped
since prior to City incorporation. When the General Plan land use designation for the site
changed the property to be for facilities and then open space, the development
opportunities became more limited than they were when the property was designated for
residential. As such, it is unlikely that the property will be developed under the current
General Plan land use and zoning designations as the designations are conducive to
public agencies and this property has not been acquired by either the City or the Etiwanda
School District in the previous 15 years. General Plan Goal LC-1.9 states that infill
development of vacant and underutilized properties shall be enabled and encouraged
through flexible design standards. Redesignating the General Plan land use of the subject
property to Suburban Neighborhood — Very Low and the zoning to Very Low Residential
will afford the property more development options for a site that has been historically
underutilized.
The proposed General Plan and Zoning Map Amendment actions would likely not create adverse
effects outside of the perceived loss of land that could otherwise remain designated for open
space purposes. The likelihood of an open space use being realized on this privately owned site
is limited. There is an existing public park across East Avenue which provides public open space
in the area. The current General Plan land use designation of General Open Space and Facilities
resulted from the consolidation of previous open space and facility categories into one designation
during the 2020 General Plan update. If the current designation were to remain, any use of the
Page 5
Page196
property would likely result in a private open space or recreation use that would not be accessible
by the general public.
In conclusion, after the administrative hearing, the applicant can determine if they would like to
proceed through the standard development review process. If the City Council's input is not
positive, staff shall use this feedback to work with the applicant and make recommendations to
address input provided or work on a redesigned or different project. In such case, the applicant
shall be welcome to an additional review with the City Council to determine if the revised or
alternative proposal may be a better solution.
FISCAL IMPACT:
There is no fiscal impact at this time as the subject recommendation only involves policy
discussions related to the General Plan and Zoning Map Amendments.
COUNCIL MISSION /VISION /VALUE(S) ADDRESSED:
Considering the potential application prior to the applicant formally submitting an application as
part of the early action policy achieves the Council value of working together cooperatively and
respectfully with each other, staff, and all stakeholders. As the applicant is still early in the
development process, this discussion with the City Council represents a good faith effort to vet
potential major project concerns and questions prior to the developers investing significant costs
and resources into formally proposing development at these sites.
ATTACHMENTS:
Attachment 1 — Council Policy on Legislative Planning Applications
Attachment 2 — Request Letter
Attachment 3 — Preliminary Plans
Page 6
Page 197
CITY OF RANCHO CUCAMONGA
DATE: August 18, 2021
TO: Mayor and Members of the City Council
FROM: John R. Gillison, City Manager
INITIATED BY: Matt Burris, Deputy City Manager of Community Development
SUBJECT: City Policy Pertaining to Early Feedback on General Plan Amendments,
Planned Community, Master Plan and Specific Plan Amendments, and
Development Code Amendments. (CITY)
RECOMMENDATION:
Staff recommends that the City Council receive, file and adopt the attached policy on providing
early Council feedback on General Plan amendments, Specific Plan, Planned Community or
Master Plan Amendments, or Development Code Amendments.
BACKGROUND:
The General Plan and Development Code are the primary documents that regulate the physical
development of the city. Additionally, in many areas of the city, Specific Plans, Planned
Communities, and master plans serve to regulate land use in place of the Development Code or
as a bridge between the General Plan and the Development Code. These documents regulate
land uses, infrastructure, and the mitigation of impacts. Under the Development Code, only the
City Council, Planning Commission, Planning Director, or a property owner may initiate
applications for these legislative amendments. In many cases, property owners (or their agents)
who apply for projects that may require multiple entitlements spend several years and thousands
of dollars designing a proposed project before ever knowing whether the City Council has any
interest in considering the necessary legislative change for the project.
ANALYSIS:
While the City typically receives limited applications for legislative changes such as General Plan
amendments, there are currently several such applications undergoing review by the Planning
Department. These types of legislative approvals can only be granted by the City Council and
have separate and distinct policy implications apart from the merits of a project. In order, however,
for an application to be considered by the City Council (under present policy and process), that
application must first undergo review and analysis by City staff, potential consideration by the
Design Review Committee, environmental analysis under CEQA, and consideration by the
Planning Commission. This process can easily take up to 18+ months and require an applicant
to spend thousands of dollars for design and studies, all before they have any understanding
whether the City Council has an interest in approving such a legislative change, which may be
necessary before any other entitlements needed for a project may be approved. In practice, staff
is finding that this approach causes a greater degree of uncertainty for the applicant and further
complicates the development review process for city staff, particularly in situations with competing
interests.
ATTACHMENT 1
Page 198
There is another alternative; some cities allow for an applicant to seek preliminary feedback from
the city council in connection with the merits of a General Plan amendment or other legislative
changes. After the Council provides its feedback on the proposed legislative amendment, the
applicant can decide whether to pursue the legislative amendment, and the other entitlements for
the applicant's proposed project,with the Council's preliminary policy considerations in mind. This
opportunity provides the applicant with more information about whether the proposed project is
likely to be successful after the application has been processed by staff. Rancho Cucamonga's
past practice, dating back to the 1980's, was to request initial authorization by the City Council
prior to beginning any amendments to the development code or any Specific Plan, Planned
Community or Master Plan that included more than one parcel or project (i.e., Town Square
Master Plan). The City abandoned this policy in 2012 intending to streamline the development
review process. While it may streamline the process, the new practice also causes a greater
degree of uncertainty and further complicates development review, in some cases actually
complicating the process.
Under the new process, a detailed description of the applicant's project shall not be required.
Staff will work with the City Attorney to analyze the provided information, provide a list of pros
and cons, and a staff recommendation to the City Council on only the legislative change for their
consideration. The staff report shall include specific language indicating the pre-application
review is not an approval nor a guarantee of approval, that staff and the Planning Commission
may recommend against, and the City Council may ultimately vote against or not support the
project at the project hearings once additional details and analysis become available in the
future.
While the City Council would not vote on the project at the time of this administrative hearing,
each Councilmember may provide comments addressing positive or negative aspects of the
amendment, potential issues that should be evaluated by staff, and suggested changes that
could make the amendment more acceptable, if any. The City Council's comments should focus
on the policy implications of the General Plan amendment rather than the project itself. The
City Council will not vote on any aspect of the amendment or project, as the intent of the
preliminary review process is informational only.
Staff will take the feedback provided by the City Council into consideration to help inform further
staff analysis, possible conditions or modifications to the project, the recommendation to the
Planning Commission, and ultimately the recommendation to the City Council. Staff shall provide
a letter to the applicant following the administrative hearing memorializing the input and results
of the hearing. The Applicant may then take that information into account in deciding whether to
move forward in the process. After the administrative hearing, the application will move through
the standard development review process for review by the Design Review Committee, the
Planning Commission, and the City Council per our current process.
This policy shall only apply to private property owners and shall not apply to any City initiated
legislative changes. Staff reports on legislative changes shall be prepared and presented only
by the Planning Director, the Deputy City Manager of Community and Economic Development,
the City Attorney, and the City Manager. The staff report may discuss the proposed project in
general terms, but the staff recommendation will only address the General Plan amendment.
It is important to note that an initial City Council direction on a legislative change is not an approval
and does not guarantee an approval. It would not involve any consideration of a particular project.
Put more simply, it would only give the Council an opportunity to consider the policy implications
Page 2
Page 331
Page 199
of changing the General Plan, Specific Plan, Master Plan, Community Plan, or Development
Code, as the case may be. Some of the policy considerations that the Council might consider as
part of this initial feedback may include neighborhood impacts, economic development, and
whether the use is appropriate for the site. This change creates an opportunity to provide staff
and applicants with such feedback before thousands of hours, dollars, and years are spent
processing an application. As such, staff recommends re-establishing the City's prior policy to
bring requests for all General Plan amendments, Specific Plan amendments, and Development
Code changes requested by owners of real property or their authorized representatives to the
City Council for an initial round of feedback. An applicant would still be required to conduct the
same CEQA analysis and go through the same development and environmental review if it
decides to pursue its applications further. This policy will not apply to any current applications
that have been deemed complete.
FISCAL IMPACT:
No fiscal impact.
COUNCIL MISSION /VISION / GOAL(S) ADDRESSED:
This policy helps realize the City Council's vision for creating a world class community and the
City Council value of"Equitable prosperity for all" by helping to identify and remove barriers within
the City's Development Review process.
ATTACHMENTS:
Attachment 1 - Legislative Changes Review Policy
Page 3
Page 332
Page 200
CITY OF RANCHO CUCAMONGA
DATE: August 18, 2021
TO: Anne McIntosh, Planning Director
FROM: Matthew Burris, Deputy City Manager of Community Development
SUBJECT: Legislative Changes and Amendments Policy
PURPOSE: To re-establish a policy for initiating General Plan amendments, Specific Plan
amendments, and Development Code amendments requested by builders and developers.
BACKGROUND: The General Plan and Development Code are the primary documents that
regulate the physical development of the city. Additionally, in many areas of the city, Specific
Plans serve to regulate land use in place of the Development Code. These documents
regulate land uses, infrastructure, and the mitigation of impacts. The City's past practice,
dating back to the 1980s, was to request authorization by the City Council to initiate any
amendments to the development code or any Specific Plan, Planned Community, or Master
Plan that includes more than one parcel or project (i.e., Town Square Master Plan). This
policy allowed for discussion of the pros and cons of such requests and consideration for
larger policy implications. The City abandoned this practice in 2012 with the intent of
streamlining the development review process. However, currently, staff is finding that this
approach causes a greater degree of uncertainty and further complicates development
review. It results in applicants spending many years and thousands of dollars designing a
proposed project before ever knowing whether the City Council may even desire considering
such legislative changes.
POLICY: An application for a legislative change, such as a General Plan amendment, that is
initiated by a private property owner shall be recommended for an administrative hearing
before the City Council as the first step in the Development Review process. The Planning
Director shall schedule a preliminary review hearing before the City Council once the
applicant has provided enough information about the proposed amendment and related
project to permit the Planning Director to prepare a staff report for the hearing. This
information shall include, but is not limited to, a statement explaining the applicant's reason
for requesting the General Plan amendment, the proposed change in land use designations
on the parcel(s), the project's proposed uses and density, and any other project parameters
associated with the amendment that are deemed necessary by the Planning Director. A
detailed description of the applicant's project shall not be required. Staff will work with the
City Attorney to analyze the provided information, provide a list of pros and cons, and a staff
recommendation to the City Council on only the legislative change for their consideration.
The staff report shall include specific language indicating the pre-application review is not an
approval nor a guarantee of approval, that staff and the Planning Commission may
recommend against, and the City Council may ultimately vote against or not support the
project at the project hearings once additional details and analysis become available in the
ATT%HeI I§yT 1
Page 201
future.
While the City Council would not vote on the project at the time of this administrative hearing,
each Councilmember may provide comments addressing positive or negative aspects of the
amendment, potential issues that should be evaluated by staff, and suggested changes that
could make the amendment more acceptable, if any. The City Council's comments should
focus on the policy implications of the General Plan amendment rather than the project
itself. The City Council will not vote on any aspect of the amendment or project, as the
intent of the preliminary review process is informational only.
Staff will take the feedback provided by the City Council into consideration to help inform
further staff analysis, possible conditions or modifications to the project, the recommendation
to the Planning Commission, and ultimately the recommendation to the City Council. Staff
shall provide a letter to the applicant following the administrative hearing memorializing the
input and results of the hearing. The Applicant may then take that information into account in
deciding whether to move forward in the process.
If an applicant does not want to go to City Council for the preliminary review and insists on a
full hearing on the project merits, they shall sign an At Risk Waiver acknowledging they had
the opportunity to go to the City Council on the legislative change but chose to decline. That
document will become part of the entitlement package and administrative record.
After the administrative hearing, alternatively, after signing an At Risk Waiver, the application
will move through the standard development review process for review by the Design Review
Committee, the Planning Commission, and the City Council per our current process. If the
City Council's input is not positive, staff shall use the City Council's feedback to problem
solve with the applicant and work on a redesigned or different project. In such case, the
Applicant shall be welcome to an additional review with the City Council to determine if a
revised or alternative proposal might be a better solution.
This policy shall only apply to private property owners and shall not apply to any City initiated
legislative changes.
Staff reports on legislative changes shall be prepared and presented only by the Planning
Director, the Deputy City Manager of Community and Economic Development, the City
Attorney, and the City Manager. The staff report may discuss the proposed project in
general terms, but the staff recommendation will only address the General Plan amendment.
The City shall not charge a fee for the administrative hearing and will expedite scheduling a
hearing date. The Planning Department shall provide the applicant at least ten (10) days
written notice of the hearing date and time.
Page 2
Page 334
Page 202
J�3
CITY OF RANCHO CUCAMONGA
DATE: August 18, 2021
TO: Anne McIntosh, Planning Director
FROM: Matthew Burris, Deputy City Manager of Community Development
SUBJECT: Legislative Changes and Amendments Policy
PURPOSE: To re-establish the policy for initiating General Plan amendment, Specific Plan
amendments, and Development Code amendments requested by builders and developers.
BACKGROUND: The General Plan and Development Code are the primary documents that
regulate the physical development of the city. Additionally, in many areas of the City, Specific
Plans serve to regulate land use in place of the Development Code. These documents
regulate land uses, infrastructure, and the mitigation of impacts. The city's past practice,
dating back to the 1980's, was to request authorization by the City Council to initiate any
amendments to the development code or any Specific Plan, Planned Community or Master
Plan that includes more than one parcel or project (i.e. Town Square Master Plan). This
allowed a discussion of the pros and cons of such requests and larger policy implications that
should be considered. This practice was abandoned in 2012 with the intention of
streamlining the development review process. However, in practice, we are finding that this
approach causes a greater degree of uncertainty and further complicates development
review. It results in applicants spending many years and thousands of dollars designing a
proposed project before ever knowing whether the City Council may even have an appetite
for considering such legislative changes.
POLICY: An application for a legislative change, such as a General Plan amendment, that is
initiated by a private property owner shall be recommended for an administrative hearing
before the City Council as the first step in the Development Review process. The Planning
Director shall schedule a preliminary review hearing before the City Council once the
applicant has provided enough information about the proposed amendment and related
project to permit the Planning Director to prepare a staff report for the hearing. This
information shall include, but is not limited to, a statement explaining the applicant's reason
for requesting the General Plan amendment, the proposed change in land use designations
on the parcel(s), the project's proposed uses and density, and any other project parameters
associated with the amendment that are deemed necessary by the Planning Director. A
detailed description of the applicant's project shall not be required. Staff will work with the
City Attorney to analyze the provided information, provide list of pros and cons, and a staff
recommendation to the City Council on only the legislative change for their
consideration. The staff report shall include specific language indicating this this pre-
application review is not an approval, not a guarantee of approval, and that staff and the
Planning Commission may recommend against and the City Council may ultimately vote
against or not support the project at the project hearings once additional details and analysis
Page 335
Page 203
become available in the future.
While the City Council would not vote on the project at the time of this administrative hearing,
each Councilmember may provide comments addressing positive or negative aspects of the
amendment, potential issues that should be evaluated by staff, and suggested changes that
could make the amendment more acceptable, if any. The City Council's comments should
focus on the policy implications of the General Plan amendment, rather than the project
itself. The City Council will not vote on any aspect of the amendment or project, as the
preliminary review process is intended to be informational only.
Staff will take the feedback provided by the City Council into consideration to help inform
further staff analysis, possible conditions or modifications to the project, the recommendation
to the Planning Commission, and ultimately the recommendation to the City Council. Staff
shall provide a letter to the applicant following the administrative hearing memorializing the
input and results of the hearing. The Applicant may then take that information into account in
deciding whether to move forward in the process.
After the administrative hearing, the application will move through the standard development
review process for review by the Design Review Committee, the Planning Commission, and
the City Council per our current process. If the City Council's input is not positive, staff shall
use the City Council's feedback to problem solve with the applicant and work or a redesigned
or different project. In such case, the Applicant shall be welcome to an additional review with
the City Council to determine if a revised or different proposal might be a better solution.
This policy shall only apply to private property owners and shall not apply to any City initiated
legislative changes. This policy is not meant to apply to Development Agreements.
Staff reports on legislative changes shall be prepared and presented only by the Planning
Director, the Deputy City Manager of Community and Economic Development, the City
Attorney, and the City Manager. The staff report may discuss the proposed project in
general terms, but the staff recommendation will only address the General Plan amendment.
The City shall not charge a fee for the administrative hearing and will expedite scheduling a
hearing date. The Planning Department shall provide the applicant at least 10 days' written
notice of the hearing date and time.
Page 2
Page 336
Page 204
Itq4 PlainJoe
ARCHITECTURE
A 57ORYLAND STUDIO
To:City of Rancho Cucamonga,
From: Matthew Molsberry of PlainJoe Studios Architecture
matt@plainloe.net,714-470-6139
On Behalf of: Manuel Pilonieta of Alta Loma Financial Corporation
mpilonieta@hotmail.com,951-288-3975
RE:Zone Map Amendment for 13149 23rd St,Etiwanda-(APN 022512242-000)
The parcel at 13149 23rd St,Etiwanda(APN 022512242-000)sits within an area of Rancho Cucamonga experiencing significant
growth and expansion.As the City continues to develop new neighborhoods,parks,and public amenities nearby,the timing is
right for a project that complements this momentum.Verve Community seeks to transform this property into a place of
worship,family life,and community connection that serves the city's newest residents as well as its long-standing neighbors.
Several years ago,this privately owned property was changed in the City's General Plan—from"Suburban Neighborhood—Very
Low Residential"to"Open Space and Facility."That change shifted the zoning designation from"Very Low Residential"to
"Park,"which effectively prevented development.This adjustment was made by the City and not the property owner.Restoring
the zoning to its original designation is both fair to the current owner and essential to enabling the project to move forward.
Our Vision for the Site:
•A Sanctuary for Worship and Gathering:Phase one will include a 400-seat worship building and a dedicated children's
ministry facility.Over time,the project envisions an expanded 800-seat worship center to meet the growing needs of the
congregation and the community.
•Children's Ministry Building:The dedicated children's facility will provide secure,welcoming classrooms and activity areas for
children of all ages.This investment reflects Verve Community's commitment to supporting families and serving the next
generation.
•A Connected and Beautiful Campus:The site plan includes thoughtfully landscaped outdoor spaces,a signature water feature,
and lit walking paths.These paths will connect seamlessly with the adjacent park and horse trail,enhancing public access to
recreation while creating new opportunities for neighbors to gather and enjoy the outdoors.
•A Responsible,Long-Term Plan:The submitted site plan illustrates both the initial phase and the long-term vision for the
property,showing how each step builds toward a complete and sustainable campus.Supporting documentation has also been
provided confirming the original purchase conditions and the timeline of zoning changes.
Why This Matters for Rancho Cucamonga:
This project is about more than buildings.It is about aligning with the City's growth by establishing a welcoming and
community-focused campus in the heart of an expanding neighborhood.Verve Community will bring value to Rancho
Cucamonga through family-centered facilities,safe and beautiful gathering spaces,and long-term investment in the city's
future.
By restoring the property's original development potential,the City Council has the opportunity to correct an unintended
restriction from past zoning changes and to enable a project that will strengthen and serve the Etiwanda community for
generations to come.
Thank you,
LEGAL DESCRIPTION ORDER NO F9sc240J5J7
Matt Molsberry THE LAND REFERRED TO HEREIN BELOW IS SITUATED IN THE CITY OF RANCHO
CUCAMONCA, COUNTY OF SAN BERNARDINO, STATE OF OALIFORMA AND 1S DESCRIBED
AS FOLLOWS:
THE NORTH 112 OF THE FOLLOWING DESCRIBED PARCELr
LOTS 9 AND 1Q BLOCK B'; EAWANA COLONY LANDS, IN THE COUNTY OF SAN
LIERNARDINO, STATE OF CALIFORNIA, AS PER PLAT RECORDED IN BOOK 2, PAGE 24 OF
MAPS, RECORDS OF SAID COUNTY.
EXCEPT THEREFROM THE EAST 15 FEET OF SAID LOT 9 AND EXCEPT ANY PORTION OF
SAID LOTS 9 AND 70, L 1NC NORTH OF THE NORTH LINE OF THE SOUTH 112 OF THE
NORTHWEST 114 OF SECTION 29, TOWNSHIP 1 NORTH, RANGE 6 WEST SAN
BERNARDINO MERIOAN.
7345 Piute Creek Dr.,Corona,CA 92881
t.951.735.4587/www.PlainJoeStudios.com
ATTACH MEE22o5
23rd Street
[A] INTERIM WORSHIP CENTER Joe
• 7500sf Metal Building ---
• 400 Seats [B] [B]
[B] CHILDREN'S CLASSROOMS [A]
• (2) Sets of 3 grouped modular
buildings - _ _ _ _ _ :: - -
• Covered wood decks
LO
[C] PARKING
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•
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[D] FRONT YARD
• Water Fountain/Baptismal
[C] [D] :.
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• Airstream cafe
• Fire pits
• Natural kids climbing elements
0 75 150
PHASE I ATTACHMENT 3
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- 23rd Street
e fit.
I
[A] Student Center
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•12,100 sf, 2 stories
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• 7500 sf • 25,600 sf • Natural Play Gathering
• 400 Seats • 800 seats Amphitheater [F] Parking
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• Administration Offices
• 12,100 sf, 2 stories [G] Pedestrian Trail
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Page 208
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• City Council to provide early feedback on applicant-initiated legislative actions;
• Provides the applicant an opportunity to decide whether to pursue the legislative action
prior to investing significant costs and resources into the project;
• Applicant can then proceed as proposed, with project revisions, or a different project;
• Council feedback is not:
• An approval
• A guarantee of future approval
• A guarantee of future recommendation of approval.
2
AA mlil k
F A� # t' _
r,
I" Who : Verve Church,
iL
I -
r. r cW W1
-
. What: A preliminary review hearing for
0 dL .JL r General Plan Map Amendments and
gMap Zonin Amendments at a 6 . 7 acre
site for thepurpose of development of a
worship center;
WN
All A
IS
� ` ••• - F -• - • Where : Southwest corner of East Avenue
5
I R
and 23rd Street at 13 14 9 23rd Street
4 Y Y }
3
Neighborhood
Center
General Open Space
and Facilities
Suburban
Neighborhood
Very Low
Subject Site
Suburban
Neighborhood General Open Space
Very Low and Facilities
/IN
Neighborhood
General 3 —
��� r Limited ( NG3L)
Pa r ks ( P) Y
OW
Very Low (VL
Residential
k
Subject Site
Very Low (VL
Residential ._
Pa rks ( P
-� -03F - - -
JL
AAKIL
• General Plan Map Amendment to redesignate the General Plan land use designation from
Open Space and Facilities to Suburban Neighborhood Very Low;
• Zoning Map Amendment to convert the zoning from Parks (P) to Very Low (VI) Residential;
• Develop a multi-phase worship center consisting of:
• Worship center, student center, classroom facilities, and onsite improvements.
AP rho
MOW
Neighborhood
Center
General Open
Space and Facilities
Suburban
Neighborhood
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NONgq I �
DATE: November 19, 2025
TO: President and Members of the Board of Directors
FROM: John Gillison, City Manager
INITIATED BY: Mike McCliman, Fire Chief
Shane Adams, Fire Marshal
SUBJECT: Public Hearing for Consideration of Second Reading and Adoption of
Ordinance No. FD-060, to be Read by Title Only and Waive Further
Reading, An Ordinance of the Board of Directors of the Rancho
Cucamonga Fire Protection District Adopting by Reference the 2025
California Wildland-Urban Interface Code, With Errata, Together With
Certain Changes, Modifications, Amendments, Additions, Deletions, and
Exceptions; Providing for the Issuance of Permits and Collection of Fees;
and Approving a CEQA Exemption Determination. (ORDINANCE NO.
FD-060) (FIRE)
RECOMMENDATION:
Staff recommends that the Fire Board of the Rancho Cucamonga Fire Protection District holds a
public hearing to receive a report and take comment on the adoption of Ordinance No. FD-060.
Staff further recommends, upon the conclusion of the public hearing, that the Board moves to
adopt Ordinance No. FD-060 which will adopt the 2025 California Wildland-Urban Interface Code
together with local amendments and District standards, all of which will constitute the Wildland-
Urban Interface Code of the Rancho Cucamonga Fire Protection District.
BACKGROUND:
The California Building, Fire, and Residential Codes have historically included provisions for
wildland-Urban interface fire areas, including Fire Safe Regulations in Title 14 of the California
Code of Regulations. The California Building Standards Commission has combined all existing
codes and regulations into a new California Wildland-Urban Interface Code, based on the
provisions of the International Wildland-Urban Interface Code. When the State's code is adopted
and made effective July 1st in the triennial cycle, local fire agencies have six months to make
amendments and adopt the code at the local level.
The code adoption process requires two readings of the proposed ordinance. Unlike most other
ordinances, the public hearing for the wildland-urban interface code adoption ordinance is held in
conjunction with the second reading of the ordinance in accordance with Section 13869 of the
Health and Safety Code and Section 50022 of the Government Code. If the proposed ordinance
is adopted, its provisions become effective January 1, 2026.
ANALYSIS:
This proposed ordinance continues the Fire District's commitment to reducing risks, promoting a
high quality of life, preserving economic vitality, and protecting the environment in Rancho
Page 215
Cucamonga. The proposed code adoption ordinance includes provisions for water and access to
new developments, home hardening through ignition-resistant building materials, and defensible
space, which includes a combustible exclusion zone which prohibits combustible materials within
5-feet of a building or structure. These provisions establish minimum requirements to reduce the
likelihood of life and property loss due to a wildfire.
Local amendments to the California code are minimal and limited to those necessary to address
the challenges inherent to Rancho Cucamonga's climate, geology, or topography. Most of the
amendments are safety enhancements that have been included in previous ordinances, and
which reflect this community's values and commitment to a culture of safety for residents,
households, and businesses.
Certain amendments are intended to clarify the intent of the code pertaining to ignition-resistance
or noncombustible construction of accessory and miscellaneous structures. The Fire District is
proposing code amendments to align with the Insurance Institute for Building and Homes Safety's
Wildfire Prepared Home program. The Wildfire Prepared Home program provides scientifically
validated wildfire mitigation standards that offer proven methods to reduce structure ignition
probability and improve firefighter safety during wildfire incidents. Local amendments are low-cost
and include screen mesh in skylight openings, noncombustible exhaust vents, and two layers of
tempered glass in windows and doors. By aligning local amendments to the Wildfire Prepared
Home program, residential property owners are 80% more likely, and commercial property owners
are 50% more likely to remain insured or gain insurance.
FISCAL IMPACT:
The ordinance will re -authorize the assessment of fees by the Fire District for inspections and
permits. This authorization provides the mechanism for the inspection services to recover
associated costs; however, the collection of most inspection and permit fees is currently being
waived by a resolution of the Board to that effect. The ordinance also re -authorizes the fees and
fines for false and unwanted alarms, maintains the ability to issue administrative citations, and
the ability to recover costs of legal services. All of these elements of the ordinance are designed
to ensure fiscal responsibility by maximizing cost recovery where is it appropriate.
As previously noted, the amendments affecting construction standards are minimal and not
expected to adversely impact the cost of development. The safety enhancements that are
continued by way of this ordinance have proven to be reasonable from a cost-benefit perspective.
COUNCIL MISSION /VISION / GOAL(S) ADDRESSED:
The Wildland-Urban Interface Code of the Rancho Cucamonga Fire Protection District, as offered
by the proposed ordinance supports the Board's vision of an equitable, sustainable, and vibrant
city, rich in opportunity for all to thrive and is consistent with the Board's core values of providing
and nurturing a high quality of life for all, promoting a safe and healthy community for all, and
enhancing the opportunity for sustainable and equitable prosperity for all.
ATTACHMENTS:
Attachment 1 — Ordinance No. FD-060
Page 2
Page 216
ORDINANCE NO. FD 060
AN ORDINANCE OF THE BOARD OF DIRECTORS OF THE
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
ADOPTING BY REFERENCE THE 2025 CALIFORNIA
WILDLAND- URBAN INTERFACE CODE, WITH ERRATA,
TOGETHER WITH CERTAIN CHANGES, MODIFICATIONS,
AMENDMENTS, ADDITIONS, DELETIONS, AND EXCEPTIONS;
PROVIDING FOR THE ISSUANCE OF PERMITS AND
COLLECTION OF FEES; AND APPROVING A CEQA EXEMPTION
DETERMINATION.
The Board of Directors of the Rancho Cucamonga Fire Protection District hereby ordains as follows:
SECTION 1. Wildland-Urban Interface Code Adopted
The Rancho Cucamonga Fire Protection District (hereinafter District or Fire District)hereby adopts by
reference as the District's Wildland-Urban Interface Code, the 2025 California Wildland-Urban
Interface Code as published by the California Building Standards Commission, with errata, including
Appendix A, and Referenced Standards, with the changes, modifications, amendments, additions,
deletions, and exceptions prescribed in Section 4 of this ordinance, and the same are hereby adopted
for safeguarding of life, property, and the community from wildfire by establishing the minimum
requirements through the use of performance and prescriptive measures for the construction and
development in designated high and very high fire hazard severity zones; providing for the issuance of
permits and collection of fees. Each and all of the regulations,provisions, penalties, conditions, and
terms of said Wildland-Urban Interface Code, a copy of which is on file in the office of the Secretary
of the Board of Directors of the Fire District, are hereby referred to, adopted, and made a part hereof as
if fully set out in this ordinance, subject only to the amendments and deletions herein.
1.1 Definitions.As used in the Wildland-Urban Interface Code, the terms set forth below are defined
as follows:
1.1.1 The terms "Board of Directors" and"Directors" shall mean the governing body of the District.
1.1.2 The terms "department", "Department", "district", "District", "fire department", "fire district",
"Fire District", "jurisdiction", and"Jurisdiction"where used in the Wildland-Urban Interface
Code and this ordinance to identify the local fire authority shall mean the Rancho Cucamonga
Fire Protection District.
1.1.3 The term"governing body" shall mean the Board of Directors of the Fire District.
1.1.4 The term"jurisdiction" shall mean all of the territory, land, buildings, structures, and premises
within the legal boundary of the District.
1.1.5 The term"Municipal Code" shall mean the Municipal Code of the City of Rancho Cucamonga.
1.2 Fees
1.2.1 Reasonable fees, not to exceed fully burdened actual costs, may be collected by the code
official for fire protection planning, fire prevention services, inspections,permit issuance,
Ordinance No.FD 060-Page 1 of 23 ATTACHMENT 1
Page 217
standby personnel, and emergency operations as allowed by the Wildland-Urban Interface
Code, this ordinance, and as prescribed by any and all District fee resolutions.
1.3 Distinguishing Between Model Code Language; California Amendments; and Fire
District Additions,Amendments, Deletions, and Other Changes
1.3.1 International Wildland-Urban Interface Code and California Code of Regulations Title 14
model code language appears in regular type.
1.3.2 California amendments to the model code language appear in italics.
1.3.3 Fire District additions and amendments are identified by the use of underlining.
1.3.4 Subsections where the text of the model code and/or California amendments has been deleted
are identified by the> symbol preceding the subsection number.
1.3.5 Code sections that have not been amended or changed in any manner are occasionally included
in this ordinance to keep the additions, amendments, deletions, and other changes in context.
SECTION 2. Wildland-Urban Interface Code Adoption Matrix
The following Wildland-Urban Interface Code Adoption Matrix is provided as a single reference
showing which chapters and appendices of the 2025 California Wildland-Urban Interface Code are
adopted by this Ordinance and which chapters and appendices have been amended by this Ordinance.
Wildland-Urban Interface Code Adoption Matrix—Divisions and Chapters
Division/ Adopt California Adopt California Adopt IFC Model
Chapter/ Title Code without Code with Code with State/ Not Adopted-
Amendments Fire District District Reference Only
Appendix Amendments Amendments
Ch.1 Division I California Administration X
Ch.1Division II Scope and Administration X
Ch.2 Dermitions X
Ch.3 Wildland-Urban Interface Areas X
Ch.4 Wildland-Urban Interface Area Requirements X
Ch.5 Special Building Construction Regulations X
Ch.6 Fire Protection Requirements X
Ch.7 Referenced Standards X
Wildland-Urban Interface Code Adoption Matrix—Appendices
Adopt Appendix Adapt Appendix Adopt IFC Model Not Adopted-
Appendix Title without with Fire District Code with State/ Reference
Amendments Amendments District Only
Amendments
App.A General Requirements X
SECTION 3.
Local Amendments to the California Wildland-Urban Interface Code. Except as modified by an
express change, modification, amendment, addition, deletion, or exception in this section, and as
reflected in the Wildland-Urban Interface Code Adoption Matrix in Section 2, above, all sections,
subsections, tables, chapters and appendices as published in the 2025 California Wildland-Urban
Interface Code are adopted by reference and made part of the Wildland-Urban Interface Code. Only
Ordinance No.FD 060-Page 2 of 23
Page 218
those sections, subsections, tables, chapters and appendices so modified are set forth below in Section
4.
SECTION 4.
DIVISION II
ADMINISTRATION
PART 1 —GENERAL PROVISIONS
SECTION 101 -GENERAL
101.1 Title. These regulations shall be collectively known as the California Wildland-Urban Interface
Code of the Rancho Cucamonga Fire Protection District(District or Fire District,hereinafter referred to
as"this code."
>101.3.1 Application. New buildings located in any Fire Hazard Severity Zones or Wildland-Urban
Interface (WUI)Fire Area designated by the enforcing agency constructed after the application shall
comply with the provisions of this code. This shall include all new buildings with residential,
commercial, educational, institutional or similar occupancy type use, which shall be referred to in this
code as "applicable buildings,"as well as new buildings and structures accessory to those applicable
buildings.
Exceptions:
1. Group U occupancy accessory buildings of any size located at least 50 feet from an applicable
building on the same lot.
2. Group U occupancy agricultural buildings, as defined in Section 202 of the California Building
Code of any size located at least 50 feet from an applicable building.
3. Group C occupancy special buildings conforming to the limitations specified in Section 450.4.1
of the California Building Code.
4. New accessory buildings and miscellaneous structures specified in Section 504.11 shall comply
only with the requirements of that section.
>101.3.1.1 Application date and where required. New buildings for which an application for a building
permits submitted on or after July 1, 2008, located in any Fire Hazard Severity Zone or Wildland-Urban
Interface Area shall comply with this code, including all of the following areas:
1. All unincorporated lands designated by the State Board of Forestry and Fire Protection as State
Responsibility (SRA) including:
a. Moderate Fire Hazard Severity Zones.
b. High Fire Hazard Severity Zones.
c. Very High Fire Hazard Severity Zones.
2. Land designated as a Very High Fire Hazard Severity Zone by cities and other local agencies.
3. Land designated as a wildland-urban interface area by cities and other local agencies.
Exception:
1. New buildings located in any Fire Hazard Severity Zone within a State Responsibility Area,
for which an application for a building permit is submitted on or after January 1, 2008, shall
comply with this code.
SECTION 102 -APPLICABILITY
102.4 Referenced codes and standards. The codes and standards referenced in this code shall be
those that are listed in Chapter 7 and Fire District standards approved by the code official. Such codes
Ordinance No.FD 060-Page 3 of 23
Page 219
and standards shall be considered to be part of the requirements of this code to the prescribed extent of
each such reference and as further regulated by Sections 102.4.1 through 102.4.3.
102.4.1 Conflicts.Where conflicts occur between provisions of this code and referenced codes and
standards, the provisions of this code shall apply.
102.4.2 Provisions in referenced codes and standards.Where the extent of the reference to a
referenced code or standard includes subject matter that is within the scope of this code,the provisions of
this code, as applicable, shall take precedence over the provisions in the referenced code or standard.
102.4.3 Intent of the Code.Where the intent of the code is unclear due to differences that maw
between the provisions of this code and the referenced standards, the code official shall determine
which requirement meets the intent of this code.
PART 2—ADMINISTRATION AND ENFORCEMENT
>SECTION 103 - CODE COMPLIANCE AGENCY
Deleted
SECTION 104 -DUTIES AND POWERS OF THE CODE OFFICIAL
104.1 General. The code official is hereby authorized to implement, administer, and enforce the
provisions of this code. The code official is also authorized to implement, administer, and enforce
provisions of the Municipal Code where such authority has been granted.
104.1.1 Appointment. The code official shall be appointed by the fire chief and shall hold the position
in accordance with the Rancho Cucamonga Fire Protection District Rules and Regulations.
104.1.2 Deputies. In accordance with the prescribed procedures of this jurisdiction and with the
concurrence of the appointing authority, the code official shall have the authority to gppoint deputy
code officials, other related technical officers, inspectors, and other employees.
104.1.3 Other enforcement officers. The following persons are hereby authorized, during the course of
their official duties,to enforce the provisions of this code and to make arrests and issue citations as
authorized by law:
1. The San Bernardino County Sheriff and any Deputy Sheriff
2. Officers of the United States Forest Service
3. The State Forest Ranger and Peace Officers of the California Department of Forestry and Fire
Protection(Cal Fire)
4. Officers of the California Highway Patrol
5. Law enforcement and authorized members of fire agencies operating under automatic or mutual
aid agreements within the boundaries of the Rancho Cucamonga Fire Protection District
6. Employees of the City of Rancho Cucamonga's Building and Safety Department and CommunitX
Improvement Division who have been expressly designated ted by their appointing authority as
having the power of arrest or the authority to issue administrative citations.
104.2. Modifications. Where there are practical difficulties in carrying out the provisions of this code,
the code official shall have the authority to grant modification for individual cases, provided that the
code official shall first find that one or more special individual reasons make the strict letter of his code
impractical, that the modification is in conformance with the intent and purpose of this code, and that
Ordinance No.FD 060-Page 4 of 23
Page 220
such modification does not lessen health, life and fire safety requirements. The details of the written
request and action granting modifications shall be recorded and entered into the files of the Fire
District.
104.8 Liability. The code official, member of the board of appeals, or employee charged with the
enforcement of this code, while acting for the jurisdiction, in good faith and without malice in the
discharge of the duties required by this code or other pertinent law or ordinance, shall not thereby be
rendered personally liable, either civilly or criminally, and is hereby relieved from all personal liability
for any damage accruing to persons or property as a result of an act required or permitted by this code
or by reason of an act or omission in the discharge of official duties.
104.8.1 Legal defense. Any suit or criminal complaint instituted against any officer or employee
because of an act performed by that officer or employee in the lawful discharge of duties and under the
provisions of this code shall be defended by the legal representative of the jurisdiction until the final
termination of the proceedings. The code official, any subordinate or hired agent of the District shall
not be liable for costs in an action, suit, or proceeding that is instituted in pursuance of the provisions
of this code; and any officer of the District, acting in good faith and without malice, shall be free from
liability for acts performed under any of its provisions or by reason of any act or omission in the
performance of official duties in connection therewith.
104.11 Cost recovery generally. Inspection costs are recoverable in accordance with the District's Fee
Resolution.
104.12 Cost recovery for nuisance abatement. All costs actually incurred by the District in any action,
administrative proceedin ogr special proceeding to abate a violation of this code,which constitutes a
nuisance,may be recovered by the District by any means authorized by law, including but not limited, to
lien or special assessment according to the requirements of law, and there shall be a ri ht�to appeal
pursuant to Section 112 of this code. An"action"or"proceeding"means any civil or administrative
proceeding or appeal therefrom. Attorney's fees incurred by the District in such proceedings may be
recovered by the prevailing party if the District elected at the initiation of the action or proceeding to
recover its own fees. In no action or proceeding of any type shall an award of attorney's fees to a
prevailing party exceed the amount of reasonable attorney's fees.
104.13 Subpoenas. The District shall have the power to issue subpoenas and subpoenas duces tecum.
This power shall be exercised and enforced in the manner provided by the Government Code, and such
powers shall extend only to business of the District in investigating and enforcing violations of this code
and other laws enforceable by the District. Subpoenas shall be signed_ by the chair or clerk of the District
Board. Any member of the Board, or any person otherwise so empowered may administer oaths to, or
take affirmations from,witnesses before the Board.
SECTION 105-PERMITS
105.1 General. Where not otherwise provided in the requirement of the California Building Code or
California Fire Code, permits are required in accordance with this section.
>105.2 Construction permits required. Buildings or structures and vegetation regulated by this code
or Fire District Standard for Permits for Construction and Installations shall not be erected,
constructed, altered, repaired, moved, converted, demolished, or changed in use of occupancy, or
planted,propagated or germinated, unless a separate permit for each building or structure or vegetation_
has first been obtained from the code official.
Ordinance No.FD 060-Page 5 of 23
Page 221
Note: the remainder of section 105.2 is deleted.
>105.8 Expiration. On or after January 1, 2019, every permit issued shall become invalid unless the
work on the site authorized by such permit is commenced in accordance with the policies,procedures,
and ordinances of the Building and Safety Department having jurisdiction, which shall be either the
City of Rancho Cucamonga or the County of San Bernardino. The building official is authorized to
grant, in writing, one or more extensions of time in accordance with the applicable policies,
procedures, and/or ordinances. (See Health and Safety Code Section 18938.5 and 18938.6jor
re erence) Permits are not transferable and any change in occupancy, operation, tenancy, or ownership
shall require that a new permit be issued.
105.11 Non-payment of permit fee.The code official is authorized to revoke a permit issued under the
provisions of this code when the permittee fails to pay permit fees in accordance with the terms of the
Permit Application or when a check or credit/debit card transaction submitted for payment of the permit
fee(s) is returned or declined.
SECTION 106 - CONSTRUCTION DOCUMENTS
>106.1 General. Plans, engineering calculations, diagrams and other data shall be submitted in
accordance with the policies and procedures, and in such form and detail, as required by the code
official and/or the building official, with each application for a permit. The construction documents
shall be prepared by a registered design professional where required by the code official. Where
special conditions exist, the code official is authorized to require additional documents to be prepared
by a registered design professional.
Exception: Submission of plans, calculations, construction inspection requirements ad other data,
if it is found that the nature of the work applied for is such that reviewing of plan is not necessary
to obtain compliance with this code.
106.2 Information on plans and specifications. Plans and specifications are generally required to be
drawn to scale, are generally required to be submitted in a digital format with document settings and
formatting in accordance with the policies and procedures of the District and the Building Department.
Plans and specifications shall be of sufficient clarity to indicate the location, nature, and extent of the
work proposed and show in detail that it will conform to the provisions of this code and relevant laws,
ordinances, rules, and regulations as determined by the code official and/or the building official.
106.8 Retention of plans. Plans and specifications shall be retained by the code official in accordance
with the City of Rancho Cucamonga's Retention Schedule. One set of approved plans, specifications
shall be returned to the applicant and said set shall be kept on the site of the building, use or work at all
times during which the work authorized thereby is in progress. At the conclusion of the work,
construction documents are required to be kept on the site or at another location where the documents
are readily accessible to the building owner.
SECTION 108 -FEES
108.1 Payment of Fees. A permit shall not be valid until the fees prescribed by law i, f any, have been
paid. An amendment to a permit shall not be released until the additional fee, if any, has been paid.
>108.2 Schedule of permit fees. Fees for inspections and permits shall be established by a fee
schedule approved by the Board. Assessed fees shall be due and payable in accordance with the
policies of the District.
Ordinance No.FD 060-Page 6 of 23
Page 222
108.2.1 Collection of fees. The collection of previously pproved fees can be waived, or the amount
collected can be reduced, by a resolution of the Board without affecting the he approved fees.
108.4 Work commencing before permit issuance.A person who commences any work, before
obtaining the necessary permits shall be subject to a citation with a fine or an additional fee established
by the Board, which shall be in addition to the required permit fees.
108.5 Related fees. The payment of the fee for the construction, alteration, removal, or demolition of
work done in connection to or concurrently with the work or activity authorized by a construction
permit shall not relieve the applicant or holder of the construction, alteration, removal, or demolition
permit from the payment of other fees that are prescribed by law. The payment of the fee for a permit
for a conditional or temporary use approved by the City or County shall not relieve the applicant or
holder of the conditional or temporary use permit from the payment of other fees prescribed by law.
The payment of the fee established by the Board for an inspection or permit shall not relieve the
recipient of inspection services or the applicant or holder of a permit from the payment of other fees
duly_prescribed by the Board and any other governmental or regulatory entity.
108.6 Refunds. The District is authorized to establish a policy allowing_ for refunds, reductions, or
cancellations of fees that have been assessed or paid.
SECTION 109—INSPECTION AND ENFORCEMENT
109.3.6 Prosecution of violations. If the notice of violation is not complied with promptly, the code
official is authorized to request the legal counsel of the jurisdiction to institute the appropriate
proceeding at law or in equity to restrain, correct, or abate such violation or to require removal or
termination of the unlawful occupancy of the structure in violation of the provisions of this code or of
the order or direction made pursuant hereto. In addition to, or in place of, any other remedy which is
allowed by law, administrative penalties may be iMposed in connection with any violation of this code
or District ordinance.
109.3.7 Violation penalties. Persons who shall violate a provision of this code or shall fail to comply
with any of the requirements thereof or who shall erect, install, alter, repair, or do work in violation of
the approved construction documents or directive of the code official, or of a permit or certificate used
under provisions of this code, shall be guilty of a public nuisance and misdemeanor,punishable by a
fine of not more than the maximum allowed by law or by imprisonment not exceeding six months, or
both such fine and imprisonment. The code official, with the concurrence of the chief and the district
attorney or District prosecutor, is authorized to issue administrative citations and fines as allowed by
an ordinance of the Board of Directors in place of, or in addition to, the violation penalties contained in
this section. Each day that a violation continues after notice has been served shall be deemed a separate
offense.
In addition to, or in place of, the foregoing penalties, administrative penalties pursuant to the District's
Administrative Citation Ordinance may be imposed in connection with any violation of this code or
any District ordinance. Any person violating or who has violated any section of this code or District
ordinance may be issued an administrative citation in accordance with the Administrative Citation
Ordinance. In addition, violations of this code may be abated by any other means authorized by law,
including injunctive relief. These remedies are intended to be cumulative and not exclusive and may be
used in addition to or in lieu of each other.
Ordinance No.FD 060-Page 7 of 23
Page 223
109.3.7.1 Unlawful acts. It shall be unlawful and a public nuisance for a person, firm, or corporation
to erect, construct, alter, repair, move, remove, demolish, occupy, or plant, propagate or germinate any
building, structure or equipment, or premises, regulated by this code, or cause same to be done, in
conflict with or in violation of any of the provisions of this code, District ordinance or resolution, or
other lawful order of the fire chief, code official, or their designees.
109.3.7.2 Notice of Violation. The code official is authorized to serve a notice of violation nor order
on the person responsible for violation of the provision of this code, or in violation of a permit or
certificate issued under the provisions of this code. Such order shall direct the discontinuance of the
illegal action or condition and the abatement of the violation.
Violations that are deemed to be immediately dangerous to life, health, or the environment will be
subject to stop work or similar orders in accordance with Section 113 and Fire District Standard for
Unsafe Structures, Equipment, and Operations, prosecution, and/or any and all penalties in accordance
with this code.
>SECTION 112—MEANS OF APPEALS
112.1 General. In order to hear and decide appeals of orders, decisions, or determinations made by the
code official relative to the application and interpretation of this code, there shall be and is hereby
created policies and procedures for appeals. Appeals shall be in accordance with Fire District Standard
for Appeals.
Note: The remainder of Section 112 is deleted and replaced with Fire District Standard for
Appeals.
>SECTION 113 - STOP WORK ORDER
113.1 Authority. A stop work order is authorized to be issued in accordance with Fire District
Standard for Unsafe Structures, Equipment, and Operations, where the code official finds any
operation, process, procedure, equipment, building, or work regulated by this code, any other code
adopted by the City of Rancho Cucamonga or the County of San Bernardino, or any State or Federal
law, statute, or regulation, being performed in a manner contrary to the provisions of the applicable
code, or in a dangerous or unsafe manner.
Note: The remainder of Section 113 is deleted and replaced with Fire District Standard for Unsafe
Structures, Equipment, and Operations.
CHAPTER 2
DEFINITIONS
SECTION 201 - GENERAL
201.1 Scope. Unless otherwise expressly stated, the following words and terms shall, for the purposes
of this code, have the meanings shown in this chapter and Fire District Standard for Definitions.
201.3 Terms defined in other codes and standards.Where terms are not defined in the California
Wildland-Urban Inter ace Code but are defined in the California Building Code, California Existing
Building Code, California Fire Code, California Electrical Code, California Mechanical Code,
California Plumbing Code, standards and publications of the National Fire Protection Association
(NFPA), FM Global Data Sheets, Fire District standards, other standards referenced in this code, or
Ordinance No.FD 060-Page 8 of 23
Page 224
other nationally recognized fire and life safety standards, such terms shall have the meanings ascribed
to them in those codes and standards.
CHAPTER 4
WILDLAND-URBAN INTERFACE AREA REQUIREMENTS
SECTION 401- GENERAL
401.1 Scope. Wildland-urban interface areas shall be provided with emergency vehicles access and
water supply in with Fire District Standard for Fire Apparatus Access Roads and Fire District Standard
for Fire Protection Water Supply Systems and this chapter.
SECTION 402—APPLICABILITY
402.1.1 Access.New subdivisions, as determined by this jurisdiction, shall be provided with fire
apparatus access roads in accordance with the California Fire Code; the California Code of
Regulations, Title 14, Division 1.5, Chapter 7, Subchapter 2, Article 2; Fire District Standard for Fire
Apparatus Access Roads; and access requirements in accordance with Section 403.
402.1.2 Water supply.New subdivisions, as determined by this jurisdiction, shall be provided with
water supply in accordance with Section 507 of the California Fire Code; the California Code of
Regulations, Title 14, Division 1.5, Chapter 7, Subchapter 2, Article 4; Fire District Standard for Fire
Protection Water Supply Systems; and access requirements in accordance with Section 404.
402.2.1 Access. Individual structures hereafter constructed or relocated into or within wildland-urban
interface areas shall be provided with fire apparatus access in accordance with the California Fire
Code; the California Code of Regulations, Title 14, Division 1.5, Chapter 7, Subchapter 2, Subsection
1273; Fire District Standard for Fire Apparatus Access Roads; and Section 403.
402.2.2 Water supply. Individual structures hereafter constructed or relocated into or within wildland-
urban interface areas shall be provided with a conforming water supply in accordance with Section 507
of the California Fire Code; the California Code of Regulations, Title 14, Division 1.5, Chapter 7,
Subchapter 2, Article 4; Fire District Standard for Fire Protection Water Supply Systems; and Section
404.
402.3 Existing conditions. Existing buildings, roads and fire protection equipment shall be provided
with address markers in accordance with Fire District Standard for Building Signnag_e.
>402.4 Residential tracts and buildings.A minimum of two points of access and egress are required
when a residential tract or multi-unit residential buildingis s capable of containing more than 30
dwelling units, including accessory dwelling units, that could be constructed and occupied under the
State laws, codes, and regulations existing at the time the project or tract map is submitted for
approval.
>402.5 Other buildings.A minimum of two points of access and egress are required with an
occupiable building or grouping of buildings that consists of more than 50,000 square feet or gross
floor area.
>402.6 Additional access and egress. The code official is authorized to require additional points of
access and/or egress depending on the design and size of the tract or development project and the
Ordinance No.FD 060-Page 9 of 23
Page 225
findings of the fire hazard and risk assessment required to be included in the fire protection plan in
Section 602.
>402.7 Other access as emergency use only. The code official is authorized to approve points of
access and/or egress other than the main access point as emergency use only and allow such designate
points of access and/or egress to be secured against normal, regular use. The manner of securing and
opening points of access and/or egress is the sole discretion of the code official.
>402.8 Evacuation Planning and Assessment.When a project requires an Environmental Impact
Report or a Traffic Analysis, an evacuation assessment is required to be prepared by qualified Traffic
Engineer or equivalent design professional. The evacuation assessment will use as its basis the most
recent Evacuation Analysis completed for the City of Rancho Cucamonga or the Fire District. The Fire
District is authorized to deny, to the extent allowed by law, projects that have a demonstrably adverse
impact on evacuation.
Means of reducing or eliminating adverse impacts in evacuation include:
1. Wider streets.
2. Fewer cul-de-sacs and increased connection of interior streets.
3. Adding edge roads to the project.
4. Other designs and concepts approved by the code official.
SECTION 403—ACCESS
>403.1 General.Roads and driveways, whether public or private, unless exempted under 14 CCR§
1270.03(d), shall provide for safe access for emergency wildfire equipment and evacuation
concurrently, and shall provide unobstructed traffic circulation during a wildfire emergency. Fire
apparatus access roads shall be in accordance with Fire District Standard for Fire Apparatus Access
Roads unless the specific, more restrictive requirements of this section apply.
>403.1.2 Width. Fire apparatus access roads shall have an unobstructed width of not less than 26 feet
and an unobstructed vertical clearance of not less than 14 feet 6 inches. Street widths are to be
measured from top face of curb to top face of curb on streets with curb and gutter, from flowline to
flowline on streets with rolled curbs, from the edges of drivable surfaces capable of supporting the
weight of fire apparatus where curbs are not provided.
Exceptions:
1. Gates shall be in accordance with Fire District Standard for Access Gates.
2. Roads at entry medians constructed for private commercial, industrial, or residential
developments shall be a minimum of 20 feet on each side. The road shall not be part of a
radius turn. This exception does not apply to public streets.
3. Dimensions may be reduced when in the opinion of the code official there are practical
difficulties with providingthe he required dimensions.
4. Dimensions may be increased when in the opinion of the code official required dimensions are
not adequate to provide fire apparatus access or when dimensions are not adequate to
concurrently provide fire apparatus access and evacuation.
403.1.3 Road surfaces. Fire apparatus access roads shall be designed and maintained to support the
imposed loads of fire apparatus and shall be surfaced so as to provide all weather driving capabilities.
Permanent fire apparatus access roads utilizing surface material other than concrete or asphalt shall be
in accordance with Fire District Standard for Fire Apparatus Access Roads and approved by the code
official. Temporary fire apparatus access roads shall be in accordance with Fire District Standard for
Fire Apparatus Access Roads.
Ordinance No.FD 060-Page 10 of 23
Page 226
403.1.4 Grade. The grade of the fire apparatus access road shall be in accordance with Fire District
Standard for Fire Apparatus Access Roads.
>403.1.S Radius.
(a)Roads or road structures shall have a minimum horizontal inside radius of curvature of 50 feet.
An additional surface width of four feet shall be added to curves of 50-1 00 feet radius; two feet
to those from 100-200 feet. Roads or road structures shall have a minimum horizontal outside
radius of curvature of 76 feet.
(b) The length of vertical curves in roadways, exclusive of gutters, ditches and drainage structures
designed to hold or divert water, shall be not less than one hundred feet.
>403.1.6 Turnarounds.
(a) Turnarounds are required on driveways and dead-end roads.
(b) The minimum turning radius for a turnaround shall be 46 feet, not including parking. If a
hammerhead or "T-style"is used instead the top of the "T"shall be a minimum of 120 eet in
length.
(c)Driveways exceeding 150 feet in length, but less than 800 feet in length, shall provide a turnout
near the midpoint of the driveway. Where the driveway exceeds 800 feet, turnouts shall be
provided not more than 400 feet apart.
(d)A turnaround shall be provided on driveways over 300 feet in length and shall be within 50 feet
of the building.
(e)Each dead-end road shall have a turnaround constructed at its terminus. Where parcels are
zone five acres or larger, turnarounds shall be provided at a maximum of 1,320 foot intervals.
403.1.7 Turnouts. Turnouts shall be a minimum of 12 feet wide and 32 feet long with a minimum of
25 foot taper on each end.
>403.2.4 Addresses identification. New and existing buildings shall be provided with approved
address identification. The address identification shall be legible and placed in a position that is visible
from the street or road to which the building is addressed. Where required by the code official, address
numbers shall be provided in additional locations to facilitate emergency response. Address
identification characters shall contrast with their background. Address numbers shall be Arabic
numbers or alphabetical letters. Numbers shall not be spelled out. Addressing of multi-family
residential buildings shall be in accordance with Fire District Standard for Building Signage.
Addressing of commercial and industrial buildings shall be in accordance with Fire District Standard
for Building Signnage. For all other buildings, each character shall be not less than 4 inches high with a
minimum stroke width of 0.5 inch. Acceptable dimensions of address numbers and letters will be
determined by the code official to ensure that they are plainly legible and visible. Where access is by
means of a private road or drive aisle and the building cannot be viewed from the public wa
monument,pole, or other sign or means shall be used to identify the structure. Address identification
shall be maintained.
>403.2.5 Identification during construction. When permanently installing the address of a building
under construction is not practical, the address of the construction site is required to be temporarily
installed or displayed in a manner, location, and duration acceptable to the code official.
Ordinance No.FD 060-Page 11 of 23
Page 227
SECTION 404—WATER SUPPLY
404.2 Required water supply. An approved water supply capable of supplying the required fire flow
for structural fire protection and wildland fire exposure shall be provided to the premises on which
facilities, buildings or portions of building are hereafter constructed or moved into or within the
jurisdiction in accordance with Section 507 and Appendix B of the California Fire Code, and Fire
District Standard for Fire Protection Water Supply Systems.
Note: The remainder of Section 404 is deleted and replaced with Fire District Standard for Fire
Protection Water Supply Systems.
CHAPTER 5
SPECIAL BUILDING CONSTRUCTION REGULATIONS
SECTION 501 —GENERAL
501.1 Scope. This chapter applies to building materials, systems and/or assemblies used in the exterior
design and construction of buildings, including one- and two-family dwellings, located within the
followingareas:
reas:
1. Any State Responsibility Area Fire Hazard Severi . Zone
2. Very High or High Fire Hazard Severity Zone in Local Responsibility
3. Very High or High Fire Hazard Severity Zone in a Wildland-Urban Interface Fire Area.
SECTION 503—IGNITION-RESISTANT CONSTRUCTION AND MATERIAL
>503.1 General. Buildings or structure hereafter constructed, modified or relocated into or within
wildland-urban interface areas shall meet the construction requirements in accordance with Chapter 5.
Materials required to be ignition-resistant building material shall comply with the requirements of
Section 503.2.
Exceptions:
1. New accessory buildings and miscellaneous structures complying with section 504.11.
2. Group C occupancy special buildings conforming to the limitations specified in Section 450.4.1
of the California Building Code.
SECTION 504—IGNITION-RESISTANT CONSTRUCTION
504.2.3 Roof debris. Roofs shall be maintained free and clear of vegetative and combustible debris.
504.4.1 Gutter covers. Gutter covers shall be constructed of noncombustible material.
504.4.2 Gutter debris. Gutters and downspouts shall be maintained free and clear of vegetative and
combustible debris under the Rutter cover.
504.6 Underfloor enclosure. Buildings or structures shall have underfloor areas enclosed to the
ground with exterior walls in accordance with Section 504.5.
Exception: Complete enclosure shall not be required where the underside of exposed floors and
exposed structural columns, beams, and supporting walls are protected as required for exterior I-
hour fire-resistance-rated construction or heavy timber construction, or fire-retardant-treated
wood. The fire-retardant-treated wood shall be labeled for exterior use and meet the requirements
of Section 2303.2 of the California Building Code. Open underfloor shall be protected with 1/8-
inch corrosion-resistant, noncombustible mesh screen.
Ordinance No.FD 060-Page 12 of 23
Page 228
504.6.1 Combustible material in underfloor enclosure. Storage of combustible materials, including
firewood, lumber, outdoor equipment, tools, and vegetation is prohibited in underfloors that are not
enclosed with exterior walls in accordance with Section 504.5.
504.7.1.1 Enclosure of projections. Projections that are not fully enclosed in accordance with Section
504.7.1 shall be enclosed with 1/8-inch corrosion-resistant, noncombustible mesh screen.
504.7.1.2 Combustible material under projections. Storage of combustible materials, including
firewood, lumber, outdoor equipment, tools, and vegetation is prohibited under decks and projections
that are not enclosed with exterior walls in accordance with Section 504.5.
504.8 Exterior glazing. Exterior windows, window walls and glazed doors, windows within exterior
doors, and skylights shall be constructed of any of the following:
1. Multilayered glazed panels with two panes of tempered glass complying with Section 2406 of
the California Building Code.
2. Glass block.
3. Glazing with a fire-protection rating of not less than 20 minutes when tested according to
NFPA 257 or UL 9 and shall be exempt from the hose stream test.
4. Glazing meeting the performance requirements of SFM Standard 12-7A-2.
504.8.2 Operable skylights. Operable skylights shall be constructed with multilayered glazed panels
with two panels of tempered glass and the opening shall be protected by a noncombustible mesh screen
with openings not exceeding 118 inch.
504.9 Exterior doors. Exterior doors shall be constructed in accordance with any of the following:
1. Noncombustible construction.
2. Solid-core wood not less than 1 3/4 inches thick.
3. The exterior door shall be constructed of solid core wood that complies with the following:
3.1 Stiles and tails shall not be less than 1 318 inches thick.
3.2 Raised panels shall not be less than 1 '/ inches thick, except for the exterior perimeter of
the raised panel that shall be permitted to taped to tongue not less than 318 inch thick.
4. Have a fire protection rating of not less than 20 minutes when tested according to NFPA 252,
UL IOB or UL 10C.
5. The exterior surface or cladding meeting the performance requirements of SFM Standard 12-
7A-1.
6. All side-hinged exterior doors are required to be self-closing and positive latching, including the
main entry door for single-family and multi-family residential buildings.
504.9.1 Garage doors. Automatic garage door openers for vehicle doors serving a residential building
shall be equipped with a battery backup function. Automatic garage door openers are required to include a
time-out feature that will automatically close the garage door after 20 minutes of inactivity.
504.10.4 Forced exhaust air vent. Forced exhaust vents shall be constructed of noncombustible
material and incorporate a functional louver or flap.
504.11 Accessory buildings and miscellaneous structures. Accessory buildings and miscellaneous
structures that have the potential to pose a significant exterior fire exposure hazard during wildfires
shall be constructed to conform to the ignition-resistance requirements of Section 504.1 through
Section 504.11.2
Ordinance No.FD 060-Page 13 of 23
Page 229
504.11.1 Applicability. Section 504.11 applies to buildings accessory to an applicable building on the
same lot and attached or detached miscellaneous structures that require a building permit, including
but not limited to trellises, arbors,patio covers, gazebos, and similar structures.
Exceptions:
1. Decks shall comply with the requirements of Section 504.7.3.
2. Awnings and canopies shall comply with the requirements of Section 3105 of the California
Building Code.
504.11.2 Roof construction. Roof assemblies and roof coverings of accessory buildings required to be
constructed entirely of noncombustible materials or of ignition-resistant building materials shall
comply with Sections 504.2 and 504.2.1. Roofs shall have a roofing assembly installed in accordance
with its listing and the manufacturer's installation instructions. Roof assemblies in Fire Hazard
Severity Zones shall comply with a Class Afire classification when test in accordance with ASTM
E108 or UL 790.
CHAPTER 6
FIRE PROTECTION REQUIREMENTS
SECTION 601 —GENERAL
601.1 Scope. The provisions of this chapter establish general requirements for new and existing
buildings, structures and premises located within the following area:
rea:
1. Any State Responsibility Area Fire Hazard Severity Zone
2. Very High Fire Hazard Severity Zone in Local Responsibili . Area
3. Very High Fire Hazard Severity Zone in a Wildland-Urban Interface Fire Area.
SECTION 602—FIRE PROTECTION PLANS
602.1 General. The code official is authorized to require the owner or owner's authorized agent to
provide afire protection plan. The fire protection plan shall be prepared to determine the acceptability
of fire protection and life safety measures designed to mitigate wildfire hazards presented
for the property under consideration.
The fire protection plan shall be prepared by a registered design professional, qualified landscape
architect, qualified fire safety specialist or similar specialist acceptable to the code official and shall
analyze the wildfire risk of the building,project,premises or region to recommend necessary changes.
The code official is authorized to require a preliminary fire protection plan prior to the submission of
a final fire protection plan.
Approved fire protection plans are required to be recorded on the parcel or parcels to which the plan
pertains by filing the fire protection plan with the County Recorder as an agreement between the
property owner and the Fire District that runs with the land.
>602.2 Contents. The fire protection plan shall be based on a project-specific wildfire hazard
assessment that include considerations of location, topography, aspect and climatic and fire history.
The plan shall identify conformance with all applicable state wildfire protection regulations, statutes
and applicable local ordinances, whichever are more restrictive.
Ordinance No.FD 060-Page 14 of 23
Page 230
The fire protection plan shall include the following_
1. The fire protection plan is required to be formatted as a text report that includes a plan sheet
exhibit of these elements.
2. A fire apparatus and emergency vehicle access plan that conforms to Fire District Standard for
Fire Apparatus Access Roads, this ordinance, and the street standards of the City of Rancho
Cucamonga and/or the County of San Bernardino as applicable.
3. A fire protection water supply plan that conforms to Fire District Standard for Fire Protection
Water Supply Systems and the standards of the water purveyor(Cucamonga Valley Water
District or Fontana Water Company).
4. Design criteria for automatic fire sprinklers, standpipes, or other fire suppression or protection
systems that are in accordance with National Fire Protection Association(NFPA) Standards 13,
13D, and 13R, the CBC, CFC, and CRC; Fire District Standard for Automatic Fire Sprinkler
Systems; and this ordinance.
5. An on-site and off-site fire hazard and risk assessment that includes all land, roads, structures,
and infrastructure within a 300-foot radius of the project. A project is defined as a single
structure such as a single detached home, all structures proposed for construction on a single
parcel such as a main home and accessory structures, the boundaries of a residential
subdivision, campus-style clustering of structures, or a commercial building or grouping of
commercial buildings that form a commercial center or commerce district.
6. A comprehensive review of the local climate to include the climate generally, annual rainfall
information, the occurrence and history of droughts, temperature extremes, low humidity,
prevailing and seasonal winds, and fire weather conditions.
7. A wildfire behavior prediction that includes fire spread and advancement rates and maximum
flame lengths for the existing and undisturbed native, non-native, and invasive vegetation at
mature growth under various weather conditions, especially extreme fire weather conditions.
The fire behavior prediction is required to be achieved by using wildfire modeling software that
is acceptable to the code official.
8. Information about the construction materials and methods that will be utilized with specific
references to the applicable California Building, Fire, and Residential codes.
9. Species listed in Section 603.4.5.l and specific notations where applicable if undesirable plants
are proposed for the project.
10. A comprehensive defensible space and landscaping plan that shows the vegetation mana eg ment
zones in accordance with Section 603 and the exact locations proposed for all trees,plants, shrubs,
vines, and ground covers, including native vegetation in accordance with Government Code 51182
and this section.
11. The plant palette proposed for the landscaping for the project inclusive of species notes indicating
that proposed plants, shrubs, and trees are appropriate for the climate zone and are e�X
recognized to be fire resistant. Plant palette information for all trees,plants, shrubs, vines, and
ground covers, including native vegetation, is required to include:
i. The common and botanical names.
ii. The maximum anticipated height.
iii. The maximum anticipated spread or canopy diameter.
iv. Verification of appropriateness for the climate zone.
v. Verification of appropriateness for California Irrigation Management Information System
(CIMIS)Evapotranspiration Zone 9.
vi. The water use classification as determined by the 4th Edition of Water Use Classification of
Landscape Species (WUCOLS).
12. Requirements for vegetation reduction around emergency access and evacuation routes.
Ordinance No.FD 060-Page 15 of 23
Page 231
13. Legally binding statements regarding responsibility for maintenance of fuel modification zone and
included in the covenants, conditions, and restrictions regarding propegy owner responsibility for
vegetation management.
14. An application for Alternate Means and Methods for any aspect of the fire protection plan that does
not conform to the applicable codes and standards.
602.4 Approval required.A fire protection plan as required by this section shall be submitted and
approved in conjunction with the submittal and approval of plans fora grading or construction permit.
Approval of the fire protection plan and completion of vegetation management are required prior to
grading and/or construction permits being approved.
>SECTION 603 —VEGETATION
603.1 General. Planting, propagating and germinating of vegetation for new landscaping shall be
selected to reduce vegetation in proximity to a structure and to maintain vegetation as it matures.
603.3 Landscape plans. Landscape plans shall include development and maintenance requirements
or the vegetation management zone adiacent to structures and roadways and provide significant fire
hazard reduction benefits for public and fire i htingsafety. Prior to landscaping or construction,
landscape plans shall be submitted to the code official for any of the following:
1. Construction of a new occupiable building or an addition to an existing occupiable building
2. Construction of an addition to an existing habitable or occupiable building.
3. Construction or placement of a new accessory structure or an addition to an existing accessory
structure.
4. New vegetative landscape construction, installation, or planting
5. Modifications to a previously approved Fire Protection Plan or defensible space landscape
plan.
603.3.1 Contents. Landscape plans shall contain the following:
1. Delineation of Combustible Exclusion Zone (Zone 0: 0-5 feet from the structure
2. Delineation of the Fuel Modification Zone (Zone 1: 5-30 feet from the structure
3. Delineation of the Fuel Reduction Zone (Zone 2: 30-100 feet from the structure.
4. Identification of existing vegetation to remain and proposed new vegetation.
5. Identification of irrigated areas.
6. Plant legend with botanical and common names and identification of plant material symbols.
7. Identification of ground coverings within the 30 foot Zone 0 and Zone 1.
603.4 Vegetation. All new vegetation shall be fire-smart vegetation in accordance with this section.
Exception: Trees classified as nonfire-smart vegetation complying with Section 603.4.5.1.
To be considered fire-smart vegetation, vegetation must meet at least one of the following:
1. Be identified as fire-smart vegetation in an approved book,journal or listing from an approved
organization.
2. Be identified as fire-smart vegetation by a licensed landscape architect with supporting
documentation.
3. Plants considered fire-smart vegetation and approved by the local enforcing agency.
>603.4.1 Combustible Exclusion Zone 0 (0-5 feet from the structure). Combustible materials are
prohibited within 5 feet from a structure, combustible protection, attached accessory structure, or a
detached accessory structure within 10 feet of an occupiable building. Combustible materials that
could be ignited by embers produced during a wildfire event include:
Ordinance No.FD 060-Page 16 of 23
Page 232
1. All vegetation.
2. Natural fiber, wood, and rubber mulch.
3. Artificial turf
4. Wood, vinyl, or other combustible fences and gates.
5. Combustible decorative items and outdoor furniture.
6. Firewood piles regardless of the diameter or dimension of the wood stored.
7. Yard maintenance equipment.
8. Vehicles of any kind.
9. Exercise or fitness equipment with combustible components.
10. Any item that in whole or in part has an ignition temperature less than 900 degrees F or 500
degrees C.
>603.4.2 Fuel Modification Zone 1 (5-30 feet from the structure). Fuel modification within 5 to 30
feet from a structure, combustible projection, attached accessory structure, or a detached accessory
structure within 10 feet of an occupiable building, shall be designed and landscaped to be less
vulnerable to vegetation ignition by embers duringawildf re event. Landscapingand vegetation within
the Fuel Modification Zone I shall include:
1. Generally level or level-graded area around the structure.
2. Complete removal of fire prone, undesirable plant species is required. See Appendix A for the
complete Undesirable Plants and Trees list.
3. XeriscapeTM designs, where compatible, and hardscape such as concrete, rock,pavers, and
similar non-combustible features.
4. Ground covers and lawns are maintained at a height that does not exceed 4 inches.
5. Plants that are low-growing and well-irrigated and not included in Section 603.4.5.1 and
arranged and selected such that:
i. Plants are single specimens or a grouping not exceeding_3 plants that will have a mature
diameter or linear measurement that does not exceed 5 feet.
ii. Mature height of plants is not to exceed 18 inches.
iii. At mature growth, single plants or groupings of plants are required to be separated from
each other by at least 15 feet.
iv. Plants are not located under the canopies anticipated for mature trees.
6. Trees are to be planted such that the mature canopies will be spaced in accordance with the
olloL4 n :
i. At least 10 feet from any building, structure, or projection, including chimney or stovepipe.
ii. At least 20 feet from other tree canopies ofsingle specimens or the mature combined
canopy of a grouping_.
iii. Single specimens of trees or groupings not more than 3 that are appropriate for the
climate zone and not included in Section 603.4.5.
7. Trees are required to be maintained such that the branches and limbs closest to the ground are
pruned to a height from the ground that is equal to 113 the overall height of the tree or 6 feet
from the ground, whichever is higher. This provision does not apply to new installed trees
that could be damaged by adherence to this provision.
8. An automatic irri atg ion system is required to be installed and extended to provide water to all
landscaping in the zone, except for areas inside the drip line of trees that could be damaged by
routine irrigation_
9. Continual maintenance including ongoing removal o seasonal grasses and invasive weeds,
removal of dead woody material and dead and dry leaves from the plants, replacement of dead
or dying plantings,°functional tests of the irrigation system, and regular trimming and pruning
to reduce fuel and to inhibit the creation of a fuel ladder are required in this zone.
Ordinance No.FD 060-Page 17 of 23
Page 233
603.4.3 Fuel Reduction Zone 2 (30-100 feet from the structure). Fuel Reduction within 30-100 feet
from a structure, combustible projection, attached accessory structure, or a detached accessory
structure within 10 feet of an occupiable building, or to a property line, shall comply with the
following:
1. Irrigated landscaping with trees and plants suitable for the climate zone. Distribution of trees
and plants should maintain an open arrangement.
2. Groupingsof plants and shrubs cannot form an aggregate diameter or linear distance at
maturity that is more than 10 feet. Hedgesand grouping_of plants and shrubs are required to
be separated from other hedges, groupingsof plants and shrubs, and tree canopies by a
minimum of 20 linear feet.
3. Mature trees cannot create a continuous canopy that is more than 30 feet in diameter or spread
in any direction.
4. Arrangement of plants, shrubs, and trees and selection ofspecies cannot create fuel ladder
opportunities.
5. Mature coverage of all landscaping cannot exceed 50%of the ground. Turf,gasses and mulch
are excluded from this limitation.
6. Native vegetation is allowed in this zone when it is maintained such that the overall rg ound
coverage produced by the mature or maintained plant growth does not exceed 50%and plants
are not located under tree canopies.
7. Plants, shrubs, and trees in Section 603.4.5.1 will be considered on a case-by-case basis for
use as landscaping in this zone when they are proposed to be installed more than 50 feet from
buildings, structures, and projections constructed with combustible materials.
8. Regular maintenance to include the removal of all dropped debris, dead or dying material,
seasonal grasses, and invasive weeds.
9. Where an undeveloped or vacant parcel abuts a mandated fuel modification zone, the property
owner of the undeveloped or vacant parcel is required to provide fuel modification and reduction
consistent with the requirements of Fuel Reduction Zone 2 for a distance of 50 feet from the
property line measured from the property line toward the interior of the parcel.
603.4.4 Site Specific Fuel Modification and Reduction (50-50-50). As approved by the code official,
site specific fuel modification and reduction of native fuels is allowed in accordance with this section.
603.4.4.1 Site Specific Fuel Modification Zone 1. (5-50 feet from the structure). Requirements for
this zone include thefollowing:
1. A plant palette comprised primarily of selected native vegetation with a species mix that
supports the subterranean health of the plants in the zone.
2. Ground coverage that does not exceed 50%when plants reach maturity or are maintained in
accordance with the approved defensible space landscaping plan.
3. Plant species that can survive and remain healthy if irrigation is limited to the most severe
water use restrictions imposed in the past 10 years.
4. Regular complete removal of seasonal gasses and invasive weeds.
5. The use ofselected trees that are not included in Section 603.4.5.1, but which are compatible
with the native plant species and anticipated reduced irrigation requirements for this
vegetation management option. Trees are limited to single specimens located such that the
mature canopies will be separated by at least 20 feet.
6. Plants are prohibited under the canopies of trees to prevent creating a fuel ladder.
7. The use of natural fiber or wood mulch to a depth of not more than 4 inches is allowed. The use
of rubber mulch is prohibited.
Ordinance No.FD 060-Page 18 of 23
Page 234
603.4.4.2 Site Specific Fuel Reduction Zone 2, (51-100 feet from the structure). Requirements for
this zone include Section 603.4.4.1 and the followingmodifications:
1. Ground coverage cannot exceed 70%when plants reach maturity or are maintained in
accordance with the approved defensible space landscaping plan.
2. The use ofselected trees that are included in Section 603.4.5.1 and which are compatible with
the native plant species and anticipated reduced irrigation requirements for this vegetation
management option will be considered on a case-by-case basis. Trees are limited to single
specimens located such that the mature canopies will be separated by at least 20 feet.
3. Where an undeveloped or vacant parcel abuts a mandated fuel modification zone, the property
owner of the undeveloped or vacant parcel is required to provide fuel modification and reduction
consistent with the requirements of Fuel Reduction Zone 2 for a distance of 50 feet from the
property line measured from the property line toward the interior of the parcel.
603.4.5 Nonfire-smart vegetation. New trees not classified as.fare-smart vegetation shall be permitted
provided the tree is planted and maintained in accordance with one of the following_
1. The tree is planted so that the trees drip line at maturity is a minimum of 30 feet from an
applicable building, chimney or stovepipe.
2. The tree is planted so that the tree's drip line at maturity is a minimum of 10 feet from any
combustible structure.
4. Branches and limbs closest to the ground shall be pruned to a height from the ground that is
equal to 113 the overall height of the tree or 6 feet from the ground, whichever is higher.
5. The mature canopy of a non-fire-resistant tree is required to be separated from the mature
canopv of all other trees by a distance of at least 30 feet.
6. Plants, shrubs, and groundcovers are prohibited within the drip line of the canopy to prevent
creating a fuel ladder.
603.4.5.1 Nonfire-smart species. The following species are considered non are-smart:
1. Acacia (Acacia)
2. Bamboo (Bambusa)
3. Bottlebrush (Callistemon, Calliandra, others)
4. Broom (Baccharis, Cytisus, Spartium, others
5. Camphor(Camphora)
6. Cedar(Cedrus)
7. Chamise (Adenostoma)
8. Common Buckwheat(Frio og num fasciculatum�
9. Conifers
10. Cypress (Taxodium)
11. Eucalyptus (Eucalyptus)
12. Fir LAbies
13. Hemlock(Tsuga)
14. Honeysuckle (Anisacaanthus, Justica, Lonicera, others)
15. Jasmine (Jasminium)
16. Juniper (Juniperus)
17. Mustard(Brassica)
18. Palms (Palmae)
19. Pepper(Schinus)
20. Pine (Pinus)
21. Red Shanks (Adenostoma)
22. Rosemary (Rosmarinus, others)
23. Spruce (Piceal
Ordinance No.FD 060-Page 19 of 23
Page 235
24. Tamarisk(Tamarix�
25. Thistle (Cirsium, Cynara, Salsola, Silybum)
26. Yew (Taxus)
603.5 Vegetation management before construction. Approved Zone 0 and Zone 1 vegetation
management shall be provided prior to combustible materials arriving on the site and shall be
maintained throughout the duration of construction. The code official is authorized to require
additional vegetation management and/or defensible space when warranted, in the opinion of the fire
official,by site-specific conditions.
>SECTION 605—OPEN FLAMES, OUTDOOR FIRES AND COOKING APPLIANCES
>605.1 Open burning. Open burning is required to be in compliance with Fire District Standard for
Open Burning, which generally requires a permit issued by the code official. Open burning is
prohibited during critical fire weather except as expressly allowed for the prevention or control of
wildfires.
>605.2 Open flames. Open flames, including those associated with outdoor cooking heating, and
decorative features are required to be in compliance with Fire District Standard for Open Flames.
>605.3 Fuel. The fuel for permanently installed, built-in-place outdoor fireplaces, fire pits, and
barbecues as well as cooking appliances such as range tops and ovens are limited to natural gas or
propane.
>605.4 Location. Built-in-place outdoor fireplaces, fire pits, and barbecues as well as cooking
appliances such as range tops and ovens are required to be constructed or installed a minimum of 15
feet from construction that utilizes combustible materials.
SECTION 606—LIQUEFIED PETROLEUM GAS INSTALLATIONS
606.1 General. The storage of liquefied petroleum gas (LP-gas) and the installation and maintenance
of pertinent equipment shall be in accordance with the California Fire Code and this section.
>606.2 Location of containers or tanks. LP-gas containers or tanks shall be located within the
defensible space and 30 feet from a structure.
Exception: Containers or tanks may be located within 10 feet of a structure when provided with a
10-foot(0-10 feet) Combustible Exclusion Zone in accordance with Section 603.4.1 and an
additional 10 feet(10-20 feet) of irrigated_ ground covers less than 4 inches in height. Healthy,
mature trees may be located 10-20 feet from a container or tank, but must be pruned or trimmed at
least 6 feet above the tank.
SECTION 607—STORAGE OF FIREWOOD, COMBUSTIBLE MATERIALS AND OTHER
LARGE ITEMS
607.3 Hot tubs. Hot tubs must be placed on a noncombustible surface at least 10 feet from an
occupiable structure and other combustible materials, including vegetation.
607.4 Combustible water storage tanks. Combustible water storage tanks shall be at least 5 feet from
an occupiable structure and other combustible materials, including vegetation.
Exception: Multiple tanks may be placed within 5 feet of each other.
Ordinance No.FD 060-Page 20 of 23
Page 236
CHAPTER 7
REFERENCED STANDARDS
Standards of the Rancho Cucamonga Fire Protection District
Standard Title
Standard for Appeals
Standard for Automatic Fire Sprinkler Systems
Standard for Building Signage
Standard for Definitions
Standard for Fire Apparatus Access Roads
Standard for Fire Protection Water Supply Systems
Standard for Open Burning
Standard for Open Flames
Standard for Permits for Construction and Installation
Standard for Unsafe Structures,Equipment,and Operations
Ordinance No.FD 060-Page 21 of 23
Page 237
SECTION 5. Environmental Findings
The Board hereby finds that this Ordinance is exempt from the requirements of the California
Environmental Quality Act(CEQA)pursuant to Title 14 of the California Code of Regulations,
Section 15061(b)(3)because it can be seen with certainty that there is no possibility that the Code
Amendments would have a significant impact on the environment. The Ordinance adopts the
California Wildland-Urban Interface Code, which will serve to provide for greater protection from fire
and fire hazards, and will thereby provide greater environmental protections.
SECTION 6. Violation Penalties
It shall be unlawful for any person, firm, partnership, or corporation to violate any provision or to fail
to comply with any of the requirements of this Ordinance or the Codes adopted hereby. In addition to
any other penalties set forth in this Ordinance, any person, firm,partnership, or corporation violating
any provision of this Ordinance or the Codes adopted hereby or failing to comply with any of its
requirements shall be deemed guilty of a misdemeanor and upon conviction thereof shall be punished
by a fine not exceeding the maximum allowed by law or by imprisonment not exceeding six(6)
months, or by both such fine and imprisonment. Each person, firm,partnership, or corporation shall be
deemed guilty of a separate offense for each and every day or any portion thereof during which any
violation of any provision of this Ordinance or the Codes adopted hereby is committed, continued, or
permitted by such person, firm,partnership, or corporation, and shall be deemed punishable therefore
as provided in this Ordinance.
SECTION 7. Abatement of Nuisance
The violation of any of the provisions of this Ordinance or the Codes adopted hereby shall constitute a
nuisance and may be abated by the Board through civil process by means of restraining order,
preliminary or permanent injunction, or in any other manner provided by law for the abatement of such
nuisances.
SECTION 8. Severability
The Board hereby declares that should any provision, section,paragraph, sentence, or word of this
Ordinance or the Code hereby adopted be rendered or declared invalid by any final court action in a
court of competent jurisdiction, or by reason of any preemptive legislation, the remaining provisions,
sections,paragraphs, sentences, and words of this Ordinance and the Codes hereby adopted shall
remain in full force and effect.
SECTION 9. Rights Reserved
Nothing in this Ordinance or in the Wildland-Urban Interface Code hereby adopted shall be construed
to affect any suit or proceeding pending in any court, or any rights acquired, or any liability incurred,
or any cause or causes of action, or any existing agreement under any ordinance hereby repealed as
cited in Section 1 of this Ordinance; nor shall any just or legal right or remedy of any character be lost,
impaired, or affected by this Ordinance.
SECTION 10. Publication
The Secretary of the District shall certify to the adoption of this ordinance and shall cause the same or
a summary thereof to be published and posted as required by law.
Ordinance No.FD 060-Page 22 of 23
Page 238
SECTION 11. Date of Effect
This Ordinance shall take effect at 12:01 a.m. on January 1, 2026.
PASSED,APPROVED,AND ADOPTED this day of 2025.
AYES:
NOES:
ABSENT:
ABSTAINED:
L. Dennis Michael, President
ATTEST:
Kim Sevy, Secretary
I, Janice C. Reynolds, Secretary of the Rancho Cucamonga Fire Protection District, do hereby certify
that the foregoing Ordinance was introduced for first reading by the Board of Directors of the Rancho
Cucamonga Fire Protection District at a regular meeting of said Board held on the day of
, 2025, and was finally passed, approved, and adopted by the Board of Directors
of the Rancho Cucamonga Fire Protection District at a regular meeting of said Board held on the.day
of , 2025.
Executed this day of 12025 at Rancho Cucamonga, California.
Kim Sevy, Secretary
Ordinance No.FD 060-Page 23 of 23
Page 239
NONgq I �
DATE: November 19, 2025
TO: President and Members of the Board of Directors
FROM: John Gillison, City Manager
INITIATED BY: Mike McCliman, Fire Chief
Shane Adams, Fire Marshal
SUBJECT: Public Hearing for Consideration of Second Reading and Adoption of
Ordinance No. FD-061, to be Read by Title Only and Waive Further
Reading, An Ordinance of the Board of Directors of the Rancho
Cucamonga Fire Protection District Adopting by Reference the 2025
California Fire Code, With Errata, Together With Certain Changes,
Modifications, Amendments, Additions, Deletions, and Exceptions;
Providing for the Issuance of Permits and Collection of Fees; Repealing
Conflicting Ordinances; and Approving a CEQA Exemption
Determination. (ORDINANCE NO. FD-061) (FIRE)
RECOMMENDATION:
Staff recommends the Fire Board of the Rancho Cucamonga Fire Protection District holds a public
hearing to receive a report and take comment on the adoption of Ordinance No. FD-061. Staff
further recommends, upon the conclusion of the public hearing, that the Board moves to adopt
Ordinance No. FD-061 which will adopt the 2025 California Fire Code together with local
amendments and District standards, all of which will constitute the Fire Code of the Rancho
Cucamonga Fire Protection District.
BACKGROUND:
Every three years, the State Fire Marshal adopts a new California Fire Code based on the model
code provisions of the International Fire Code. When this code is adopted and made effective
July 1 st in the triennial cycle, city and county fire departments and fire districts have six months
to make amendments and adopt the code at the local level.
The code adoption process requires two readings of the proposed ordinance. Unlike most other
ordinances, the public hearing for the fire code adoption ordinance is held in conjunction with the
second reading of the ordinance in accordance with Section 13869 of the Health and Safety Code
and Section 50022 of the Government Code. If the proposed ordinance is adopted, its
provisions become effective January 1, 2026.
ANALYSIS:
This proposed ordinance continues the Fire District's commitment to reducing risks, promoting a
high quality of life, preserving economic vitality, and protecting the environment in Rancho
Cucamonga. Consistent with the last five code adoption ordinances, most of the amendments
proposed by this ordinance are administrative in nature designed to support and facilitate the
business operations of the Fire District. Other amendments provide some fine tuning to safety
standards. These enhancements have been included in previous ordinances and reflect this
Page 240
community's values and commitment to a culture of safety for residents, households, and
businesses.
The local amendments to construction provisions are minimal and are limited to those necessary
to address the challenges inherent to Rancho Cucamonga's climate, geology, or topography. The
Fire District is keenly aware that one of the primary ways of being a partner in this community's
sustainable economic development is to simply implement at the local level the fire, health, and
environmental protection provisions approved by the State Building Standards Commission. Staff
asserts that the proposed amendments do not significantly impact development, construction, or
business operations and thus will not have an adverse financial impact on developers or
businesses.
The fire protection requirements for the wildland-urban interface fire areas have been removed
from the California Fire Code and consolidated with the requirements of the Building Code,
Residential Code and Title 14 Fire Safe Regulations into the California Wildland-Urban Interface
Code. The California Wildland-Urban Interface Code outlines requirements for water and access
for parcels and tracts, home hardening, and defensible space. Although the Fire Code applies to
all buildings and operations with the Fire District, the California-Urban Interface Code is an
overlay, specific to protecting our community from wildfires.
FISCAL IMPACT:
The ordinance will re-authorize the assessment of fees by the Fire District for inspections and
permits. This authorization provides the mechanism for the inspection services to recover
associated costs; however, the collection of most inspection and permit fees is currently being
waived by a resolution of the Board to that effect. The ordinance also re -authorizes the fees and
fines for false and unwanted alarms, maintains the ability to issue administrative citations, and
the ability to recover costs of legal services. All of these elements of the ordinance are designed
to ensure fiscal responsibility by maximizing cost recovery where is it appropriate.
As previously noted, the amendments affecting construction standards are minimal and not
expected to adversely impact the cost of development. The safety enhancements that are
continued by way of this ordinance have proven to be reasonable from a cost-benefit perspective.
COUNCIL MISSION /VISION / GOAL(S) ADDRESSED:
The adoption of the 2025 California Fire Code, along with the proposed amendments, supports
the Board's vision of an equitable, sustainable, and vibrant city, rich in opportunity for all to thrive
and is consistent with the Board's core values of providing and nurturing a high quality of life for
all, promoting a safe and healthy community for all, and enhancing the opportunity for sustainable
and equitable prosperity for all.
ATTACHMENTS:
Attachment 1 — Ordinance No. FD-061, Fire Code Adoption Second Reading
Page 2
Page 241
ORDINANCE NO. FD-061
AN ORDINANCE OF THE BOARD OF DIRECTORS OF THE
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
ADOPTING BY REFERENCE THE 2025 CALIFORNIA FIRE
CODE, WITH ERRATA, TOGETHER WITH CERTAIN CHANGES,
MODIFICATIONS, AMENDMENTS, ADDITIONS, DELETIONS,
AND EXCEPTIONS; PROVIDING FOR THE ISSUANCE OF
PERMITS AND COLLECTION OF FEES; REPEALING
CONFLICTING ORDINANCES; AND APPROVING A CEQA
EXEMPTION DETERMINATION
The Board of Directors of the Rancho Cucamonga Fire Protection District hereby ordains as follows:
SECTION 1. Repeal of Conflicting Ordinances
Ordinance No. FD 58 of the Rancho Cucamonga Fire Protection District and any provisions of any
District ordinance that conflict with the Fire Code hereby adopted are hereby repealed provided,
however, that such repeal shall not affect or excuse any violation of either Ordinance or any such
conflicting provisions, occurring prior to the effective date hereof.
SECTION 2. Fire Code Adopted
The Rancho Cucamonga Fire Protection District (hereinafter District or Fire District)hereby adopts by
reference as the District's Fire Code, the 2025 California Fire Code as published by the California
Building Standards Commission, with errata, including Appendix Chapter 4; Appendices A, B, BB, C,
CC, H, I,N, O, P, and Q; and Referenced Standards, with the changes, modifications, amendments,
additions, deletions, and exceptions prescribed in Section 4 of this ordinance, and the same are hereby
adopted for safeguarding of life,property, and the community from injury; fire; explosion; hazardous
materials, substances, devices, conditions, processes, activities, operations, practices, and functions;
environmental damage; and economic harm, and providing for the issuance of permits and the
collection of fees. Each and all of the regulations, provisions,penalties, conditions, and terms of said
Fire Code, a copy of which is on file in the office of the Secretary of the Board of Directors of the Fire
District, are hereby referred to, adopted, and made a part hereof as if fully set out in this ordinance,
subject only to the amendments and deletions herein.
2.1 Definitions.As used in the Fire Code, the terms set forth below are defined as follows:
2.1.1 The terms "Board of Directors" and"Directors" shall mean the governing body of the District.
2.1.2 The terms "department", "Department", "district", "District", "fire department", "fire district",
"Fire District", "jurisdiction", and"Jurisdiction"where used in the Fire Code and this
ordinance to identify the local fire authority shall mean the Rancho Cucamonga Fire Protection
District.
2.1.3 The term"governing body" shall mean the Board of Directors of the Fire District.
2.1.4 The term"jurisdiction" shall mean all of the territory, land, buildings, structures, and premises
within the legal boundary of the District.
Ordinance No.FD-061 -Page 1 of 49 ATTACHMENT 1
Page 242
2.1.5 The term"Municipal Code" shall mean the Municipal Code of the City of Rancho Cucamonga.
2.2 Fees
2.2.1 Reasonable fees, not to exceed fully burdened actual costs, may be collected by the fire code
official for fire protection planning, fire prevention services, inspections,permit issuance,
standby personnel, and emergency operations as allowed by the Fire Code, this ordinance, and
as prescribed by any and all District fee resolutions.
2.3 Distinguishing Between Model Code Language; California Amendments; and Fire District
Additions,Amendments, Deletions, and Other Changes
2.3.1 International Fire Code and California Code of Regulations Title 14 model code language
appears in regular type.
2.3.2 California amendments to the model code language appear in italics.
2.3.3 Fire District additions and amendments are identified by the use of underlining.
2.3.4 Subsections where the text of the model code and/or California amendments has been deleted
are identified by the> symbol preceding the subsection number.
2.3.5 Code sections that have not been amended or changed in any manner are occasionally included
in this ordinance to keep the additions, amendments, deletions, and other changes in context.
SECTION 3. Fire Code Adoption Matrix
3.1 The following Fire Code Adoption Matrix is provided as a single reference showing which
chapters and appendices of the 2025 California Fire Code are adopted by this Ordinance and which
chapters and appendices have been amended by this Ordinance.
Ordinance No.FD-061 -Page 2 of 49
Page 243
Fire Code Adoption Matrix—Divisions and Chapters
Adopt Adopt IFC
Division/ Adopt California California Model Code Not Adopted
Chapter Title Code without Code with Fire with State/ -Reference
Amendments District District Only
Amendments Amendments
Ch.1 Division I California Administration X
Ch.1 Division 11 Scope and Administration X
Ch.2 Definitions X
Ch.3 General Requirements X
Ch.4 Emergency Planning and Preparedness X
Ch.5 Fire Service Features X
Ch.6 Building Services and Systems X
Ch.7 Fire and Smoke Protection Features X
Ch.8 Interior Finish Decorative Materials and Furnishings X
Ch.9 Fire Protection and Life Safety Systems X
Ch.10 Means of Egress X
Ch.11 Construction Requirements for Existing Buildings X
Ch.12 Energy Systems X
Ch.13-19 RESERVED
Ch.20 Aviation Facilities X
Ch.21 Dry Cleaning X
Ch.22 Combustible Dust-Producing Operations X
Ch.23 Motor Fuel-Dispensing Facilities and Repair Garages X
Ch.24 Flammable Finishes X
Ch.25 Fruit and Crop Ripening X
Ch.26 Fumigation and Insecticidal Fogging X
Ch.27 Semiconductor Fabrication Facilities X
Ch.28 Lumber Yards...and Woodworking Facilities X
Ch.29 Manufacture of Organic Coatings X
Ch.30 Industrial Ovens X
Tents,Temp Structures,and Other Membrane
Ch.31 Structures X
Ch.32 High-Piled Combustible Storage X
Ch.33 Fire Safety During Construction and Demolition X
Ch.34 Tire Rebuilding and Tire Storage X
Ch.35 Welding and Other Hot Work X
Ch.36 Marinas X
Ch.37 Combustible Fibers X
Ch.38 RESERVED
Ch.39 Processing and Extraction Facilities X
Ch.40 Storage of Distilled Spirits and Wines X
Ch.41 Temporary Heating and Cooking Operations X
Ch.42-47 RESERVED
Motion Picture and Television Production Studio Sound X
Ch.48 Stages
Ch.49 Requirements for Wildland-Urban Interface Fire Areas X
Ch.50 Hazardous Materials—General Provisions X
Ch.51 Aerosols X
Ch.52 RESERVED
Ch.53 Compressed Gases X
Ch.54 Corrosive Materials X
Ch.55 Cryogenic Fluids X
Ch.56 Explosives and Fireworks X
Ch.57 Flammable and Combustible Liquids X
Ch.58 Flammable Gases and Flammable Cryogenic Fluids X
Ch.59 Flammable Solids X
Ch.60 Highly Toxic and Toxic Materials X
Ch.61 Liquefied Petroleum Gases X
Ch.62 Organic Peroxides X
Ch.63 Oxidizers,Oxidizing Gases,and Oxidizing Cryogenic x
Fluids
Ch.64 Pro horic Materials X
Ch.65 Pyroxylin Cellulose Nitrate Plastics X
Ch.66 Unstable(Reactive)Materials X
Ch.67 Water-Reactive Solids and Liquids X
Ch.68-79 RESERVED
Ch.80 Referenced Standards X
Ordinance No.FD-061 -Page 3 of 49
Page 244
Fire Code Adoption Matrix—Appendices
Adopt Adopt IFC
Adopt Appendix Appendix Model Code Not Adopted
Appendix Title without with Fire with State/ -Reference
Amendments District District Only
Amendments Amendments
Special Detailed Requirements Based on Use and x
App.Ch.4 Occupancy
App.A Board of Appeals x
App.B and BB Fire-Flow Requirements for Buildings x
App.C and CC Fire Hydrant Locations and Distributions x
A .D E F G Various x
App.H Hazardous Materials Management Plan x
App.I Fire Protection Systems—Noncompliant Conditions x
App.J,K,L,M Various x
App.N Indoor Trade Shows and Exhibitions x
App.O Valet Trash and Recycling Collection in Group R-2 Occ. x
Temporary Haunted Houses,Ghost Walks,and x
App.P Similar...
Community Wildland-Urban Interface Fire Hazard x
App.Q Evaluation Framework
SECTION 4. Local Amendments to the California Fire Code. Except as modified by an express
change, modification, amendment, addition, deletion, or exception in this section, and as reflected in
the Fire Code Adoption Matrix in Section 3, above, all sections, subsections, tables, chapters and
appendices as published in the 2025 California Fire Code are adopted by reference and made part of
the Fire Code. Only those sections, subsections, tables, chapters and appendices so modified are set
forth below in Section 5.
SECTION 5.
DIVISION II
ADMINISTRATION
PART 1 —GENERAL PROVISIONS
SECTION 101 -GENERAL
101.1 Title. These regulations shall be collectively known as the Fire Code of the Rancho Cucamonga
Fire Protection District(District or Fire District), hereinafter referred to as "this code."
SECTION 102 -APPLICABILITY
>102.6 Historic buildings. The provisions of this code relating to the construction, alteration, repair,
enlargement, restoration, relocation or moving of buildings or structures shall not be mandatory for
existing buildings or structures identified and classified by the state or local jurisdiction as historic
buildings where such buildings or structures do not constitute a distinct hazard to life or property.
Buildings determined to be historic shall be subject to the applicable provisions of Chapter 11, the
California Building Code, and the California Historical Building Code.
102.7 Referenced codes and standards. The codes and standards referenced in this code shall be
those that are listed in Chapter 80 and Fire District standards approved by the fire code official. Such
codes and standards shall be considered to be part of the requirements of this code to the prescribed
extent of each such reference and as further regulated by Sections 102.7.1 through 102.7.3.
102.7.1 Conflicts.Where conflicts occur between provisions of this code and referenced codes and
standards, the provisions of this code shall apply.
Ordinance No.FD-061 -Page 4 of 49
Page 245
102.7.2 Provisions in referenced codes and standards.Where the extent of the reference to a
referenced code or standard includes subject matter that is within the scope of this code,the provisions of
this code, as applicable, shall take precedence over the provisions in the referenced code or standard.
102.7.3 Intent of the Code.Where the intent of the code is unclear due to differences that may occur
between the provisions of this code and the referenced standards, the fire code official shall determine
which requirement meets the intent of this code.
102.10 Conflicting Provisions.Where there is a conflict between a general requirement and a specific
requirement,the specific requirement shall be applicable. Where, in a specific case, different sections of
this code specify different materials, methods of construction, or other requirements,the most restrictive
shall govern. Provisions of the California Code of Regulations that are included in this code specifically
or by reference shall prevail except where this code or a referenced code or standard contains a more
restrictive requirement.
102.13 State Responsibility Area. State responsibility Area(SRA)within the District shall be subject to
the provisions of the California Code of Regulations Title 14, Divisions 1.5, Chapter 7, Subchapter 2,
known as the"SRANHFHSZ Fire Safe Regulations"except when provisions of this code are more
restrictive than the corresponding provisions of Title 14.
Exception: When in the opinion of the fire code official,the provisions of the SRANHFHSZ Fire
Safe Regulations are better suited to the conditions, circumstances, or practical difficulties existing or
inherent in the SRA, the requirements of the SRANHFHSZ Fire Safe Regulations that are less
restrictive than this code may be approved in whole or in part for a specific application or project.
The approval of a less restrictive provision of the SRA/VHFHSZ Fire Safe Regulations over a more
restrictive provision of this code in one case shall not be construed to be an approval in any other
case.
102.13.1 Amendments. The SRANHFSZ Fire Safe Regulations are amended as follows:
§1270.06 Exceptions to Standards
>(c)Where an exception is not granted by the inspection authority,the applicant may appeal such denial
in accordance with Section 112 of this code.
PART 2—ADMINISTRATIVE PROVISIONS
>SECTION 103 -CODE COMPLIANCE AGENCY
Deleted
SECTION 104 -DUTIES AND POWERS OF THE FIRE CODE OFFICIAL
104.1 General. The fire code official is hereby authorized to implement, administer, and enforce the
provisions of this code. The fire code official is also authorized to implement, administer, and enforce
provisions of the Municipal Code where such authority has been granted.
104.1.1 Appointment. The fire code official shall be appointed by the fire chief and shall hold the
position in accordance with the Rancho Cucamonga Fire Protection District Rules and Regulations.
Ordinance No.FD-061 -Page 5 of 49
Page 246
104.1.2 Deputies. In accordance with the prescribed procedures of this jurisdiction and with the
concurrence of the appointing authority, the fire code official shall have the authority to appoint deputy
fire code officials, other related technical officers, inspectors, and other employees.
104.1.3 Other enforcement officers. The following persons are hereby authorized, during the course of
their official duties,to enforce the provisions of this code and to make arrests and issue citations as
authorized by law:
1. The San Bernardino County Sheriff and any Deputy Sheriff
2. Officers of the United States Forest Service
3. The State Forest Ranger and Peace Officers of the California Department of Forestry and Fire
Protection(Cal Fire)
4. Officers of the California Highway Patrol
5. Law enforcement and authorized members of fire agencies operating under automatic or mutual
aid agreements within the boundaries of the Rancho Cucamonga Fire Protection District
6. Employees of the City of Rancho Cucamonga's Building and Safety Department and Community
Improvement Division who have been expressly designated ted by their appointing authority as
having the power of arrest or the authority to issue administrative citations.
104.2.4.1 Individual Cases. The fire code official shall have the authority to grant modifications for
individual cases, provided that the fire code official shall first find that special individual reason makes
the strict letter of this code impractical, and the modification is in compliance with the intent and
purpose of this code and that such modification does not lessen health, life and fire safety
requirements. The details of action granting modifications shall be recorded and entered in the files of
the Fire District.
104.4.2 Right to cure. When a property owner or owners fail to undertake the maintenance and repair
of a fire apparatus access road or a private, onsite water supply system as defined by Fire District
Standard for Fire Protection Water Supply Systems, and the failure is not cured within 20 days after
receipt of written demand from the Fire District to do so (or if such failure cannot reasonably be cured
within such 20 day period, the property owner or owners shall have such longer period as may
reasonably be necessary to cure the failure so long_ aproperty owner or owners commence to cure
such failure within the above 20 day period and thereafter diligently and continuously prosecutes such
cure to completion), then upon reasonable prior notice, the Fire District shall thereafter have a license
and right to enter upon the property for the sole purpose of undertaking and completing such
maintenance and repair; provided, however, that the Fire District shall,upon completion thereof, repair
all damage negligently caused by such entry and repair to the same condition as existed immediately
prior to the commencement of such maintenance and repair work. The property owner or owners shall
promptly reimburse the Fire District for the actual costs incurred in performing such work.
104.8 Liability. The fire code official, member of the board of appeals, officer, or employee charged
with the enforcement of this code, while acting in that capacity for the jurisdiction, in good faith and
without malice in the discharge of the duties required by this code or other pertinent law or ordinance,
shall not thereby be rendered civilly or criminally liable personally, and is hereby relieved from all
personal liability for any damage accruing to persons or property as a result of an act required or
permitted by this code or by reason of an act or omission in the discharge of official duties.
104.8.1 Legal defense. Any suit or criminal complaint instituted against any officer or employee
because of an act performed by that officer or employee in the lawful discharge of duties and under the
provisions of this code shall be defended by the legal representative of the jurisdiction until the final
termination of the proceedings. The fire code official or any subordinate or hired agent of the District
Ordinance No.FD-061 -Page 6 of 49
Page 247
shall not be liable for costs in an action, suit, or proceeding that is instituted in pursuance of the
provisions of this code; and any officer of the District, acting in good faith and without malice, shall be
free from liability for acts performed under any of its provisions or by reason of any act or omission in
the performance of official duties in connection therewith.
104.10 Fire investigations.The Fire District shall have the authority to investigate the cause, origin, and
circumstances of any fire, explosion, or other hazardous condition, including but not limited to
the unauthorized release of hazardous materials. If it appears that such fire, explosion or other hazardous
condition is of suspicious origin,the Fire District is authorized to take immediate chargephysical
evidence relating to the cause of the incident and are authorized to pursue the investigation to its
conclusion. Information that could be related to trade secrets or processes shall not be made part of the
public record, except as directed by a court of law.
104.12 Cost recovery generally. Costs incurred by the District for fire suppression, investigation,
rescue, emergency medical care, responses to a traffic collision or accident,responses to a false or
unwanted alarm or a malfunctioning alarm system, and containment/mitigation of a hazardous materials
release are recoverable in accordance with Health and Safety Code Sections 13009 and 13009.1 and
Government Code Section 53150 et seq.
Any person who negligently or intentionally, or in violation of law, causes an emergency response is
liable for any and all of the costs associated with the emergency and the emergency response. AnX
expense incurred by the District in responding to and securing such an emergency situation shall
constitute a debt of such person and shall be collectible by the District in the same manner as in the case
of an obligation under contract, expressed or implied. Fire inspection costs are recoverable in accordance
with the District's Fee Resolution.
104.13 Cost recovery for nuisance abatement. All costs actually incurred by the District in any action,
administrative proceeding or special proceeding to abate a violation of this code,which constitutes a
nuisance, may be recovered by the District by any means authorized by law, including but not limited, to
lien or special assessment according to the requirements of law, and there shall be a right to appeal
pursuant to Section 112 of this code. An"action"or"proceeding"means any civil or administrative
proceeding or appeal therefrom. Attorney's fees incurred by the District in such proceedings may be
recovered by the prevailing pqM if the District elected at the initiation of the action or proceeding to
recover its own fees. In no action or proceeding of an !We shall an award of attorney's fees to a
prevailing party exceed the amount of reasonable attorngy's fees.
104.14 Subpoenas. The District shall have the power to issue subpoenas and subpoenas duces tecum.
This power shall be exercised and enforced in the manner provided by the Government Code, and such
powers shall extend only to business of the District in investigating and enforcing violations of this code
and other laws enforceable by the District. Subpoenas shall be signed by the chair or clerk of the District
Board. Any member of the Board, or any person otherwise so empowered may administer oaths to, or
take affirmations from,witnesses before the Board.
SECTION 105-PERMITS
105.1 General. Permits shall be in accordance with this section.
>105.1.4 Emergency Repairs. The fire code official shall be notified when equipment replacement
and/or repairs must be performed in an emergency situation. In such cases, the replacement of
equipment and/or repairs are authorized to take place prior to the submittal of the plans and permit
Ordinance No.FD-061 -Page 7 of 49
Page 248
application for the necessary work. The fire code official is authorized to specify a time within which
the plans and permit application must be submitted.
105.1.5 Repairs. Application or notice to the fire code official is not required for ordinary repairs to
structures, equipment, or systems. Such ordinM r0airs shall not include:
1. Cutting away wall, partition, or portion thereof.
2. Removal or change- of any required means of egress.
_
3. Rearrangement of parts of a structure affecting the egress requirements.
4. Addition to, alteration of, replacement, or relocation of any standpipe, fire protection water
supply, automatic sprinkler system, fire alarm system, or automatic fire-extinguishing system.
5. Replacement of a fire alarm control unit.
6. Change to the fire alarm communicating method and/or equipment.
7. Any other work which, in the opinion of the fire code official, potentially affects fire protection
or life safety.
>105.3.1 Expiration. An operational permit shall remain in effect until reissued, renewed, or revoked
or for such a period of time as specified in the permit. Construction permits and fees shall be in
accordance with the policies, procedures, and ordinances of the Building and Safety Department
having,jurisdiction, which shall be either the City of Rancho Cucamonga or the Copp . of San
Bernardino. Permits are not transferable and any change in occupancy, operation, tenancy, or
ownership shall require that a new permit be issued.
>105.3.1.1 Expiration. On or after January 1, 2019, every permit issued shall become invalid unless
the work on the site authorized by such permit is commenced in accordance with the policies,
procedures, and ordinances of the Building and Safety Department having jurisdiction, which shall be
either the City ofRancho Cucamonga or the County of San Bernardino. The building official is
authorized to grant, in writing, one or more extensions of time in accordance with the applicable
policies,procedures, and/or ordinances. (See Health and Safety Code Section 18938.5 and 18938.6for
re erence)
>105.3.2 Extensions. A permittee holding an unexpired permit shall have the right to apply for an
extension of the time within which the permittee will commence work under that permit where work is
unable to be commenced within the time required by this section for good and satisfactory reasons.
The fire code official and/or the building code official are authorized to grant, in writing, one or more
extensions of the time period of a permit in accordance with the policies, procedures, and ordinances of
the Building and Safety Department having jjurisdiction, which shall be either the City of Rancho
Cucamonga or the County of San Bernardino. Such extensions shall be requested by the permit holder
in writing and justifiable cause demonstrated. Expired permits, at the discretion of the fire code official
and/or the building code official, may be returned to an unexpired status and extensions granted in
accordance with this section.
105.4.1 Non-payment of permit fee. The fire code official is authorized to revoke a permit issued under
the provisions of this code when the permittee fails to pay permit fees in accordance with the terms of the
Permit Application or when a check or credit/debit card transaction submitted for payment of the permit
fee(s) is returned or declined.
>105.5 Required operational permits. The fire code official is authorized to require and issue
operational permits for the operations set forth in Fire District Standard for Permits for Regulate
Operations.
Ordinance No.FD-061 -Page 8 of 49
Page 249
>105.6 Required construction permits. The fire code official is authorized to require and issue
construction permits for work as set forth in Fire District Standard for Permits for Construction and
Installations.
SECTION 106- CONSTRUCTION DOCUMENTS
>106.1 Submittals. Construction documents and supporting data shall be submitted in in accordance
with the policies and procedures, and in such form and detail, as required by the fire code official
and/or the building official. Construction documents shall be prepared by a registered design
professional where required by state or local statutes or policies.
Exception: The fire code official is authorized to waive the submission of construction documents
and supporting data not required to be prepared by a registered design professional if it is found
that the nature of the work applied for is such that review of construction documents is not
necessary to obtain compliance with this code.
106.2.1 Information on construction documents. Construction documents are generally required to
be drawn to scale. Documents are _generally required to be submitted in a digital format with document
settings and formatting in accordance with the policies and procedures of the District and the Building
Department. Construction documents shall be of sufficient clarity to indicate the location, nature, and
extent of the work proposed and show in detail that it will conform to the provisions of this code and
relevant laws, ordinances, rules, and regulations as determined by the fire code official and/or the
building official.
>106.4 Retention of construction documents. Construction documents shall be retained by the fire
code official in accordance with the City of Rancho Cucamonga's Retention Schedule. One set of
approved construction documents shall be returned to the applicant and said set shall be kept on the
site of the building or work at all times during which the work authorized thereby is in progress. At the
conclusion of the work, construction documents are required to be kept on the site or at another
location where the documents are readily accessible to the building owner.
SECTION 108 -FEES
108.1 Fees. A permit shall not be issued until the fees i, f any, have been paid, nor shall an amendment
or change to a permit be released until the additional fee, if any, has been paid.
>108.2 Schedule of permit fees. Fees for inspections and permits shall be established by a fee
schedule approved by the Board. Assessed fees shall be due and payable in accordance with the
policies of the District.
108.2.1 Collection of fees. The collection of previously pproved fees can be waived, or the amount
collected can be reduced, by a resolution of the Board without affecting the he approved fees.
108.4 Work commencing before permit issuance.A person who commences any work, activity, or
operation regulated by this code before obtaining the necessary permits shall be subject to a citation
with a fine or an additional fee established by the Board, which shall be in addition to the required
permit fees.
108.5 Related fees. The payment of the fee for the construction, alteration, removal, or demolition of
work done in connection to or concurrently with the work or activity authorized by an operational
permit shall not relieve the applicant or holder of the construction, alteration, removal, or demolition
Ordinance No.FD-061 -Page 9 of 49
Page 250
permit from the payment of other fees that are prescribed by law. The payment of the fee for a permit
for a conditional or temporaa use approved by the City or County shall not relieve the applicant or
holder of the conditional or temporary use permit from the payment of other fees prescribed by law.
The payment of the fee established by the Board for an inspection and/or operational permit shall not
relieve the recipient of inspection services or the applicant or holder of an operational permit from the
payment of other fees duly prescribed by the Board and any other governmental or re ug latory entity.
108.6 Refunds. The District is authorized to establish a policy allowing for refunds, reductions, or
cancellations of fees that have been assessed or paid.
>SECTION 112 -APPEALS
112.1 General. In order to hear and decide appeals of orders, decisions, or determinations made by the
fire code official relative to the application and interpretation of this code, there shall be and is hereby
created policies and procedures for appeals. Appeals shall be in accordance with Appendix A as
amended and Fire District Standard for Appeals.
Note: The remainder of Section 112 is deleted and replaced with Fire District Standard for
Appeals.
SECTION 113 -VIOLATIONS
113.1 Unlawful acts. It shall be unlawful and a public nuisance for a person, firm, or corporation to
erect, construct, alter, repair, remove, demolish, or utilize a building, occupancy,premises, system,
equipment, or process regulated by this code, or cause same to be done, in conflict with or in violation
of any of the provisions of this code, District ordinance or resolution, or other lawful order of the fire
chief, fire code official, or their designees.
113.3 Notice of Violation. Where the fire code official finds a building, premises, vehicle, storage
facility, outdoor area, equipment or equipment in use,process, or procedure that is in violation of this
code, the fire code official is authorized to prepare a written notice of violation describing the
conditions deemed unsafe and, where compliance is not immediate, specifying a time for re-inspection.
Violations that are deemed to be immediately dangerous to life, health, or the environment will be
subject to stop work or similar orders in accordance with Section 114 and Fire District Standard for
Unsafe Structures, Equipment, and Operations, prosecution, and/or any and all penalties in accordance
with this code.
113.3.3 Prosecution of violations. If the notice of violation is not complied with promptly, the fire
code official is authorized to request the legal counsel of the jurisdiction to institute the appropriate
legal proceedings at law or in equity to restrain, correct, or abate such violation or to require removal
or termination of the unlawful occupancy of the structure in violation of the provisions of this code or
of the order or direction made pursuant hereto. In addition to, or in place of, any other remedy which is
allowed by law, administrative penalties may be imposed in connection with any violation of this code
or District ordinance.
113.4 Violation penalties. Persons who shall violate a provision of this code or shall fail to comply
with any of the requirements thereof or who shall erect, install, alter, repair, or do work in violation of
the approved construction documents or directive of the fire code official, or of a permit or certificate
used under provisions of this code, shall be guilty of a public nuisance and misdemeanor,punishable
by a fine of not more than the maximum allowed by law or by imprisonment not exceeding six months,
Ordinance No.FD-061 -Page 10 of 49
Page 251
or both such fine and imprisonment. The fire code official, with the concurrence of the chief and the
district attorney or District prosecutor, is authorized to issue administrative citations and fines as
allowed by an ordinance of the Board of Directors in place of, or in addition to, the violation penalties
contained in this section. Each day that a violation continues after notice has been served shall be
deemed a separate offense.
In addition to, or in place of, the foregoing penalties, administrative penalties pursuant to the District's
Administrative Citation Ordinance may be imposed in connection with any violation of this code or
any District ordinance. Any person violating or who has violated any section of this code or District
ordinance may be issued an administrative citation in accordance with the Administrative Citation
Ordinance. In addition, violations of this code may be abated by any other means authorized by law,
including injunctive relief. These remedies are intended to be cumulative and not exclusive and may be
used in addition to or in lieu of each other.
>SECTION 114 - STOP WORK ORDER
114.1 Authority. A stop work order is authorized to be issued in accordance with Fire District
Standard for Unsafe Structures, Equipment, and Operations where the fire code official finds any
operation, process, procedure, equipment, building_or work regulated by this code, any other code
adopted by the City of Rancho Cucamonga or the County of San Bernardino, or any State or Federal
law, statute, or regulation, being performed in a manner contrary to the provisions of the applicable
code, or in a dangerous or unsafe manner.
Note: The remainder of Section 114 is deleted and replaced with Fire District Standard for Unsafe
Structures, Equipment, and Operations.
>SECTION 115 - UNSAFE STRUCTURES,EQUIPMENT,AND OPERATIONS
115.1 General. If during the inspection of a premises, a structure, any building system, or any
operation regulated by this code or an approved or recognized standard, in whole or in part, a
determination is made by the fire code official that conditions are an inimical threat to human life,
safety, or health or otherwise unsafe, the fire code official is authorized to address, remove, or
otherwise remedy the condition in accordance with Fire District Standard for Unsafe Structures,
Equipment, and Operations.
Note: The remainder of Section 115 is deleted and replaced with Fire District Standard for Unsafe
Structures, Equipment, and Operations.
SECTION 116 -ACCESS RESTRICTIONS
116.1 Public Lands. The chief is authorized to determine when conditions exist on public lands within
the designated wildland-urban interface fire area that present an immediate, exceptional, and/or
continuing danger. Such conditions include,but are not limited to, critical fire weather conditions, a
red flag warning or fire weather watch issued by the National Weather Service, dangerously low fuel
moisture levels, density of the natural vegetation, imminent flooding or flooding in progress, and
similar hazards to individual and community safety. Upon making such a determination, the chief is
authorized to close the affected areas and prohibit entry with the concurrence, where applicable, of the
federal, state, or local agency that has primary jurisdiction over the affected area.
Exceptions:
1. Residents and owners of private property and their invitees whose regular access to their
property is through an affected area.
Ordinance No.FD-061 -Page 11 of 49
Page 252
2. Entry, while in the course of duty, by peace or police officers; officials and employees of the
District, San Bernardino County Fire Protection District, CalFire, US Forest Service, and
automatic and mutual aid fire departments; and all other public officials having legitimate
business within the affected areas.
3. Entry by authorized persons engaged in the maintenance, repair, or installation of equipment
owned and/or operated by public or private utilities or communications systems.
116.1.1 Continuing Authorization. Any closure of public lands authorized by the chief that will
extend more than 15 calendar days shall be approved by the Board of Directors within 15 days of the
effective date of the closure or at the next regularly scheduled meeting of the Board.
116.1.2 Notification. Upon closing and prohibiting entry to public lands, the chief shall, within 24
hours, make notification of the closure through a press release that includes at least one locallX
published newspaper and shall, within five days or as soon as practical, post signs at the entry points of
the affected areas indicating that the area is closed, and entry is prohibited.
116.1.3 County Administered Lands. The closure of any public lands within the designated wildland-
urban interface fire area that are administered by an agency or dpartment of the County of San
Bernardino shall be with the concurrence of the County Fire Chief/Warden of the San Bernardino
County Fire Protection District. Any closure of such lands that will extend more than 15 days shall be
with the concurrence of the San Bernardino County Board of Supervisors. Concurrence of the Board of
Supervisors is required to be obtained within 15 days of the effective date of the closure or at the next
regularly scheduled meeting of the Board of Supervisors.
116.2 Private Property. With the consent of an owner or owners of private property within the
designated wildland-urban interface fire area, the chief is authorized to prohibit entry onto private
property through the use of trespassing laws when the chief has determined that conditions exist that
present an immediate, exceptional, and/or continuing danger to individual or community safe
116.2.1 Notification. Signs prohibiting entry into or trespassing upon the property and indicating the
existence of dangerous conditions shall be posted on or near the property.
116.3 Penalties.A person who is found to be in violation of orders issued under the authori , of this
section shall be subject to the penalties set forth in Section 113.
CHAPTER 2
DEFINITIONS
201.1 Scope. Unless otherwise expressly stated, the following words and terms shall, for the purposes
of this code, have the meanings shown in this chapter and Fire District Standard for Definitions.
201.3 Terms defined in other codes and standards. Where terms are not defined in the California
Fire Code but are defined in the California Building Code, California Mechanical Code, California
Plumbing Code, standards and publications of the National Fire Protection Association(NFPA), FM
Global Data Sheets, Fire District standards, other standards referenced in this code, or other nationally
recognized fire and life safety standards, such terms shall have the meanings ascribed to them in those
codes and standards.
Ordinance No.FD-061 -Page 12 of 49
Page 253
CHAPTER 3
GENERAL PRECAUTIONS AGAINST FIRE
SECTION 304 - COMBUSTIBLE WASTE MATERIAL
304.1.3 Vegetation. Weeds, grass, vines, trees, shrubs, ornamental and native landscaping, groves,
vineyards, gardens, and any other vegetation or the trimmings and litter from such ve-eta that is
capable of being ignited and endangering property shall be maintained and/or removed by the owner or
occupant of the premises sufficiently to reduce the hazard to property and people.
304.1.3.1 Wildland-Urban Interface Fire Areas. Vegetation management, reduction, and clearance
in wildland-urban interface fire areas shall be in accordance with the California Wildland-Urban
Interface Code.
304.1.3.2 Weed and fire hazard abatement. Weed and fire hazard abatement shall be in accordance
with Section 325, Fire District Standard for Vegetation Fire Hazard Abatement, or the Municipal Code
as applicable.
SECTION 305 -IGNITION SOURCES
305.4 Deliberate or negligent burning. It shall be unlawful to deliberately or through negligence set
fire to or cause the burning of combustible material in such a manner as to endanger property, or the
health or safety of any person.
>SECTION 307—OUTDOOR FIRES
307.1 General. All outdoor fires, including but not limited to, open burning,bonfires, recreational
fires, contained fires, and fires in a portable or permanently installed or constructed outdoor open
burning feature such as a fireplace, fire pit, and fire bowl shall be in accordance with Fire District
Standard for Open Burning and other applicable sections of this code.
307.3 Extinguishment authority. The fire code official is authorized to order the extinguishment
and/or discontinuance of nuisance burning, prohibited burning, or an outdoor fire when open burning,
a bonfire, a contained fire, a recreational fire, or other outdoor fire causes any of the following
conditions to exist:
a. The fire creates or adds to a hazardous or objectionable situation.
b. The flame lengths create a potential to ignite combustible materials or cause property damage.
c. The fire creates an unacceptably large volume of smoke or embers.
d. The material being burned is not an approved fuel or is prohibited from being burned outdoors.
e. A required permit for such burning has not been obtained.
f. Critical fire weather conditions have been declared.
g. No-Burn Day restrictions have been issued by the South Coast Air Quality Management
District.
h. The fire and/or products of combustion produced by the fire endangers the health or safety of
any—person or aggravates a health condition of any person.
Note: The remainder of Section 307 is deleted and replaced with Fire District Standard for Open
Burning.
Ordinance No.FD-061 -Page 13 of 49
Page 254
>SECTION 308 - OPEN FLAMES, OPEN FLAME DEVICES,
AND FLAME PRODUCING FEATURES
308.1 General. Open flames, open flame devices, and flame producing features on all premises shall
be in accordance with Fire District Standard for Permits for Regulated Operations, Fire District
Standard for Open Flames and other applicable sections of this code.
SECTION 309 -POWERED INDUSTRIAL TRUCKS AND EQUIPMENT
309.1 General. Powered industrial trucks, electric carts/cars, and similar equipment including, but not
limited to, floor scrubbers and floor buffers, shall be operated and maintained in accordance with this
section.
SECTION 310 - SMOKING
310.1 General. The smoking or carrying of a lighted pipe, cigar, cigarette, or any other type of
smoking paraphernalia or material is prohibited in accordance with the Municipal Code of the City
Rancho Cucamonga and in the areas indicated in this section.
SECTION 314 -INDOOR DISPLAYS
314.1 General. Indoor displays constructed within any occupancy shall comply with this section and
Appendix N.
314.4 Vehicles. Liquid-fueled or gaseous-fueled vehicles, aircraft,boats, or other motorcraft shall not
be located indoors except as follows:
1. The engine starting system is made inoperable or batteries are disconnected except where the
fire code official requires that the batteries remain connected to maintain safety features.
2. Fuel in fuel tanks does not exceed one-quarter tank or 5 gallons (whichever is least).
3. Fuel tanks, fill openings, and filling connections are closed and sealed to prevent the escape of
vapors and locked or secured to prevent tampering.
4. Fuel tanks are inspected for leaks and determined to be free from leaks prior to placing the
vehicle in a building.
5. Vehicles, aircraft, boats, or other motorcraft equipment are not fueled or defueled within the
building.
6. The location of vehicles or equipment does not obstruct means of egress.
7. In accordance with the applicable provisions of Appendix N.
314.4.1 Approved competitions and demonstrations. Liquid-fueled and gaseous-fueled vehicles and
equipment approved by the fire code official for use in a competition or demonstration within a
building shall comply with Sections 314.4.1.1 through 314.4.1.3.
314.4.1.1 Fuel storage. Fuel for vehicles or equipment shall be stored in approved containers in an
approved location outside of the structure in an approved manner not less than 50 feet from the
structure. Storage shall be in accordance with the applicable chapters and sections of this code.
314.4.1.2 Fueling. Refueling shall be performed outside of the structure in an approved location not
less than 20 feet from the structure.
314.4.1.3 Spills. Fuel spills shall be cleaned up immediately.
Ordinance No.FD-061 -Page 14 of 49
Page 255
SECTION 315 - GENERAL STORAGE
315.1 General. Storage shall be in accordance with this section and other applicable sections of this
code. Outdoor pallet storage shall be in accordance with Sections 315.2 and 315.7. Indoor pallet
storage shall be in accordance with Sections 315.2 and 315.8. Storage of commodities that expand with
the absorption of water shall be in accordance with Sections 315.2 and 315.9.
315.8 Indoor pallet storage. Indoor pallet storage shall be in accordance with this code.
315.9 Commodities that expand with the absorption of water. Storage of commodities that expand
or have the potential to expand with the absorption of water, such as roll paper, are prohibited from
being stored within 24 inches of walls or roof support columns. Storage exclusion zones along walls
and around columns are required to be delineated and marked in a manner acceptable to the fire code
official. Markings are required to be maintained.
SECTION 316- HAZARDS TO FIRE FIGHTERS
316.6 Structures and outdoor storage underneath high-voltage transmission lines. Structures and
outdoor storage underneath high-voltage transmission lines shall comply with Sections 316.6.1 and
316.6.2, respectively.
316.6.1 Structures. Structures shall not be constructed within the utility easement beneath high-
voltage transmission lines.
Exceptions:
1. Restrooms and unoccupied telecommunications structures of noncombustible construction less
than 15 feet in height.
2. Temporary structures less than 15 feet in height such as storage sheds, sales offices, and
informational/management kiosks associated with uses such as community arg dens,
commercial nurseries, and sports facilities.
316.6.2 Outdoor storage. Outdoor storage within the utility easement underneath high-voltage
transmission lines shall be limited to noncombustible material. Storage of hazardous materials
including,but not limited to, flammable and combustible liquids is prohibited.
Exceptions:
1. Combustible storage, including vehicles and fuel storage for backup power equipment serving
public utility equipment, is allowed, provided that a plan indicating the storage configuration is
submitted and approved by the fire code official.
2. Plants, trees, shrubs, and other vegetation, including combustible containers, offered for sale.
3. Combustible materials used for garden boxes, trellises, and other gardening_ and food
cultivation associated with a community garden.
4. Fertilizers, pesticides, and herbicides necessary for the operation of a community garden or
commercial nursery in amounts that do not exceed an aggregate of 200 gallons or 500 pounds.
SECTION 317—VEGETATIVE, LANDSCAPED AND OCCUPIED ROOFS
317.1 General. Vegetative, landscaped and occupied roofs shall comply with Sections 1505 and
1507.15 of the California Building Code and be designed, constructed, installed and maintained in
accordance with this section.
Ordinance No.FD-061 -Page 15 of 49
Page 256
SECTION 325 -WEED AND FIRE HAZARD ABATEMENT
325.1 General. Every owner of private real property within the jurisdiction of the Fire District shall
abate all fire hazards created by weeds, seasonal grasses, tumbleweeds, native plants and trees, and
other vegetation, vegetation litter, debris, trash, or combustible waste material from such propeAL
including sidewalks, parkways, trails, and easements on such property unless the easement is under the
sole control of another person or entity. Such abatement shall be in accordance with Fire District
Standard for Vegetation Fire Hazard Abatement or the Municipal Code as applicable and as
determined by the fire code official. All such fire hazards are declared to be a public nuisance as to
which the costs of abatement, as more fully described in Fire District Standard for Vegetation Fire
Hazard Abatement and the Municipal Code, may be specially assessed as provided in Health and
Safety Code Sections 14902 and 14912 et seq., or otherwise as provided by law. The procedures for
abatement of fire hazards set forth in Fire District Standard for Vegetation Fire Hazard Abatement and
the Municipal Code are not exclusive but are in addition to any and all other procedures set forth in
this code for the abatement of nuisances and fire hazards.
CHAPTER 4
EMERGENCY PLANNING AND PREPAREDNESS
SECTION 401 - GENERAL
401.10 Indoor and Outdoor Special Events. Public assemblages; carnivals, fairs, exhibits, trade
shows, and similar indoor or outdoor events; special amusement areas; and seasonal sales lots shall
comply with the provisions of this code and Fire District Standard for Outdoor Carnivals, Fairs and
Outdoor Public Assemblages, Fire District Standard for Special Amusement Areas, Fire District
Standard for Seasonal Sales Areas, and Appendix N.
SECTION 402 -DEFINITIONS
402.1 Definitions. Definitions are in accordance with Chapter 2 and Fire District Standard for
Definitions.
SECTION 403 -EMERGENCY PREPAREDNESS REQUIREMENTS
403.9.2.2 Emergency guide. An emergency guide shall be provided for Group R-2 occupancies.
Guide contents, maintenance, and distribution shall comply with Sections 403.9.2.2.1 through
403.9.2.2.3.
403.9.2.2.1 Guide contents. The emergency guide shall describe the location and use of fire protection
equipment and appliances available for use by residents, including fire alarm systems, smoke alarms,
and portable fire extinguishers. Guides shall also include an emergency evacuation plan for each
dwelling unit and any other information determined by the fire code official or the emergency
management official to be beneficial in preventing,preparing for, mitigating, responding to, and/or
recovering from emergencies and/or disasters.
403.9.2.2.2 Emergency guide maintenance. Emergency guides shall be reviewed and approved by
the fire code official. Emergency_guides shall be reviewed at least annually by the owner, owner's
association, and/or the manager. When it is determined that the emergency_guide needs to be updated
and/or modified, proposed changes shall be submitted to the fire code official for review and approval.
Ordinance No.FD-061 -Page 16 of 49
Page 257
403.9.2.2.3 Emergency guide distribution. A copy of the emergency guide shall be given to each
tenant prior to initial occupancy. Updated versions of the emergency guide shall be given to all current
tenants. Each tenant shall acknowledge in a manner acceptable to the fire code official and the owner
or owner's agent the receipt of the fire emergency guide. Tenants shall provide such acknowledgement
when updated versions of the emergency guide are provided. Electronic versions of the emergency
guide and electronic distribution shall be acceptable.
403.11.1 Fire watch and safety standby personnel. Where, in the opinion of the fire code official, it
is essential for public safety in a place of assembly or any other place where people congregate,
because of the number of persons; the nature of the performance, exhibition, display, contest, or
activity; or the presence of hazards and/or risks to people or property, the owner, agent, or lessee shall
provide one or more qualified fire watch and/or safety standby personnel, as required and approved by
the fire code official. Fire watch and standby personnel shall comply with Sections 403.11.1.1 and
403.11.1.2.
403.11.1.1 Duty Times. Fire watch and safety standby personnel shall remain on duty while places
requiring a fire watch or safety observation are open to the public, or when an activity requiring a fire
watch or safety standby personnel is being conducted.
403.11.1.2 Duties. On-duty fire watch and safety standby personnel shall have the following
responsibilities:
1. Keep diligent watch for fires, obstructions to means of egress, and other hazards.
2. Immediatelyport fires, smoke conditions, major injuries, significantly unsafe conditions, and
other dangerous circumstances and public safety concerns by notif
ying the 911 system.
3. Prohibit unauthorized persons from entering areas that are unsafe.
4. Take prompt measures for remediation of hazards and extinguishment of fires that occur.
5. Take prompt measures to assist in the evacuation of the public from structures and/or other
areas of immediate danger in accordance with the conditions of the emergency-
6. Take prompt measures to assist with defending in place in accordance with the conditions of
the emergency.
7. Assist with emergency services as directed by first responders.
8. Unless determined otherwise by the public safely plan for gatherings, wear a uniform or be
identifiable and distinguishable to the attendees and first responders.
403.11.2 Public safety plan for gatherings. Where the fire code official determines that an indoor or
outdoor gathering of persons could have an adverse impact on public safety through diminished access
to buildings, structures, fire hydrants, fire apparatus access roads,persons in need of emergency
medical care, unrestricted access to the public way, and/or similar risks to general public safety or
where such gatherings could adversely affect public safety services of any kind, the fire code official
shall have the authority to order the development of, or prescribe a public safety plan that provides an
approved level of public safety and addresses the following items:
1. Emergency vehicle ingress and egress.
2. Fire protection and extinguishment.
3. Emergency egress, escape routes, or defend-in-place procedures and/or locations.
4. Emergency medical services.
5. Public assembly areas.
6. The directing of both attendees and vehicles, including the parking of vehicles.
7. Vendor and food concession distribution.
8. The need for the presence of law enforcement.
9. The need for fire and emergency medical services personnel to be on site.
Ordinance No.FD-061 -Page 17 of 49
Page 258
10. The need for a weather monitoring person.
>SECTION 404 - SAFETY,EVACUATION,AND LOCKDOWN PLANS
>404.1 General.Where required by Section 403, safety, evacuation and lockdown plans shall comply
with Sections 404.2 through 404.4.1.
[California Code of Regulations, Title 19,Division 1, §3.10]Evacuation of Buildings.
Upon notification of fire, conduct of any fire drill, upon activation of the fire alarm, or upon orders of
the fire authority having jurisdiction, buildings or structures within the scope of California Code of
Regulations, Title 19, Division I regulations shall be immediately evacuated, or occupants shall be
relocated in accordance with established plans.
>404.2 Contents. Safety, evacuation, and lockdown plan contents shall be in accordance with Sections
404.2.1 through 404.2.3.2.
>404.2.1 Evacuation plans. Evacuation plans shall include the following:
Note: No changes to the numbered list.
>404.2.2 Safety plans. Safety plans shall include the following:
Note: No changes to the numbered list except for those indicated below with underlining.
5. A list of major fire and other hazards associated with the normal use and occupancy of the
premises, including maintenance and housekeeping procedures.
>404.3 Maintenance. Safety, evacuation and lockdown plans shall be reviewed or updated annually or
as necessitated by changes in staff assignments, occupancy or the physical arrangement of the building.
>404.4 Availability. Safety, evacuation and lockdown plans shall be available in the workplace for
reference and review by employees, and copies shall be furnished to the fire code official for review on
request.
>404.4.1 Distribution. The safety, evacuation and lockdown plans shall be distributed to the tenants
and building service employees by the owner or owner's agent. Tenants shall distribute to their
employees the applicable parts of the safety plan and lockdown plan affecting the employees' actions
in the event of a fire or other emergency.
SECTION 405—EMERGENCY EVACUATION DRILLS
405.7 Notification.Where a fire alarm system that is monitored by a sgpervising station will be used
to initiate an emergency evacuation drill,prior notification of the emergency evacuation drill shall be
given to the fire code official.
CHAPTER 5
FIRE SERVICE FEATURES
SECTION 503 - FIRE APPARATUS ACCESS ROADS
503.1 Where required. Fire apparatus access roads shall be provided and maintained in accordance
with Sections 503.1.1 through 503.1.3 and Fire District Standard for Fire Apparatus Access Roads.
Ordinance No.FD-061 -Page 18 of 49
Page 259
503.1.2 Additional access. The fire code official is authorized to require more than one fire apparatus
road and/or points of access to fire apparatus access roads based on the potential for impairment of a
single road or point of access by vehicle congestion, condition of terrain, climatic conditions, or other
factors that could limit access.
503.2 Specifications. Fire apparatus access roads shall be designed, engineered, installed and arranged
in accordance with Sections 503.2.1 through 503.2.8 and Fire District Standard for Fire Apparatus
Access Roads.
[California Code of Regulations, Title 19,Division 1. Section 3.05(a)]Fire Department Access and
Egress. (Roads)
(a) Roads. Required access roads from every building to a public street shall be all-weather, hard
surfaced(suitable for use by fire apparatus) right-of-way not less than 26 feet in width. Such
right-of-way shall be unobstructed and maintained only as access to the public street.
Exception: The enforcing agency may waive or modify this requirement if in its opinion such
all-weather, hard-surfaced condition is not necessary in the interest of public safety or welfare.
503.2.1 Dimensions. Fire apparatus access roads shall have an unobstructed width of not less than 26
feet and an unobstructed vertical clearance of not less than 14 feet 6 inches. Street widths are to be
measured from top face of curb to top face of curb on streets with curb and gutter, from flowline to
flowline on streets with rolled curbs, from the edges of drivable surfaces capable of supporting the
weight of fire apparatus where curbs are not provided.
Exceptions:
1. Gates shall be in accordance with Sections 503.5 and 503.6 and Fire District Standard for
Access Gates.
2. Roads at entry medians constructed for private commercial, industrial, or residential
developments shall be a minimum of 20 feet on each side. The road shall not be part of a
radius turn. This exception does not apply to public streets.
3. Dimensions may be reduced when in the opinion of the fire code official there are practical
difficulties with providingthe he required dimensions.
4. Dimensions may be increased when in the opinion of the fire code official required dimensions
are not adequate to provide fire apparatus access or when dimensions are not adequate to
concurrently provide fire apparatus access and evacuation.
503.2.3 Surface. Fire apparatus access roads shall be designed and maintained to support the imposed
loads of fire apparatus and shall be surfaced so as to provide all weather driving capabilities.
Permanent fire apparatus access roads utilizing surface material other than concrete or asphalt shall be
in accordance with Fire District Standard for Fire Apparatus Access Roads and approved by the fire
code official. Temporary fire apparatus access roads shall be in accordance with Fire District Standard
for Fire Apparatus Access Roads.
503.2.4 Turning radius. The required turning radius of a fire apparatus access road shall be in
accordance with Fire District Standard for Fire Apparatus Access Roads.
503.2.5 Dead ends. Dead-end fire apparatus access roads in excess of 150 feet in length shall be
provided with an approved area for turning around fire apparatus in accordance with Fire District
Standard for Fire Apparatus Access Roads.
503.2.7 Grade. The grade of the fire apparatus access road shall be in accordance with Fire District
Standard for Fire Apparatus Access Roads.
Ordinance No.FD-061 -Page 19 of 49
Page 260
503.2.8 Angles of approach and departure. The angles of approach and departure for fire apparatus
access roads shall be in accordance with Fire District Standard for Fire Apparatus Access Roads.
503.3 Marking. Approved signs or other approved notices or markings that include the words NO
PARKING—FIRE LANE shall be provided for fire apparatus access roads to identify such roads or
prohibit the obstruction thereof. The means by which fire lanes are designated shall be maintained in a
clean and legible condition at all times and be replaced or repaired when necessary to provide adequate
visibility. Fire apparatus access road marking shall be in accordance with Fire District Standard for
Fire Apparatus Access Roads.
503.3.1 Markin during uring construction. When a construction site is enclosed by fencing or other
barriers, or when the designated fire apparatus access is not readily apparent during construction, the
location or locations of acceptable fire apparatus access to the construction site is required to be
temporarily installed or displayed in a manner, location, and duration acceptable to the fire code
official.
503.4 Obstruction of fire apparatus access. Fire apparatus access roads and public and private streets
that provide access to fire apparatus access roads shall not be obstructed in any manner, including the
parking or queuing of vehicles. The minimum widths and clearances established by the fire code
official in accordance with Section 503.2.1 shall be maintained at all times. Water run-off and flood
control dips or other surface irregularity shall be in accordance with Fire District Standard for Fire
Apparatus Access Roads.
503.4.1 Traffic calming devices. Traffic calming devices are required to be in accordance with Fire
District Standard for Fire Apparatus Access Roads and approved by the fire code official.
503.4.2 Storm water management. Where approved by the fire code official, fire apparatus access
roads may be used as part of a storm water management system in accordance with Fire District
Standard for Fire Apparatus Access Roads.
503.4.3 Drop off and pick up. Where approved by the fire code official, fire apparatus access roads
may be used for drop-off and pick-up in accordance with California Vehicle Code 22500.1 and Fire
District Standard for Fire Apparatus Access Roads.
503.5 Required gates or barricades. The fire code official is authorized to require the installation and
maintenance of gates or other approved barricades across fire apparatus access roads, trails, or other
accessways, not including public streets, alleys, or highways. Electric gate operators, where provided,
shall be listed in accordance with UL 325. Gates intended for automatic operation shall be designed,
constructed, and installed to comply with the requirements of ASTM F2200 and Fire District Standard
for Access Gates.
503.6 Security gates. The installation of security gates across a fire apparatus access road shall be
approved by the fire code official. Where security gates are installed, they shall have approved means
of emergency operation. The security gates and the emergency operation shall be maintained
operational at all times. Electric gate operators, where provided, shall be listed in accordance with UL
325. Gates intended for automatic operation shall be designed, constructed, and installed to comply
with the requirements of ASTM F2200. Vehicular gates shall be in accordance with Fire District
Standard for Access Gates.
Ordinance No.FD-061 -Page 20 of 49
Page 261
503.7 Aerial fire apparatus access roads. Buildings or portions of buildings or facilities exceeding 30
feet in height above the lowest level of fire department vehicle access, as measured to the highest point
of the building, shall be provided with approved aerial fire apparatus access roads capable of
accommodatingfi re department aerial apparatus in accordance with this section and Fire District
Standard for Fire Apparatus Access Roads.
SECTION 504 -ACCESS TO BUILDING OPENINGS AND ROOFS
504.1.1 Access identification. Required exterior access doors, including exit doors, in the warehouse
or manufacturing areas of any buildingwith ith a gross floor area greater than 10,000 square feet shall be
marked in accordance with Fire District Standard for Identification of Access Doors in Commercial—
Industrial Buildings to allow for quick identification by firefighters both inside and outside of the
building.
504.4.1 Aerial ladders.Aerial fire apparatus ladder access to the roof and parapet ladders shall be in
accordance with Fire District Standard for Roof Access.
SECTION 505 - PREMISES IDENTIFICATION
505.1 Address identification.New and existing buildings shall be provided with approved address
identification. The address identification shall be legible and placed in a position that is visible from
the street or road to which the building is addressed. Where required by the fire code official, address
numbers shall be provided in additional locations to facilitate emergency response. Address
identification characters shall contrast with their background. Address numbers shall be Arabic
numbers or alphabetical letters. Numbers shall not be spelled out. Addressing of multi-family
residential buildings shall be in accordance with Fire District Standard for Building Signage.
Addressing of commercial and industrial buildings shall be in accordance with Fire District Standard
for Building Signage. For all other buildings, each character shall be not less than 4 inches high with a
minimum stroke width of 0.5 inch. Acceptable dimensions of address numbers and letters will be
determined by the fire code official to ensure that they are plainly legible and visible. Where access is
by means of a private road or drive aisle and the building cannot be viewed from the public way, a
monument,pole, or other sign or means shall be used to identify the structure. Address identification
shall be maintained.
505.1.1 Identification during construction.When permanently installing the address of a building
under construction is not practical, the address of the construction site is required to be temporarily
installed or displayed in a manner, location, and duration acceptable to the fire code official.
SECTION 506-KEY BOXES
506.1 Where required. Where access to or within a structure or an area is restricted because of
secured openings or where immediate access is necessary for lifesaving or fire-fighting purposes, the
fire code official is authorized to require a key box to be installed in an approved location. The key box
shall be of an approved type listed in accordance with UL 1037 and shall contain keys and/or other
devices/information such as electronic card keys or access codes to gain necessary access as required
by the fire code official. Key boxes shall be in accordance with Fire District Standard for Key Boxes.
Ordinance No.FD-061 -Page 21 of 49
Page 262
SECTION 507-FIRE PROTECTION WATER SUPPLIES
507.1 Required water supply.An approved water supply capable of supplying the required fire flow
for fire protection shall be provided to premises upon which facilities, buildings or portions of
buildings are hereafter constructed or moved into or within the jurisdiction. The approved water supply
shall be in accordance with this section, Appendix B, and Fire District Standard for Fire Protection
Water Supply Systems.
507.3 Fire flow. Fire flow requirements for buildings or portions of buildings and facilities shall be in
accordance with Appendix B as amended and Fire District Standard for Fire Protection Water Supply
Systems.
507.5 Fire hydrant systems. Fire hydrant systems shall comply with Sections 507.5.1 through
507.5.6, Appendix C, and Fire District Standard for Fire Protection Water Supply Systems.
>507.5.1 Where required. Where a portion of the facility or building hereafter constructed or moved
into or within the jurisdiction is more than 300 feet from a hydrant on a public or private street, on-site
fire hydrants and mains shall be provided where required by the fire code official and in accordance
with Fire District Standard for Fire Protection Water Supply Systems.
Exceptions:
1. For Group R-3 and Group U occupancies, the distance requirement can be increased by the fire
code official but shall not exceed 600 feet.
2. For buildings equipped throughout with an approved automatic sprinkler system installed in
accordance with Section 903.3.1.1, 903.3.1.2, or 903.3.1.3, the distance requirement can be
increased by the fire code official but shall not exceed 600 feet.
507.5.1.1 Hydrant for standpipe systems. Buildings equipped with a standpipe system shall have a
fire hydrant located in accordance with Fire District Standard for Fire Protection Water Supply
Systems.
507.5.1.2 Hydrant for fire department connections.A minimum of one fire hydrant is required to be
installed in accordance with Fire District Standard for Fire Protection Water Supply Systems when a
fire protection system has a fire department connection.
SECTION 509-FIRE PROTECTION AND UTILITY EQUIPMENT IDENTIFICATION AND
ACCESS
509.3 Multi-tenant or multi-unit buildings. When an automatic fire sprinkler system or systems or a
fire alarm system or systems are installed in buildings constructed for multiple tenants and/or units and
the installed systemsprotect multiple tenant spaces or units, the fire sprinkler riser(s), fire alarm
control unit, and all other related valves, gauges, and/or controls for such systems shall be located in an
attached or included room or approved weather resistant enclosure accessible from the exterior of the
building. The room or enclosure shall be of a sufficient size as determined by the fire code official to
allow firefighters and other emergencyponders in full personal protective equipment the ability
operate safely with unrestricted access to all risers, control units, valves, and other installed equipment.
Access doors serving the room or walk-in enclosure are required to be a minimum of 3 feet in width
and 6 feet 8 inches in height.
Ordinance No.FD-061 -Page 22 of 49
Page 263
SECTION 511 - SITE PLANS
511.1 General. The owner of or person responsible for a building or facili , shall provide the fire code
official with a site plan in accordance with Fire District Standard for Site Plan Content. The owner or
responsible person shall provide an updated site plan to the fire code official when any element of the
site plan changes.
CHAPTER 6
BUILDING SERVICES AND SYSTEMS
SECTION 606 - COMMERCIAL COOKING EQUIPMENT, SYSTEMS,AND OPERATIONS
606.1 General. Commercial cooking equipment, systems, operations, and commercial kitchen exhaust
hoods shall comply with the requirements of this section, Section 904, Section 907, the California
Mechanical Code,NFPA 96, and Fire District Standard for Commercial Cooking,
SECTION 608 -MECHANICAL REFRIGERATION
608.11.1.2 Manual Operation. Where required by the fire code official, automatic crossover valves
shall be capable of manual operation. The manual valves are required be located outside of the
machinery room in an approved location easily accessible to emergency response personnel. The
valves can be secured to prevent tampering or unfettered access by unauthorized persons. The valves
or the security enclosure are required to be identified as Emergency Controls.
SECTION 610- CLOTHES DRYER EXHAUST SYSTEMS
610.1 Clothes dryer exhaust duct systems. Clothes dryer exhaust dust systems shall be in accordance
with Sections 610.1.1 through 610.1.3.
610.1.3 Reports. Reports in a format acceptable to the fire code official are required to document the
required maintenance of clothes dryer exhaust duct systems installed in Group R-1, R-2, R-2.1, and R-
4 occupancies.
CHAPTER 8
INTERIOR FINISH,DECORATIVE MATERIALS AND FURNISHINGS
SECTION 807-DECORATIVE MATERIALS OTHER THAN DECORATIVE
VEGETATION IN NEW AND EXISTING BUILDINGS
>807.5.2 Group E. Group E occupancies shall comply with Fire District Standard for Schools and
Classrooms.
Note: The remainder of Section 807.5.2 is deleted and replaced with Fire District Standard for
Schools and Classrooms.
>807.5.5 Group I-4. Group I-4 occupancies shall comply with Fire District Standard for Schools and
Classrooms.
Note: The remainder of Section 807.5.5 is deleted and replaced with Fire District Standard for
Schools and Classrooms.
Ordinance No.FD-061 -Page 23 of 49
Page 264
CHAPTER 9
FIRE PROTECTION AND LIFE SAFETY SYSTEMS
SECTION 901 - GENERAL
901.4.2 Non-required fire protection systems.A fire protection system or portion thereof not
required by this code, or the California Building Code shall be allowed to be furnished for partial or
complete protection provided such installed system meets the applicable requirements of this code and
the California Building Code. Partial systems shall be in accordance with Fire District Standard for
Non-Required Systems.
901.7 Systems out of service. Where a required fire protection system is out of service, the fire
department and the fire code official shall be notified immediately and, where required by the fire code
official, the building shall either be evacuated, or an approved fire watch shall be provided for all
occupants left unprotected by the shut down until the fire protection system has been returned to
service.
Where utilized, fire watches shall be provided with at least one approved means for notification of the
fire department and their only duty shall be to perform constant patrols of the protected premises and
keep watch for fires. A fire watch shall be in accordance with Fire District for Systems Out of Service.
901.8 Removal of or tampering with equipment. It shall be unlawful for any person to remove,
tamper with, intentionally damage or destroX, or otherwise disturb any fire protection or life safety
system, or other appurtenance installed as a component of a fire protection or life safetsystem
required by this code, except for the purpose of extinguishing fire, approved training, recharging or
making necessary repairs, or where approved by the fire code official. The fire code official is
authorized to approve means for preventing and deterring the unlawful removal of and/or tampering
with equipment installed as part of a fire protection or life safely system.
SECTION 903 - AUTOMATIC SPRINKLER SYSTEMS
903.1 General. Automatic sprinkler systems shall comply with this section, Fire District Standard for
Fire Protection Water Supply Systems, and Fire District Standard for Automatic Fire Sprinkler
Systems.
>903.2 Where required.Approved automatic sprinkler systems shall be provided:
1. In new buildings and structures in the locations described in Sections 903.2.1 through 903.2.22
as amended.
2. In existing buildings and structures where an addition or cumulative additions to the original
footprint of the building or structure creates a fire area that is required by Sections 903.2.1
through 903.2.22 as amended to have an automatic sprinkler system.
Exception: Group R-3 occupancies.
3. In existing buildings and structures when a change in use results in a fire area that is required
by Sections 903.2.1 through 903.2.22 as amended to have an automatic sprinkler system.
Exception: Group R-3 occupancies converted to Group R-3.1 occupancies in accordance
with this section.
903.2.1 Group A. An automatic sprinkler system shall be provided throughout buildings and portions
thereof used as Group A occupancies as provided in this section.
Ordinance No.FD-061 -Page 24 of 49
Page 265
903.2.1.1 Group A-1. An automatic sprinkler system shall be provided throughout stories containing
Group A-1 occupancies and throughout all stories from the Group A-1 occupancy to and including the
levels of exit discharge serving that occupancy where one of the following conditions exists:
1. The fire area exceeds 5,000 square feet of new construction area.
2. The fire area exceeds 12,000 square feet in an existing building where the fire area is increased,
or the occupancy classification is changed to Group A-1.
3. The fire area has an occupant load of 300 or more; or
4. The fire area is located on a floor other than a level of exit discharge serving such occupancies.
5. The fire area contains a multi-theater complex.
903.2.1.2 Group A-2. An automatic sprinkler system shall be provided throughout stories containing
Group A-2 occupancies and throughout all stories from the Group A-2 occupancy to and including the
levels of exit discharge serving that occupancy where one of the following conditions exists:
1. The fire area exceeds 5,000 square feet.
2. The fire area has an occupant load of 100 or more; or
3. The fire area is located on a floor other than a level of exit discharge serving such occupancies.
4. The structure exceeds 5,000 square feet, contains more than one fire area containing a Group
A-2 occupancy, and is separated into two or more buildings by fire walls of less than 4-hour
fire-resistance rating without openings.
903.2.1.3 Group A-3. An automatic sprinkler system shall be provided throughout stories containing
Group A-3 occupancies and throughout all stories from the Group A-3 occupancy to and including the
levels of exit discharge serving that occupancy where one of the following conditions exists:
1. The fire area exceeds 5,000 square feet of new construction area.
2. The fire area exceeds 12,000 square feet in an existing building where the fire area is increased,
or the occupancy classification is changed to Group A-3.
3. The fire area has an occupant load of 300 or more; or
4. The fire area is located on a floor other than a level of exit discharge serving such occupancies.
5. The structure exceeds 12,000 square feet, contains more than one fire area containing
exhibition and display rooms, and is separated into two or more buildings by fire walls of less
than 4-hour fire resistance rating without openings.
903.2.1.4 Group A-4. An automatic sprinkler system shall be provided throughout stories containing
Group A-4 occupancies and throughout all stories from the Group A-4 occupancy to and including the
levels of exit discharge serving that occupancy where one of the following conditions exists:
1. The fire area exceeds 5,000 square feet of new construction area.
2. The fire exceeds 12,000 square feet in an existing building where the fire area is increased, or
the occupancy classification is changed to Group A-4.
3. The fire area has an occupant load of 300 or more.
4. The fire area is located on a floor other than a level of exit discharge serving such occupancies.
903.2.1.5 Group A-5. An automatic sprinkler system shall be provided for all enclosed Group A-5
accessory use areas in excess of 1,000 square feet.
903.2.3 Group E.An automatic sprinkler system shall be provided for Group E occupancies as
follows:
1. Throughout all Group E fire areas greater than 5,000 square feet in area.
Note: Conditions 2-7 are not amended. All other provisions of this section remain unchanged.
Ordinance No.FD-061 -Page 25 of 49
Page 266
903.2.4 Group F-1. An automatic sprinkler system shall be provided throughout all buildings
containing a Group F- 1 occupancy where one of the following conditions exists:
1. A Group F-1 fire area exceeds 5,000 square feet.
2. A Group F-1 fire area is located more than three stories above grade plane.
3. The combined area of all Group F-1 fire areas on all floors, including any mezzanines, exceeds
5,000 square feet of new construction area or 12,000 square feet in an existing building where
the fire area is increased, or the occupancy classification is changed to Group F-1.
4. A Group F-1 occupancy is used to manufacture lithium-ion or lithium metal batteries.
5. A Group F-1 occupancy is used to manufacture vehicles, energy storage systems or equipment
containing lithium-on or lithium metal batteries where the batteries are installed as part of the
manufacturing process.
903.2.7 Group M. An automatic sprinkler system shall be provided throughout buildings containing a
Group M occupancy where one of the following conditions exists:
1. A Group M fire area exceeds 5,000 square feet of new construction area.
2. A Group M fire area exceeds 12,000 square feet in an existing building where the fire area is
increased, or the occupancy classification is changed to Group M.
3. A Group M fire area is located more than three stories above grade plane.
4. The combined area of all Group M fire areas on all floors, including any mezzanines, exceeds
5,000 square feet of new construction area or 12,000 square feet in an existing building where
the fire area is increased, or the occupancy classification is changed to Group M.
5. The structure exceeds 12,000 square feet, contains more than one fire area containing a Group
M occupancy, and is separated into two or more buildings by fire walls of less than 4-hour fire-
resistance rating.
903.2.7.2 Group M upholstered furniture or mattresses. An automatic sprinkler system shall be
provided throughout a Group M fire area where the area used for the display and sale of upholstered
furniture or mattresses exceeds 2,500 square feet.
903.2.9 Group S-1.An automatic sprinkler system shall be provided throughout all buildings
containing a Group S-1 occupancy where one of the following conditions exists:
1. A Group S-1 fire area exceeds 5,000 square feet of new construction area.
2. A Group S-1 fire area exceeds 12,000 square feet in an existing building where the fire area is
increased, or the occupancy classification is changed to Group S-1.
3. A Group S-1 fire area is located more than three stories above grade plane.
4. The combined area of all Group S-1 fire areas on all floors, including any mezzanines, exceeds
5,000 square feet of new construction area or 12,000 square feet in an existing building here
the fire area is increased, or the occupancy classification is changed to Group S-1.
5. A Group S-1 fire area used for the storage of commercial motor vehicles where the fire area
exceeds 5,000 square feet.
6. A Group S-1 fire area used for the storage of lithium-ion or lithium metal powered vehicles
where the fire area exceeds 500 square feet.
903.2.9.1 Repair garages.An automatic sprinkler system shall be provided throughout all buildings
used as repair garages in accordance with Section 406.8 of the California Building Code, as shown:
1. Buildings having two or more stories above grade plane, including basements, with a fire area
containing a repair garage exceeding 5,000 square feet.
2. Buildings no more than one story above grade plane, with a fire area containing a repair garage
exceeding 5,000 square feet.
3. Buildings with repair garages servicing vehicles parked in basements.
Ordinance No.FD-061 -Page 26 of 49
Page 267
4. A Group S-1 fire area used for repair of commercial motor vehicles where the fire area exceeds
5,000 square feet.
5. A Group S-1 fire area used for the storage of lithium-ion or lithium metal powered vehicles
where the fire area exceeds 500 square feet.
903.2.10 Group S-2 parking garages.An automatic sprinkler system shall be provided throughout
buildings classified as parking garages where any of the following conditions exist:
1. Where the fire area of the enclosed parking garage, in accordance with Section 406.6 of the
California Building Code, exceeds 5,000 square feet.
2. Where the enclosed parking garage, in accordance with Section 406.6 of the California
Building Code, is located beneath other groups.
Exception: Enclosed parking garages located beneath Group R-3 occupancies.
3. Where the fire area of the open parking garage, in accordance with Section 406.5 of the
California Building Code, exceeds 12,000 square feet.
903.2.22 Pet dealers and pet boarding facilities.An automatic fire sprinkler system is required to be
installed and monitored by an i1pproved supervising station in accordance with this code in pet dealer
and pet boarding facilities in compliance with Health and Safety Code Sections 122155 and 122385.
Exception: Where an automatic fire alarm system is installed and monitored by an approved
supervising station in accordance with this code.
903.4 Sprinkler system supervision and alarms.Valves controlling the water supply for automatic
sprinkler systems, pumps, tanks, water levels and temperatures, critical air pressures, and water-flow
switches on all sprinkler systems shall be electrically supervised by a listed fire alarm control unit in
accordance with this section and applicable Fire District Standards.
Exceptions:
1. Automatic sprinkler systems protecting one- and two-family dwellings.
2. Limited area sprinkler systems in accordance with 903.3.8.
3. Automatic sprinkler systems installed in accordance with NFPA 13R where a common supply
main is used to supply both domestic water and the automatic sprinkler system, and a separate
shutoff valve for the automatic sprinkler system is not provided.
4. Jockey pump control valves that are sealed or locked in the open position.
5. Exception deleted.
6. Valves controlling the fuel supply to fire pump engines that are sealed or locked in the open
position.
7. Trim valves to pressure switches in dry, pre-action and deluge sprinkler systems that are sealed
or locked in the open position.
8. Underground key or hub gate valves in roadway boxes.
903.4.4 Floor control valves.Approved supervised indicating control valves shall be provided at the
point of connection to the riser on each floor in all multi-story buildings
903.6 Where required in existing buildings and structures. An automatic sprinkler system shall be
provided in existing buildings and structures where required in Chapter 1 land Section 903 as amended
herein.
SECTION 904 -ALTERNATIVE AUTOMATIC FIRE-EXTINGUISHING SYSTEMS
904.1 General. Automatic fire-extinguishing systems, other than automatic sprinkler systems, shall be
designed, installed, inspected, tested, and maintained in accordance with the provisions of this section,
Ordinance No.FD-061 -Page 27 of 49
Page 268
Fire District Standard, and Fire District Standard for Fire Extinguishing_ Systems, and the applicable
referenced standards.
904.2.2 Commercial hood and duct systems. Each required commercial kitchen exhaust hood and
duct system required by Section 606 to have a Type I hood shall be protected with an approved
automatic fire-extinguishing system installed in accordance with this code, manufacturer's
specifications,NFPA 96, and Fire District Standard for Commercial Cooking Operations.
904.3.3 System interlocking.Automatic equipment interlocks with fuel controls and shutoffs,
ventilation activation and other controls, door closers, window shutters, conveyor openings, smoke and
heat vents, and other features necessary for the safe and proper operation of the fire-extinguishing
system shall be provided as required by the design and installation standard utilized for the hazard, this
code, Fire District Standard for Commercial Cooking Operations, and applicable NFPA standards.
904.3.5 Monitoring. Where a building fire alarm system or a sprinkler monitoring system is installed,
automatic fire-extinguishing systems shall be monitored by the building fire alarm system or sprinkler
monitoring system in accordance with NFPA 72.
904.14 Commercial cooking systems. Commercial cooking equipment that produces grease laden
vapors shall be provided with a Type I Hood, in accordance with the California Mechanical Code and
Section 606 of this code as amended, and an automatic fire extinguishing system that is listed and
labeled for its use as follows:
Note: Conditions 1-3 and exceptions are not amended.
SECTION 905 - STANDPIPE SYSTEMS
905.2 Installation standard. Standpipe systems shall be installed in accordance with this section,
NFPA 14 as amended in Chapter 80, and Fire District Standard for Fire Protection Water Supply
Systems. Fire department connections for standpipe systems shall be in accordance with Section 912.
SECTION 906 - PORTABLE FIRE EXTINGUISHERS
906.1 Where required. Portable fire extinguishers shall be installed in accordance with this code or
readily available in all of the following locations:
Note: Conditions 1-9 are not amended.
10. At all outdoor events, special events, temporary uses, indoor and outdoor trade shows and
exhibitions, and outdoor cooking operations in accordance with this code, Appendix N,
Appendix O, and applicable Fire District Standards.
906.1.1 Group S storage areas. Where approved by the fire code official, in storage areas of Group S
occupancies where forklift,powered industrial truck, or powered cart operators are the primarX
occupants, portable fire extinguishers, as specified in NFPA 10 and CCR Title 19, shall not be required
where the storage area is in accordance with all of the following
1. Vehicle-mounted extinguishers approved by the fire code official are provided on all forklifts,
powered industrial trucks, and powered carts, including those that are designated as back LIP,
reserve, or standby vehicles.
2. Each vehicle is equipped with a 10-pound, 40A:80B:C extinguisher affixed to the vehicle using
a mounting bracket approved by the extinguisher manufacturer or the fire code official for
vehicular use.
Ordinance No.FD-061 -Page 28 of 49
Page 269
3. Not less than two spare extinguishers of equal or greater rating shall be available on-site to
replace a discharged extinguisher. Spare extinguishers are required to be of size and dimension
to be properly restrained by the mounting brackets installed on the vehicles.
4. Vehicle operators shall be trained in the proper operation,use, and inspection of extinguishers
through a training program approved by the fire code official.
5. Inspections of vehicle-mounted extinguishers shall be performed daily.
6. A 10-pound, 40A:8013:C extinguisher is installed at every exterior door in accordance with the
applicable provisions of NFPA 10 and CCR Title 19.
906.6 Unobstructed and unobscured. Portable fire extinguishers shall not be obstructed or obscured
from view. In rooms or areas in which visual obstruction cannot be completely avoided, means
acceptable to the fire code official shall be provided to indicate the locations of extinguishers.
SECTION 907 - FIRE ALARM AND DETECTION SYSTEMS
907.1 General. This section covers the application, installation,performance, and maintenance of fire
alarm systems and their components in new and existing buildings and structures. The requirements of
Section 907.2 are applicable to new buildings and structures. The requirements of Section 907.9 are
applicable to existing buildings and structures. Fire alarm and detection systems, remote annunciation,
reset and silence procedures, listing certification, monitoring, notification appliances, equipment
disconnect interfaces, and a posted zone map in new and existing buildings shall be in accordance with
Fire District Standard for Fire Alarm and Monitoring Systems.
907.1.2 Fire alarm shop drawings. Shop drawings and plans for new fire alarm systems,
modifications to existing fire alarm systems, and certain maintenance and repairs shall be prepared in
accordance with NFPA 72 and Fire District Standard for Fire Alarm and Monitoring Systems and
submitted for review and approval prior to system installation or commencing modifications,
maintenance, or repairs.
Exception: Emergency repairs as allowed by Fire District Standard for Fire Alarm and Monitoring
Systems.
907.1.6 Alarm Signal Verification. Remote monitoring and supervising station services shall attempt
to verify an alarm signaloriginating from a residential or commercial protected premises prior to
reporting the alarm signal to the public safety communications center. Verification shall be in
accordance with NFPA 72 and Fire District Standard for Alarm Signal Verification.
907.2.30 Pet dealers and yet boarding facilities.An automatic fire alarm system is required to be
installed and monitored by an approved supervising station in accordance with this code in pet dealer
and pet boarding facilities in compliance with Health and Safety Code Sections 122155 and 122385.
Exception: Where an automatic fire sprinkler system installed and monitored by an 4pproved
supervising station in accordance with this code.
>907.6.3 Initiating device identification. The fire alarm system shall identify the specific initiating
device address, location, device type, floor level where applicable, and status, including indication of
normal, alarm, trouble, and/or supervisory status, as appropriate.
Exceptions:
1. Exception deleted.
2. Exception deleted.
3. Special initiating devices that do not support individual device identification.
4. Fire alarm systems or devices that are replacing existing equipment.
Ordinance No.FD-061 -Page 29 of 49
Page 270
907.6.6.2 MIY monitoring. Direct transmission of alarms Associated with monitor-it-yourself(MIY)
transmitters to a public safety answering point(PSAP) are not be permitted.
907.7 Acceptance tests and completion.Upon completion of the installation, modification, repair, or
maintenance, the fire alarm system and all fire alarm components shall be tested in accordance with
NFPA 72 and Fire District Standard for Fire Alarm and Monitoring Systems.
SECTION 912 -FIRE DEPARTMENT CONNECTIONS
912.1 Installation. Fire department connections shall be installed in accordance with the NFPA
standard applicable to the system design and shall comply with Sections 912.2 through 912.7 and Fire
District Standard for Fire Protection Water Supply Systems.
912.2.2 Existing buildings. On existing buildings, wherever the fire department connection is not
visible to approaching fire apparatus, the fire department connection shall be indicated by an approved
sign in accordance with Fire District Standard for Fire Protection Water Supply Systems.
>912.5 Signs. A sign in accordance with Fire District Standard for Fire Protection Water Supply
Systems shall be mounted on all fire department connections serving automatic sprinklers, standpipes,
or fire pump connections. Where the fire department connection does not serve the entire building, a
sign shall be provided indicating the portions of the building served.
SECTION 913 -FIRE PUMPS
913.2 Protection against interruption of service. The fire pump, driver, and controller shall be
protected in accordance with NFPA 20 against possible interruption of service through damage caused
by explosion, fire, flood, earthquake, rodents, insects, windstorm, freezing, vandalism and other
adverse conditions.
913.2.3 Alternate source of power.Notwithstanding the availability of a public utility to provide
electric service for a fire pump, electrically driven fire pumps shall be provided with an alternate
source of power in accordance with NFPA 20 due to historical and foreseeable extended power
interruptions along the California Power Grid due to high demand, high heat, public safely power
shutoffs, and damage to the power grid caused by destructive natural events common in Southern
California such as wildfires, Santa Ana winds, and earthquakes.
913.2.4 Alternate source of fuel.Notwithstanding the availability of a public utilityprovide natural
gas for a fuel powered fire pump, natural gas fueled fire pumps supplied from the public utility shall be
provided with an alternate source of fuel or the ability to accept an alternate source of fuel due to
historical and foreseeable extended interruptions of the natural -gas supply caused by seismic activity.
913.2.5 Interruption of service. When a fire pump installed to provide the required demand for one or
more fire sprinkler systems experiences an interruption of service, the interruption of service shall
constitute the fire sprinkler system being out of service regardless of an uninterrupted sppply of water
to the fire sprinkler system. An interruption of service to a fire pump shall be in accordance with
Section 901.7 of this code.
Ordinance No.FD-061 -Page 30 of 49
Page 271
CHAPTER 10
MEANS OF EGRESS
SECTION 1003 - GENERAL MEANS OF EGRESS
1003.8 Public swimming pools. Public swimming pool enclosures, gates, and means of egress shall be
in accordance with the California Building Code, the California Health and Safety Code, and the Fire
District Guidance Document for SwimmingPools.
ools.
SECTION 1013 -EXIT SIGNS
1013.1 Where required. Exits and exit access doors shall be marked by an approved exit sign readily
visible from any direction of egress travel. The path of egress travel to exits and within exits shall be
marked by readily visible exit signs to clearly indicate the direction of egress travel in cases
where the exit or the path of egress travel is not immediately visible to the occupants. Intervening
means of egress doors within exits shall be marked by exit signs. Exit sign placement shall be such that
any point in an exit access corridor or exit passageway is within 100 feet(30 480 mm) or the listed
viewing distance of the sign, whichever is less, from the nearest visible exit sign.
Exceptions:
1. Exit signs are not required in rooms or areas that require only one exit or exit access.
2. Main exterior exit doors or gates that are obviously and clearly identifiable as exits need not
have exit signs where approved by the fire code official.
3. Exit signs are not required in occupancies in Group U and individual sleeping units or dwelling
units in Group R-1, R-2, R-3, or R-3.1.
4. Exit signs are not required where inmates are housed or held in dayrooms, sleeping rooms or
dormitories in occupancies in Group I-3.
5. In occupancies in Groups A-4 and A-5, exit signs are not required on the seating side of
vomitories or openings into seating areas where exit signs are provided in the concourse that
are readily apparent from the vomitories. Egress lighting is provided to identify each vomitory
or opening within the seating area in an emergency.
6. In Group S occupancies approved for high-piled combustible storage where forklift, powered
industrial truck, and powered cart operators are the primary occupants, exit signs are not
required in the aisles, the shipping and receiving areas, or between exits and exit access doors.
CHAPTER 11
EXISTING BUILDINGS
SECTION 1101 - GENERAL
1101.1 Scope. The provisions of this chapter shall apply to existing buildings constructed prior to the
adoption of this code. Construction, fire protection, and life safety in existing buildings shall be in
accordance with this chapter, this code, the California Building Code, the California Existing Building
Code, and other applicable codes.
1101.2 Intent. The intent of this chapter is to provide a minimum degree of fire and life safety to
persons occupying existing buildings by providing minimum construction, fire protection, and life
safety requirements where existing buildings do not comply with the minimum requirements of this
code or the California Building Code.
SECTION 1103 -FIRE SAFETY REQUIREMENTS FOR EXISTING BUILDINGS
Ordinance No.FD-061 -Page 31 of 49
Page 272
1103.5.3 Group I-2, Condition 2. In addition to the requirements of Section 1103.5.2, existing
buildings of Group I-2, Condition 2 occupancy shall be equipped throughout with an approved
automatic sprinkler system in accordance with Section 903.3.1.1. The automatic sprinkler system shall
be installed within a time frame established by the fire code official.
CHAPTER 12
ENERGY SYSTEMS
SECTION 1203 -EMERGENCY AND STANDBY POWER SYSTEMS
1203.1.6.1 Alternate source of power.Notwithstanding the availabilitypublic electric utility, an
alternate source of power shall be provided when the manufacturer's instructions, the listing, this code,
or applicable referenced standards require equipment to have an uninteMMtable power source. The
public electric utility is not considered a reliable uninterruptable power source due to historical and
foreseeable extended power interruptions along the California Power Grid due to high demand, high
heat,public safely power shutoffs, and damage to the power grid caused by destructive natural events
common in Southern California such as wildfires, Santa Ana winds, and earthquakes.
1203.1.6.2 Alternate source of fuel.Notwithstanding the availability of a public utility to provide
natural gas for a stationary emergency power generator, natural gas fueled stationary emergency_power
generators supplied from the public utility shall be provided with an alternate source of fuel or the
ability to accept an alternate source of fuel due to historical and foreseeable extended interruptions of
the natural gas supply caused by seismic activity.
SECTION 1204 -PORTABLE GENERATORS
>1204.10 Fire extinguisher.A listed portable fire extinguisher complying with section 906 with a
minimum rating of 2-A:20-B:C shall be provided when a portable generator is in use. Based on the size
and approved location of the portable generator, the fire code official is authorized to require additional
fire extinguishers and/or fire extinguishers with a higher rating Extinguishers are required to be
located with respect to the portable generator as directed by the fire code official.
SECTION 1205 - SOLAR PHOTOVOLTAIC POWER SYSTEMS
1205.3 Other than Group R-3 buildings.Access to systems for buildings, other than those containing
Group R-3 occupancies, shall be provided in accordance with Sections 1205.3.1 through 1205.3.3.
1205.3.2 Interior pathways. Interior pathways shall be provided between array sections to meet the
following requirements:
1. Pathways shall be provided at intervals not greater than 150 feet throughout the length and
width of the roof.
2. A pathway not less than 4 feet wide in a straight line to roof standpipes, ventilation hatches,
and permanently installed ladders intended for firefighter use.
1205.3.5 Access ladders. Where access ladders are required and installed in accordance with Fire
District Standard for Roof Access, a clear operational area at the base of the ladder of not less than 8
feet by 8 feet is required to be provided. This operational area is required to provide unobstructed
access to a perimeter pathway and/or an interior pathway as required by this section and as determined
by the fire code official.
Ordinance No.FD-061 -Page 32 of 49
Page 273
1205.5.1 Vegetation control. A vegetation exclusion zone of not less than 10 feet shall be required
around the perimeter of the ground-mounted photovoltaic arrays. A noncombustible base of gravel or
other noncombustible base approved by the fire code official shall be installed and maintained under
the photovoltaic arrays and associated electrical equipment installations. The fire code official is
authorized to require additional vegetation exclusion and/or management consistent with the hazards
and risks of the location where a ground-mounted photovoltaic array is installed.
SECTION 1207-ELECTRICAL ENERGY STORAGE SYSTEMS (ESS)
1207.5.7 Vegetation control. Areas within 10 feet on each side of outdoor ESS shall be cleared of
combustible vegetation and other combustible growth. The fire code official is authorized to require
additional vegetation exclusion and/or management consistent with the hazards and risks of the
location where an outdoor ESS is installed.
1207.6.5 Thermal runaway. Where required by table 1207.6 or elsewhere in this code, batteries and
other ESS shall be provided with a listed device or other approved method acceptable to the fire code
official to prevent, detect and minimize the impact of thermal runaway.
CHAPTER 23
MOTOR FUEL-DISPENSING FACILITIES AND REPAIR GARAGES
SECTION 2301 - GENERAL
2301.1 Scope. Automotive motor fuel dispensing facilities, marine motor fuel-dispensing facilities,
fleet vehicle motor fuel-dispensing facilities, aircraft motor-vehicle fuel-dispensing facilities,
residential fueling operations, and repair garages shall be in accordance with this chapter and the
California Building Code, International Fuel Gas Code, and California Mechanical Code. Such
operations shall include both those that are accessible to the public and private operations.
CHAPTER 26
FUMIGATION AND INSECTICIDAL FOGGING
SECTION 2601 - GENERAL
2601.1 Scope. Fumigation and insecticidal fogging operations within buildings, structures, and spaces
shall comply with this chapter and the California Food and Agricultural Code, Divisions 6 and 7.
Where there are conflicting provisions, the regulations contained in the Food and Agricultural Code
shall prevail.
2601.2 Permits.An operational permit is not required to conduct fumigation and insecticidal fogging
operations per California State Fire Marshal Informational Bulletin issued 10-03-00. Instead,provide
required notification to the fire code official in accordance with Section 2603.3 of this code and the
California Business and Professions Code Section 8505.5.
CHAPTER 28
LUMBER YARDS AND AGRO-INDUSTRIAL, SOLID BIOMASS AND WOODWORKING
FACILITIES
Ordinance No.FD-061 -Page 33 of 49
Page 274
SECTION 2804 -FIRE PROTECTION
2804.5 Water supply. An approved fire hydrant/water supply system capable of supplying 1,500
gallons per minute (,gpm) fire flow for 2 hours shall be provided within 150 feet of all portions of the
yard. When required fire flow cannot be provided, the fire code official is authorized to impose
additional restrictions on pile sizes, locations, and separations.
CHAPTER 31
TENTS, TEMPORARY SPECIAL EVENT STRUCTURES,
AND OTHER MEMBRANE STRUCTURES
SECTION 3101 - GENERAL
3101.1 Scope. Tents, temporary special event structures, and membrane structures shall comply with
this chapter, Fire District Standard for Outdoor Carnivals, Fairs and Public Assemblages, and Fire
District Standard for Tents and Temporary Structures. The provisions of Section 3103 are applicable
only to temporary tents and membrane structures. The provisions of Sections 3104 and 3106 are
applicable to temporary and permanent tents and membrane structures. The provisions of Section 3105
are applicable to temporary special event structures. The provisions of Section 3106 are applicable to
inflatable amusement devices. The provisions of Section 3107 are applicable to outdoor assembly
events. Other temporary structures shall comply with the California Building Code.
SECTION 3103 - TEMPORARY TENTS AND MEMBRANE STRUCTURES
3103.1 General. Tents and membrane structures used for temporary periods of 30 days or less shall
comply with this section and Section 3107. Tents and membrane structures used for a period of 31 to
180 days shall comply with the California Building Code. Other temporary structures erected for a
period of 180 days or less shall comply with the California Building Code.
3103.7.2 Location. Tents or membrane structures shall not be located within 20 feet of lot lines,
buildings, other tents or membrane structures, drive aisles available for vehicular use,parked vehicles,
or internal combustion engines. For the purpose of determining required distances, support ropes and
guy wires shall be considered as part of the temporary membrane structure or tent.
SECTION 3105 - TEMPORARY SPECIAL EVENT STRUCTURES
3105.4 Use period. Temporary special event structures erected in accordance with ANSI E1.21 shall
not be erected for a period of more than 30 days.
SECTION 3107 - OUTDOOR ASSEMBLY EVENTS
3107.1 Scope. Outdoor assembly events shall comply with this section, Chapter 4 as applicable, and all
applicable Fire District Standards.
CHAPTER 32
HIGH-PILED COMBUSTIBLE STORAGE
Ordinance No.FD-061 -Page 34 of 49
Page 275
SECTION 3201 - GENERAL
3201.1 Scope. High-piled combustible storage shall be in accordance with this chapter and Fire
District Standard for High Piled Combustible Storage. In addition to the requirements of this chapter,
the following material-specific requirements shall apply:
Note: No changes to the numbered list.
SECTION 3205 -HOUSEKEEPING AND MAINTENANCE
3205.7 Designation of storage heights and areas. Where required by the fire code official, a visual
method of indicating the maximum allowable storage height and area shall be provided.
SECTION 3206 - GENERAL FIRE PROTECTION AND LIFE SAFETY FEATURES
3206.7 Fire department access doors. Where fire department access doors are required by Table
3206.2, fire department access doors shall be provided in accordance with Sections 3206.7.1 through
3206.7.9.
3206.7.3 Access to doors.An all-weather surface of either asphalt or concrete not less than 3 feet in
width is required to provide a continuous pathway connecting the exterior landings of the fire access
doors. Fire department access doors shall be able to be accessed without the use of a ladder.
3206.7.9 Identification of fire department access doors. Required access doors in any building with
a gross floor area greater than 10,000 square feet shall be marked in accordance with Fire District
Standard for Identification of Access Doors in Commercial and Industrial Buildings.
SECTION 3208 -RACK STORAGE
3208.3 Flue spaces. Rack storage areas protected with an automatic sprinkler system shall be provided
with flue spaces in accordance with Table 3208.3. Required flue spaces shall be maintained.
3208.3.1 Flue space protection and identification. Flue spaces required by Table 3208.3 above the
first tier of storage in single-, double-, or multiple-row rack storage installations shall be identified and
equipped with approved protection devices in accordance with this section and Fire District Standard
for High Piled Combustible Storage. Such devices and means of identification shall not be removed or
modified.
CHAPTER 33
FIRE SAFETY DURING CONSTRUCTION AND DEMOLITION
SECTION 3301 - GENERAL
3301.1 Scope. This chapter shall apply to structures in the course of construction, alteration, or
demolition, including those in underground locations. This chapter shall also apply to the site and
operations associated with construction, alteration, or demolition. Compliance with NFPA 241 and/or
Fire District Standard for Fire Prevention and Site Safety During Construction is required for items not
specifically addressed in this chapter.
3301.3 Site safety plan. A site safely plan shall be provided in accordance with Section 3303 and Fire
District Standard for Fire Prevention and Site Safety During Construction.
Ordinance No.FD-061 -Page 35 of 49
Page 276
3301.4 Construction permits. Construction or building permits shall not be issued until the fire code
official inspects and approves required fire apparatus access and water supply for the construction site.
The issuance of buildings permits with regard to the requirements of this section shall be in accordance
with Fire District Standard for Release of Construction Permits.
SECTION 3303 -ADMINISTRATIVE SAFETY CONTROLS
3303.1 Program development and maintenance. The owner or owner's authorized agent shall be
responsible for the development, implementation, and maintenance of an approved, written site safety
plan establishing a fire prevention and site safety program at the project site applicable throughout all
phases of the construction, repair, alteration, or demolition work. The plan shall address the
requirements of this chapter, other applicable portions of this code, and Fire District Standard for Fire
Prevention and Site Safety During Construction. The plan is required to include the duties of staff and
staff training requirements. The plan shall be submitted and approved by the fire code official before a
building permit is issued. Any changes to the plan shall be submitted for approval. The approved site
safely plan is required to be provided to everyone who is working on the site and reviewed with those
who visit the site.
3303.5 Fire watch and safety standby. Where required by the fire code official or the site safety plan
established in accordance with Section 3303.1, a fire watch and safety standby shall be provided for
building demolition and for building construction in accordance with section 403.11.1 and Fire District
Standard for Systems Out of Service—Fire Watch.
3303.5.1 Fire watch and safety standby during construction. A fire watch and safety standby shall
be provided during non-working hours for construction, alteration, or demolition where the building
exceeds 30 feet in height above the lowest adjacent grade at any point along the building perimeter, for
new multistory construction with an aggregate area exceeding 10,000 square feet of floor area, or as
required by the fire code official and Fire District Standard for Fire Prevention and Site Safety During
Construction.
Exception: Group R-3 occupancies.
3303.5.2 Fire watch and safety standby personnel. Trained personnel shall be provided to serve as
an on-site fire watch and safety standby in accordance with Section 403.11.1. The combination of fire
watch duties and site security duties is acceptable.
SECTION 3305 -IGNITION SOURCE CONTROLS
3305.1 Listed and approved. Temporary heating devices shall be listed and labeled. The installation,
maintenance, and use of temporary heating devices shall be in accordance with the listing and the
manufacturer's instructions. Installation and/or use of temporary heating devices requires prior
approval by the fire code official.
3305.4 Open burning and outdoor fires. Open burning and outdoor fires as defined by Fire District
Standard for Open Burning are prohibited at sites where construction, alteration, and/or demolition
work is being performed.
3305.5 Hot work. Welding, cutting, grinding, soldering or brazingwith ith open flame torches, torch
applied processes, and any other hot work or use of open flame devices is required to be conducted
under a hot work program administered by the site safety director in accordance with Chapter 35, Fire
Ordinance No.FD-061 -Page 36 of 49
Page 277
District Standard for Fire Prevention and Site Safety During Construction, and Fire District Standard
for Hot Work.
3305.7 Cooking and food warming. Cooking and food warming, including the use of microwave
ovens and portable electrical devices, shall be prohibited except in approved designated cooking and
food warming areas separated from combustible materials by a minimum of 20 feet. Signs with a
minimum letter height of 3 inches and a minimum brush stroke of/2 inch shall be posted in
conspicuous locations in designated cooking and food warming areas and state:
DESIGNATED COOKING AND FOOD WARMING AREA.
COOKING AND WARMING FOOD OUTSIDE OF A DESIGNATED COOKING AND FOOD
WARMING AREA IS PROHIBITED.
Cooking and food warming restrictions and the location of designated cooking and food warmingareas
reas
are required to be included in the site safely plan.
3305.10 Safeguarding roofing operations. Roofing operations utilizing heat-producing systems or
other ignition sources shall be conducted in accordance with Sections 3318.2 and 3318.3, Chapter 35,
and Fire District Standard for Hot Work.
SECTION 3307-FIRE DEPARTMENT SITE ACCESS AND WATER SUPPLY
3307.1 Required access. Approved vehicle access for firefighting shall be provided to all construction
or demolition sites. Vehicle access shall be provided to within 50 feet of temporary or permanent fire
department connections. Vehicle access shall be provided by either temporary or permanent roads
capable of supporting vehicle loading under all weather conditions. Vehicle access shall be maintained
until permanent fire apparatus access roads are available. Temporary fire apparatus access roadways
shall be in accordance with Fire District Standard for Fire Apparatus Access Roads.
3307.2 Water supply for fire protection. An approved water supply for fire protection, either
temporary or permanent, shall be made available prior to combustible material arriving on the site.
Temporary water supply and fire hydrants shall be in accordance with Fire District Standard for Fire
Protection Water Supply Systems.
Exception: Combustible materials used for the forms for thrust blocks, footings, foundations,
slabs, and vertical panels and similar work when approved by the fire code official.
3307.2.1 Combustible building materials. Prior to combustible building materials of the building
under construction being delivered to a site, a minimum fire flow of 1,500 gallons per minute shall be
provided. The fire hydrant or one of the hydrants used to provide this fire flow shall be within 300 feet
of the combustible building materials, as measured along an approved fire apparatus access road.
Where the site configuration is such that one fire hydrant cannot be located within 300 feet of all
combustible building materials, the fire code official is authorized to require additional and/or alternate
means of providing adequate water supply for fire protection.
3307.2.2 Vertical construction of Types III, IV and V construction. Prior to commencement of
vertical construction of Type III, IV or V buildings that utilize any combustible building materials, the
fire flow required by Sections 3313.3.1 through 3313.3.3 shall be provided, accompanied by fire
hydrants in sufficient quantity to deliver the required fire flow and proper coverage.
3307.2.2.1 Fire separation up to 30 feet. Where a building of Type III, IV or V construction has a fire
separation distance of less than 30 feet from property lot lines, the water supply shall provide the entire
fire flow required by Appendix B as amended for the building when constructed.
Ordinance No.FD-061 -Page 37 of 49
Page 278
3307.2.2.2 Fire separation of 30 feet up to 60 feet. Where a building of Type III, IV or V
construction has a fire separation distance of 30 feet up to 60 feet from property lot lines, the water
supply shall provide a minimum of 1,500 gallons per minute or 50 percent of the fire flow required by
Appendix B as amended for the building when constructed, whichever is greater.
3307.2.2.3 Fire separation of 60 feet or greater. Where a building of Type III, IV or V construction
has a fire separation greater than 60 feet from a property lot line, a water supply of 1,500 gallons per
minute shall be provided.
3307.4 Standpipe supply. Regardless of the presence of combustible building materials, the
construction type or the fire separation distance, where a standpipe is required in accordance with
Section 3314, a water supply providing a minimum flow of 1,500 gallons per minute shall be
provided. The fire hydrant used for this water supply shall be located within 100 feet of the fire
department connection supplying the standpipe.
3307.5 Standpipes. In buildings required to have standpipes by Section 905.3.1, not less than one
standpipe shall be provided for use during construction. Such standpipes shall be installed prior to
construction exceeding 30 feet in height above the lowest level of fire department vehicle access. Such
standpipes shall be provided with fire department hose connections at locations adjacent to stairways
complying with Section 3307.1.2 As construction progresses, such standpipes shall be extended to
within one floor of the highest point of construction having secured decking or flooring.
CHAPTER 35
WELDING AND OTHER HOT WORK
SECTION 3501 - GENERAL
3501.1 Scope. Welding, cutting, open torches, and other hot work operations and equipment shall
comply with this chapter and Fire District Standard for Hot Work.
3501.3 Restricted areas. Hot work shall only be conducted in areas designed or authorized for that
purpose by the personnel responsible for a Hot Work Program. Hot work shall not be conducted in the
following areas unless approval has been obtained from the fire code official:
1. Areas where the sprinkler system is impaired.
2. Areas where there exists the potential of an explosive atmosphere, such as locations where
flammable gases, liquids or vapors are present.
3. Areas with readily ignitable materials, such as storage of large quantities of bulk sulfur, baled
paper, cotton, lint, dust or loose combustible materials.
4. On board ships at dock or ships under construction or repair.
5. Outdoors in a wildland-urban interface fire area.
6. Other areas or locations as specified by the fire code official.
CHAPTER 40
STORAGE OF DISTILLED SPIRITS AND WINES
SECTION 4003 -PRECAUTIONS AGAINST FIRE
4003.3 Sources of ignition. Sources of ignition shall be controlled in accordance with Sections
4003.3.1 through 4003.4.
Ordinance No.FD-061 -Page 38 of 49
Page 279
>4003.3.1 Smoking. Smoking shall be prohibited, and"No Smoking" signs provided as follows:
1. Throughout indoor and enclosed areas of the premises.
2. Within 25 feet of outdoor storage, dispensing, or open-use areas.
3. "No Smoking" signs shall be placed at all entrances to buildings and enclosed areas.
4. In outdoor areas where flammable or combustible hazardous materials are stored, dispensed or
used.
SECTION 4004 - STORAGE
>4004.2 Empty containers. The storage of empty containers previously used for the storage of
flammable or combustible liquids shall be stored as required for filled containers.
CHAPTER 41
TEMPORARY HEATING AND COOKING OPERATIONS
SECTION 4103 - PORTABLE FUEL-FIRED HEATING APPLIANCES
4103.1.2 Portable outdoor gas-fired heating appliances. Portable gas-fired heating appliances
located outdoors shall be in accordance with Sections 4103.1.2.1 through 4103.1.2.3.4 and Fire District
Standard for Open Flames.
4103.1.2.1 Location. Portable outdoor gas-fired heating appliances shall be in accordance with
Sections 4103.1.2.1.1 through 4103.1.2.1.4.
4103.1.2.1.1 Prohibited locations. The use of portable outdoor gas-fired heating appliances is
prohibited in any of the following locations:
1. Inside of any occupancy.
2. Inside of tents, canopies and membrane structures.
3. On exterior balconies.
Exceptions:
1. As permitted in Chapter 61.
2. One- and two-family dwellings.
3. When used in accordance with Fire District Standard for Open Flames.
4103.1.2.1.2 Clearance to buildings. Portable outdoor gas-fired heating appliances shall be located
not less than 10 feet from buildings.
4103.1.2.1.3 Clearance to combustible materials. Portable outdoor gas-fired heating appliances shall
not be located beneath, or closer than 10 feet to combustible decorations and combustible overhangs,
awnings, sunshades or similar combustible attachments to buildings.
4103.1.2.1.4 Proximity to exits. Portable outdoor gas-fired heating appliances shall not be located
within 10 feet of exits or exit discharges.
4103.1.2.1.5 Storage. When stored inside of any occupancy, tent, canopy, or membrane structure,
portable outdoor gas-fired heating appliances shall be disconnected from the fuel gas container.
4103.1.2.3.3 Container capacity. The maximum individual capacity of gas containers used in
connection with portable outdoor gas-fired heating appliances shall not exceed 20 pounds (9 kg).
Ordinance No.FD-061 -Page 39 of 49
Page 280
Exception: The capacity of an LP-gas container utilized with portable outdoor gas-fired heating
appliances located on exterior balconies or within 10 feet of a building shall not be greater than 2 '/2
pounds [nominal 1-pound LP-gas capacity].
CHAPTER 48
MOTIONPICTURE AND TELEVISIONPRODUCTIONSTUDIO SOUND STAGES,
APPROVED PRODUCTION FACILITIES AND PRODUCTION LOCATIONS
SECTION 4807-FIRE SAFETY OFFICERS
>4807.1 Where permits are required by the Fire Code, a requirement for standby fire safety officers
shall be determined by the fire code official on a case-by-case basis.
SECTION4811 -PRODUCTION LOCATIONS
4811.1 General. This chapter shall apply to production locations.
>4811.2 Permits. A permit shall be obtained for any of the activities that follow:
a) Use of pyrotechnic special effects.
b) Open flames.
c)Flammable or combustible liquids, gases and dust.
d)Hot work.
e)Presence of motor vehicles within a building.
f) Tents and canopies rulated by Chapter 31.
g)Any additional permits required by the fire code official.
CHAPTER 50
HAZARDOUS MATERIALS—GENERAL PROVISIONS
SECTION 5001 - GENERAL
5001.5 Permits. Permits shall be required as set forth in Section 105.5 and 105.6.
>Permittees shall apply for approval to permanently close a storage,use, or handling facility. Such
application shall be submitted at least 30 days prior to the termination of the storage, use, or handling
of hazardous materials. Such application shall be accompanied by an approved facility closure plan in
accordance with Section 5001.6.3. The 30-dgy period is not applicable when approved based on
special circumstances requiring such waiver.
SECTION 5004 - STORAGE
5004.14 Outdoor storage location. Outdoor storage areas for hazardous materials shall be located as
required by Section 5003.12 except where material-specific requirements, including requirements in
referenced standards, are provided in other chapters of this code. The fire code official is authorized to
impose more restrictive requirements on outdoor storage locations when the materials beingstore
tored
create or have the potential to create an odor or other nuisance.
Ordinance No.FD-061 -Page 40 of 49
Page 281
SECTION 5005 -USE,DISPENSING,AND HANDLING
5005.3.3 Outdoor location. Outdoor dispensing and use areas for hazardous materials shall be located
as required by Section 5003.12 except where material-specific requirements, including requirements in
referenced standards, are provided in other chapters of this code. The fire code official is authorized to
impose more restrictive requirements on outdoor use, dispensing, and handling locations when the
materials being used, dispensed, or handled create or have the potential to create an odor or other
nuisance.
CHAPTER 56
EXPLOSIVES AND FIREWORKS
SECTION 5601 - GENERAL
5601.1.4 Rocketry.For rocketry requirements see Fire District Standard for Model Rockets and
California Code of Regulations, Title 19, Division 1, Chapter 6, reprinted in Sections 5610, 5611, and
5612.
5601.7 Seizure. The fire code official is authorized to remove or cause to be removed or disposed of in
an approved manner, at the expense of the owner, explosives, explosive materials or fireworks offered
or exposed for sale, stored, possessed or used in violation of this chapter; the Municipal Code; and
California Code of Regulations Title 19, Division 1, Chapter 6. Any seizure or removal pursuant to
this section shall be in compliance with all applicable regulations, statutes, and laws.
SECTION 5608 -FIREWORKS DISPLAY
5608.1 General. Outdoor fireworks displays; use of pyrotechnics before a proximate audience; and
pyrotechnic special effects in motion picture, television, theatrical, and group entertainment
productions shall comply with this section, California Code of Regulations, Title 19, Division 1,
Chapter 6; and Fire District Standard for Fireworks and Special Effects.
[California Code of Regulations, Title 19,Division 1, §980-1006]
Article 13. General Safety Requirements
L991.7 Firing, All public display of fireworks shall be electrically_fired. Electrical firing circuits are
required to be in accordance with Article 13.5.
Article 15. Public Display
>§999. Mortars,Aerial Shells
(a) General.
(1) Electric firing shall be required for all mortars, cakes, Roman candles, set pieces, and any
other fireworks or effects included as part of a public display. Electrical firing circuits are
required to be in accordance with Article 13.5.
(2) Multiple-break shells that include a salute as one of the breaks shall be fired in MDPE mortars
only.
>§1003. Operation of'Display.
(d) Firing.
(1) All firing shall be done upon order or signal of the licensed pyrotechnic operator controlling
the display.
Ordinance No.FD-061 -Page 41 of 49
Page 282
(2) Electric firing shall comply with all of the requirements of Article 13.5 of this chapter.
(3) Upon conclusion of firing, no unauthorized person shall be permitted access to the firing area
until the licensed pyrotechnic operator has determined the area to be safe and secure.
(4) Electric firing shall be required for all mortars, cakes, Roman candles, set pieces, and any
other fireworks or effects included as part of a public display. Electrical firing circuits are
required to be in accordance with Article 13.5.
SECTION 5611 -MODEL ROCKETS
[California Code of Regulations, Title 19,Division 1, §1020-1028]
Article 17. Model Rockets
§102Z Model Rocket Standards and Use.
(a)Model rocket standards and use shall comply with: Fire District Standard for Model Rockets and
N.F.P.A. 1122, the Code for Unmanned Rockets, Chapter 3, Sections 3-1.1 through 3-1.10, Chapter 4,
Chapter 5, Chapter 6 and Appendix A-2-(1987), which is incorporated by reference herein except for
Appendices A-2.3 and A-2.4.
§1023. Storage and Sale. No model rocket motors shall be stored, sold or offered for sale at retail
unless such model rocket motors have been classified by the California State Fire Marshal.
§1024. Restrictions. The provisions of this article shall not be used to establish the authority to
possess, launch or use experimental unlimited or experimental/high powered rocket motors.
SECTION 5612-EXPERIMENTAL HIGH-POWER ROCKETS AND MOTORS
[California Code of Regulations, Title 19,Division 1, §1030-10391
Article 18. Experimental High-Power Rockets and Motors
>§1030. General. Experimental him--power rockets and motors are prohibited.
Note: All other subsections of Article 18 are deleted.
SECTION 5613-EMERGENCY SIGNALING DEVICES
[California Code of Regulations, Title 19,Division 1, §1045-10461
Article 19. Emergency Signaling Devices
>§1045. Fire Hazard. The use of an emergency si naling device creates a fire hazard. The use of an
emergency signaling device is prohibited.
§1046. License Required. Manufacturers of emergency signaling devices whose manufacturing
operations take place in California must possess a valid fireworks manufacturing license from the
State Fire Marshal to manufacture emergency signaling devices.
CHAPTER 57
FLAMMABLE AND COMBUSTIBLE LIQUIDS
Ordinance No.FD-061 -Page 42 of 49
Page 283
SECTION 5704 - STORAGE
5704.2.7.6 Repair, alteration or reconstruction of tanks and piping. The repair, alteration or
reconstruction, including welding, cutting and hot tapping of storage tanks and piping that have been
placed in service, shall be in accordance with NFPA 30 and Fire District Standard for Hazardous
Materials Tank Abandonment and Removal. Hot work, as defined in Section 202, on such tanks shall
be conducted in accordance with Section 3510.
5704.2.9.6.1 Locations where above-ground tanks are prohibited. Storage of Class I and II liquids
in above-ground tanks outside of buildings is prohibited in accordance with the appliable provisions of
this section, Chapter 50, and the Municipal Code.
5704.2.13 Abandonment and status of tanks. Tanks taken out of service shall be removed in
accordance with Section 5704.2.14 and Fire District Standard for Hazardous Materials Tank
Abandonment and Removal or safeguarded in accordance with Sections 5704.2.13.1 through
5704.2.13.2.3 and API 1604.
5704.2.14 Removal and disposal of tanks. Removal and disposal of tanks shall comply with Sections
5704.2.14.1 and 5704.2.14.2 and Fire District Standard for Hazardous Materials Tank Abandonment
and Removal.
>5704.3.3.4 Empty containers or portable tank storage. The storage of empty tanks and containers
previously used for the storage of flammable or combustible liquids shall be stored as required for
filled containers and portable tanks. Portable tanks and containers, when emptied, shall have the covers
or plugs immediately replaced in openings.
5704.3.3.9 Idle combustible pallets. Storage of empty or idle combustible pallets inside an
unprotected liquid storage area shall be limited to a maximum pile size of 500 square feet and to a
maximum storage height of 6 feet. Storage of empty or idle combustible pallets inside a protected
liquid storage area shall comply with NFPA 13. Pallet storage shall be separated from liquid storage by
aisles that are at least 8 feet wide.
SECTION 5706- SPECIAL OPERATIONS
5706.2.4.4 Locations where above-ground tanks are prohibited. Storage of Class I and II liquids in
above-ground tanks outside of buildings is prohibited in accordance with the appliable provisions of
this section, Chapter 50, and the Municipal Code.
CHAPTER 58
FLAMMABLE GASES AND FLAMMABLE CRYOGENIC FLUIDS
SECTION 5806 -FLAMMABLE CRYOGENIC FLUIDS
5806.2 Limitations. Storage of flammable cryogenic fluids in stationary containers outside of
buildings is prohibited in accordance with the appliable provisions of this section, Chapter 50, and the
Municipal Code.
CHAPTER 61
LIQUEFIED PETROLEUM GASES
Ordinance No.FD-061 -Page 43 of 49
Page 284
SECTION 6104 - LOCATION OF LP-GAS CONTAINERS
6104.2 Maximum capacity within established limits. Within the limits established by law restricting
the storage of liquefied petroleum gas for the protection of heavily populated or congested areas, the
aggregate capacity of any one installation where LP-gas is the primary source of heat shall not exceed
a water capacity of 2,000 gallons in any location determined by the fire code official to create an
unacceptable hazard to persons and/or property.
Exceptions:
1. In particular installations, this capacity limit shall be determined and may be reduced by the fire
code official, after consideration of special features such as topographical conditions, nature of
occupancy, and proximity to buildings, capacity of proposed containers, degree of fire
protection to be provided, and capabilities of the local fire department.
2. Where LP-gas is not the primary source of heat, the aggregatepacity of LP-gas in use and
storage on properties with a Group R use shall not exceed 100 pounds or the maximum allowed
by this code, whichever is less.
SECTION 6107- SAFETY PRECAUTIONS AND DEVICES
6107.4 Protecting containers from vehicles. Where exposed to vehicular damage due to proximity to
alleys, driveways or parking areas, LP-gas containers, regulators and piping shall be protected in
accordance with NFPA 58 and Section 312.
6107.5 Container orientation. Containers in multiple-container stationary installations and containers
in storage shall be oriented with relation to one another such that the length axes of the containers are
parallel.
Exception: Portable containers.
SECTION 6109 - STORAGE OF PORTABLE LP-GAS CONTAINERS
AWAITING USE OR RESALE
6109.13 Protection of containers. LP-gas containers shall be stored within a suitable enclosure or
otherwise protected against tampering. Where required by the fire code official, vehicle impact
protection shall be provided in accordance with NFPA 58 and Section 312.
Exception: Deleted
Ordinance No.FD-061 -Page 44 of 49
Page 285
CHAPTER 80
REFERENCED STANDARDS
Standards of the Rancho Cucamonga Fire Protection District
Standard Title
Standard for Access Gates
Standard for Alarm Signal Verification
Standard for Appeals
Standard for Automatic Fire Sprinkler Systems
Standard for Building Signage
Standard for Commercial Cooking Operations
Standard for Definitions
Standard for Emergency Responder Communication
Standard for Fire Apparatus Access Roads
Standard for Fire Extinguishers in Warehouses
Standard for Fire Extinguishing Systems
Standard for Fire Prevention and Site Safety During Construction
Standard for Fire Protection Water Supply Systems
Standard for Fireworks and Special Effects
Standard for Hazardous Materials Tank Abandonment and Removal
Standard for High Piled Combustible Storage
Standard for Hot Work
Standard for Identification of Access Doors in Commercial—Industrial Buildings
Standard for Key Boxes
Standard for Model Rockets
Standard for Non-Required Systems
Standard for Open Burning
Standard for Open Flames
Standard for Outdoor Carnivals,Fairs,and Public Assemblages
Standard for Permits for Construction and Installations
Standard for Permits for Regulated Operations
Standard for Release of Construction Permits
Standard for Roof Access
Standard for Schools and Classrooms
Standard for Seasonal Sales Areas
Standard for Site Plan Content
Standard for Special Amusement Areas
Standard for Systems Out of Service
Standard for Tents and Temporary Structures
Standard for Unsafe Structures,Equipment, and Operations.
Standard for Vegetation Fire Hazard Abatement
Ordinance No.FD-061 -Page 45 of 49
Page 286
>APPENDIX A
APPEALS
A101.1 General. Appeals shall be in accordance with Fire District Standard for Appeals.
Note: The remainder of Appendix A is deleted and replaced with Fire District Standard for
Appeals.
APPENDIX B
SECTION B105
FIRE-FLOW REQUIREMENTS FOR BUILDINGS
B105.1 One- and two-family dwellings, Group R-3, R-3.1, and R-4 buildings and townhouses.
The minimum fire-flow and flow duration requirements for one- and two-family dwellings, Group R-3,
R-3.1, and R-4 buildings and townhouses shall be as specified in Tables B105.1(1) and B105.1(2).
B105.2 Buildings other than one- and two-family dwellings, Group R-3, R-3.1, and R-4 buildings
and townhouses. The minimum fire-flow and flow duration for buildings other than one- and two-
family dwellings, Group R-3, R-3.1, and R-4 buildings and townhouses shall be as specified in Tables
B 105.1(2) and B 105.2.
Exception: Remains, unchanged.
TABLE B105.1(1)
REQUIRED FIRE FLOW FOR ONE-AND TWO-FAMILY DWELLINGS,
GROUP R-3, R-3.1,AND R-4 BUILDINGS AND TOWNHOUSES
AUTOMATIC MINIMUM FIRE FLOW FLOW DURATION
FIRE-FLOW CALCULATION AREA SPRINKLER SYSTEM (gallons per minute) (hours)
(square feet) (Design Standard)
0-3,600 No automatic sprinkler 1,000 1
system
No automatic sprinkler Value in Table Duration in Table
3,601 and greater B105.2(2) at the
system B105.1(2)
required fire-flow rate
Section 903.3.1.3 of
the California Fire
0-3,600 Code or Section 313.3 11000 1
of the California
Residential Code
Section 903.3.1.3 of
the California Fire
3,601 and greater Code or Section 313.3 11000 1
of the California
Residential Code
Ordinance No.FD-061 -Page 46 of 49
Page 287
TABLE B105.2
REQUIRED FIRE FLOW FOR BUILDINGS OTHER THAN ONE-AND TWO-FAMILY DWELLINGS,
GROUP R-3, R-3.1,AND R-4 BUILDINGS AND TOWNHOUSES
AUTOMATIC SPRINKLER SYSTEM (Design MINIMUM FIRE FLOW FLOW DURATION
Standard) (gallons per minute) (hours)
No automatic sprinkler system Value in Table B105.1(2) Duration in Table B105.1(2)
Section 903.3.1.1 of the California Fire 25%of the value in Table Duration in Table B105.1(2) at
Code B105.1(2). See Note (a) the reduced flow rate
Section 903.3.1.2 of the California Fire 25%of the value in Table Duration in Table B105.1(2) at
Code B105.1(2) See Note (b) the reduced flow rate
(a)The reduced fire flow shall not be less than 1,500 gallons per minute
(b)The reduced fire flow shall not be less than 1,500 gallons per minute
Ordinance No.FD-061 -Page 47 of 49
Page 288
SECTION 6. Environmental Findings.
The Board hereby finds that the Ordinance is exempt from the requirements of the California
Environmental Quality Act(CEQA)pursuant to Title 14 of the California Code of Regulations,
Section 15061(b)(3), because it can be seen with certainty that there is no possibility that the Code
Amendments would have a significant impact on the environment. The Ordinance adopts the
California Fire Code, which will serve to minimize the risk of fire and related hazards, and thereby
provide greater environmental protection.
SECTION 7. Violation Penalties
It shall be unlawful for any person, firm, partnership, or corporation to violate any provision or to fail
to comply with any of the requirements of this Ordinance or the Codes adopted hereby. In addition to
any other penalties set forth in this Ordinance, any person, firm,partnership, or corporation violating
any provision of this Ordinance or the Codes adopted hereby or failing to comply with any of its
requirements shall be deemed guilty of a misdemeanor and upon conviction thereof shall be punished
by a fine not exceeding the maximum allowed by law or by imprisonment not exceeding six(6)
months, or by both such fine and imprisonment. Each person, firm,partnership, or corporation shall be
deemed guilty of a separate offense for each and every day or any portion thereof during which any
violation of any provision of this Ordinance or the Codes adopted hereby is committed, continued, or
permitted by such person, firm,partnership, or corporation, and shall be deemed punishable therefore
as provided in this Ordinance.
SECTION 8. Abatement of Nuisance
The violation of any of the provisions of this Ordinance or the Codes adopted hereby shall constitute a
nuisance and may be abated by the Board through civil process by means of restraining order,
preliminary or permanent injunction, or in any other manner provided by law for the abatement of such
nuisances.
SECTION 9. Severability
The Board hereby declares that should any provision, section,paragraph, sentence, or word of this
Ordinance or the Code hereby adopted be rendered or declared invalid by any final court action in a
court of competent jurisdiction, or by reason of any preemptive legislation, the remaining provisions,
sections,paragraphs, sentences, and words of this Ordinance and the Codes hereby adopted shall
remain in full force and effect.
SECTION 10. Rights Reserved
Nothing in this Ordinance or in the Fire Code hereby adopted shall be construed to affect any suit or
proceeding pending in any court, or any rights acquired, or any liability incurred, or any cause or
causes of action, or any existing agreement under any ordinance hereby repealed as cited in Section 1
of this Ordinance; nor shall any just or legal right or remedy of any character be lost, impaired, or
affected by this Ordinance.
SECTION 11. Publication
The Secretary of the District shall certify to the adoption of this ordinance and shall cause the same or
a summary thereof to be published and posted as required by law.
Ordinance No.FD-061 -Page 48 of 49
Page 289
SECTION 12. Date of Effect
This Ordinance shall take effect at 12:01 a.m. on January 1, 2026.
PASSED,APPROVED,AND ADOPTED this day of 2025.
AYES:
NOES:
ABSENT:
ABSTAINED:
L. Dennis Michael, President
ATTEST:
Kim Sevy, Secretary
I, Kim Sevy, Secretary of the Rancho Cucamonga Fire Protection District, do hereby certify that the
foregoing Ordinance was introduced for first reading by the Board of Directors of the Rancho
Cucamonga Fire Protection District at a regular meeting of said Board held on the day of
, 2025, and was finally passed, approved, and adopted by the Board of Directors
of the Rancho Cucamonga Fire Protection District at a regular meeting of said Board held on the.day
of , 2025.
Executed this day of 12025 at Rancho Cucamonga, California.
Kim Sevy, Secretary
Ordinance No.FD-061 -Page 49 of 49
Page 290
CITY OF RANCHO CUCAMONGA
DATE: November 19, 2025
TO: Mayor and Members of the City Council
FROM: John R. Gillison, City Manager
INITIATED BY: Peter Castro, Deputy City Manager
Zack Neighbors, Director of Building and Safety Services
SUBJECT: Consideration of Second Reading and Adoption of Ordinance No. 1048
to be Read by Title Only and Waive Further Reading, Adopting the 2025
Edition of the California Building (model) Codes and the 2024 Edition of
the International Building Codes. (ORDINANCE NO. 1048) (CITY)
RECOMMENDATION:
Staff recommends that the City Council adopt the 2025 California Model Codes and applicable
2024 International Codes. The effective date of the Ordinance would be January 1,2026.
Additionally, Tuesday, December 23, 2025, will be the last day to submit applications at City Hall
and December 31, 2025, will be the last day to submit permit applications by electronic document
submittal for projects designed under the current 2022 code standards.
BACKGROUND:
The California Building Standards Commission recently adopted the 2025 Edition of the California
Building Codes, which is also known as the California Code of Regulations, Title 24 (CCR, T-24).
The 2025 California Building Codes include the California Building Code, the California Plumbing
Code, the California Mechanical Code, the California Electrical Code, the California Residential
Code, the California Green Building Code, and the California Historical Building Code. The
ordinance will bring all of the City's Building and Construction Regulations into compliance with
the latest codes adopted by the California Building Standards Commission. Also required is the
adoption of the 2021 International Pool and Spa Code and the International Property Maintenance
Codes. Under State statute, specific referenced model codes must be adopted by the local
jurisdictions within 180 days of the publication date of the model codes. The effective date for
local enforcement of the new codes will be January 1, 2026. Additionally, any modifications made
by local agencies to the technical regulations adopted by the California Building Standards
Commission may only become effective if the local jurisdiction makes express findings of needs
for changes due to local conditions. These modifications must be directly related to local climatic,
geological, or topographical conditions in the form of an Ordinance and must be filed directly with
the Building Standards Commission after its adoption.
ANALYSIS:
The 2025 California Building Codes are based on the International Building Code, Volumes 1 and
2, 2024 Edition, the International Residential Code, 2024 Edition, and the International Property
Maintenance Code, published by the International Code Council (ICC); California Green Building
Page 291
Code 2025 Edition, published by a joint effort of different State agencies; the 2021 International
Pool and Spa Code published by the ICC and the American Association of Pool and Spa
Professionals (APSP); the Uniform Plumbing and Mechanical Codes, 2024 Editions, published
by the International Association of Plumbing and Mechanical Officials (IAMPO); and the National
Electrical Code, 2026 Edition, published by the National Fire Protection Association (NFPA).The
City has previously adopted a number of technical amendments to the building codes because of
special local climatic, geological, and topographical conditions. All applicable past amendments
are carried over into the new codes at this time. Examples of these past amendments being
carried over are the requirements of high wind design criteria, Class A fire retardant roofing
materials for new buildings constructed in the Very High Fire Hazard Severity Zones, soil reports
for new construction due to the special conditions of soil in the City, etc. At the beginning of each
municipal code section shown in the Ordinance, there are tables of the code sections which
identify the local amendments. It should be noted that the amendments to the administrative
provisions and regulations addressing elements of construction that are not regulated by the
California Building Standards Commission do not need to meet the test of being necessary due
to climatic, geological, or topographical conditions.
FISCAL IMPACT:
No new fees or changes to the current building permit fee structure are proposed as part of this
building code adoption process.
COUNCIL MISSION /VISION / GOAL(S) ADDRESSED:
Promoting and enhancing a safe and healthy community for all: The adoption of these
codes will bring our building and construction regulations into compliance with the latest codes
and is an excellent demonstration of local government with outstanding vision of maintaining up
to- date construction requirements and great public safety.
ATTACHMENTS:
Attachment 1 — Ordinance No.1048
Attachment 2 - Adopted Resolution No. 2025-080 at October 15, 2025 CCM
Page 2
Page 292
ORDINANCE NO. 1048
AN ORDINANCE OF THE CITY COUNCIL OF THE CITY OF RANCHO CUCAMONGA,
CALIFORNIA, ADOPTING BY REFERENCE THE 2025 CALIFORNIA BUILDING CODE,
INCORPORATING THE "INTERNATIONAL BUILDING CODE, VOLUMES 1 AND 2", 2024
EDITION, INCLUDING APPENDICES THERETO. THE 2025 CALIFORNIA RESIDENTIAL
CODE, INCORPORATING THE "INTERNATIONAL RESIDENTIAL CODE", 2024 EDITION,
INCLUDING APPENDICES THERETO. THE 2025 CALIFORNIA MECHANICAL CODE,
INCORPORATING THE "UNIFORM MECHANICAL CODE", 2024 EDITION, INCLUDING
APPENDICES THERETO. THE 2025 CALIFORNIA PLUMBING CODE, INCORPORATING
THE "UNIFORM PLUMBING CODE", 2024 EDITION, INCLUDING APPENDICES THERETO.
THE 2025 CALIFORNIA ELECTRICAL CODE, INCORPORATING THE "NATIONAL
ELECTRICAL CODE", 2026 EDITION, INCLUDING ANNEXES THERETO; THE 2025
CALIFORNIA GREEN BUILDING STANDARDS CODE INCLUDING APPENDICES
THERETO, THE 2025 CALIFORNIA HISTORICAL BUILDING CODE", INCLUDING
APPENDICES THERETO.THE 2025 CALIFORNIA REFERENCED STANDARDS CODE.THE
2021 INTERNATIONAL SWIMMING POOL AND SPA CODE. AND THE 2021
INTERNATIONAL PROPERTY MAINTENANCE CODE, TOGETHER WITH CERTAIN
AMENDMENTS, DELETIONS, ADDITIONS, EXCEPTIONS, AND PENALTIES, AND
AMENDING TITLE 15 OF THE RANCHO CUCAMONGA MUNICIPAL CODE
A. RECITALS.
(i) Government Code Section 50022.1, et seq., authorizes the adoption by
reference of the Codes specified in the title of the Ordinance.
(ii) At least one copy of each of said Codes certified as full, true and correct
by the City Clerk of the City of Rancho Cucamonga have been filed in
the Office of the City Clerk in accordance with the provisions of
Government Code Section 50022.6.
(iii) A duly noticed public hearing, as required by California Government
Code Section 50022.3, has been conducted and concluded prior to the
adoption of this Ordinance.
(iv) All legal prerequisites to the adoption of this Ordinance have occurred.
ATTACHMENT 1
Page 293
B. ORDINANCE.
NOW, THEREFORE, the City Council of the City of Rancho Cucamonga ordains as follows:
SECTION 1: In all respects as set forth in the Recitals, Part A, of this Ordinance.
SECTION 2: Chapters 15.04, 15.12, 15.14, 15.16, 15.20, 15.24, 15.26, 15.28, 15.30,
15.32 and 15.34 of Title 15 of the Rancho Cucamonga Municipal Code, entitled Buildings
and Construction, are hereby amended as provided for herein, provided that said
amendments shall not apply to or excuse any violation thereof occurring prior to the effective
date of this Ordinance and provided further that the provisions of Title 15 as exist prior to
the adoption of this ordinance shall continue to be applicable to construction for which
permits have been issued prior to the effective date of this Ordinance.
SECTION 3: Chapter 15.04 of Title 15 of the Rancho Cucamonga Municipal Code is
hereby amended to read as follows:
CHAPTER 15.04
CODES ADOPTION
Sections:
15.04.010 Codes adoption.
15.04.020 Penalties.
15.04.030 Civil remedies available
"Sec. 15.04.010 Codes adoption.
The 2025 California Building Code, based on the "International Building Code, Volumes 1 and 2",
2024 Edition, including all appendices thereto; the 2025 California Residential Code, based on
the "International Residential Code", 2024 Edition, including all appendices thereto; the 2025
California Mechanical Code, incorporating the "Uniform Mechanical Code", 2024 Edition;
including all appendices thereto; the 2025 California Plumbing Code, incorporating the "Uniform
Plumbing Code", 2024 Edition, including all appendices thereto; the 2025 California Electrical
Code, incorporating the " National Electrical Code ", 2026 Edition; including all annexes thereto;
the 2025 California Green Building Standards Code; the 2025 California Historical Building Code;
the 2025 California Referenced Standards Code; the 2021 International Swimming Pool and Spa
Code; and the 2021 International Property Maintenance Code; are hereby adopted by reference
in their entirety and amended in Chapters 15.04, 15.12, 15.14, 15.16, 15.20, 15.24, 15.26, 15.28,
15.30, 15.32, and 15.34 herein, shall comprise the Building and Construction Regulations of the
City of Rancho Cucamonga.
Page 294
15.04.020 Penalties.
It shall be unlawful for any person, firm, partnership or corporation to violate any provision or to fail
to comply with any of the requirements of this Title 15 or the secondary codes adopted hereby. Any
person, firm, partnership or corporation violating any provision of this Title 15 or the secondary
codes adopted hereby or failing to comply with any of its requirements shall be deemed guilty of a
misdemeanor and upon conviction thereof shall be punished by a fine not exceeding $1,000.00 or
by imprisonment not exceeding six months, or by both such fine and imprisonment. Each person,
firm, partnership or corporation shall be deemed guilty of separate offense for each and every day
or any portion thereof during which any violation of any of the provisions of this Title 15 or the
secondary codes adopted hereby is committed, continued or permitted by such person, firm,
partnership or corporation, and shall be deemed punishable therefor as provided in this section.
15.04.030 Civil remedies available.
The violation of any of the provisions of this Title 15 or the secondary codes adopted hereby shall
constitute a nuisance and may be abated by the city through civil process by means of restraining
order, preliminary or permanent injunction or in any other manner provided by law for the
abatement of such nuisances."
SECTION 4: Chapter 15.12 of Title 15 of the Rancho Cucamonga Municipal Code is
hereby amended to read as follows:
CHAPTER 15.12
BUILDING CODE
Sections:
15.12.005 Section [A]101.4 of Chapter 1, Division II amended — Referenced codes.
15.12.010 Section [A]105.2 of Chapter 1, Division II amended —
Work exempt from permit.
15.12.020 Section [A]113.1 of Chapter 1, Division II amended — Board of Appeals.
15.12.030 Sections [A]114.1, [A]114.2, and 114.3 of Chapter 1, Division II amended -
Violations
15.12.035 [Reserved]
15.12.040 Section 903 amended —Automatic sprinkler systems.
Page 295
15.12.050 Table 1505.1 amended — Minimum roof covering classification for types of
construction.
15.12.060 Section 1609.3 amended — Basic design wind speed.
15.12.065 Section 1803.5.11 amended — Seismic design categories C through F.
15.12.070 Section 3109.3 added —California Swimming Pool Act.
15.12.080 Section J101 of Appendix J amended —Scope.
15.12.090 Section J101.3 of Appendix J added — Special requirements for hazardous
conditions.
15.12.100 Section J103.2 of Appendix J amended — Exemptions.
15.12.110 Sections J104.5 and J104.6 of Appendix J added — Permit application and
submittal.
15.12.120 Section J105.1 of Appendix J amended — General.
15.12.130 Section J109.4 of Appendix J amended — Drainage across
property lines.
15.12.135 Section J109.5 of Appendix J added — Site and lot grading for drainage.
15.12.140 Section J110.3 of Appendix J added —Temporary
erosion control during grading.
15.12.150 Section J112 of Appendix J added — Protection of
adjacent property.
15.12.160 Section J113 of Appendix J added — Dust control.
15.12.005 Section [A]101.4 of Chapter 1, Division II amended — Referenced
codes. Sections [N 101.4.1, [N 101.4.2, [N 101.4.3, [N 101.4.4 are deleted.
15.12.010 Section [A]105.2 of Chapter 1, Division II amended -Work exempt from permit.
Section [A]105.2 of the Building Code is hereby amended by amending item 2 to read as follows:
Page 296
2. Wood, chain-link, plastic, metal or similar fences not over 6 feet in height or masonry,
concrete fence not over 3 feet in height above the lowest adjacent grade.
5.12.020 Section [A]113.1 of Chapter 1, Division II amended — Board of Appeals.
Section [A]113.1 of Chapter 1, Division II is hereby amended to read as follows:
[A]113.1 General.
In order to hear and decide appeals of orders, decisions or determination made by the Building
Official relative to the application and interpretation of this code, there shall be and is hereby
created a Board of Appeals consisting of 3 members and 2 alternates who are qualified by
experience and training to pass on matters pertaining to building construction and who are not
employees of the jurisdiction. The Building Official shall be an ex officio member of and shall act
as Secretary to said Board but shall have no vote on any matter before the Board. The Board shall
adopt rules of procedure for conducting its business and shall render all decisions and findings in
writing to the appellant with a duplicate copy to the Building Official.
15.12.030 Sections [A]114.1, [A]114.2, and 114.3 of Chapter 1, Division II amended -
Violations Sections [A]114.1, [A]114.2, and 114.3 of Chapter 1, Division II are hereby amended
to read as follows:
[A]114.1 Unlawful acts. It shall be unlawful for any person, firm or corporation to erect, construct,
alter, extend, repair, move, remove, demolish, occupy or maintain any building, structure or
equipment regulated by this code, or cause same to be done, in conflict with or in violation of any
of the provisions of this code.
[A]114.2 Notice of violation. The Building Official is authorized to serve a notice of violation or
order on the person responsible for the erection, construction, alteration, extension, repair, moving
removal demolition, maintaining or occupancy of a building or structure in violation of the
provisions of this code, or in violation of a permit or certificate issued under the provisions of this
code. Such order shall direct the discontinuance of the illegal action or condition and the
abatement of the violation.
[A]114.3 Unpermitted structures or systems. No person shall own, use, occupy, or maintain
an unpermitted structure or system. For purposes of this chapter, "unpermitted structure or
system" shall be defined as any building or structure, electrical system, plumbing system, or
mechanical system, or any portion thereof, that was erected, constructed, enlarged, altered,
repaired, moved, improved, removed, connected, converted, demolished, or equipped, at any
point in time, by any person, without the required permit(s) having first been obtained from the
Building Official or with a valid permit as issued by the Building Official which subsequently expired
and became null-and-void
15.12.035 [Reserved]
Page 297
15.12.040 Section 903 amended —Automatic Sprinkler Systems.
Amendments to Section 903 shall be those amendments adopted by the City and/or the Rancho
Cucamonga Fire Protection District for Section 903 of the 2025 California Fire Code—Automatic
Sprinkler Systems, all of which are incorporated by reference herein.
15.12.050 Table 1505.1 amended — Minimum roof covering classification for types of
construction.
Table 1505.1 is hereby amended to read as follows:
Table 1505.1
Minimum Roof Covering Classification for different types of construction for new
buildings, re-roofs or additions.
IA IB IIA 1113 IIIA 11113 IV VA VB
A A A A A A B* B* B*
"See Section 1505.1.1 for Class A Roof Coverings in Very-High Fire Hazard Severity
15.12.060 Section 1609.3 amended— Basic design wind speed.
Section 1609.3 is hereby amended by adding a sentence at the end of the section to read as
follows:
The basic wind speed used in the City is 96 miles per hour and Vasd is 75 miles per hour with
Exposure C as described in Section 1609.4.3 shall be used.
15.12.065 Section 1803.5.11 amended —Seismic design categories C through F.
Section 1803.5.11 is hereby amended by adding a sentence at the end of the section to read as
follows:
The geotechnical investigation shall be conducted for all new structures or additions to existing
buildings where the addition is more than 50% of the existing floor area. Any geotechnical reports
that are more than 3 years old shall be required to submit an updated geotechnical report.
15.12.070 Section 3109.3 added — California Swimming Pool Act
Section 3109.3 is hereby added to read as follows:
Page 298
3109.3 There shall be three (3) drowning protection measures provided for the construction of a
new or the remodel of an existing pool or spa. First required measure: An enclosure that meets
the requirements of Section 115923 of the California Swimming Pool Safety Act and isolates the
swimming pool or spa from the private single-family home. The second and third required
drowning protection measures shall be two (2) of the remaining six (6) measures listed in
Section 115922 of the California Swimming Pool Safety Act.
15.12.075 Section 107.3.4 amended- Design professional in responsible charge
Section 107.3.4 is hereby amended by amending the first two (2) sentences to read as follows:
It is required that documents be prepared by a registered design professional for all
commercial and industrial applications. The building official requires the owner or the owner's
authorized agent to engage and designate on the building permit application a registered
design professional or a California State licensed contractor who shall act as the registered
design professional in responsible charge.
15.12.080 Section J101.1 of Appendix J amended—Scope.
J101.1 Scope. The provisions of this chapter apply to grading, excavation and earthwork
construction, including fills and embankments. Where conflicts occur between the technical
requirements of this chapter and the geotechnical report, the geotechnical report shall govern. In
addition, the designs of the work as described above need to meet the recognized and accepted
civil and geotechnical engineering practices and principles.
15.12.090 Section J101.3 of Appendix J added — Special requirements for
hazardous conditions.
Section J101.3 is hereby added to read as follows:
J101.3 Special requirements for hazardous conditions.
Whenever the Building Official determines that any existing excavation or embankment or fill on
private property has become a hazard to life and limb, or endangers property, or adversely affects
the safety, use or stability of a public way or drainage channel, the owner of the property upon
which the excavation or fill is located, or other person or agent in control of said property, upon
receipt of notice in writing from the Building Official, shall within the period specified therein repair
or eliminate such excavation or embankment to eliminate the hazard and to be in conformance
with the requirements of this code.
15.12.100 Section J103.2 of Appendix J -amended— Exemptions.
Section J103.2 is hereby amended to read as follows:
J103.2 Exemptions:
Page 299
A grading permit is not required for the following:
1. When approved by the Building Official, grading in an isolated, self-contained area if there
is no danger to private or public property.
2. An excavation below finished grade for basements and footings of a building, retaining
wall or other structure authorized by a valid building permit. This shall not exempt any fill made
with the material from such excavation or exempt any excavation having an unsupported
height greater than 5 feet (1524mm) after the completion of such structure.
3. Cemetery graves.
4. Refuse disposal sites controlled by other regulations.
5. Excavations for wells or tunnels or utilities.
6. Mining, quarrying, excavating, processing or stockpiling of rock, sand, gravel, aggregate
or clay where established and provided for by law, provided such operations do not affect the
lateral support or increase the stresses in or pressure upon any adjacent or contiguous
property.
7. Exploratory excavations under the direction of soil engineers or engineering geologists.
8. An excavation that (1) is less than 2 feet (610mm) in depth or (2) does not create a cut
slope greater than 5 feet (1524mm) in height and steeper than 1 unit vertical in 2 units
horizontal.
9. A fill less than 1 foot (305mm) in depth and placed on natural terrain with a slope flatter than
1 unit vertical in 5 units horizontal (20% slope), or a cut less than 3 feet (914mm) in depth, not
intended to support structures, or any soil work that does not disturb soil exceeding 50 cubic
yards (38.3m) on any one lot and does not obstruct a drainage course.
Exemption from the permit requirements of this Appendix shall not be deemed to grant
authorization for any work to be done in any manner in violation of the provisions of this chapter
or any other laws or ordinances of this jurisdiction.
15.12.110 Sections J104.5 and J104.6 of Appendix J added — Permit application
and submittal.
Sections J104.5 and J104.6 are hereby added to read as follows:
J104.5 Plan Information. In addition to the requirements in Section J104.2, the permittee shall
provide other technical information as required by the Building and Safety Department's handouts,
policies and standards.
Page 300
J104.6 As-built plans. The permittee shall provide a copy of as-built plans to the City for a
permanent record at the end of the approved grading work.
15.12.120 Section J105.1 of Appendix J amended — General.
Section J105.1 is hereby amended to read as follows:
J105.1 General. Inspections shall be governed by Section 110, Chapter 1, Division II of this code
and other requirements established by approved policies and procedures of the Building and
Safety Department. An engineer shall provide grading inspections and certifications for the work
done at the site.
15.12.130 Section J109.4 of Appendix J amended — Drainage across property lines.
Section J109.4 is amended by adding the following to the end of the section as follows:
For Single Family Lot Drainage:
1. Whenever possible, drainage from single family lots shall flow directly to a street.
2. If it should be determined necessary to allow offsite drainage to flow through a single-family
lot (to preserve down lot views, esthetics, accept flow from offsite property, etc.), the
following shall apply:
a. Drainage from only one lot shall flow through only one other lot.
b. A drainage easement shall be provided/obtained over the lot accepting the drainage.
c. The drainage shall be contained within either a concrete/rock lined swale or reinforced
concrete pipe.
d. The drainage facility shall be designed with excess capacity to account for the probable
lack of necessary maintenance. Therefore, it shall be designed to convey two times
the runoff from a 100-year storm with the minimum diameter for a pipe being 12 inches.
15.12.135 Section J109.5 of Appendix J added — Site and lot grading for
drainage. Section J 109.5 is hereby added to read as follows:
J109.5 Site and lot grading for drainage. The site or lot grading shall meet the requirements
as specified in Section 1804.4 - Site Grading of the California Building Code
Volume 2.
Page 301
15.12.140 Section J110.3 of Appendix J added — Temporary erosion control during
grading.
Section J110.3 is hereby added to read as follows:
J110.3 Temporary erosion control during grading work.
The permittee shall put into effect and maintain all precautionary measures necessary to protect
adjacent watercourses and public or private property from damage by erosion, flooding, and
deposition of mud or debris origination from the site during the grading operation regardless of lot
size.
15.12.150 Section J112 of Appendix J added— Protection of adjacent property.
Section J112 is hereby added to read as follows:
Section J112 Protection of adjacent property.
J112.1 General. During grading operations, the permittee shall be responsible for the prevention
of damage to adjacent property and no person shall excavate on land sufficiently close to the
property line to endanger any adjoining public street, sidewalk, alley, or other public or private
property without supporting and protecting such property from settling, cracking, or other damage
which might result.
15.12.160 Section J113 of Appendix J added— Dust control.
Section J113 is hereby added to read as follows:
Section J113 Dust control.
J113.1 General. The owner of the site or the project contractor shall put into effect and maintain
all precautionary measures necessary to prevent dust blowing from the site to adjacent properties.
Prior to the permit issuance, a dust control sign and required contact information as required by
the department's policy shall be installed at the site."
SECTION 5: Chapter 15.14 of Title 15 of the Rancho Cucamonga Municipal Code is hereby
amended to read as follows:
CHAPTER 15.14
RESIDENTIAL CODE
Sections:
15.14.010 Section R105.2 of Chapter 1, Division II amended —Work exempt from permit.
Page 302
15.14.020 Section 1.8.8.1 of Chapter 1, Division I amended — Board of Appeals.
15.14.030 Sections R113.1 and R113.2 of Chapter 1, Division II amended-Violations.
15.14.040 Section R301.2.1 amended —Wind design criteria.
15.14.050 Section R401.4.1 amended — Geotechnical evaluation.
15.14.060 Section R902.1 amended — Roofing covering materials.
15.14.070 Appendices deleted.
15.14.010 Section R105.2 of Chapter I, Division II amended —Work exempt from permit.
Section R105.2 of the Residential Code is hereby amended by amending items 1 and 2
and adding new items 11 and 12, under "Building", to read as follows:
1. One-story detached accessory structure used as tool and storage sheds
playhouses and similar uses, provided the floor area does not exceed 120 square feet
and 8 feet in maximum height as long as the structure is not located in required setbacks
as determined by the Planning Department.
2. Wood, chain-link, plastic, metal or similar fences not over 6 feet in height or
masonry, concrete fence not over 3 feet in height above the lowest adjacent grade.
11. Flagpole not to exceed 20 feet in height above ground in a residential lot.
12. Non-fixed and movable fixtures, cases, racks, counters and partitions not
over 5 feet 9 inches in height.
15.14.020 Section 1.8.8.1 of Chapter 1, Division I amended — Board of Appeals. Section
1.8.8.1 of Chapter 1, Division I is hereby amended to read as follows:
1.8.8.1 General.
In order to hear and decide appeals of orders, decisions or determination made by the Building
Official relative to the application and interpretation of this code, there shall be and is hereby
created a Board of Appeals consisting of 3 members and 2 alternates who are qualified by
experience and training to pass on matters pertaining to building construction and who are not
employees of the jurisdiction. The Building Official shall be an ex officio member of and shall act
as Secretary to said Board but shall have no vote on any matter before the Board. The Board
shall adopt rules of procedure for conducting its business and shall render all decisions and
findings in writing to the appellant with a duplicate copy to the Building Official.
Page 303
15.14.030 Sections R113.1 and R113.2 of Chapter I, Division II amended —Violations.
Sections R113.1 and R113.2 of Chapter 1, Division 11 are hereby amended to read as follows:
R113.1 Unlawful acts. It shall be unlawful for any person, firm or corporation to erect, construct,
alter, extend, repair, move, remove, demolish, occupy or maintain any building, structure or
equipment regulated by this code, or cause same to be done, in conflict with or in violation of any
of the provisions of this code.
R113.2 Notice of violation. The Building Official is authorized to serve a notice of violation or
order on the person responsible for the erection, construction, alteration, extension, repair, moving
removal demolition, maintaining or occupancy of a building or structure in violation of the
provisions of this code, or in violation of a permit or certificate issued under the provisions of this
code. Such order shall direct the discontinuance of the illegal action or condition and the
abatement of the violation.
15.14.040 Section R301.2.1 amended —Wind design criteria.
Section R301.2.1 is hereby amended to by adding a sentence at the end of the section to read as
follows:
The ultimate design wind speed used in the City is 110 miles per hour for Vult and Vasd is 85
miles per hour with Exposure C as described in Section R301.2.1.4.
15.14.050 Section R401.4.1 amended — Geotechnical evaluation.
Section R401.4.1 is hereby amended by adding a sentence at the end of the section to read as
follows:
A geotechnical or soil report is required for the new construction or when an addition is more than
50% of the existing floor area. Any reports that are more than 3 years old shall be required to
provide an updated report or a soil letter.
15.14.060 Section R902.1 amended - Roofing covering materials.
Section R902.1 is hereby amended to read as follows:
Roofs shall be covered with materials as set forth in Sections R904 and R905. A minimum Class
A or B roofing shall be installed in areas designated by this section. Class A or B roofing required
by this section to be listed shall be tested in accordance with UL 790 or ASTM E 108.
Page 304
Minimum Roof Covering Classification for different types of construction for new buildings, re roofs
or additions except for the construction of roofs in very High Fire Hazard Zones.
IA IB IIA IIB IIIA IIIB IV VA VB
A A A A A A B* B* B*
"See Section R902.1.1 for Class A Roof Coverings in Very-High Fire Hazard Severity
SECTION 6: Chapter 15.16 of Title 15 of the Rancho Cucamonga Municipal Code is hereby
amended to read as follows:
CHAPTER 15.16
MECHANICAL CODE
Sections:
15.16.010 Section 104.5 of Chapter 1, Division II amended — Permit fees.
15.16.020 Table 104.5 of Chapter 1, Division II deleted — Mechanical permit fees.
15.16.030 Section 107.1 of Chapter 1, Division II amended — General.
15.16.010 Section 104.5 of Chapter 1, Division II amended - Permit
fees. Section 104.5 of the Mechanical Code is hereby amended to read as
follows: 104.5 Permit Fees.
The fee for each permit shall be as established by Resolution of the City Council.
15.16.020 Table 104.5 Deleted - Mechanical permit fees.
Table 104.5 of the Mechanical Code is hereby deleted.
15.16.030 Section 107.1 of Chapter 1, Division II amended - General.
Section 107.1 of the Mechanical Code is hereby amended to read as follows:
107.1 General.
In order to hear and decide appeals of orders, decisions or determinations made by the
Building Official relative to the application and interpretation of this code, there shall be and is
Page 305
hereby created a Board of Appeals consisting of 3 members and 2 alternates who are qualified
by experience and training to pass on matters pertaining to building construction and who are
not employees of the jurisdiction. The Building Official shall be an ex officio member of and
shall act as Secretary to said Board but shall have no vote on any matter before the Board. The
Board shall adopt rules of procedure for conducting its business and shall render all decisions
and findings in writing to the appellant with a duplicate copy to the Building Official."
SECTION 7: Chapter 15.20 of Title 15 of the Rancho Cucamonga Municipal Code is hereby
amended to read as follows:
CHAPTER 15.20
PLUMBING CODE
Sections:
15.20.010 Section 107.1 of Chapter 1, Division II amended — Board of Appeals.
15.20.020 Section 104.5 amended - Fees.
15.20.030 Table 104.5 deleted - Plumbing permit Fees.
15.20.040 Appendix L deleted.
15.20.050 Section 609.3.1 added — Under concrete slab.
15.20.060 Section H701.2 of Appendix H amended — Multiple installations.
15.20.010 Section 107.1 of Chapter 1, Division II amended — Board of Appeals.
Section 107.1 is hereby amended to read as follows:
107.1 General.
In order to hear and decide appeals of orders, decisions or determinations made by the Building
Official relative to the application and interpretation of this code, there shall be and is hereby
created a Board of Appeals consisting of 3 members and 2 alternates who are qualified by
experience and training to pass upon matters pertaining to building construction and who are not
employees of the jurisdiction. The Building Official shall be an ex officio member of and shall act
as Secretary to said Board but shall have no vote on any matter before the Board. The Board
shall adopt rules of procedure for conducting its business and shall render all decisions and
findings in writing to the appellant with a duplicate copy to the Building Official.
Page 306
15.20.020 Section 104.5 amended - Fees.
Section 104.5 is hereby amended to read as follows:
104.5 Fees.
The fee for each permit shall be as established by Resolution of the City Council.
15.20.030 Table 104.5 deleted - Plumbing permit
fees. Table 104.5 is hereby deleted.
15.20.040 Appendix L deleted.
Appendix L is hereby deleted.
15.20.050 Section 609.3.1 added — Under concrete slab.
609.3.1 is hereby added to read as follows:
609.3.1 Copper tubing serving plumbing fixtures within dwelling unit kitchen islands shall
be installed without joints and the installation shall satisfy the following requirements.
1. The copper tubing shall be installed within a watertight continuous sleeve that
prevents direct contact between the copper tubing and under slab soils. During
construction the protective sleeve shall be capped at both ends until the copper
tubing is installed and released for inspection.
15.20.060 Section H701.2 of Appendix H amended — Multiple Installations.
Section H701.2 of Appendix H is hereby amended to read as follows:
H701.2 Multiple Installations.
Multiple seepage pit installations shall be served through an approved distribution box. The inlet
into the pit shall have an approved vented leg fitting extending not less than 12 inches below the
inlet fitting."
SECTION 8: Chapter 15.24 of Title 15 of the Rancho Cucamonga Municipal Code is
hereby amended to read as follows:
CHAPTER 15.24
Page 307
ELECTRICAL CODE
Sections:
15.24.010 Section 89.108.4.5 added — Permits, fees, applications and inspections.
15.24.020 Section 89.108.8.1 amended — Board of Appeals.
15.24.010 Section 89.108.4.5 added — Permits, fees, applications and
inspections. Section 89.108.4.5 is hereby added to read as follows:
89.108.4.5 Qualification of permittee. No person shall be issued a permit under this Chapter
until a valid California Contractor's License of the correct classification is presented to the Building
Official.
Exception: Owner-builder permit may be issued for Group R, Division 3, or Group U occupancy
with the approval of the Building Official.
15.24.020 Section 89.108.8.1 amended — Board of Appeals.
Section 89.108.8.1 is hereby amended to read as follows:
89.108.8.1 General.
In order to hear and decide appeals of orders, decisions or determinations made by the Building
Official relative to the application and interpretation of this code, there shall be and is hereby
created a Board of Appeals consisting of 3 members and 2 alternates who are qualified by
experience and training to pass on matters pertaining to building construction and who are not
employees of the jurisdiction. The Building Official shall be an ex officio member of and shall act
as Secretary to said Board but shall have no vote on any matter before the Board. The Board
shall adopt rules of procedure for conducting its business and shall render all decisions and
findings in writing to the appellant with a duplicate copy to the Building Official."
SECTION 9: Chapter 15.26 of Title 15 of the Rancho Cucamonga Municipal Code is hereby
amended to read as follows:
CHAPTER 15.26
GREEN BUILDING STANDARDS CODE
15.26.010 [Section reserved for future amendments.]"
SECTION 10: Chapter 15.28 of Title 15 of the Rancho Cucamonga Municipal Code is hereby
amended to read as follows:
Page 308
CHAPTER 15.28
REFERENCED STANDARDS CODE
15.28.010 [Section reserved for future amendments.]"
SECTION 11: Chapter 15.30 of Title 15 of the Rancho Cucamonga Municipal Code is hereby
amended to read as follows:
CHAPTER 15.30
INTERNATIONAL SWIMMING POOL AND SPA
CODE 15.30.010 [Section reserved for future amendments.]"
SECTION 12: Chapter 15.32 of Title 15 of the Rancho Cucamonga Municipal Code is
hereby amended to read as follows:
CHAPTER 15.32
INTERNATIONAL PROPERTY MAINTENANCE CODE
15.32.010 Chapter 3 amended - General Requirements
15.32.010 Chapter 3 General Requirements is amended by deletion of sections 302.4, 302.8,
303.2."
SECTION 13: A new Chapter 15.34 is hereby added to Title 15 of the Rancho Cucamonga
Municipal Code to read as follows:
CHAPTER 15.34
HISTORICAL BUILDING CODE
15.34.010 [Section reserved for future amendments.]"
SECTION 14: Penalties. It shall be unlawful for any person, firm partnership, or corporation to
violate any provision or to fail to comply with any of the requirements of this Ordinance or the
Codes adopted hereby. Any person, firm, partnership, or corporation violating any provision of
this Ordinance or the Codes adopted hereby or failing to comply with any of its requirements shall
be deemed guilty of a misdemeanor and upon conviction thereof shall be punished by a fine not
exceeding One Thousand Dollars ($1,000) or by imprisonment not exceeding six (6) months, or
by both such fine and imprisonment. Each person, firm, partnership or corporation shall be
Page 309
deemed guilty of separate offense for each and every day or any portion thereof during which
any violation of any of the provisions of this Ordinance or the Codes adopted hereby is committed,
continued or permitted by such person, firm, partnership or corporation, and shall be deemed
punishable therefore as provided in this Ordinance.
SECTION 15: CEQA. The City Council hereby finds that this Ordinance is exempt from the
requirements of the California Environmental Quality Act ("CEQA") pursuant to Title 14 of the
California Code of Regulations, Section 15061(b)(3) because it can be seen with certainty that
there is no possibility that the Code Amendments herein would have a significant impact on the
environment. The Amendments adopt the California Building Codes, which implement minimum
safety standards as required by California Health and Safety Code §17958. The Community
Development Director is hereby directed to file a Notice of Exemption in accordance with CEQA
and the CEQA Guidelines.
SECTION 16: Civil remedies available. The violation of any of the provisions of this Ordinance or
the Codes adopted hereby shall constitute a nuisance and may be abated by the City through
civil process by means of restraining order, preliminary or permanent injunction or in any other
manner provided by law for the abatement of such nuisances.
SECTION 17: Severability. The City Council hereby declares that should any provision, section,
paragraph, sentence or word of this Ordinance or the Code hereby adopted be rendered or
declared invalid by any final court action in a court of competent jurisdiction, or by reason of any
preemptive legislation, the remaining provisions, sections, paragraphs, sentences and words of
this Ordinance and the Codes hereby adopted shall remain in full force and effect.
SECTION 18: Effective date. This Ordinance shall take effect the later of thirty (30) days after
adoption, or January 1, 2026.
SECTION 19: The Mayor shall sign this Ordinance, and the City Clerk shall cause the same to
be published within fifteen (15) days after its passage at least once in The Inland Valley Daily
Bulletin, a newspaper of general circulation published in the City of Rancho Cucamonga,
California, and circulated in the City of Rancho Cucamonga, California.
PASSED, APPROVED, AND ADOPTED this day of 20_,
Mayor
ATTEST:
Kim Sevy, City Clerk
I, Kim Sevy, CITY CLERK of the City of Rancho Cucamonga, California, do hereby certify that
the foregoing Ordinance was introduced at a Regular Meeting of the City Council of the City of
Rancho Cucamonga held on the 15th day of October 2025, and was passed at a Regular Meeting
of the City Council of the City of Rancho Cucamonga held on the 19th day of November 2025.
Page 310
Executed this day of 20_, at Rancho Cucamonga,
California.
Kim Sevy, City Clerk
Page 311
RESOLUTION NO. 2025-080
A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF RANCHO
CUCAMONGA, CALIFORNIA, SETTING FORTH FINDINGS IN
SUPPORT OF AMENDMENTS TO THE 2025 CALIFORNIA BUILDING
CODE, RESIDENTIAL CODE, PLUMBING CODE, ELECTRICAL CODE
AND MECHANICAL CODE BASED ON LOCAL CLIMATIC,
TOPOGRAPHICAL AND/OR GEOLOGICAL CONDITIONS
WHEREAS, Health and Safety Code Section 17958 provides that the City of Rancho
Cucamonga may adopt ordinances and regulations imposing the same or modified or changed
building standards as are contained in the codes required to be adopted by the State pursuant
to Health and Safety Code Sections 17922 and 18930; and
WHEREAS, the State of California is mandated to adopt the building standards and
other rules contained in the model codes specified in Health and Safety Code Section 17922,
and to publish said codes, as amended, collectively as the California Building Standards Code;
and
WHEREAS, Health and Safety Code Sections 17958.5(a) and 18941.5(b) permit the
City to amend building standards in the codes comprising the California Building Standards
Code based on findings that such amendments are reasonably necessary because of local
climatic, geological, or topographical conditions.
NOW, THEREFORE, the City Council of the City of Rancho Cucamonga does hereby
find and resolve as follows:
Section 1. The Building and Safety Department has recommended that changes and
modifications be made to the 2025 Editions of the California Building Code, Plumbing Code,
Mechanical Code, Electrical Code, and Residential Code, and that such modifications are
reasonably necessary due to local conditions in the City of Rancho Cucamonga, as described
below:
A. Climatic Conditions
1. Hot, dry Santa Ana winds are common to all areas within the City of Rancho
Cucamonga and San Bernardino County in general. These winds, which can
cause small fires which spread quickly, are a contributing factor to the high
fire danger in the area and create the need for an increased level of fire
protection. This added protection will supplement normal fire department
response available and provide immediate protection for life and safety of
multiple occupancy occupants during fire occurrences.
2. San Bernardino County and the City of Rancho Cucamonga are located in a
semi-arid Mediterranean type climate which predisposes all fuels to rapid
ignition and spread of fire. Therefore, there exists a need for additional fire
protection measures.
ATTACHMENT 2
Resolution No. 2025-080 - Page 1 of 4
Page 312
B. Geographical Conditions
1. San Bernardino County and the City of Rancho Cucamonga are located in
Seismic Zone 4. There are earthquake faults that run along the northern, eastern
and southwestern boundaries of the County. The Cucamonga Fault and San
Andreas Fault are the major earthquake faults lying on the northern part of the
City. They can create major damages and pose one of the greatest hazards to
lives and properties in the county. The San Jose Fault together with the Whittier
Fault on the southwest location of the county and the San Jacinto Fault on the
eastern part of the County can also create major earthquakes with tremendous
damages. Experts predict a major earthquake might occur in our area within the
next 50 years. This situation creates a need for additional fire, life, safety
protection measures.
2. Traffic and circulation congestion presently existing in the City of Rancho
Cucamonga often places fire department response time to fire occurrences at
risk. This condition will be exacerbated by any major disaster, including any
earthquake wherein damage to the highway system will occur. This condition
makes the need for additional on-site protection for property occupants
necessary.
C. Topographical Conditions
1. The City is built on soil with high degrees of landslides, rockslides from the
adjacent foothills and mountains. In addition, the majority of the City has steep
hills and streets with great potential of flooding and erosion problems which
inhibit firefighting and rescuing capabilities.
Specific amendments to the 2025 Editions of the California Building Code, Plumbing Code,
Mechanical Code, Electrical Code, and Residential Code, as set forth in City of Rancho
Cucamonga Ordinance No. 1048 are found reasonably necessary based on the climatic,
geological, and/or topographic conditions cited above in this Resolution and are listed as
follows:
B u i Id ing Code amendments Findings section(s)
Section 101.4 Chapter 1 Administrative
Section 105.2 Chapter 1 Administrative
Section 113.1 Administrative
Section 114.1 and 114.2 Administrative
Section 710A.3.3 Administrative
Section 903 A-1, A-2
Table 1505.1 A-1, A-2
Section 1509.3 A-1
Section 1803.5.11 B-1
Section 3109.3 Administrative
Section J101, Appendix J Administrative
Section J101.1, Appendix J Administrative
Section J103.3, Appendix J Administrative
Section J104.5 and 104.5, Appendix J Administrative
Resolution No. 2025-080 - Page 2 of 4
Page 313
Section J105.1, Appendix J Administrative
Section J109.4, Appendix J Administrative
Section J109.5, Appendix J Administrative
Section J110.3, Appendix J Administrative
Section J112.1, Appendix J Administrative
Section J113.1, Appendix J Administrative
Residential Code amendments
Section R105.2, Chapter 1 Administrative
Section 1.8.8.1, Chapter 1 Administrative
Section R113.1 and R113.2, Chapter 1 Administrative
Section R301.2.1 B-1
Section R401.4.1 C-1
Section R902.1 Administrative
Appendices deleted Administrative
Mechanical Code amendments
Section 104.5, Chapter 1 Administrative
Table 104.5 Administrative
Section 107.1 Administrative
Plumbing Code amendments
Section 107.1, Chapter 1 Administrative
Section 104.5 Administrative
Table 104.5 Administrative
Appendix L Administrative
Section 609.3.1 Administrative
Section H701.2 Administrative
Electrical Code amendments
Section 89.108.4.5 Administrative
Section 89.108.8.1 Administrative
Section 2. The City Clerk shall certify to the adoption of this Resolution and cause a certified
copy of the same and Ordinance No. 1048 to be forthwith transmitted to the California Building
Standards Commission.
Resolution No. 2025-080 - Page 3 of 4
Page 314
PASSED, APPROVED, and ADOPTED this 15" day of October, 2025.
r
. ❑ennis Michae, Maya
ATTEST:
�K' e City Clerk
STATE OF CALIFORNIA }
COUNTY OF SAN BERNARDIN❑ } ss
CITY OF RANCHO CUCAMONGA }
I, Kim Sevy, City Clerk of the City of Rancho Cucamonga, do hereby certify that the
foregoing Resolution was duly passed, approved, and adopted by the City Council of the
City of Rancho Cucamonga, at a Regular Meeting of said Council held on the 15" day of
October, 2025.
AYES: Hutchison, Kennedy, Michael, Scott
NOES: None
ABSENT: Stickler
ABSTAINED: None
Executed this 1 Bah day of October 2025, at Rancho Cucamonga, California.
/4i e ity Clerk
Resolution No. 2025-080 - Page 4 of 4
Page 315
City of Rancho Cucamonga &
Rancho Cucamonga Fire District
CODE ADOPTION 2025
EU
� v
r �� FIRE
CODE ADOPTION
PROCESS
• Every 3 years, the State of California publishes
an updated set of building codes based on new CALIFORNIA- M-STANDARDS
,�IMON
2025
versions of the International Codes � . DE
• CA Building Standards Code (Title 24 ) governs
the construction of all buildings in the state 025
• Every city in California is mandated to adopt the , . DE
State ' s building codes
• Each city may amend the codes to address
specific local climatic, topographical , or
geographical conditions . �
FFIRE
Ordinance No . 1048
2025 California Building Model Codes
• Establishes the ability to administer the
Building Model Codes, issue construction
permits and collect fees .
• No significant changes, additions or deletions 4� '�-'' i -have been made to the proposed codes .
• No significant modifications have been made SANTA ANA WINDS
V .
to previously approved amendments in H � ,
Ordinance 1011, based on local climatic, t ,
topographical , and geographical conditions .CUC
F
■
implementation Plan
• Effect 'ive Adoption Date -Januar
SIGNIFICANT CHANGES TO THE
2026 ALIFINIA . 1 0 CODE
• Public Outreach / T 20 �� EDITION
• esi n and D of Ch
Bred 1Nungluck, MPA, MCP, C130
Douglas 1 _Thornburg, AIA, CB
John "Buddy" Showalter, PE
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Resources
eUpdate City Website �:x
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GALIF0RNIA
s I RUIL0100 OFMCALS
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FIRE
Ordinance No . FD - 060
2025 California Wildland -Urban Interface Code
• Consolidates all defensible
CALIFORNIA BUILDING STANDARDS COMMISSION
space and home hardening 2025
requirements .
WILDLAND-URBAN
JN 0
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C Cl' i, ;NIA DE F RE IJLLAfl .. . 1,7%
• Establishes fire protection BASED ON THE 2024 INTERNATIONAL W1 LDLAN D-Uw BAN ,N,EA.,CE
and access requirements for
land development . • �,
• " Overlay " code for Building ,
Fire , and Residential Code `
�
Zone 0 : 5 - foot Combustible Exclusion one
• Applicable to Fire Hazard
Severity Zones ( adopted
June 2025 )
* Existing Fire District
Standards are more
restrictive than State
ZONE 0: 0-5 FEET
minimum requirements due ZONE 1 : 5-30 FEET
to climate , topographical , ZONE 2: 30- 100 FEET
and geographical risks
,*0 EUC associated with the District
Code Analysis
* Insurance Institute for Business and Home Safety
Cro:?
( I B H S )
* Research and scientifically validated guidance for
1 � defensible space and home hardening
* Wildfire Prepared Home program
ADDITIONAL
(:LWILDFIRE ), REQUIREMENTS
EMENTS
FOR PLUS
Cover gutters.
PREPARED
Enclose eaves. ..
A PROGRAM OF I HS Install Id
noncombustible
1 : r' siding .
Upgrade windows
` - & doors.
Upgrade to a .
- ... noncombustible
deck.
Move access
structures at lea
r r 0 feet away.
Remove parallel •r.
fencing .
wildflreprepar'ed. rg
ROOF BUILDING FEATURES 0-5 FOOT NONCOMBUSTIBLE COMBUSTIBLE ZONE
V Ensure the roof V Install flame- and ember- Establish a 0-5 foot noncombustible zone around
covering is glass resistant vents r 1/' -inch natal the home and decks; remove overhanging
LU o - g mesh over vents. branches; replace combustible fences within feet.
fire rated � p
maintained clear of Ensure -inch vertical — FOOT DEFENSIBLE SPACE ZONE
CY LU debris. noncombustible clearance at the Maintain yard with aced vegetation,, structures
base f exterior walls. spaced � '
Choose other connective fuels, clear debris, remove firewood .
LU noncombustible clear & maintain the underdeck Move structures at least 10 feet away & maintain a
gutters & downspouts,, area; enclose low-elevation 0-5 foot noncombustible zone around them.
decks.
Ali nin Codes with Best Practicesgg
A summary of the proposed amendments is:
1-0
9
• Screen mesh in skylights , if openable .
• Noncombustible forced exhaust vents .
• Two layers of tempered glass in windows and doors .
Reduces structure ignition potential and increases firefighter safety.
50% of commercial insurance carriers and 80% of residential
insurance carriers are members of IBHS .
The California Department of Insurance is mandated to provide a
discount to homeowners for a Wildfire Prepared Home designation .
EUC Annual insurance premiums for approximately $ 1 M in covered
e property decreased from $ 11 ,000 to less than $900 annually.
Ordinance No . FD - 061
2025 California Fire Code
* Establishes the ability toCALIFORNIA BUILDING STANDARDS COMMISSION '
administer the Fire Code , issue j NIA
5
operational and construction2
CO CALIFORNIA CODE OF REGULAnONS , prg
permits , and collect fees . �`°°" '" x'. '"""""�"'"`m�'
PC
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* No major additions or deletions ,
Non - substantive reorganization
1 ,'WyryV
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�- �� FIRE
CITY OF RANCHO CUCAMONGA
DATE: November 19, 2025
TO: Mayor and Members of the City Council
FROM: John R. Gillison, City Manager
INITIATED BY: Jennifer Nakamura, CNU-A, Planning Director
Stacy Lee, Assistant Planner
SUBJECT: Public Hearing for Consideration of First Reading of Ordinance No. 1049,
to be Read by Title Only and Waive Further Reading, Amending Chapter
17.100 of Article V of Title 17 of the Municipal Code to Update the
Regulations Regarding Accessory Dwelling Units (ADUs) and Junior
Accessory Dwelling Units (JADUs) in Compliance with State Law and to
Establish a Bonus ADU Program. This Item is Exempt from the California
Environmental Quality Act (CEQA), Pursuant to State CEQA Guidelines
Section 15282(h) and 15061(b)(3). (ORDINANCE NO. 1049) (CITY)
RECOMMENDATION:
The Planning Commission and Staff recommend the City Council conduct the first hearing of
Ordinance No. 1049 to be read by title only and waive further reading, to amend the regulations
regarding Accessory Dwelling Units (ADUs) and Junior Accessory Dwelling Units (JADUs) in
compliance with State Law and to establish a Bonus ADU Program.
BACKGROUND:
The City of Rancho Cucamonga has permitted ADUs and JADUs since the State first adopted
regulations for"second dwelling units" in 1982. In 2018, the City Council adopted Ordinance No.
938 revising Chapter 17.100 to be consistent with State ADU Law at the time. In 2020, the City
Council adopted Ordinance No. 966, revising Chapter 17.100 to be consistent with additional new
ADU laws which were passed by the State legislature.
Since the last code amendment related to ADUs and JADUs, several other statutory changes
have been adopted by the State, and several bills have been passed, which necessitate changes
to the code. These bills include AB 3182, AB 345, SB 9, AB 1584, AB 2221, SB 897, AB 976, AB
1033, AB 1332, AB 434, SB 477, AB 2533, SB 1211, AB 3057, and SB 1077.
On October 22, 2025, the Planning Commission held an advertised public hearing to make a
recommendation to the City Council. After testimony was provided, the Planning Commission
unanimously recommended City Council adopt an ordinance to amend Chapter 17.100 of Title 17
of the Municipal Code. The Planning Commission resolution and meeting minutes are included
as attachments to this report.
ANALYSIS:
While each of the bills listed above results in changes to State Law related to ADUs and JADUs,
Page 316
staff notes that certain bills, namely AB 2221 (Quirk-Silva), AB 1332 (Carillo), AB 2533 (Carillo),
and SB 1211 (Skinner), result in the most significant changes to our local ordinance and
Development Code. The City Attorney's Office drafted an ordinance including these revisions to
our current ADU/JADU regulations to be consistent with State Law.
Summary of Significant Legislation:
In January 2023, AB 2221 (Quirk-Silva), became effective and amended the height restrictions to
allow for up to 18 feet if the proposed ADU is within one-half mile of public transit (rather than a
major transit stop or high-quality transit corridor) or if the property has an existing two-story multi-
family dwelling, and up to 25 feet if the ADU is attached to the primary dwelling. Staff is proposing
changes to Development Code Section 17.100.050.E to comply with these State requirements.
In January 2024, AB 1332 (Carillo), became effective requiring local agencies to do the following:
develop a program for the preapproval of ADU plans by January 1, 2025; accept ADU plan
submissions for preapproval from any party and approve or deny such applications; post
preapproved ADU plans and the applicant's contact information on the local agency's website;
and approve or deny within 30 days an application for a detached ADU that utilizes a pre-approved
ADU plan by any agency within the State or a plan that is identical to a plan in a previously
approved application for a detached ADU. The Building and Safety Department fulfilled this
requirement by initiating a program and posting the required information on the department page
of the City's website. Staff proposes changes to Development Code Section 17.100.030 to codify
the review timelines consistent with State requirements.
In January 2025, AB 2533 and SB 1211 became effective, which requires local agencies to
remove penalties to an applicant for having an unpermitted ADU and to approve necessary
permits to correct noncompliance with health and safety standards. Local agencies must provide
owners with unpermitted ADUs a checklist of "substandard" conditions that must be repaired or
upgraded to receive approval of their building permit. SB 1211 increases the maximum number
of detached ADUs allowed on a lot with an existing multi-family dwelling from two to eight, not to
exceed the existing number of units within the multi-family dwelling and meets setback and height
requirements. The ordinance has been modified accordingly to comply with these State
requirements.
Additionally, on March 25, 2024, SB 477 became effective and made changes to the numbering
of sections of the Government Code for State ADU and JADU Laws. The proposed code
amendment references specific Government Code Sections, which were revised to match the
renumbered sections.
Bonus ADU Program:
As part of our Prohousing Designation awarded to the City in April 2024, we committed to increase
allowable density in low-density, single-family residential areas by permitting more than one ADU
or JADU on a single-family lot in our highest resource areas. To honor this commitment, we have
created a bonus ADU program and Section 17.100.050 (Special Allowances) has been added to
the chapter. For lots over 20,000 square feet, a second ADU or JADU may be constructed if they
meet the development standards outlined in the chapter for ADU's or JADU's.
Compliance with the General Plan:
Pursuant to Development Code Section 17.22.040, Development Code amendments may be
approved only when the City Council finds that the amendments are consistent with the General
Plan goals, policies, and implementation programs. The subject Municipal Code Amendment is
consistent with several goals and policies listed in the General Plan, as identified below.
Page 2
Page 317
General Plan Housing Goal H-1 strategizes for a diverse community with a broad range of housing
types and opportunities to accommodate expected new households. Specifically, Policy H-1.1
encourages the development of a wide range of housing options, types, and prices that will enable
the City to achieve its share of the Regional Housing Needs Allocation (RHNA); Policy H-1.2 is to
recognize the unique characteristics of elderly and disabled households and address their special
needs; and Policy H-1.3 is to facilitate the development of ADUs to provide additional housing
opportunities pursuant to State law and established zoning regulations.
General Plan Housing Goal H-4 promotes a community with quality, healthy housing, and Policy
H-4.2 is to encourage the revitalization and rehabilitation of substandard residential structures.
General Plan Housing Goal H-5 aims for a city with an efficient process for improving and
developing housing. Specifically, Policy H-5.4 is to evaluate and adjust as appropriate residential
development standards, regulations, and processing procedures that are determined to constrain
housing development, particularly housing opportunities for lower- and moderate-income
households and for persons with special needs.
Environmental Assessment:
The proposed code amendments are exempt from or not subject to the California Environmental
Quality Act (CEQA), pursuant to State CEQA Guidelines Section 15282(h), which establishes a
statutory exemption for the adoption of an ordinance regarding second units in a single-family or
multifamily residential zone by a city or county to implement the provisions of Sections 65852.1,
Article 2 (commencing with Section 66314) or Article 3 (commencing with Section 66333) of
Chapter 13 of Division 1 of Title 7 of the Government Code, as set forth in Section 21080.17 of
the Public Resources Code. In addition, the Ordinance is exempt from further environmental
review pursuant to CEQA Guidelines Section 15061(b)(3) because it can be seen with certainty
that there is no possibility that amendments to the City's ADU and JADU regulations in
accordance with State Law will have a significant effect on the environment.
Correspondence:
This item was advertised as a public hearing with a large one-eighth page legal advertisement in
the Inland Valley Daily Bulletin newspaper on Wednesday, November 5, 2025. Because the item
is a citywide ordinance for an amendment, individual noticing to property owners is not required.
FISCAL IMPACT:
None.
COUNCIL MISSION /VISION /VALUE(S) ADDRESSED:
The proposed code amendment addresses the City Council's Core Values of providing and
nurturing an excellent quality of life for all; intentionally embracing and anticipating our future;
creating equitable opportunity to prosper; and relentless pursuit of improvement. This action
meets the Council Core Values by remaining in compliance with State Law and providing the
opportunity to develop a more diverse and accessible form of housing, which is a key infill
development strategy and will effectively help achieve the City's vision to create an equitable,
sustainable, and vibrant city, rich in opportunity for all to thrive by building on our foundation and
success as a world class community.
ATTACHMENTS:
Attachment 1 — Planning Commission Resolution No. 2025-035
Attachment 2 — Planning Commission Meeting Minutes, October 22, 2025
Attachment 3— Ordinance No. 1049
Page 3
Page 318
ATTACHMENT 1
RESOLUTION NO. 2025-035
A RESOLUTION OF THE PLANNING COMMISSION OF THE
CITY OF RANCHO CUCAMONGA, CALIFORNIA,
RECOMMENDING APPROVAL -OF MUNICIPAL CODE
AMENDMENT DRC2025-00072, AMENDING THE RANCHO
CUAMONGA MUNICIPAL CODE CONTAINING REQUIREMENTS
AND STANDARDS FOR THE DEVELOPMENT OF ACCESSORY
DWELLING UNITS AND JUNIOR ACCESSORY DWELLING
UNITS CONSISTENT WITH THE STATE LAW, AND MAKING
FINDINGS IN SUPPORT THEREOF.
A. Recitals.
1. The City of Rancho Cucamonga has prepared Municipal Code Amendment DRC2025-
00072, as described in the title of this Resolution. Hereinafter in this Resolution, the subject
Municipal Code Amendment is referred to as "the application".
2. On the 22nd day of October 2025, the Planning Commission of the City of Rancho
Cucamonga conducted a noticed public hearing on the application and concluded said hearing
on that date.
3. All legal prerequisites prior to the adoption of this Resolution have occurred.
B. Resolution.
NOW, THEREFORE, it is hereby found, determined, and resolved by the Planning
Commission of the City of Rancho Cucamonga as follows:
1. This Commission hereby specifically finds that ail of the facts set forth in the Recitals, Part
A, of this Resolution are true and correct.
2. Based upon the substantial evidence presented to the Planning Commission during the
above-referenced public hearing on October 22, 2025, including written and oral staff reports,
together with public testimony, this Commission hereby specifically finds as follows:
a. General Plan Housing Goal HE-1 promotes the creation of new opportunities that
enable a broad range of housing types, maintain a balanced supply of ownership
and rental units, and provide sufficient numbers of dwelling units to accommodate
expected new household formations; and
b. General Plan Land Use Policy LU-1.1 encourages the protection of neighborhoods
from the encroachment of incompatible activities or land uses that may have a
negative impact on the residential living environment; and
c. By developing a revised ordinance governing accessory dwelling units (ADUs) and
junior accessory dwelling units (JADUs), the City is permitting ADUs and JADUs
as required by State law, with provisions to ensure that they are compatible with
the main dwelling unit and surrounding neighborhood.
ATTAC H McE,3N T 1
PLANNING COMMISSION RESOLUTION NO. 2025-035
DRC2025-00072 —CITY OF RANCHO CUCAMONGA
October 22, 2025
Page 2
3. The Planning Department Staff has determined that the project is statutorily exempt from
the requirements of the California Environmental Quality Act (CEQA) and the City's CEQA
Guidelines. The project qualifies under Section 15282(h) of CEQA which establishes a statutory
exemption for the adoption of an ordinance regarding second units in a single-family or multi-
family residential zone by a city of county to implement the provisions of Sections 66310-66342
of the Government Code pertaining to ADUs and JADUs. The proposed code amendment is
consistent with this exemption.
4. Based upon the findings and conclusions set forth in paragraphs 1, 2, and 3 above, this
Commission hereby recommends that the City Council approve Municipal Code Amendment
DRC2025-00072 as indicated in Exhibit A incorporated herein by this reference.
5. The Secretary to this Commission shall certify to the adoption of this Resolution.
APPROVED AND ADOPTED THIS 22ND DAY OF OCTOBER 2025.
PLANNING COMMISSION OF THE CITY OF RANCHO CUCAMONGA
BY:
Tony Morales, Chairman
ATTEST:
enni Nakamura, Secretary
!, Jennifer Nak ura, Secretary of the Planning Commission for the City of Rancho Cucamonga,
do hereby certify that the foregoing Resolution was duly and regularly introduced, passed, and
adopted by the Planning Commission of the City of Rancho Cucamonga, at a regular meeting of
the Planning Commission held on the 22nd day of October 2025, by the following vote-to-wit:
AYES: COMMISSIONERS: MORALES, BOLING, ❑OPP, DANIELS, DIAZ
NOES: COMMISSIONERS:
ABSENT: COMMISSIONERS:
ABSTAIN: COMMISSIONERS:
Page 320
ATTACHMENT 2
Ed
Historic Preservation Commission and
Planning Commission
Agenda
October 22, 2025
Draft Minutes
Rancho Cucamonga, CA 91730
7:00 p.m.
The regular joint meeting of the Historic Preservation Commission and Planning Commission was held on
October 22, 2025. The meeting was called to order by Chairman Morales at 7:00 p.m.
A. Roll Call
Planning Commission present: Chairman Morales, Vice Chairman Boling, Commissioner Dopp,
Commissioner Daniels and Commissioner Diaz.
Staff Present: Serita Young, Assistant City Attorney; Jennifer Nakamura, Planning Director; Sean
McPherson, Principal Planner; Miguel Sotomayor, Principal Engineer; Stacy Lee, Assistant Planner;
Aracely Estrada, Management Analyst; Elizabeth Thornhill, Executive Assistant.
B. Public Communications
Chairman Morales opened the public communications.
Hearing no comments from the public, Chairman Morales closed the public communications.
C. Consent Calendar
C1. Consideration to adopt Regular Meeting Minutes of October 8, 2025.
Motion: Moved by Vice Chairman Boling; seconded by Commissioner Daniels. Motion carried
unanimously, 5-0.
D. Public Hearings
D1. TENTATIVE PARCEL MAP— ROBERT TOBIN ON BEHALF OF ADRIAN BUIGUES—A request to
subdivide an existing 19,252-square-foot parcel into two parcels within the Low (L) Residential Zone,
located at 9817 Base Line Road; APN: 1077-011-02. This item is exempt from the requirements of the
California Environmental Quality Act (CEQA) as a Class 15 exemption under CEQA Guidelines Section
15315— Minor Land Divisions (SUBTPM20935).
Assistant Planner Lee provided a PowerPoint presentation (copy on file).
Chairman Morales opened the public hearing.
Applicant Robert Tobin, along with Architect Doug Andresen were present and available to answer questions.
They stated that they did not receive the Conditions of Approval.
Planning Director Nakamura stated that the Conditions of Approval, along with the Staff Report,was sent to the
applicant via email, and was posted on the website on Thursday, October 16tn
HPC/PC Draft Minutes ATTACHMENT 2
Page 1 of 9 Page 321
Vice Chairman Boling reiterated that the applicant had been given the opportunity to review the Conditions of
Approval provided by staff and therefore had ample time to do so.
Planning Director Nakamura confirmed.
Commissioner Daniels suggested to allow the applicant a few minutes to look over a hard copy of the Conditions
of Approval while the Commission deliberates.
Applicant Tobin, along with Architect Andresen reviewed the documents.
Commissioner Daniels stated that he had spoken with the City Engineer regarding the ingress and egress
easement on Parcel 2. He noted that he had not realized the easement was intended for Parcel 1, ensuring that
any future development on that parcel would access London Avenue rather than Base Line Road. He
commented that this was an excellent addition to the map.
Vice Chairman Boling stated that in the Conditions of Approval, number 7, Subsection 1, the Engineering
Services Department requires the applicant to provide fiber optic conduit along Base Line Road. He further
stated that Subsection 2 requires the same along London Avenue and inquired about the rationale for this
requirement, given that London Avenue is a small residential cul-de-sac. He asked to explain how this aligns
with the City's Master Plan for fiber optics.
Principal Engineer Sotomayor explained that it is the City's requirement for developers to install fiber optic
conduit along project frontages to support future connectivity. He added that the City's long-term goal is to
have fiber installed citywide.
Vice Chairman Boling expressed appreciation to the applicant for preparing the proposed parcel map noting that
it aligns the subject site with the General Plan and zoning for future use. He added that while it may not reflect
the current use, it appropriately prepares the site for future development while respecting the long-term operation
of Parcel 1 as a valued community asset, the Child Care Center. He asked staff to confirm that the Child Care
Center would be permitted to continue operating as legal nonconforming use, provided that operations are not
discontinued for an extended period of time.
Assistant Planner Lee confirmed.
Chairman Morales re-opened the public hearing to allow the applicant an opportunity to respond after
reviewing the Conditions of Approval.
Applicant Tobin stated that they had reviewed the Conditions of Approval,found them to be standard, and had
no objections. He apologized for the earlier confusion.
Hearing no comments from the public, Chairman Morales closed public hearing.
Motion: Moved by Commissioner Dopp; seconded by Vice Chairman Boling to adopt Resolution 2025-038
approving Tentative Parcel Map SUBTPM20935. Motion carried unanimously, 5-0.
D2. TENTATIVE PARCEL MAP—JACLYN MCDOWELL ON BEHALF OF MARK REYNOSO—A request
to subdivide an existing 76,782-square-foot parcel into two parcels within the Very Low (VL) Residential
Zone, Hillside Overlay Zone, and Equestrian Overlay Zone, located at 5451 Moonstone Avenue; APN:
1061-251-32.This item is exempt from the requirements of the California Environmental Quality Act(CEQA)
as a Class 15 exemption under CEQA Guidelines Section 15315—Minor Land Divisions(SUBTPM20985).
Assistant Planner Lee provided a PowerPoint presentation (copy on file) and noted that a few typographical
errors had been identified in the Staff Report and draft Resolution; corrections were made, and red-lined copies
were provided on the dais. Corrections in the Proposed Lots; changed Parcel 1 from 21,926 sq. ft. to 54,855
sq.ft., and Parcel 2 from 54,855 sq.ft.to 21,926 sq.ft.
HPC/PC Draft Minutes
Page 2 of 9 Page 322
Commissioner Dopp inquired about Parcel 2 on the east end of the lot, nothing that the staff report lists the
minimum lot width as 142 feet and 383 feet, though it appears to be approximately 9-10 feet. He asked how
the measurement was calculated and how it complies with applicable standards.
Assistant Planner Lee responded that staff had expressed similar concerns. However,she noted that there are
no objective findings to recommend denial, as the subdivision meets the development standards required for
the underlying zone. She added that the measurements are based on definitions of lot depth and lot width as
outlined in the Development Code.
Commissioner Daniels stated that the Government Code allows denial of subdivisions based on issues of public
health or safety, referencing Section 66474, which provides legal grounds for denial if a project poses serious
health problems. He noted that while the subdivision is consistent with the City's General Plan and zoning, be
believes the proposed layout of the two parcels is poor. He expressed concern that the flag portion of the lot
may not be properly maintained and could become an eyesore to the community. He then sought assistance
from legal counsel.
Assistant City Attorney Young responded that she is not sure we can correlate a bad design to a health problem.
She said we would need a bit more facts,such as studies to back up a denial based on a health issue.
Commissioner Daniels stated that the proposed design creates an untenable situation with the long, narrow flag
portion of the lot and the adjoining areas to the west. He commented that the configuration appears to serve no
purpose other than to meet the minimum lot size requirements.
Chairman Morales opened the public hearing.
The applicant explained that the lot's angled design is due to the existing contours of the site. He noted that an
existing driveway and a grove of mature trees along that driveway influenced the layout, as they wished to
preserve the trees.
He stated that one of the requirements is that the lot must extend completely through the site and connect to
both sides. He explained that, although that portion of the lot is not necessary, it was included to meet site
requirements. He added that the intent is to divide the property, so the back house and pool remain,with plans
to rebuild the house and resurface the pool.
The following individuals spoke in opposition of the project: Larry Weidinger, Gary Drejdan, Maureen
Malady-Myers.
The comments included the following concerns:
• Privacy
• Health hazard
• Mountain view
• Wall height
• Habitat area
• Septic
• Bridle trail around property
The applicant provided an explanation on the following:
• Trees—The grove of mature pine trees will be left alone.
• Septic—Septic will be done by professional engineers.
• Height and placement of the building—They are abiding by all code standards.
• Bridle Trail —Will be addressed during planning.
Commissioner Dopp stated that there is a gate at the rear of Parcel 2 and inquired whether the future
property owner would be responsible for maintaining the area. He expressed concern that, while there is
an intent to preserve the existing trees, lack of proper maintenance could pose a public health and safety
risk, particularly related to wildfires.
HPC/PC Draft Minutes
Page 3 of 9 Page 323
Applicant confirmed and indicated maintaining the area it is something that can be added to the Conditions
of Approval.
Hearing no other comments from the public, Chairman Morales closed public hearing.
Commissioner Dopp asked staff to clarify the requirement for property lines to extend from the front to the
back of the site. He referenced the applicant's statement that the lot was designed to reach the east end
of the parcel to satisfy a city code requirement and requested confirmation as to whether such a provision
exists in the regulations.
Planning Director Nakamura responded that staff would review the subdivision ordinance during
deliberations, noting that the cited requirement is not one she is familiar with. She clarified that the current
application pertains solely to the lot split and is unrelated to any future approval of the house design, which
would be addressed separately through the entitlement process. She emphasized that today's focus is on
the subdivision of the two lots.
Commissioner Dopp stated that he finds it difficult to support a parcel with such an irregular shape due to
potential management and liability concerns. He commended that a large portion of the parcel appears
unviable as a standalone property. While acknowledging that this is not sufficient grounds for denial, he
expressed discomfort with the configuration.
Commissioner Daniels concurred with Commissioner Dopp. He also stated he would like to see the rear
flag portion combined with Parcel 1. He explained that as a Commission, part of their responsibility is to
try to make good planning and have parcels that makes sense. With that in mind, he is uncomfortable
approving this because he believes it is a terrible design, especially after seeing the amount of land
available in Parcel 1.
Commissioner Diaz and Vice Chairman Boling concurred.
Planning Director Nakamura suggested re-opening the public hearing to allow the applicant to return and
clarify which concerns they are willing or unwilling to address. She said that she was unable to identify any
provision in the subdivision ordinance requiring the east-west lot configuration but stated that staff would
further review and examine the matter. Regarding variances, she explained that they may be granted for
development standards outlined in Title 17. Therefore, if a variance related to lot standards were
necessary, it could be considered. In response to concerns about the existing trees, she explained that all
departments will review the site once a development application is submitted. If the property is located
within a high fire hazard zone,there may be requirements for the removal of certain trees and the replanting
of fire-adaptive trees as part of the new development.
Chairman Morales reopened the public hearing.
Applicant stated if there is nothing in the code that indicates they have to extend all the way across the
subdivision, he would be open to revising that and going with the quickest approval process possible to
avoid further delays for his client. He said he would be okay with going perhaps a little bit under 20,000 sq.
ft. in Parcel 2 and could easily remove 1,200 sq. ft. right away.
Chairman Morales closed the public hearing.
Planning Director Nakamura stated the Commissioners have the following choices to make:
• Accept staff's recommendation for approval,
• If they feel they have the findings to make a denial, they can do so, or
• Continue the item to a date uncertain and allow staff to work with the applicant to finalize any
revisions and to determine what the best path forward would be.
Motion: Moved by Vice Chairman Boling; seconded by Commissioner Daniels, to continue this item to a
date uncertain. Motion carried unanimously, 5-0.
HPC/PC Draft Minutes
Page 4 of 9 Page 324
Commissioner Daniels noted that the Commission is not reviewing the development of the parcels at this
time and stated he was unclear whether the existing structure would be refurbished. He requested that a
small reference map be provided showing the locations of structures on the parcels.
Assistant City Attorney Young responded that it would not be appropriate if only considering a lot split. The
potential proposal on a lot split could change over time because it is in preliminary review right now.
Commissioner Daniels asked for clarification on whether the house will remain.
Planning Director Nakamura replied that as staff mentioned in the report, the house is to be demolished but
the idea is to rebuild in the same place.
Commissioner Daniels stated that it was not clear as the applicant indicated something different.
D3. DESIGN REVIEW, MINOR EXCEPTION, VARIANCE—VINOVA (LENNAR) -A request for site plan
and architectural review of 166 single-family residences within an approved tract map on approximately 70-
acres located near the northeast corner of Etiwanda Avenue and Wilson Avenue; (Tracts 16072 and 16072-
2). This item is exempt from the requirements of the California Environmental Quality Act (CEQA) under
CEQA Section 15162. (Design Review DRC2024-00395, Minor Exception DRC2025-00168, Variance
DRC2025-00169).
Principal Planner McPherson provided a PowerPoint presentation (copy on file).
Chairman Morales opened the public hearing.
Applicant was present and available to answer questions.
For the record, correspondence from Lozeau Drury, LLP was received following the preparation of the
agenda packet, expressing opposition to the project. The correspondence should be referred to for further
details.
Resident Edward Aldaz had the following concerns:
• Wall placement
• Health risk—vermin
• Digging close to home
Applicant responded to the wall concerns and said there will be permitted walls built around the homes.
They will be developing everything within property line and the track boundaries.
Principal Planner McPherson clarified that the walls referenced were primarily interior walls to the approved
lots. He said this project will also include walls along the perimeter as is standard in a subdivision like this.
Relative to the comment about any additional grading, it has already commenced. There is no expectation
that grading beyond the boundaries which have already been graded will occur. The application before the
commission tonight is relative to the construction of the homes on those, previously graded lots.
Commissioner Daniels referred to the two different roofing materials being proposed and that several of the
units feature standard seam walls. He commented that typically only one type of roofing material is used
and asked for the reason behind the use of two.
Applicant explained that it is an architectural feature intended to create diversity.
Commissioner Daniels commented on the gable roof extending over the entrance appears awkward with
the flat wall positioned in front of it. He also inquired how the two subdivisions will be phased.
Applicant responded that they are trying to revisit the traditional style in a contemporary way. In terms of
the phasing, there are essentially two different product lines. The one-story and two-story homes will be
built simultaneously.
HPC/PC Draft Minutes
Page 5 of 9 Page 325
Commissioner Daniels stated that the Fire Department will likely require two access points prior to the
storing of lumber for construction and asked if the developer will construct the street network.
Applicant confirmed that approximately 90% of the street network has been constructed.
Commissioner Daniels asked if Lennar designed the parks.
Applicant answered that it is a mutual effort and want to do the best they can for the community.
Commissioner Daniels complimented the project. He said it is very nice and will be a good asset to the
development of the community. He asked if Wilson Avenue will be open soon.
Applicant answered that they will open it as soon as they can.
Chairman Morales closed the public hearing.
Commissioner Dopp stated that he got to see this at the Design Review Committee meeting. He
remembers comments being made about the front wall, possibly making it a balcony. Aside from that, it
was decided that most of the designs were appropriate for the neighborhood. He indicated he is a big fan
of some of the amenities. For example, the Central Paseo he originally was pushing for with the developer
when there was a lack of one on a map that was before them a few years ago. It is nice to see it carried
out because it was not a requirement at the time. He said that the design helps create a stronger sense of
community within a subdivision, noting that traditional urban studies show such connectivity is often missing
in developments characterized by long roads. He added that incorporating amenities and green spaces
at a central nexus point will provide an excellent gathering area and be a valuable enhancement to the
project.
Commissioner Daniels stated he went through all the minor exceptions and the variances and did not have
any problems with the waivers that are being requested which are very minor.
Commissioner Diaz stated that we have 166 new single-family homes coming to an area of the city where
people want them, and it is very exciting. She said the issues presented are minor exceptions and
expressed no concerns. She supports staffs' determination that the CEQA report on file remains relevant
and applicable, and stated that she looks forward to seeing the project move forward.
Vice Chairman Boling stated, as mentioned previously, there were some issues and concerns addressed
at the Design Review Committee meeting related to a couple of the models and elevations. The applicant's
submission and provision of the 3D rendering helped give them a better perspective of what those products
are intended to look like. As it pertains to the minor exceptions and variances, they are nominal.
Regarding the letter that was received by the city late in the process challenging the previously certified
EIR, there have been no substantial changes nor new uses planned for this project, so he sees no issues
or problems. As it pertains to the comment made by the public, he strongly encouraged the resident to
speak directly to the applicants representative pertaining to the issues and questions that he has that are
beyond the scope of the commission's actions being taken tonight.
Chairman Morales addressed the public comment regarding rodents, stating that those issues should
subside as the site is developed. He thanked the applicant for working collaboratively with staff to ensure
the project is completed properly.
Motion: Moved by Commissioner Dopp; seconded by Commissioner Daniels to adopt Resolution 2025-
036 approving Design Review DRC2024-00395, Variance DRC2025-00169 and Minor Exception
DRC2025-00168. Motion carried unanimously, 5-0.
HPC/PC Draft Minutes
Page 6 of 9 Page 326
D4. MUNICIPAL CODE AMENDMENT— CITY OF RANCHO CUCAMONGA—A request to amend Title
17 of the Municipal Code for the development of Accessory Dwelling Units (ADUs) and Junior Accessory
Dwelling Units (JADUs) in compliance with State ADU Law. This item is statutorily exempt from the
requirements of the California Environmental Quality Act(CEQA) under CEQA Section 15282(h). A public
hearing will be held by the City Council for final action at a future date to be determined. (DRC2025-00072).
Assistant Planner Lee provided a PowerPoint presentation(copy on file).
Commissioner Daniels asked for clarification regarding the ADU pre-approved plans and whether any
member of the public may request access to those plans.
Planning Director Nakamura described the pre-approval process. Any licensed contractor, engineer or
architect may submit a plan for an ADU. The City conducts an initial review, and once approved, the plans
are filed and posted on the City's website. She noted that anyone may use the City's pre-approved plans
to apply for an ADU, which is the basis of the City's ADU Pre-Approved Program.
Commissioner Daniels asked Assistant City Attorney Young why penalties cannot be imposed for an
unpermitted ADU built two to five years ago and later discovered by the City.
Assistant City Attorney Young responded that she had not reviewed the legislative intent behind the
provision but suggested that the state may have recognized the large number of unpermitted additions
constructed by property owners for various reasons. She explained that if those additions were built to
code and can be legalized, this process provides a pathway for doing so without penalty, thereby creating
additional housing units that the City can count toward its housing requirements.
Commissioner Daniels asked if there is a timeframe for compliance, if an ADU is discovered.
Staff responded that they do not believe there is a timeframe.
Planning Director Nakamura mentioned if work is done without building permits there is a 50% penalty.
Chairman Morales opened the public hearing.
Hearing no comments from the public, Chairman Morales closed the public hearing.
Commissioner Dopp stated that the amendment will make it somewhat easier to meet the City's housing
goals. He noted that while the overall impact may be limited due to the small number of lots over 20,000
square feet, it still represents a move in the right direction.
Vice Chairman Boling said he is encouraged at the number of ADU's that have been developed in the city
over the past few years. He expressed appreciation for staff's diligence in bringing forward Municipal Code
Amendments such as this one.
Chairman Morales thanked staff for their hard work in updating the regulations to ensure consistency with
state ADU law.
Motion: Moved by Vice Chairman Boling; seconded by Commissioner Diaz to adopt Resolution 2025-035
recommending that the City Council approve Municipal Code Amendment DRC2025-00072. Motion carried
unanimously, 5-0.
D5. Consideration of a Municipal Code Amendment to amend the Rancho Cucamonga Municipal Code to
amend Section 12.20.080 of Chapter 12.20 of Title 12 and Sections 17.20.020 and 17.20.040 of Title 17 of
the Municipal Code to Dissolve the Trails Advisory Committee. This Item is Exempt from the California
Environmental Quality Act, Pursuant to State CEQA Guidelines Sections 15378(B)(5) and 15061(B)(3).
This Item Will be Forwarded to City Council for Final Action. (DRC2025-00254).
HPC/PC Draft Minutes
Page 7 of 9 Page 327
Planning Director Nakamura provided a brief summary and report on the item. She requested that the
Planning Commission make a recommendation to City Council to approve the Municipal Code Amendment
in order to dissolve the Trails Advisory Committee.
Vice Chairman Boling recommended that staff send a letter of appreciation to the committee members,
formally thanking them for their service and notifying them that their duties have concluded.
Planning Director Nakamura confirmed.
Chairman Morales opened the public hearing.
Hearing no comments from the public, Chairman Morales closed the public hearing.
Motion: Moved by Vice Chairman Boling; seconded by Commissioner Dopp to adopt Resolution 2025-034
recommending that the City Council approve the Municipal Code Amendment DRC2025-00254 to dissolve
the Trails Advisory Committee. Motion carried unanimously, 5-0.
D6. Consideration of a General Plan Amendment and Municipal Code Amendment to Amend the General
Plan Land Use and Community Character Chapter related to Floor Area Ratio on Table LC-1 and Policies
Relating First Floor Non-Residential Dimensions and Block Lengths; Amend the General Plan Mobility and
Access Chapter to add Dimension Standards for Street Typologies, Remove the Proposed 8th Street Trail
and Amend the Truck Routes Map Pursuant to AB98;Amend Municipal Code Table 17.130.050-1 to Update
Floor Area Ratio and Ground Floor Non-Residential Dimensions for Form Based Zones; and Amend
Municipal Code Section 17.138.030 Regarding Block Length for Form Based Zones. An Addendum to the
General Plan EIR Has Been Prepared for this Project. (CONTINUED TO NOVEMBER 12T", 2025
MEETING)
Planning Director Nakamura requested that this item be continued to November 12th, 2025, meeting to
allow additional time to finalize remaining details.
Chairman Morales opened the public hearing.
Chairman Morales announced that this item will remain open to the November 12th HPC/PC meeting.
Motion: Moved by Vice Chairman Boling; seconded by Commissioner Diaz to continue this item to
November 12th Planning Commission meeting. Motion carried unanimously, 5-0.
E. General Business
E1. Consideration to Approve a Resolution Adopting bylaws for the Design Review Committee
Management Analyst Estrada provided a PowerPoint presentation (copy on file).
Chairman Morales opened the public hearing.
Hearing no comments from the public, Chairman Morales closed the public hearing.
Commissioner Dopp stated that several Commissioners previously requested clarification regarding
absences, so he appreciates the effort.
Commissioner Daniels thanked staff for doing a great job.
Vice Chairman Boling thanked staff for helping to address concerns that come up which have the potential
to delay developer and resident applications. He said these steps moving forward, reflect the City's pro-
business and pro-resident position.
HPC/PC Draft Minutes
Page 8 of 9 Page 328
Commissioner Diaz expressed appreciation to staff for their efforts on this item and that it responds to the
needs raised by the Commissioners.
Motion: Moved by Commissioner Diaz; seconded by Vice Chairman Boling to adopt Resolution 2025-033
repealing Resolution 79-61 and approving the bylaws for the Design Review Committee. Motion carried
unanimously, 5-0.
F. Director Announcements
Planner Director Nakamura announced that one meeting is scheduled for both November and December.
She noted there will be no second meeting in November due to the Thanksgiving holiday and no second
meeting in December, as it falls on Christmas Eve and City Hall will be closed until after the new year.
She provided an update on the Planning Commissions memo which was presented to City Council last
week. City Council expressed their appreciation for the work the Commissioners do and know that density
bonus projects are very difficult and complicated. They are considering the following actions:
1) Sharing the memo with the City's lobbyists,who can communicate the real-world impacts of certain
housing laws during meetings with state representatives.
2) Having Council Member Kristine Scott, who serves on the Board for the Inland Empire Division of
the League of California Cities, raise the issue at their next meeting to explore whether other cities
may wish to collaborate on a unified message regarding density bonus law projects and their
impacts.
G. Commission Announcements - None
H. Adjournment
Motion: Moved by Commissioner Diaz, seconded by Vice Chairman Boling to adjourn the meeting.
Hearing no objections, Chairman Morales adjourned the meeting at 8:54 p.m.
Respectfully submitted,
Elizabeth Thornhill, Executive Assistant
Planning Department
Approved:
HPC/PC Draft Minutes
Page 9 of 9 Page 329
ORDINANCE NO. 1049
AN ORDINANCE OF THE CITY COUNCIL OF THE CITY OF
RANCHO CUCAMONGA, CALIFORNIA, AMENDING
CHAPTER 17.100 OF ARTICLE V OF TITLE 17 OF THE
MUNICIPAL CODE TO UPDATE THE REGULATIONS
REGARDING ACCESSORY DWELLING UNITS (ADUS) AND
JUNIOR ACCESSORY DWELLING UNITS (JADUS) IN
COMPLIANCE WITH STATE LAW AND TO ESTABLISH A
BONUS ADU PROGRAM, AND FINDING THE ITEM TO BE
EXEMPT FROM THE CALIFORNIA ENVIRONMENTAL
QUALITY ACT (CEQA), PURSUANT TO CEQA GUIDELINES
SECTION 15282(H).
A. RECITALS
The City Council of the City of Rancho Cucamonga does ordain as follows:
1. The City of Rancho Cucamonga (the "City"), has prepared Municipal Code Amendment,
as described in the title of this Ordinance. Hereinafter in this Ordinance, the subject
Municipal Code Amendment is referred to as "the amendment."
2. The City is a municipal corporation, duly organized under the constitution and laws of the
State of California.
3. As shown in Exhibit A of this Ordinance, the amendment proposes to amend Chapter
17.100 of Article V of Title 17 of the Municipal Code to update the regulations regarding
Accessory Dwelling Units ("ADUs") and Junior Accessory Dwelling Units ("JADUs").
4. Portions of the City's current regulations for ADUs and JADUs require amendment to
remain consistent with State Law. Hereinafter in this Ordinance, the subject Municipal
Code Amendment is referred to as the "Amendments."
5. Senate Bill ("SB") 477, effective March 25, 2024, amended Accessory Dwelling Unit Law
("ADU Law") (formerly Government Code Sections 65852.2 and 65852.22) (now Chapter
13 of Division 1 of Title 7 of the Government Code), which reorganized ADU Law and has
led to references to ADU Law in the Rancho Cucamonga Municipal Code to be no longer
applicable.
6. Additionally, the State of California adopted amendments to Government Code Sections
66313, 66314, and 66323, altogether known as SB 1211, effective January 1, 2025, which
further amend standards and requirements for ADUs and JADUs.
7. Moreover, Assembly Bill ("AB") 2533 prohibits the City from denying a permit for an
unpermitted ADU or JADU that was constructed before January 1, 2020, unless a finding
can be made that correcting the violation is necessary to comply with conditions that
would otherwise deem a building substandard under Section 17920.3 of the Health and
Safety Code. This law also specifies the City's obligations to inform the public of this
prohibition, the prohibition to require a homeowner to pay impact fees, and the prohibition
against penalizing an applicant for having an unpermitted ADU or JADU.
Ordinance No. 1049 — Page 1 of 11 ATTACHMENT 3
Page 330
8. On October 22, 2025, the Planning Commission of the City of Rancho Cucamonga
conducted a noticed public hearing with respect to the Amendments and, following the
conclusion thereof, adopted Resolution No. 2025-035 recommending that the City
Council of the City of Rancho Cucamonga adopt the Amendments.
9. On November 19, 2025, the City Council of the City of Rancho Cucamonga conducted a
noticed public hearing on the Amendments and concluded said hearing on that date.
10. All legal prerequisites prior to the adoption of this Ordinance have occurred.
B. ORDINANCE
The City Council finds the foregoing recitals and their findings to be true and correct and hereby
incorporates such recitals and their findings into this Ordinance.
SECTION 1. Findings. Based upon the substantial evidence presented to this Council during
the above-referenced public hearing, this Council hereby finds and concludes that the changes
proposed to Title 17(Development Code)in the Amendments are consistent with the Development
Code and the General Plan's goals, policies and implementation programs. Pursuant to Section
17.22.040(C) of the Municipal Code, amendments to the Municipal Code "may be approved only
when the [C]ity [C]ouncil finds that the Development Code/zoning map amendment[s] [are]
consistent with the [G]eneral [P]Ian goals, policies, and implementation programs." The
Amendments are consistent with the following Housing Element program:
• General Plan Housing Goal H-1 strategizes for a diverse community with a broad
range of housing types and opportunities to accommodate expected new households.
Specifically, Policy H-1.1 is to encourage the development of wide range of housing
options, types, and prices that will enable the City to achieve its share of the Regional
Housing Needs Allocation (RHNA); Policy H-1.2 is to recognize the unique
characteristics of elderly and disabled households and address their special needs;
and Policy H-1.3 is to facilitate the development of ADUs to provide additional housing
opportunities pursuant to State law and established zoning regulations.
• General Plan Housing Goal H-4 promotes a community with quality, healthy housing,
and Policy H-4.2 is to encourage the revitalization and rehabilitation of substandard
residential structures.
• General Plan Housing Goal H-5 aims for a city with an efficient process for improving
and developing housing. Specifically, Policy H-5.4 is to evaluate and adjust as
appropriate residential development standards, regulations, and processing
procedures that are determined to constrain housing development, particularly
housing opportunities for lower- and moderate-income households and for persons
with special needs.
SECTION 2. CEQA. The proposed Amendments (the "Project") are exempt from or not
subject to the requirements of CEQA, pursuant to State CEQA Guidelines Section 15282(h),
which establishes a statutory exemption for the adoption of an ordinance regarding second
units in a single-family or multifamily residential zone by a city to implement the provisions of
Sections 65852.1, Article 2 (commencing with Section 66314) or Article 3 (commencing with
Section 66333) of Chapter 13 of Division 1 of Title 7 of the Government Code, as set forth in
Section 21080.17 of the Public Resources Code. In addition, the City Council finds that the
Ordinance is exempt from further environmental review pursuant to CEQA Guidelines Section
15061(b)(3) because it can be seen with certainty that there is no possibility that amendments
Ordinance No. 1049 — Page 2 of 11 ATTACHMENT 3
Page 331
to the City's ADU and JADU regulations in accordance with State Law will have a significant
effect on the environment.
SECTION 3. Action. The City Council hereby amends Chapter 17.100 (Accessory Dwelling
Units and Junior Accessory Dwelling Units) of Article I (In General) of Title 17 (Development
Code) of the Rancho Cucamonga Municipal Code in its entirety, to read as shown in Exhibit A of
this Ordinance, attached hereto and incorporated herein by this reference. The Amendments
have been processed, including, but not limited to, public notice, in the time and manner
prescribed by State and local law, including the California Environmental Quality Act ("CEQA").
SECTION 4. Severability. If any section, subsection, sentence, clause, or phrase of this
Ordinance is for any reason held to be invalid or unconstitutional by a decision of any court of
any competent jurisdiction, such decision shall not affect the validity of the remaining portions of
this Ordinance. The City Council hereby declares that it would have passed this Ordinance, and
each and every section, subsection, sentence, clause, or phrase not declared invalid or
unconstitutional without regard to whether any portion of the Ordinance would be subsequently
declared invalid or unconstitutional.
SECTION 5. Effect of Ordinance. This Ordinance is intended to supersede any ordinance,
resolution, and administrative regulations of the City of Rancho Cucamonga adopted by the City
Council in conflict with the terms of this Ordinance.
SECTION 6. Effective Date. This Ordinance shall take effect 30 days after the date of its
adoption. The City Clerk is directed to cause this Ordinance to be published and/or posted as
required by law.
SECTION 7. Enforcement. Neither the adoption of this Ordinance nor the repeal of any other
Ordinance of this City shall in any manner affect the prosecution for violations of ordinances,
which violations were committed prior to the effective date hereof, nor be construed as a waiver
of any penalty or the penal provisions applicable to any violation thereof.
SECTION 8. Submission of Ordinance to HCD. In compliance with Government Code
Section 66326, the Planning Director is hereby directed to submit a copy of this Ordinance to the
Department of Housing and Community Development within sixty (60) days after adoption.
SECTION 9. Publication. The City Clerk shall certify to the adoption of this Ordinance and
shall cause it to be published in the manner required by law.
PASSED, APPROVED,AND ADOPTED this 19th day Of November, 2025.
L. Dennis Michael, Mayor
1, Kim Sevy, City Clerk of the City of Rancho Cucamonga, California, do hereby certify that the
foregoing Ordinance was introduced at a Regular Meeting of the City Council of the City of
Rancho Cucamonga held on the 19th day of November, 2025, and was passed at a Regular
Ordinance No. 1049 — Page 3 of 11 ATTACHMENT 3
Page 332
Meeting of the City Council of the City of Rancho Cucamonga held on the 3,d day of December,
2025, by the following vote:
Kim Sevy, City Clerk
AYES: COUNCILMEMBERS:
NOES: COUNCILMEMBERS:
ABSENT: COUNCILMEMBERS:
ABSTAINED: COUNCILMEMBERS:
Ordinance No. 1049 — Page 4 of 11 ATTACHMENT 3
Page 333
Ordinance No. 1049 — Page 4 of 11 ATTACHMENT 3
Page 334
EXHIBIT A
Amended Chapter:
Chapter 17.100 (Accessory Dwelling Units (ADUs) and Junior Accessory Dwelling
Units (JADUs))
"CHAPTER 17.100 ACCESSORY DWELLING UNITS AND JUNIOR ACCESSORY
DWELLING UNITS
Section 17.100.010: Purpose.
Section 17.100.020: Applicability.
Section 17.100.030: Approval required.
Section 17.100.040: General allowances.
Section 17.100.050: Special allowances.
Section 17.100.060: Development standards for Accessory Dwelling Units.
Section 17.100.070: Development standards for Junior Accessory Dwelling Units.
Section 17.100.080: Design standards.
Section 17.100.090: Sales, rental, and occupancy requirements.
Section 17.100.100: Existing nonconforming units.
17.100.010 Purpose.
Accessory dwelling units (ADUs) and junior accessory dwelling units (JADUs) are a valuable form
of housing in the City. These units meet the City's General Plan housing policies related to the
development of a variety of housing options, including ones that serve the unique needs of elderly
and disabled households; rehabilitation of deteriorating housing units, providing housing stock
accessible to lower- and moderate-income households; and meeting the City's share of regional
housing needs.
The purpose of this Chapter is to establish development standards for the construction and
operation of ADUs and JADUs on lots zoned to allow single-family or multi-family residential use,
including mixed-use zones, in a manner that is consistent with the requirements of State Law.
17.100.020 Applicability.
The provisions of this Chapter apply to all lots that are zoned to allow single-family or multi-family
residential use. ADUs shall be deemed to be an accessory single-family residential use consistent
with the General Plan and zoning designations for the lot.
ADUs are defined as an attached or detached residential dwelling unit that provides complete,
independent living facilities for one or more persons, and is located on a lot with an existing or
proposed primary dwelling. It shall include permanent provisions for living, sleeping, eating,
cooking, and sanitation on the same parcel as the single-family or multi-family dwelling is, or will
be, situated.
JADUs are defined as a unit that is no more than 500 square feet in size and contained entirely
within a single-family residence. A JADU may include separate sanitation facilities or may share
sanitation facilities with the existing structure.
17.100.030 Approval required.
A. A building permit is required for the construction of ADUs and JADUs, which must satisfy the
requirements of the California Building Standards Code, Government Code Title 7 Division 1
Chapter 13, and the Chapter herein.
B. The application shall be approved or denied within 60 days after the City receives the
completed application, or in accordance with the deadline required by Government Code
Ordinance No. 1049 — Page 5 of 11 ATTACHMENT 3
Page 335
Section 63317, as that section may be amended from time to time.
C. Notwithstanding any other provision of this Chapter to the contrary, no minor exception from
any requirement of this Chapter shall be approved, nor shall any application for such a minor
exception be accepted for processing.
D. Where a building permit application for an ADU or JADU is submitted with an application for
a single-family dwelling or multi-family dwelling that is subject to discretionary review under
this Chapter, the ADU or JADU application will be considered separately without discretionary
review or public hearing, following the approval of the main dwelling unit(s).
E. Pre-approved ADU plans are available on the City's website under the Building and Safety
Department page. An application for a preapproved detached ADU plan must be approved or
denied within 30 days within the current triennial California Building Standards Code
rulemaking cycle or a plan that is identical to a plan used in an application for a detached ADU
approved within the current triennial California Building Standards Code rulemaking cycle.
17.100.040 General allowances.
There are four categories of ADUs and JADUs in Government Code Section 66323 that are
subject to the standards set forth in Title 7 Division 1 Chapter 13 Article 2 of the Government
Code. Their applicability depends on whether the ADU or JADU will be located on a lot with a
single-family or multi-family dwelling and meets the specific requirements as follows:
A. Category 1: One ADU and one JADU per lot with an existing/proposed single-family dwelling
if all of the following conditions apply:
1. The ADU or JADU is within the proposed space of a single-family dwelling or existing
space of a single-family dwelling or accessory structure and may include an expansion of
not more than 150 square feet beyond the same physical dimensions as the existing
accessory structure and shall be limited to ingress and egress only.
2. The space has exterior access from the existing/proposed single-family dwelling.
3. The side and rear setbacks are sufficient for fire and safety.
4. The JADU complies with the requirements of Government Code Section 66333 and with
the requirements set forth in Section 17.100.060.
B. Category 2: One detached, new construction ADU for a lot with an existing/proposed single-
family dwelling that does not exceed four-foot side and rear yard setbacks if all of the following
conditions apply. The ADU may be combined with a JADU as described in subsection (A)(1).
1. The ADU shall be no more than 800 square feet in size.
2. The ADU shall not exceed a height limit of 16 feet unless it is located within a half mile of
a major transit stop or a high-quality transit corridor. In which case, the ADU shall not
exceed a height limit of 18 feet.
3. An additional two feet are allowed only if necessary to match the roof pitch of the primary
dwelling.
4. The ADU shall be subject to four-foot side and rear yard setbacks.
C. Category 3: Multiple ADUs, up to 25 percent of existing multi-family dwelling units, or at least
one ADU, with an existing/proposed multi-family dwelling provided that the units are within the
portions of existing multi-family dwelling structures that are not used as livable spaces,
including, but not limited to, storage rooms, boiler rooms, passageways, attics, basements, or
garages, if each unit complies with state building standards for dwellings.
D. Category 4: Multiple ADUs, not to exceed the numbers specified below, located on a lot with
an existing/proposed multi-family dwelling but are detached from the multi-family dwelling and
are subject to the setback and height requirements in Section 17.100.050. If the existing multi-
family dwelling has a side or rear yard setback of less than four feet, the modification of the
existing multi-family dwelling shall not be required as a condition of approving the application
to construct an ADU that satisfies the requirements of this subsection.
1. On a lot with an existing multi-family dwelling, not more than eight detached ADUs.
However, the number of ADUs allowable pursuant to this clause shall not exceed the
Ordinance No. 1049 — Page 6 of 11 ATTACHMENT 3
Page 336
number of existing units on the lot.
2. On a lot with a proposed multi-family dwelling, not more than two detached ADUs.
17.100.050 Special allowances.
Additional ADUs shall be allowed under the following circumstances.
A. Eligibility for an Additional ADU. In all residential zones where ADUs are permitted, an
additional ADU may be permitted, if all the following conditions are met:
1. The lot contains an existing or proposed primary, single-family dwelling unit.
2. The lot is a minimum size of 20,000 square feet.
B. Development Standards. The additional ADU shall comply with all applicable development
standards for ADUs set forth in Section 17.100.060.
C. Unit Type Flexibility. The additional ADU may either be attached, detached, or a conversion,
subject to compliance with the California Building Standards Code.
D. Ministerial Review. Applications for an additional ADU under this section shall be subject to
ministerial review and approval, provided that the proposed ADU complies with all applicable
standards of this section and any other relevant sections of this Chapter.
17.100.060 Development standards for Accessory Dwelling Units.
Except for applications submitted pursuant to Section 17.100.040, all ADUs shall comply with the
following development standards:
A. Code Compliance. ADUs shall be constructed in accordance with the provisions of the latest
edition of the California Building Standards Code and other applicable codes adopted by the
City unless specifically exempted in this Chapter.
B. Existing Lots and Uses. ADUs shall be permitted if the existing or proposed lot and dwelling
meet the following requirements:
1. The lot on which the ADU is proposed to be established shall contain at least one existing
permanent dwelling unit or the application for the ADU shall be made concurrently with an
application for at least one dwelling unit on the same lot.
2. The zoning regulations for the lot allow for the development of a single-family dwelling or
multi-family use.
C. Facilities. The ADU shall have a separate entrance and shall contain kitchen and bathroom
facilities separate from those of the main dwelling.
D. Utility Services. The ADU may be metered separately from the main dwelling for gas,
electricity, communications, water and sewer services.
E. Fire Sprinklers. ADUs shall not be required to provide fire sprinklers if they are not required
for the primary residence. For existing multi-family dwellings, the construction of an ADU shall
not trigger a requirement for fire sprinklers to be installed.
F. Size and Height. The size and height of the ADU shall comply with the requirements indicated
in Table 17.100.050-1 as follows:
TABLE 17.100.050-1 DEVELOPMENT STANDARDS FOR ACCESSORY DWELLING UNITS
Accessory Dwelling Minimum Size Maximum Size') Height(2)
Unit Type
50% of main
Attached 220 sq. ft. dwelling unit or 25 feet
1,200 sq. ft.,
whichever is less
Detached 350 sq. ft. 1,200 sq. ft. 16 feet or 18 feet(3,4)
Table Notes:
(1)The maximum size for ADUs do not include optional accessory structures, such as a garage.
2 ADUs constructed above a garage shall not exceed the height limits of the underlying zone.
Ordinance No. 1049 — Page 7 of 11 ATTACHMENT 3
Page 337
(3)ADUs shall not exceed 18 feet in height,or 20 feet to match the roof pitch of the primary structure,when
located within a half mile of a major transit stop or high-quality transit corridor.
(4)ADUs shall not exceed 18 feet in height when located on a lot with an existing or proposed multi-story,
multi-family dwelling.
G. Lot Coverage. ADUs shall conform to the lot coverage requirements for the zone in which it is
located, except where the application of the lot coverage requirement would not permit the
construction of an 800-square-foot ADU that is at maximum 16 feet in height and at minimum
has four-foot side and rear yard setbacks.
H. Setbacks. ADUs shall comply with the following setback requirements:
1. ADUs shall maintain at least a four-foot setback from the side and rear property lines.
2. ADUs shall maintain the front yard setback standard of the underlying zone, unless the
front yard setback standard would not permit construction of an 800-square-foot ADU that
is at maximum 16 feet in height and at maximum has four-foot side and rear yard setbacks.
3. Notwithstanding the above, no setback shall be required for an ADU that is within an
existing structure or within a structure constructed in the same location and dimensions
as an existing structure.
I. Parking. In addition to the parking required for the main dwelling (listed in Table 17.64.050-
1), parking for accessory dwelling units shall be provided as follows:
1. Newly constructed, detached ADUs shall provide a minimum of one parking space, unless
otherwise exempt. The parking space(s) may be provided as tandem parking, in an
enclosed garage, and/or in setback areas.
2. If parking for the ADU is provided in a garage that also provides parking for the main
dwelling, the provided space(s) shall be for the exclusive use of the ADU. The space(s)
shall be separated from any garage spaces for the main dwelling by a wall or other
permanent barrier and shall have a separate or independent garage door.
3. ADUs shall utilize the same vehicular access that serves the existing main dwelling, unless
the ADU has access from a public alley contiguous to the lot or is located on a corner lot
for which secondary access is permitted for parking outside the street side setback. A
vehicular driveway that provides access to required parking shall have a minimum width
of 10 feet.
4. When a required garage, carport, or covered parking structure for the main dwelling is
converted or demolished in conjunction with the construction of an ADU, replacement of
parking spaces that are eliminated by the construction of the ADU shall not be required
as long as the ADU remains in use as a legal ADU.
5. Parking shall not be required for an ADU in any of the following instances:
a. Where the ADU is located within a one-half mile walking distance of public transit, such
as a bus stop or train station.
b. Where the ADU is located within an architecturally and historically significant district.
c. Where the ADU is part of the existing or proposed primary dwelling or an existing
accessory structure.
d. When on-street parking permits are required but not offered to the occupant of the
ADU.
e. When there is a car share station located within one block of the ADU.
f. When a permit application for an ADU is submitted with a permit application to create
a new single-family or multi-family dwelling on the same lot, provided that the ADU or
the parcel satisfies any other criteria listed in this subdivision.
17.100.070 Development standards for Junior Accessory Dwelling Units.
Except for applications submitted pursuant to Section 17.100.040, all JADUs shall comply with
the following development standards:
Ordinance No. 1049 — Page 8 of 11 ATTACHMENT 3
Page 338
A. A JADU shall be a minimum of 220 square feet and a maximum of 500 square feet in floor
area, not including the floor area of a shared sanitation facility.
B. A JADU shall be contained entirely within the walls of the existing or proposed single-family
dwelling, including attached garages or other enclosed uses. Enclosed uses within the
dwelling, such as attached garages, are considered a part of the existing or proposed single-
family dwelling. Therefore, JADUs are not allowed in accessory structures.
C. An exterior entry apart from the main entrance to the existing or proposed single-family
residence shall be provided for the JADU.
D. A JADU may include separate sanitation facilities or may share sanitation facilities with the
main dwelling. If shared, the JADU shall have interior entry, separate from the main entrance
to the structure, to allow access to the shared sanitation facilities.
E. A JADU shall include an efficiency kitchen, which shall include the following:
1. A cooking facility with appliances.
2. A food preparation counter and storage cabinets that are of reasonable size in relation to
the size of the JADU.
F. Additional parking shall not be required for a JADU.
17.100.080 Design standards.
Except for applications submitted pursuant to Section 17.100.040, ADUs and JADUs located in
the front yard, adjacent to the main dwelling, and/or visible from the public right-of-way shall
comply with the following design standards:
A. Exterior stairs shall not be visible from any public right-of-way, excluding alleys or trails, except
those leading from the finished grade to the first floor.
B. The color, material, and texture of the roof shall be substantially the same as the main
dwelling.
C. The color, material, and texture of all building walls shall be substantially the same as the
main dwelling.
D. Permitted driveways and walkways shall occupy no more than 50 percent of the front yard
area, in accordance with Section 17.56.070.
E. Additional design considerations may be necessary for historic resources to prevent adverse
impacts on any property that is listed in the California Register of Historical Resources. An
ADU or JADU proposed for a property under a Mills Act contract must comply with all Mills
Act guidelines, including conformance to the Secretary of the Interior Standards for the
Treatment of Historic Properties. Pursuant to Section 17.18.100, any alteration made for
preservation, rehabilitation, restoration, or relocation of historic resources may be made
according to the requirements of the latest adopted state historical building code.
17.100.090 Sales, rental, and occupancy requirements.
A. Sales and Separate Conveyance. The sale or separate conveyance of an ADU separate from
the main dwelling is prohibited, except when all the following conditions apply:
1. The ADU or primary dwelling was built or developed by a qualified nonprofit corporation.
2. There is an enforceable restriction on the use of the land pursuant to a recorded contract
between the qualified buyer and the qualified nonprofit corporation that satisfies all of the
requirements specified in Section 402.1 of the Revenue and Taxation Code.
3. The property is held pursuant to a recorded tenancy in common agreement that includes
all the following conditions:
a. The agreement allocates to each qualified buyer an undivided, unequal interest in the
property based on the size of the dwelling unit that each qualified buyer occupies.
b. A repurchase option that requires the qualified buyer to first offer the qualified nonprofit
corporation to buy the ADU or main dwelling if the buyer desires to sell or convey the
property.
Ordinance No. 1049 — Page 9 of 11 ATTACHMENT 3
Page 339
c. A requirement that the qualified buyer occupy the ADU or primary dwelling as the
buyer's principal residence.
d. Affordability restrictions on the sale and conveyance of the ADU or primary dwelling
that ensure the ADU and primary dwelling will be preserved for low-income housing
for 45 years for owner-occupied housing units and will be sold or resold to a qualified
buyer.
e. If the tenancy in common agreement is recorded after December 31, 2021, it shall also
include all the following:
i. Delineation of all areas of the property that are for the exclusive use of a cotenant.
Each cotenant shall agree not to claim a right of occupancy to an area delineated
for the exclusive use of another cotenant, provided that the latter cotenant's
obligations to each of the other cotenants have been satisfied.
ii. Delineation of each cotenant's responsibility for the costs of taxes, insurance,
utilities, general maintenance and repair, improvements, and any other costs,
obligations, or liabilities associated with the property. This delineation shall only
be binding on the other parties to the agreement, and shall not supersede or
obviate the liability, whether joint and several or otherwise, of the parties for any
cost, obligation, or liability associated with the property where such liability is
otherwise established by law or by agreement with a third party.
iii. Procedures for dispute resolution among the parties before resorting to legal
action.
4. A grant deed naming the grantor, grantee, and describing the property interests being
transferred shall be recorded in the county in which the property is located. A Preliminary
Change of Ownership Report shall be filed concurrently with this grant deed pursuant to
Section 480.3 of the Revenue and Taxation Code.
5. Notwithstanding Government Code Section 66324, if requested by a utility providing
service to the primary dwelling, the ADU has a separate water, sewer, or electrical
connection to that utility.
6. Nothing in this section limits the ability of an ADU to be sold or otherwise conveyed
separate from the primary dwelling as a condominium. However, it does not imply it is
allowed outside of meeting all the conditions in this section.
B. Rental Terms. Any rental of an ADU or JADU shall be for a period exceeding 30 consecutive
days.
C. Owner Occupancy for JADUs. The owner must reside in either the remaining portion of the
primary dwelling or in the newly created JADU. Owner occupancy shall not be required when
the owner is another governmental agency, land trust, or housing organization.
17.100.100 Existing nonconforming units.
A. Notwithstanding any other law, and except as provided in subsection B, the City will not deny
a permit for an unpermitted ADU or JADU that was constructed before January 1, 2020, based
on the following:
1. The ADU or JADU is in violation of building standards pursuant to Division 13 Part 1.5
Chapter 5 Article 1 of the Health and Safety Code.
2. The ADU or JADU does not comply with Title 7 Division 1 Chapter 13 Article 2 or Article
3 of the Government Code, as applicable, or a local ordinance regulating ADUs or JADUs.
B. Notwithstanding subsection A, the City may deny a permit to an unpermitted ADU or JADU
described in subsection A if the local agency finds that a correction of the violation is
necessary to comply with the standards identified in Section 17920.3 of the Health and Safety
Code.
C. Homeowners may obtain a confidential third-party code inspection from a licensed contractor
to determine the unit's existing condition or potential scope of building improvements prior to
Ordinance No. 1049— Page 10 of 11 ATTACHMENT 3
Page 340
submitting a building permit application.
D. A homeowner applying for a permit for a previously unpermitted ADU or JADU constructed
before January 1, 2020, shall not be required to pay impact fees or connection or capacity
charges except when utility infrastructure is required to comply with Section 17920.3 of the
Health and Safety Code and when the fee is authorized by subdivision (e) of Section 66324
of the Government Code.
E. Subject to compliance with Section 17920.3 of the Health and Safety Code, upon receiving
an application to permit a previously unpermitted ADU or JADU constructed before January
1, 2020, an inspector may inspect the unit for compliance with health and safety standards
and provide recommendations to comply with code that may be necessary to obtain a permit.
Should the inspector find noncompliance with health and safety standards, the City shall not
penalize the applicant for having the unpermitted ADU or JADU and will approve necessary
permits to correct noncompliance with health and safety standards."
Ordinance No. 1049— Page 11 of 11 ATTACHMENT 3
Page 341
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November .4,9 , 2025
• Second Dwelling Unit Ordinance has been in
place since 1982
There have been two Code amendments so
/ far, once in 2018 and again in 2020
Purpose : To reflect recent changes to State
REGULATION .
--- - ADU law, make the construction of ADUs
easier, and increase housing opportunities
• Benefits : Counts towards RHNA housing units
DRC2025-00072 Municipal Code Amendment 2
AB 2221 and SB 897
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f Objective standards Height limitations
= Detached garages Parking standards
- --- Occupancy change Zoning nonconformance
v . . • Fire s sprinklers and buildingcode violations
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CALIFORNIADEPARTMENT OF ■ COMMUNITY
DEVELOPMENT • Permitting process Multifamily dwellings
ACCESSORY DWELLING UNIT • Concurrent permitting Permitting agency definition
HANDBOOK
Jcnuary 2025 Permitting agency denials Unpermitted ADUs
• De mo litio n p e rmits closed uses
0 0
• Zoning and setbacks JADU separate entrance
DRC2 0 2 5-0 0 0 7 2 Municipal Code Amendment 3
2023 STATE U DATES TO LEGISLATION
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CALIFORNIA DEPARTMENT OF HOUSING AND COMMUNITY
DEVELOPMENT
ACCESSORY DWELLING UNIT
HANDBOOK
January 2025
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ACCESSORY DWELLING UNIT
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Accessory Dwelling Unit Handbook Handbook
City of Rancho Cucamonga
ADU Types Process Overview
See what type of ADU you want to build and refer to that page to learn more: Confirm Eligibility and Allowed Size of ADU
C Determine the eligibility of your property and the maximum size ADU you can build.
Detached ADU See Page 7
+ '1� Refer to Chanter 17.100 of the Rancho Cucamonga Municipal Code.
RANCHRANCHI have a single-family house I want to add an ADU in my The lot with a detached v ' Utilize ADU finance tools(see Resources section)to estimate your costs.
O backyard and it will not share ADU in the backyard: Q Call or e-mail the Planning Division(see Permitting Contacts section)to discuss options
Accessory
a wall with the house = N as well as any constraints or site-specific factors(steep slopes,double frontages,
` L agricultural buffer setbacks,existing accessory structures,septic systems,etc.).This
i / a a step will help to avoid surprises after investing time and money into a building design.
/J Design and Preparation
Dwelling
\� :' Decide ifyou will build a new ADU or convert an existing structure to an ADU.
Refer to Resources section for guidance and examples-
Attached ADU See Page B Consider your options for drafting plans such as hiring a designer or architect,drawing
have a single-fami€y house I want to add an ADU and the The lot with an ADU LM your own plans,purchasing plans,or purchasing a prefabricated unit.
. . unit will share at least one wall attached to the house: a • Consider your options for construction.You can hire a General Contractor to manage
with the house C and complete the construction or obtain an owner builder permit to allow you to
fir......
01 manage and complete the project yourself or through sub contractors.For information
m on the responsibilities and risks assumed by owner/builder permit,please visit the
�/ ❑ Contractors State License Board website.Once you select an ADU design option,you
can get an estimate of City fees by looking up the Development fees.You can also
see the Residential Building Plan Check Submittal Guidelinesfor a list ofsubmittal
requirements.
Conversion ADU See Page 9 Submit Plans for Building Permit
have asingle-family house I would like to convert my The lot with a garage
Depending on the type,size,height of your desired ADU,your Building Permit
with a garage(attached or garage into an ADU converted to an ADU: N application may need a plan checkfzoning clearance from the Planning Division
detached) (please see Section 17.100.040(A)of the Rancho Cucamonga Municipal Code).Expect a
- % a minimum of two rounds of comments and/or re-submittals.Plans are typically
C reviewed by various agencies,such as Planning,Engineering,Building&Safety,and
Fire departments.This process may take several weeks for each round.All applications
and plans can be uploaded online via the Online Permit Center.
{ a Obtain Permits and Pay Fees
Obtain your Building Permit and any other necessary permits
Ji Junior ADU (JADU) See Page 10
� • Pay all fees as required.Fees vary bath by size and by method of construction.
yk I have a single-family house I want to convert a portion of The lot with a]ADU: +� Construct YourADU
_ the house into a small ADU v Q
- ? Complete all required inspections at appropriate stages of the construction process.
U
C u Occupy Your ADU
' - oO
--<.... U C If you want to rent your new ADU,see the Renting my ADU section for more information
Vt
City of Rancho Cucamonga s City of Rancho Cucamonga is
DRC2025-00072 Municipal Code Amendment 6
• As part of the Prohousing Designation awarded to
the City in April 2024 , the City committed to
increase allowable density in low-density, single-
family residential areas
• To honor this commitment, we created a bonus
ADU program allowing an additional ADU if the
following conditions are met:
• The lot contains an existing single-family
residence or is proposed to have one
• The lot is at least 20 , 000 sq ft in size
DRC2025-00072 Municipal Code Amendment 7
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Daily BulletinSB
3200 Guasti Rd.Suite 100 NOTICE OF PUBLIC NEARING
Ontario,California 91761 CITY OF RANCHO CUCAMONGA
909 967-397 CITY COUNCIL
The Rancho Cucamonga City Councll w111 hold a public hearing of 7:OD
0011763421 C�v lc[enter,Wednesday,November
Cno ilnbers,1locateatl of the Rancho a t 10500 C1VIC Center Dr Ive,
Rancho Cucamonga,CA 91730,to consider the fol I owl na de5crl bed
City of Rancho Cucamonga protect:
10500 Civic Center Drive,Planning Conslaeratlon of First Reading of an ordinance Amenning ChapfeY
Dept. 17.100 of Title 17 of the Municipal code for the Development of
p Accessary Dwelilns Units (ADDS)ana Junior Accessory Dweiling
In lieu o f ma ile d notice , the City placed notice o f a Rancho Cucamonga,California 91739 Envl (JADUS) Ill compliance with State Law and to EstLate lsh a
Bonus ADU
onmental Program.
vTAcf I ern Is Exempt from
ivt a State nffoE0A
PROOF OF PUBLICATION Gutdellnes section 152K(n).
(2015.5 C.C.P.) Consideration of First Reading of an Ordinance Amending Sectlon
12.20.080of Chapter 12.20of Title 12and Sections 17.20.020ond 17.20,04D
of Tltle 17 of the Munlclpal Code to DI55olve the Trol15 Advisory
Commlffee.This Item is Exempt from the Collfornla Envlronmental
STATE OF CALIFORNIA Quality Act, Pursuant to state CEQA Gulaefines Sections 15378(13)
one -eighth page in the Inland Valley Daily Bulletin County of San Bernardino [5}and 1sio1(of the
-or questions
of the Ong Council IS final.Anyone naVing concerns
-or gdesflOrS or WlSlling to review or COrnnlenI ail the protect 1S
welcome to Contact trle Ctty Pl an Ing Deportment at(909)477-275o,
I am a Citizen of the United States and Monday ttlrougn Thursday from 7 a.m.to 6 p.m.Anyone ONie ng
a resident of the County aforesaid; to or in favor of the above may submit fllelr concerns In writing to
ty the City prior to said meeting.Written comments may be provided
newspaper o n November 5th 2025 ; am over the age r eighteen years, toy mail ana oda cltyof s.0 to the Planning❑epartment.City of ManchaCucamonga.P.O.Box OiM Rancho Cucamonga,CA 91729,or byemaII
and not party to or interested in the taplanning@cltvafrc.us.
above-entitled matter. I am the If You challenge a n v of the foregoing actions In court,you may be
principal Clerk of the printer of the
limited to ralsing only those Issues you or someone else ralsed at the
Bulletin-SB, a newspaper of general Pu bl lC hearing for final action nest rlbea In th l5 notice,a In wrl tten
correspondence dellvered to the City Councll of, or prlor to, the
circulation, printed and published in Publlc hearing.
the CI of Ontario. Count of San Inland valley Daily Bulletin-5a
ry y Published:11/5/75
Bernardino, and which newspaper has
been adjudged a newspaper of
general circulation by the Superior
Court of County of San Bernardino,
• State of Califomla, under the date of
Todate , staff not receive any correspondence June he once Decree fJ h Parnoannexed
ed
tifl6,The notice,of which the annexed
is a printed copy (set in type not
smaller than nonpareil), has been
published in each regular and entire
related to the code amendment. dates ofsaid
W d newspaper and not in any
supplement thereof on the following
1110512025
I certify(or declare)under the penalty
of perjury that the foregoing is true and
correct.
Dated at Ontario,California
On this 5th day of November,2025,
5.&. ,6_
Signature
*Daily BulletinSB ci rcul afion includes the
following cities:Ontario.Rancho Cucamonga,
Upland
DRC2025-00072 Municipal Code Amendment 9
- _ 0- - 1'
LA
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RECOMMENDATION
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Mrkre7m,1110
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ORDINANCE NO. 1049
AN ORDINANCE OF THE CITY COUNCIL OF THE CITY OF
RANCHO CUCAMOINGA. CALIFORNIA, AMENDING
CHAPTER 17.100 OF ARTICLE V OF TITLE 17 OF THE
MUNICIPAL CODE TO UPDATE THE REGULATIONS
REGARDING ACCESSORY DWELLING UNITS (ADUS) AND
JUNIOR ACCESSORY DWELLING UNITS (JADUS) IN
COMPLIANCE WITH STATE LAW AND TO ESTABLISH A
BONUS ADU PROGRAM, AND FINDING THE ITEM TO BE
EXEMPT FROM THE CALIFORNIA ENVIRONMENTAL
QUALITY ACT (CEQA), PURSUANT TO CEQA GUIDELINES
Staff and the Planning Commission recommend the SECTION 15282(H).
A.RECITALS
City Council conduct the first hearing of Ordinance The City Council of the City of Rancho Cucamonga does ordain asfoIlows:
1_ The City of Rancho Cucamonga(the City'),has prepared Municipal Code Amendment,
as described in the title of this Ordinance. Hereinafter in this Ordinance, the subject
No . 1049 to be read by title only and waive further Municipal Code Amendment is referred to as"the amendment."
2. The City is a municipal corporation, duly organized under the constitution and laws of the
State of California.
reading , to amend regulations regarding Accessory 3. As shown in Exhibit A of this Ordinance, the amendment proposes to amend Chapter
17.100 of Article V of Title 17 of the Municipal Cade to update the regulations regarding
Accessary Dwelling Units(`ADUs'°)and Junior Accessory Dwelling Units(`JADUs")
Dwelling Units (ADUs) and Junior Accessory 4. Portions of the City's currant regulations for ADUs and JAD{Js require amendment to
remain consistent with State Law. Hereinafter in this Ordinance, the subject Municipal
Code Amendment is referred to as the`Amendments_'
Dwelling Units (JADUs) in compliance with State 5. Senate Bill(`SB')477.effective March 25.2024, amended Accessory Dwelling Unit Law
('ADU Law")(formerly Government Cade Sections 65$52.2 and 55852.22)(now Chapter
13 of Division 1 ofTitla 7 of the Govemmant Code),which reorganized ADU Law and has
law and to establish a Bonus ADU Program. led references to ADU Law in the Rancho Cucamonga Municipal Cade to be no longer
applicable.
6. Additionally, the State of California adopted amendments to Government Code Sections
66313.66314,and 66323,altogether known as SB 1211,effective January 1.2025,which
further amend standards and requirements for ADUs and JADUs.
7. Moreover, Assembly Bill ("AB") 2533 prohibits the City from denying a permit for an
unpermitted ADU or JADU that was constructed before January 1,2020,unless a finding
can he made that correcting the violation is necessary to comply with conditions that
would otherwise deem a building substandard under Section 17920.3 of the Health and
Safety Code. This law also species the City's obligations to inform the public of this
prohibition,the prohibition to require a homeowner to pay impact fees,and the prohibition
against penalizing an applicant far having an unpermitted ADU orJADU.
DRC2025-00072 Municipal Code Amendment 11
CITY OF RANCHO CUCAMONGA
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DATE: November 19, 2025
TO: Mayor and Members of the City Council
FROM: John R. Gillison, City Manager
INITIATED BY: Jennifer Nakamura, CNU-A, Planning Director
SUBJECT: Public Hearing for Consideration of First Reading of Ordinance No. 1050,
to be Read by Title Only and Waive Further Reading, Amending Section
12.20.080 of Chapter 12.20 of Title 12 and Sections 17.20.020 and
17.20.040 of Title 17 of the Municipal Code to Dissolve the Trails
Advisory Committee. This Item is Exempt from the California
Environmental Quality Act, Pursuant to State CEQA Guidelines Sections
15378(B)(5) and 15061(B)(3). (DRC2025-00254) (ORDINANCE NO.
1050) (CITY)
RECOMMENDATION:
Planning Commission and Staff recommends the City Council conduct first reading of Ordinance
No. 1050, to be read by title only and waive further reading, to dissolve the Trails Advisory
Committee.
BACKGROUND:
The Trails Advisory Committee is an advisory committee of the City Council of the City of Rancho
Cucamonga, subject to the Ralph M. Brown Act (Gov. Code, § 54950), that is tasked with
discussing and providing recommendations to the City Council on the development of the City's
trail system and trail design standards. Since the establishment of the Committee in 1981, the
Committee has also been tasked with reviewing and make recommendations to the Planning
Commission of the City of Rancho Cucamonga regarding trail locations and the application of trail
design standards for development proposals within the City. The committee is made up of two
Planning Commissioners, as well as bicyclists and equestrians and is scheduled to meet monthly.
The last meeting of the committee was on May 10, 2023.
On October 22, 2025, the Planning Commission held an advertised public hearing to make a
recommendation to the City Council. After testimony was provided, the Planning Commission
unanimously recommended City Council adopt an ordinance to dissolve the Trails Committee.
The Planning Commission resolution and meeting minutes are included as attachments to this
report.
ANALYSIS:
During the development of the Housing Element, the City was required to identify programs and
policies to streamline residential development. Policy H-5.1 of the City of Rancho Cucamonga
2021-2029 Housing Element states that the City will consider new policies, codes and procedures
that have the potential to reduce procedural delays, provide information early in the development
Page 342
process regarding development costs, and charge only those fees necessary to adequately carry
out needed public services and improvements. Program HE-10 of the City of Rancho Cucamonga
2021-2029 Housing Element states that the City will continue to evaluate and improve the permit
processing procedures to facilitate residential development. In addition, as part of our Prohousing
Designation awarded to the City in April 2024, we committed to streamline the processing of
housing development applications through the reduction in the number of public meetings
required. The dissolution of the Trails Advisory Committee will streamline the City's processing of
housing development applications through the elimination of a public meeting and the elimination
of duplicate reviews since the City has adopted a trails implementation plan that sets forth the
standards for the development of trails by project applicants. The proposed amendment will
remove all references to the Trails Advisory Committee, including Section 12.20.080 of Chapter
12.20 of Title 12 and Sections 17.20.020 and 17.20.040 of Title 17 of the Municipal Code. This
committee will be formally dissolved once the ordinance is effective, 30 days after second reading.
Once the ordinance is adopted, letters thanking the Trails Advisory Committee members for their
service will be sent to all current members of the committee.
This item was advertised in the Inland Valley Daily Bulletin on November 5, 2025. Because it is a
city-wide amendment, individual property owner notice is not required.
The proposed amendments are exempt from to the requirements of CEQA and the State CEQA
Guidelines pursuant to CEQA Guidelines Sections 15061(b)(3) and 15378(b)(5) because it can
be seen with certainty that there is no possibility that either the Committee dissolution or the
proposed Amendments, eliminating references to the dissolved Trails Advisory Committee within
the Municipal Code, will not have a significant effect on the environment, and because the Project
constitutes and administrative process of the City and/or organizational and administrative
activities of the City that will not result in direct or indirect physical changes in the environment.
FISCAL IMPACT:
None.
COUNCIL MISSION /VISION /VALUE(S) ADDRESSED:
This action meets the Council value of relentless pursuit of improvement by streamlining the
development review process to allow for faster housing development.
ATTACHMENTS:
Attachment 1 — Planning Commission Resolution
Attachment 2 — Planning Commission Meeting Minutes, October 22, 2025
Attachment 3— Draft Ordinance No. 1050
Page 2
Page 343
ATTACHMENT 1
RESOLUTION NO. 2025-034
A RESOLUTION OF THE PLANNING COMMISSION OF THE
CITY OF RANCHO CUCAMONGA, CALIFORNIA,
RECOMMENDING THAT THE CITY COUNCIL APPROVE A
MUNICIPAL CODE AMENDMENT TO AMEND SECTION
12.20.080 OF CHAPTER 12.20 OF TITLE 12 AND SECTIONS
17.20.020 AND 17.20.040 OF TITLE 17 OF THE MUNICIPAL
CODE TO ELIMINATE REFERENCES TO THE TRAILS
ADVISORY COMMITTEE,, AND MAKING A FINDING OF
EXEMPTION FROM THE CALIFORNIA ENVIRONMENTAL
QUALITY ACT PURSUANT TO SECTIONS 15061'(B)(3) AND
15378(B)(5)
A. Recitals.
1. The City of Rancho Cucamonga has prepared a set of amendments, as described
in the title of this Resolution. Hereinafter in this Resolution, the subject Municipal Code
amendments are collectively referred to as the "Amendments."
2. On October 22, 2025, the Planning Commission of the City of Rancho Cucamonga
conducted a noticed public hearing on,the Amendments and concluded said hearing on that date.
3. All legal prerequisites prior to the adoption of this Resolution have occurred.
B. Resolution.
NOW, THEREFORE, it is hereby found, determined, and resolved by the Planning
Commission of the:City of Rancho Cucamonga as follows:
1. This Planning Commission hereby finds that all of the facts set forth in the Recitals,
Part A of this Resolution, are true and correct.
2. Based upon the substantial evidence presented to the Planning Commission
during the above-referenced public hearing on October 22, 2025, including written and oral staff
reports, together with public testimony, this Planning Commission hereby finds as follows:
a. The Articles/Chapters/Sections of the Municipal Code subject to the
Amendment are as follows:
(1) Section 12.20.080 (Performance Measures and Implementation) of
Chapter 12.20 (Complete Street Program) of Title 12 (Streets, Sidewalks, and Public Places) of
the Rancho Cucamonga Municipal Code is hereby amended to eliminate the reference to the
Trails Advisory Committee as a public outreach entity, and
(2) Section 17.04.020(Planning Agency)of Article I (In General)of Title
17 (Development Code) of the Rancho. Cucamonga Municipal Code is hereby amended to
remove references to the Trails Advisory Committee; and
1
Page 344
(3) Section 17.20.040 (Major Design Review) of Chapter 17.20
(Planning Commission Decisions) of Article 1[ (Land Use and Development Procedures) of Title
17(Development Code)of the Rancho Cucamonga Municipal Code is hereby amended to remove
the Trails Advisory Committee as a reviewing body for Major Design Review applications.
b. The Amendments conform to and do not conflict with the goals, policies,
and implementation programs of the General Plan, including, without limitation, the Housing and
Land Use Elements thereof, and will provide for development in a manner consistent with the
General Plan.
C. Pursuant to the California Environmental Quality Act ("CEQA") (Pub.
Resources Code, §21000 et seq.)and the City's local CEQA Guidelines the amendments are not
subject to the California Environmental Quality Act ("CEQA"), pursuant to State CEQA Guidelines
Sections 15061(b)(3) and 15378(b)(5) because it can be seen with certainty that there is no
possibility that either the Committee dissolution or the proposed Amendments, eliminating
references to the dissolved Trails Advisory Committee within the Municipal Code, will not have a
significant effect on the environment, and because the Project constitutes and administrative
process of the City and/or organizational and administrative activities of the City that will not result
in direct or indirect physical changes in the environment. The City Council has reviewed the
administrative record concerning the Committee dissolution and the proposed Amendments and
the proposed CEQA determination, and based on its own independent judgment, finds that the
Committee dissolution and the Amendments set forth in this Ordinance are not subject to, or
exempt from, the requirements of CEQA pursuant to CEQA Guidelines Sections 15061(b)(3) and
15378(b)(5). Planning Commission hereby recommends that the City Council, based on this
evidence and all evidence in the record, concur with Planning Department staffs determination
that the proposed Amendments will not have a significant effect on the environment, and an
exemption is the appropriate level of environmental review under CEQA.
3. Based upon the findings and conclusions set forth in subparagraphs 1 and 2 of
paragraph B above, the Planning Commission hereby recommends that the City Council adopt
the Amendments included collectively in the draft City Council ordinance attached to the Planning
Commission resolution as Exhibit A and incorporated herein by this reference.
4. The Secretary of the Planning Commission shall certify to the adoption of this
Resolution.
APPROVED AND ADOPTED THIS 22ND DAY OF OCTOBER, 2023. PLANNING
COMMISSION OF THE CITY OF RANCHO CUCAMONGA
BY: _
Tony Nrorales, Chairman
2
Page 345
ATTEST:
Jen i er Nakamura, Secretary
I, Jennifer Nakamura, Secretary of the Planning Commission for the City of Rancho Cucamonga,
do hereby certify that the foregoing Resolution was duly and regularly introduced, passed, and
adopted by the Planning Commission of the City of Rancho Cucamonga, at an adjourned regular
meeting of the Planning Commission held on the 22nd day of October, 2025, by the following
vote-to-wit:
AYES: COMMISSIONERS: MORALES, BOLING, DOPP, DANIELS, DIAZ
NOES: COMMISSIONERS:
ABSENT: COMMISSIONERS:
ABSTAIN: COMMISSIONERS:
3
Page 346
00
ATTACHMENT 2
M(I
Historic Preservation Commission and
Planning Commission
Agenda
October 22, 2025
Draft Minutes
Rancho Cucamonga, CA 91730
7:00 p.m.
The regular joint meeting of the Historic Preservation Commission and Planning Commission was held on
October 22, 2025. The meeting was called to order by Chairman Morales at 7:00 p.m.
A. Roll Call
Planning Commission present: Chairman Morales, Vice Chairman Boling, Commissioner Dopp,
Commissioner Daniels and Commissioner Diaz.
Staff Present: Serita Young, Assistant City Attorney; Jennifer Nakamura, Planning Director; Sean
McPherson, Principal Planner; Miguel Sotomayor, Principal Engineer; Stacy Lee, Assistant Planner;
Aracely Estrada, Management Analyst; Elizabeth Thornhill, Executive Assistant.
B. Public Communications
Chairman Morales opened the public communications.
Hearing no comments from the public, Chairman Morales closed the public communications.
C. Consent Calendar
C1. Consideration to adopt Regular Meeting Minutes of October 8, 2025.
Motion: Moved by Vice Chairman Boling; seconded by Commissioner Daniels. Motion carried
unanimously, 5-0.
D. Public Hearings
D1. TENTATIVE PARCEL MAP— ROBERT TOBIN ON BEHALF OF ADRIAN BUIGUES—A request to
subdivide an existing 19,252-square-foot parcel into two parcels within the Low (L) Residential Zone,
located at 9817 Base Line Road; APN: 1077-011-02. This item is exempt from the requirements of the
California Environmental Quality Act (CEQA) as a Class 15 exemption under CEQA Guidelines Section
15315— Minor Land Divisions (SUBTPM20935).
Assistant Planner Lee provided a PowerPoint presentation (copy on file).
Chairman Morales opened the public hearing.
Applicant Robert Tobin, along with Architect Doug Andresen were present and available to answer questions.
They stated that they did not receive the Conditions of Approval.
Planning Director Nakamura stated that the Conditions of Approval, along with the Staff Report,was sent to the
applicant via email, and was posted on the website on Thursday, October 16tn
HPC/PC Draft Minutes
Page 1 of 9 Page 347
Vice Chairman Boling reiterated that the applicant had been given the opportunity to review the Conditions of
Approval provided by staff and therefore had ample time to do so.
Planning Director Nakamura confirmed.
Commissioner Daniels suggested to allow the applicant a few minutes to look over a hard copy of the Conditions
of Approval while the Commission deliberates.
Applicant Tobin, along with Architect Andresen reviewed the documents.
Commissioner Daniels stated that he had spoken with the City Engineer regarding the ingress and egress
easement on Parcel 2. He noted that he had not realized the easement was intended for Parcel 1,ensuring that
any future development on that parcel would access London Avenue rather than Base Line Road. He
commented that this was an excellent addition to the map.
Vice Chairman Boling stated that in the Conditions of Approval, number 7, Subsection 1, the Engineering
Services Department requires the applicant to provide fiber optic conduit along Base Line Road. He further
stated that Subsection 2 requires the same along London Avenue and inquired about the rationale for this
requirement, given that London Avenue is a small residential cul-de-sac. He asked to explain how this aligns
with the City's Master Plan for fiber optics.
Principal Engineer Sotomayor explained that it is the City's requirement for developers to install fiber optic
conduit along project frontages to support future connectivity. He added that the City's long-term goal is to
have fiber installed citywide.
Vice Chairman Boling expressed appreciation to the applicant for preparing the proposed parcel map noting that
it aligns the subject site with the General Plan and zoning for future use. He added that while it may not reflect
the current use,it appropriately prepares the site for future development while respecting the long-term operation
of Parcel 1 as a valued community asset,the Child Care Center. He asked staff to confirm that the Child Care
Center would be permitted to continue operating as legal nonconforming use, provided that operations are not
discontinued for an extended period of time.
Assistant Planner Lee confirmed.
Chairman Morales re-opened the public hearing to allow the applicant an opportunity to respond after
reviewing the Conditions of Approval.
Applicant Tobin stated that they had reviewed the Conditions of Approval,found them to be standard, and had
no objections. He apologized for the earlier confusion.
Hearing no comments from the public, Chairman Morales closed public hearing.
Motion: Moved by Commissioner Dopp; seconded by Vice Chairman Boling to adopt Resolution 2025-038
approving Tentative Parcel Map SUBTPM20935. Motion carried unanimously, 5-0.
D2. TENTATIVE PARCEL MAP—JACLYN MCDOWELL ON BEHALF OF MARK REYNOSO—A request
to subdivide an existing 76,782-square-foot parcel into two parcels within the Very Low (VL) Residential
Zone, Hillside Overlay Zone, and Equestrian Overlay Zone, located at 5451 Moonstone Avenue; APN:
1061-251-32.This item is exempt from the requirements of the California Environmental Quality Act(CEQA)
as a Class 15 exemption under CEQA Guidelines Section 15315—Minor Land Divisions(SUBTPM20985).
Assistant Planner Lee provided a PowerPoint presentation (copy on file) and noted that a few typographical
errors had been identified in the Staff Report and draft Resolution;corrections were made, and red-lined copies
were provided on the dais. Corrections in the Proposed Lots; changed Parcel 1 from 21,926 sq. ft. to 54,855
sq.ft., and Parcel 2 from 54,855 sq.ft.to 21,926 sq.ft.
HPC/PC Draft Minutes
Page 2 of 9 Page 348
Commissioner Dopp inquired about Parcel 2 on the east end of the lot, nothing that the staff report lists the
minimum lot width as 142 feet and 383 feet, though it appears to be approximately 9-10 feet. He asked how
the measurement was calculated and how it complies with applicable standards.
Assistant Planner Lee responded that staff had expressed similar concerns. However,she noted that there are
no objective findings to recommend denial, as the subdivision meets the development standards required for
the underlying zone. She added that the measurements are based on definitions of lot depth and lot width as
outlined in the Development Code.
Commissioner Daniels stated that the Government Code allows denial of subdivisions based on issues of public
health or safety, referencing Section 66474, which provides legal grounds for denial if a project poses serious
health problems. He noted that while the subdivision is consistent with the City's General Plan and zoning, be
believes the proposed layout of the two parcels is poor. He expressed concern that the flag portion of the lot
may not be properly maintained and could become an eyesore to the community. He then sought assistance
from legal counsel.
Assistant City Attorney Young responded that she is not sure we can correlate a bad design to a health problem.
She said we would need a bit more facts, such as studies to back up a denial based on a health issue.
Commissioner Daniels stated that the proposed design creates an untenable situation with the long, narrow flag
portion of the lot and the adjoining areas to the west. He commented that the configuration appears to serve no
purpose other than to meet the minimum lot size requirements.
Chairman Morales opened the public hearing.
The applicant explained that the lot's angled design is due to the existing contours of the site. He noted that an
existing driveway and a grove of mature trees along that driveway influenced the layout, as they wished to
preserve the trees.
He stated that one of the requirements is that the lot must extend completely through the site and connect to
both sides. He explained that, although that portion of the lot is not necessary, it was included to meet site
requirements. He added that the intent is to divide the property,so the back house and pool remain,with plans
to rebuild the house and resurface the pool.
The following individuals spoke in opposition of the project: Larry Weidinger, Gary Drejdan, Maureen
Malady-Myers.
The comments included the following concerns:
• Privacy
• Health hazard
• Mountain view
• Wall height
• Habitat area
• Septic
• Bridle trail around property
The applicant provided an explanation on the following:
• Trees—The grove of mature pine trees will be left alone.
• Septic—Septic will be done by professional engineers.
• Height and placement of the building —They are abiding by all code standards.
• Bridle Trail—Will be addressed during planning.
Commissioner Dopp stated that there is a gate at the rear of Parcel 2 and inquired whether the future
property owner would be responsible for maintaining the area. He expressed concern that, while there is
an intent to preserve the existing trees, lack of proper maintenance could pose a public health and safety
risk, particularly related to wildfires.
HPC/PC Draft Minutes
Page 3 of 9 Page 349
Applicant confirmed and indicated maintaining the area it is something that can be added to the Conditions
of Approval.
Hearing no other comments from the public, Chairman Morales closed public hearing.
Commissioner Dopp asked staff to clarify the requirement for property lines to extend from the front to the
back of the site. He referenced the applicant's statement that the lot was designed to reach the east end
of the parcel to satisfy a city code requirement and requested confirmation as to whether such a provision
exists in the regulations.
Planning Director Nakamura responded that staff would review the subdivision ordinance during
deliberations, noting that the cited requirement is not one she is familiar with. She clarified that the current
application pertains solely to the lot split and is unrelated to any future approval of the house design, which
would be addressed separately through the entitlement process. She emphasized that today's focus is on
the subdivision of the two lots.
Commissioner Dopp stated that he finds it difficult to support a parcel with such an irregular shape due to
potential management and liability concerns. He commended that a large portion of the parcel appears
unviable as a standalone property. While acknowledging that this is not sufficient grounds for denial, he
expressed discomfort with the configuration.
Commissioner Daniels concurred with Commissioner Dopp. He also stated he would like to see the rear
flag portion combined with Parcel 1. He explained that as a Commission, part of their responsibility is to
try to make good planning and have parcels that makes sense. With that in mind, he is uncomfortable
approving this because he believes it is a terrible design, especially after seeing the amount of land
available in Parcel 1.
Commissioner Diaz and Vice Chairman Boling concurred.
Planning Director Nakamura suggested re-opening the public hearing to allow the applicant to return and
clarify which concerns they are willing or unwilling to address. She said that she was unable to identify any
provision in the subdivision ordinance requiring the east-west lot configuration but stated that staff would
further review and examine the matter. Regarding variances, she explained that they may be granted for
development standards outlined in Title 17. Therefore, if a variance related to lot standards were
necessary, it could be considered. In response to concerns about the existing trees, she explained that all
departments will review the site once a development application is submitted. If the property is located
within a high fire hazard zone,there may be requirements for the removal of certain trees and the replanting
of fire-adaptive trees as part of the new development.
Chairman Morales reopened the public hearing.
Applicant stated if there is nothing in the code that indicates they have to extend all the way across the
subdivision, he would be open to revising that and going with the quickest approval process possible to
avoid further delays for his client. He said he would be okay with going perhaps a little bit under 20,000 sq.
ft. in Parcel 2 and could easily remove 1,200 sq. ft. right away.
Chairman Morales closed the public hearing.
Planning Director Nakamura stated the Commissioners have the following choices to make:
• Accept staff's recommendation for approval,
• If they feel they have the findings to make a denial, they can do so, or
• Continue the item to a date uncertain and allow staff to work with the applicant to finalize any
revisions and to determine what the best path forward would be.
Motion: Moved by Vice Chairman Boling; seconded by Commissioner Daniels, to continue this item to a
date uncertain. Motion carried unanimously, 5-0.
HPC/PC Draft Minutes
Page 4 of 9 Page 350
Commissioner Daniels noted that the Commission is not reviewing the development of the parcels at this
time and stated he was unclear whether the existing structure would be refurbished. He requested that a
small reference map be provided showing the locations of structures on the parcels.
Assistant City Attorney Young responded that it would not be appropriate if only considering a lot split. The
potential proposal on a lot split could change over time because it is in preliminary review right now.
Commissioner Daniels asked for clarification on whether the house will remain.
Planning Director Nakamura replied that as staff mentioned in the report, the house is to be demolished but
the idea is to rebuild in the same place.
Commissioner Daniels stated that it was not clear as the applicant indicated something different.
D3. DESIGN REVIEW, MINOR EXCEPTION, VARIANCE —VINOVA (LENNAR) -A request for site plan
and architectural review of 166 single-family residences within an approved tract map on approximately 70-
acres located near the northeast corner of Etiwanda Avenue and Wilson Avenue; (Tracts 16072 and 16072-
2). This item is exempt from the requirements of the California Environmental Quality Act (CEQA) under
CEQA Section 15162. (Design Review DRC2024-00395, Minor Exception DRC2025-00168, Variance
DRC2025-00169).
Principal Planner McPherson provided a PowerPoint presentation (copy on file).
Chairman Morales opened the public hearing.
Applicant was present and available to answer questions.
For the record, correspondence from Lozeau Drury, LLP was received following the preparation of the
agenda packet, expressing opposition to the project. The correspondence should be referred to for further
details.
Resident Edward Aldaz had the following concerns:
• Wall placement
• Health risk—vermin
• Digging close to home
Applicant responded to the wall concerns and said there will be permitted walls built around the homes.
They will be developing everything within property line and the track boundaries.
Principal Planner McPherson clarified that the walls referenced were primarily interior walls to the approved
lots. He said this project will also include walls along the perimeter as is standard in a subdivision like this.
Relative to the comment about any additional grading, it has already commenced. There is no expectation
that grading beyond the boundaries which have already been graded will occur. The application before the
commission tonight is relative to the construction of the homes on those, previously graded lots.
Commissioner Daniels referred to the two different roofing materials being proposed and that several of the
units feature standard seam walls. He commented that typically only one type of roofing material is used
and asked for the reason behind the use of two.
Applicant explained that it is an architectural feature intended to create diversity.
Commissioner Daniels commented on the gable roof extending over the entrance appears awkward with
the flat wall positioned in front of it. He also inquired how the two subdivisions will be phased.
Applicant responded that they are trying to revisit the traditional style in a contemporary way. In terms of
the phasing, there are essentially two different product lines. The one-story and two-story homes will be
built simultaneously.
HPC/PC Draft Minutes
Page 5 of 9 Page 351
Commissioner Daniels stated that the Fire Department will likely require two access points prior to the
storing of lumber for construction and asked if the developer will construct the street network.
Applicant confirmed that approximately 90% of the street network has been constructed.
Commissioner Daniels asked if Lennar designed the parks.
Applicant answered that it is a mutual effort and want to do the best they can for the community.
Commissioner Daniels complimented the project. He said it is very nice and will be a good asset to the
development of the community. He asked if Wilson Avenue will be open soon.
Applicant answered that they will open it as soon as they can.
Chairman Morales closed the public hearing.
Commissioner Dopp stated that he got to see this at the Design Review Committee meeting. He
remembers comments being made about the front wall, possibly making it a balcony. Aside from that, it
was decided that most of the designs were appropriate for the neighborhood. He indicated he is a big fan
of some of the amenities. For example, the Central Paseo he originally was pushing for with the developer
when there was a lack of one on a map that was before them a few years ago. It is nice to see it carried
out because it was not a requirement at the time. He said that the design helps create a stronger sense of
community within a subdivision, noting that traditional urban studies show such connectivity is often missing
in developments characterized by long roads. He added that incorporating amenities and green spaces
at a central nexus point will provide an excellent gathering area and be a valuable enhancement to the
project.
Commissioner Daniels stated he went through all the minor exceptions and the variances and did not have
any problems with the waivers that are being requested which are very minor.
Commissioner Diaz stated that we have 166 new single-family homes coming to an area of the city where
people want them, and it is very exciting. She said the issues presented are minor exceptions and
expressed no concerns. She supports staffs' determination that the CEQA report on file remains relevant
and applicable, and stated that she looks forward to seeing the project move forward.
Vice Chairman Boling stated, as mentioned previously, there were some issues and concerns addressed
at the Design Review Committee meeting related to a couple of the models and elevations. The applicant's
submission and provision of the 3D rendering helped give them a better perspective of what those products
are intended to look like. As it pertains to the minor exceptions and variances, they are nominal.
Regarding the letter that was received by the city late in the process challenging the previously certified
EIR, there have been no substantial changes nor new uses planned for this project, so he sees no issues
or problems. As it pertains to the comment made by the public, he strongly encouraged the resident to
speak directly to the applicants representative pertaining to the issues and questions that he has that are
beyond the scope of the commission's actions being taken tonight.
Chairman Morales addressed the public comment regarding rodents, stating that those issues should
subside as the site is developed. He thanked the applicant for working collaboratively with staff to ensure
the project is completed properly.
Motion: Moved by Commissioner Dopp; seconded by Commissioner Daniels to adopt Resolution 2025-
036 approving Design Review DRC2024-00395, Variance DRC2025-00169 and Minor Exception
DRC2025-00168. Motion carried unanimously, 5-0.
HPC/PC Draft Minutes
Page 6 of 9 Page 352
D4. MUNICIPAL CODE AMENDMENT— CITY OF RANCHO CUCAMONGA—A request to amend Title
17 of the Municipal Code for the development of Accessory Dwelling Units (ADUs) and Junior Accessory
Dwelling Units (JADUs) in compliance with State ADU Law. This item is statutorily exempt from the
requirements of the California Environmental Quality Act(CEQA) under CEQA Section 15282(h). A public
hearing will be held by the City Council for final action at a future date to be determined. (DRC2025-00072).
Assistant Planner Lee provided a PowerPoint presentation (copy on file).
Commissioner Daniels asked for clarification regarding the ADU pre-approved plans and whether any
member of the public may request access to those plans.
Planning Director Nakamura described the pre-approval process. Any licensed contractor, engineer or
architect may submit a plan for an ADU. The City conducts an initial review, and once approved, the plans
are filed and posted on the City's website. She noted that anyone may use the City's pre-approved plans
to apply for an ADU, which is the basis of the City's ADU Pre-Approved Program.
Commissioner Daniels asked Assistant City Attorney Young why penalties cannot be imposed for an
unpermitted ADU built two to five years ago and later discovered by the City.
Assistant City Attorney Young responded that she had not reviewed the legislative intent behind the
provision but suggested that the state may have recognized the large number of unpermitted additions
constructed by property owners for various reasons. She explained that if those additions were built to
code and can be legalized, this process provides a pathway for doing so without penalty, thereby creating
additional housing units that the City can count toward its housing requirements.
Commissioner Daniels asked if there is a timeframe for compliance, if an ADU is discovered.
Staff responded that they do not believe there is a timeframe.
Planning Director Nakamura mentioned if work is done without building permits there is a 50% penalty.
Chairman Morales opened the public hearing.
Hearing no comments from the public, Chairman Morales closed the public hearing.
Commissioner Dopp stated that the amendment will make it somewhat easier to meet the City's housing
goals. He noted that while the overall impact may be limited due to the small number of lots over 20,000
square feet, it still represents a move in the right direction.
Vice Chairman Boling said he is encouraged at the number of ADU's that have been developed in the city
over the past few years. He expressed appreciation for staff's diligence in bringing forward Municipal Code
Amendments such as this one.
Chairman Morales thanked staff for their hard work in updating the regulations to ensure consistency with
state ADU law.
Motion: Moved by Vice Chairman Boling; seconded by Commissioner Diaz to adopt Resolution 2025-035
recommending that the City Council approve Municipal Code Amendment DRC2025-00072. Motion carried
unanimously, 5-0.
D5. Consideration of a Municipal Code Amendment to amend the Rancho Cucamonga Municipal Code to
amend Section 12.20.080 of Chapter 12.20 of Title 12 and Sections 17.20.020 and 17.20.040 of Title 17 of
the Municipal Code to Dissolve the Trails Advisory Committee. This Item is Exempt from the California
Environmental Quality Act, Pursuant to State CEQA Guidelines Sections 15378(B)(5) and 15061(B)(3).
This Item Will be Forwarded to City Council for Final Action. (DRC2025-00254).
HPC/PC Draft Minutes
Page 7 of 9 Page 353
Planning Director Nakamura provided a brief summary and report on the item. She requested that the
Planning Commission make a recommendation to City Council to approve the Municipal Code Amendment
in order to dissolve the Trails Advisory Committee.
Vice Chairman Boling recommended that staff send a letter of appreciation to the committee members,
formally thanking them for their service and notifying them that their duties have concluded.
Planning Director Nakamura confirmed.
Chairman Morales opened the public hearing.
Hearing no comments from the public, Chairman Morales closed the public hearing.
Motion: Moved by Vice Chairman Boling; seconded by Commissioner Dopp to adopt Resolution 2025-034
recommending that the City Council approve the Municipal Code Amendment DRC2025-00254 to dissolve
the Trails Advisory Committee. Motion carried unanimously, 5-0.
D6. Consideration of a General Plan Amendment and Municipal Code Amendment to Amend the General
Plan Land Use and Community Character Chapter related to Floor Area Ratio on Table LC-1 and Policies
Relating First Floor Non-Residential Dimensions and Block Lengths; Amend the General Plan Mobility and
Access Chapter to add Dimension Standards for Street Typologies, Remove the Proposed 8th Street Trail
and Amend the Truck Routes Map Pursuant to AB98;Amend Municipal Code Table 17.130.050-1 to Update
Floor Area Ratio and Ground Floor Non-Residential Dimensions for Form Based Zones; and Amend
Municipal Code Section 17.138.030 Regarding Block Length for Form Based Zones. An Addendum to the
General Plan EIR Has Been Prepared for this Project. (CONTINUED TO NOVEMBER 12T", 2025
MEETING)
Planning Director Nakamura requested that this item be continued to November 121h, 2025, meeting to
allow additional time to finalize remaining details.
Chairman Morales opened the public hearing.
Chairman Morales announced that this item will remain open to the November 12th HPC/PC meeting.
Motion: Moved by Vice Chairman Boling; seconded by Commissioner Diaz to continue this item to
November 12th Planning Commission meeting. Motion carried unanimously, 5-0.
E. General Business
El. Consideration to Approve a Resolution Adopting bylaws for the Design Review Committee
Management Analyst Estrada provided a PowerPoint presentation (copy on file).
Chairman Morales opened the public hearing.
Hearing no comments from the public, Chairman Morales closed the public hearing.
Commissioner Dopp stated that several Commissioners previously requested clarification regarding
absences, so he appreciates the effort.
Commissioner Daniels thanked staff for doing a great job.
Vice Chairman Boling thanked staff for helping to address concerns that come up which have the potential
to delay developer and resident applications. He said these steps moving forward, reflect the City's pro-
business and pro-resident position.
HPC/PC Draft Minutes
Page 8 of 9 Page 354
Commissioner Diaz expressed appreciation to staff for their efforts on this item and that it responds to the
needs raised by the Commissioners.
Motion: Moved by Commissioner Diaz; seconded by Vice Chairman Boling to adopt Resolution 2025-033
repealing Resolution 79-61 and approving the bylaws for the Design Review Committee. Motion carried
unanimously, 5-0.
F. Director Announcements
Planner Director Nakamura announced that one meeting is scheduled for both November and December.
She noted there will be no second meeting in November due to the Thanksgiving holiday and no second
meeting in December, as it falls on Christmas Eve and City Hall will be closed until after the new year.
She provided an update on the Planning Commissions memo which was presented to City Council last
week. City Council expressed their appreciation for the work the Commissioners do and know that density
bonus projects are very difficult and complicated. They are considering the following actions:
1) Sharing the memo with the City's lobbyists,who can communicate the real-world impacts of certain
housing laws during meetings with state representatives.
2) Having Council Member Kristine Scott, who serves on the Board for the Inland Empire Division of
the League of California Cities, raise the issue at their next meeting to explore whether other cities
may wish to collaborate on a unified message regarding density bonus law projects and their
impacts.
G. Commission Announcements - None
H. Adjournment
Motion: Moved by Commissioner Diaz, seconded by Vice Chairman Boling to adjourn the meeting.
Hearing no objections, Chairman Morales adjourned the meeting at 8:54 p.m.
Respectfully submitted,
Elizabeth Thornhill, Executive Assistant
Planning Department
Approved:
HPC/PC Draft Minutes
Page 9 of 9 Page 355
ATTACHMENT 3
ORDINANCE NO. 1050
AN ORDINANCE OF THE CITY OF RANCHO CUCAMONGA,
CALIFORNIA, DISSOLVING THE TRAILS ADVISORY
COMMITTEE, APPROVING A MUNICIPAL CODE AMENDMENT
TO AMEND SECTION 12.20.080 OF CHAPTER 12.20 OF TITLE
12 AND SECTIONS 17.20.020 AND 17.20.040 OF TITLE 17 OF
THE MUNICIPAL CODE TO ELIMINATE REFERENCES TO THE
TRAILS ADVISORY COMMITTEE, AND MAKING A FINDING OF
EXEMPTION FROM THE CALIFORNIA ENVIRONMENTAL
QUALITY ACT PURSUANT TO SECTIONS 15061(B)(3) AND
15378(B)(5)
The City Council of the City of Rancho Cucamonga does ordain as follows:
Section 1. Recitals.
A. The City of Rancho Cucamonga (the "City") is a municipal corporation, duly
organized under the constitution and laws of the State of California.
B. Policy H-5.1 of the City of Rancho Cucamonga 2021-2029 Housing Element states
that the City will consider new policies, codes and procedures that have the potential to reduce
procedural delays, provide information early in the development process regarding development
costs, and charge only those fees necessary to adequately carry out needed public services and
improvements. Program HE-10 of the City of Rancho Cucamonga 2021-2029 Housing Element
states that the City will continue to evaluate and improve the permit processing procedures to
facilitate residential development. Additionally, one of the City's pro-housing designation
commitments is to streamline the processing of housing development applications through the
reduction in the number of public meetings required.
C. The Trails Advisory Committee is an advisory committee of the City Council of the
City of Rancho Cucamonga, subject to the Ralph M. Brown Act(Gov. Code, § 54950), that is tasked
with discussing and providing recommendations to the City Council on the development of the City's
trail system and trail design standards. Since the establishment of the Committee in 1981, the
Committee has also been tasked with reviewing and make recommendations to the Planning
Commission of the City of Rancho Cucamonga regarding trail locations and the application of trail
design standards for development proposals within the City. The Committee, however, has not met
in nearly two years.
D. In accordance with Policy H-5.1, Program HE-10 and the City's pro-housing
designation commitments, the City desires to dissolve the Trails Advisory Committee. The
dissolution of the Committee will streamline the City's processing of housing development
applications through the elimination of a public meeting before the Committee and the elimination
of duplicate reviews since the City has adopted a trails implementation plan that sets forth the
standards for the development of trails by project applicants.
E. Additionally, the City is proposing amendments to the Municipal Code to eliminate
references to the Trails Advisory Committee. The City has prepared Municipal Code Amendment
DRC2025-00254, as described in the title of this Ordinance, which include amendments to the City's
Development Code. Hereinafter in this Ordinance, the subject Municipal Code Amendment is
referred to as the "Amendments".
Page 356
F. On October 22, 2025, the Planning Commission of the City of Rancho Cucamonga
conducted a noticed continued public hearing with respect to the Amendments and, following the
conclusion thereof, adopted Resolution No. 2025-034 recommending that the City Council of the
City of Rancho Cucamonga adopt the Amendments.
G. On , 2025, the City Council of the City of Rancho Cucamonga
conducted a noticed public hearing on the Amendments and concluded said hearing on that date.
H. All legal prerequisites prior to the adoption of this Ordinance have occurred.
Section 2. Ordinance.
A. Recitals. The City Council finds the foregoing recitals and their findings to be true
and correct, and hereby incorporates such recitals and their findings into this Ordinance.
B. Findings.
1) Based upon the substantial evidence presented to this Council during the
above-referenced public hearing, this Council hereby finds and concludes that the changes
proposed to Title 17 (Development Code) in the Amendments are consistent with the Development
Code and the General Plan's goals, policies and implementation programs. Pursuant to Section
17.22.040(C) of the Municipal Code, amendments to the Municipal Code "may be approved only
when the [C]ity [C]ouncil finds that the Development Code/zoning map amendment[s] [are]
consistent with the [G]eneral [P]Ian goals, policies, and implementation programs." The
Amendments are consistent with the following Housing Element Goal:
a) H-5.1: Development Review Processes. The City will consider new
policies, codes and procedures that have the potential to reduce procedural delays, provide
information early in the development process regarding development costs, and charge only those
fees necessary to adequately carry out needed public services and improvements
2) The Amendments have been processed, including, but not limited to, public
notice, in the time and manner prescribed by State and local law, including the California
Environmental Quality Act ("CEQA").
C. CEQA. The dissolution of the Trails Advisory Committee and the proposed
Amendments (the "Project") are exempt from or not subject to the requirements of CEQA and the
State CEQA Guidelines pursuant to CEQA Guidelines Sections 15061(b)(3) and 15378(b)(5)
because it can be seen with certainty that there is no possibility that either the Committee dissolution
or the proposed Amendments, eliminating references to the dissolved Trails Advisory Committee
within the Municipal Code, will not have a significant effect on the environment, and because the
Project constitutes and administrative process of the City and/or organizational and administrative
activities of the City that will not result in direct or indirect physical changes in the environment. The
City Council has reviewed the administrative record concerning the Committee dissolution and the
proposed Amendments and the proposed CEQA determination, and based on its own independent
judgment, finds that the Committee dissolution and the Amendments set forth in this Ordinance are
not subject to, or exempt from, the requirements of CEQA pursuant to CEQA Guidelines Sections
15061(b)(3) and 15378(b)(5).
D. The City Council hereby dissolves the Trails Advisory Committee effective upon the
effective date of this Ordinance.
Ordinance No. 1050 - Page 2 of 7
Page 357
E. The City Council hereby amends Subsection (B) of Section 12.20.080 (Performance
Measures and Implementation) of Chapter 12.20 (Complete Street Program) of Title 12 (Streets,
Sidewalks, and Public Places) of the Rancho Cucamonga Municipal Code to read as shown in
Exhibit A of this Ordinance, attached hereto and incorporated herein by this reference.
F. The City Council hereby amends Section 17.04.020 (Planning Agency) of Article I
(In General) of Title 17 (Development Code) of the Rancho Cucamonga Municipal Code to delete
Subsection (C) and renumber Subsections (D) through (G) to Subsections (C) through (F),
respectively, to read as shown in Exhibit A of this Ordinance, attached hereto and incorporated
herein by this reference.
G. The City Council hereby amends Subsection (C)(3) of Section 17.20.040 (Major
Design Review) of Chapter 17.20 (Planning Commission Decisions) of Article II (Land Use and
Development Procedures) of Title 17 (Development Code) of the Rancho Cucamonga Municipal
Code to read as shown in Exhibit A of this Ordinance, attached hereto and incorporated herein by
this reference.
Section 3. Severability. If any section, subsection, sentence, clause, or phrase of this Ordinance
is for any reason held to be invalid or unconstitutional by a decision of any court of any competent
jurisdiction, such decision shall not affect the validity of the remaining portions of this Ordinance.
The City Council hereby declares that it would have passed this Ordinance, and each and every
section, subsection, sentence, clause, or phrase not declared invalid or unconstitutional without
regard to whether any portion of the Ordinance would be subsequently declared invalid or
unconstitutional.
Section 4. Effect of Ordinance. This Ordinance is intended to supersede any ordinance,
resolution, and administrative regulations of the City of Rancho Cucamonga adopted by the City
Council and the Planning Commission in conflict with the terms of this Ordinance.
Section 5. Effective Date. This Ordinance shall take effect 30 days after the date of its adoption.
The City Clerk is directed to cause this Ordinance to be published and/or posted as required by law.
Section 6. Enforcement. Neither the adoption of this Ordinance nor the repeal of any other
Ordinance of this City shall in any manner affect the prosecution for violations of ordinances, which
violations were committed prior to the effective date hereof, nor be construed as a waiver of any
penalty or the penal provisions applicable to any violation thereof.
Section 7. Publication. The City Clerk shall certify to the adoption of this Ordinance and shall
cause it to be published in the manner required by law.
Ordinance No. 1050 - Page 3 of 7
Page 358
PASSED, APPROVED,AND ADOPTED this_ day of , 2025.
L. Dennis Michael, Mayor
ATTEST:
Kim Sevy, City Clerk
STATE OF CALIFORNIA )
COUNTY OF SAN BERNARDINO ) ss
CITY OF RANCHO CUCAMONGA )
I, Kim Sevy, City Clerk of the City of Rancho Cucamonga, California, do hereby
certify that the foregoing Ordinance was introduced at a Regular Meeting of the City Council of the
City of Rancho Cucamonga held on the day of , 2025, and was passed at a Regular
Meeting of the City Council of the City of Rancho Cucamonga held on the day of ,
2025.
AYES:
NOES:
ABSENT:
ABSTAINED:
Executed this day of , 2025, at Rancho Cucamonga, California.
Kim Sevy, City Clerk
Ordinance No. 1050 - Page 4 of 7
Page 359
EXHIBIT A
Amendments to Subsection (B) of Section 12.20.080 of Chapter 12.20 of Title 12 of the
Rancho Cucamonga Municipal Code
Amended Subsection:
Subsection (B) of Section 12.20.080 (Performance Measures and Implementation)
Subsection 12.20.080(B):
"B. The city shall conduct targeted outreach and encourage public participation in its decisions
concerning street design and use. Community input includes the park and recreation
commission."
Amendments to Section 17.04.020 of Article I of Title 17 of the Rancho Cucamonga
Municipal Code
Amended Section:
Section 17.04.020 (Planning Agency)
Section 17.04.020:
"§ 17.04.020 Planning agency.
Government Code § 65100 requires each jurisdiction to establish a planning agency to carry out the
land use and planning functions of the jurisdiction. The functions of the planning agency, as
designated by the title, shall be carried out by the following bodies. In the absence of an assignment,
the city council shall retain responsibility and authority as the legislative body of the city.
A. Planning director. The planning director, or designee, shall have the responsibility and authority
to administer and enforce this title as follows:
1. Application process. Receive and review all applications for development pursuant to this
title. Processing includes but is not limited to the certification of completed applications, the
establishment of a permanent file, posting of public notices, collection of applicable fees,
preparation of reports, processing of appeals, and presentation of staff reports to the
development review committees, planning commission, historic preservation commission,
and city council.
2. Interpretation. Interpret the provisions and advise the public on the requirements of this title.
3. Amendment. Initiate action for amendment of this title where it is determined that such
amendment would better implement the general plan goals and objectives and increase its
effectiveness and/or improve or clarify the contents of this title.
4. Permit issuance. Issue permits under this title and certify that all such permits are in full
conformance with its requirements.
5. Coordination. Refer and coordinate matters related to the administration of this title with other
agencies and city departments and provide information on the status of all development
permits.
Ordinance No. 1050 - Page 5 of 7
Page 360
6. Authority. Serve as the administrative zoning body and exercise that authority set forth in
Government Code § 65900 et seq.
B. Design review committee. The design review committee is responsible for reviewing the
architecture (including material, finish, colors, and trim), site layout, building plotting,
landscaping, compatibility with surrounding properties, and, when appropriate, signs, of new
development. The committee's emphasis is on quality design in the community as described in
the city's general plan and this title. The design review committee consists of two planning
commissioners and the planning director (or designee).
C. City manager. The city manager or designee shall oversee the work of the planning director and
shall exercise such other powers and duties as are prescribed by state law or local ordinance,
or as directed by the city council.
D. Planning commission. Pursuant to Government Code § 65101, and as provided in chapter 2.20,
the city has an established planning commission. The planning commission shall have the
following land use responsibilities:
1. Hear and decide applications for entitlements as provided in article II (Land Use and
Development Procedures).
2. Initiate studies of amendments to this title and make recommendations to the city council for
amendments as provided in article II (Land Use and Development Procedures) and in
Government Code § 65853.
3. Hear and make recommendations to the city council on applications for zoning amendments,
the general plan and amendments thereto, specific plans, prezoning, and other related
planning studies.
4. Exercise such other powers and duties as are prescribed by state law or local ordinance, or
as directed by the city council.
E. Historic preservation commission. Members of the planning commission are appointed to serve
as the city's historic preservation commission. The historic preservation commission is
responsible for determining which buildings and/or sites are historic, designating local historic
landmarks, and approving alterations to local landmarks.
F. City council. The city council is the legislative body of the city and shall have the following land
use responsibilities:
1. Hear and decide appeals of the planning commission.
2. Hear and decide applications for permits and entitlements as listed in article II (Land Use
and Development Procedures).
3. Direct planning-related policy amendments and special studies as necessary or desired.
4. Exercise such other powers and duties as are prescribed by state law or local ordinance."
Ordinance No. 1050 - Page 6 of 7
Page 361
Amendments to Subsection (C)(3) of Section 17.20.040 of Chapter 17.20 of Article II of Title
17 of the Rancho Cucamonga Municipal Code
Amended Subsection:
Subsection (C)(3) of Section 17.20.040 (Major Design Review)
Subsection 17.20.040(C)(3):
"I Proposals submitted pursuant to this section may also require review by other necessary
committees as applicable."
Ordinance No. 1050 - Page 7 of 7
Page 362
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November 1 9,.,2025]
• Trails Committee established in
1981
• Provide recommendations on the
City's Trail System
• Provide recommendations for
development projects with trails
• Two Planning Commissioners and
equestrians and bicyclists
• Last meeting , May 10 , 2023
Trails Committee 2
Pf
• Established trail standards
PRIVATE bRAINACE EASEMENT
• Shift to Infill development
PAS CC ODITCH • Development Strg mlinin
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20' PUBLIC DEDICATION
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2-4% SLOPE
ON FINISHED SURFACE
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~— LOT LIKES CONCRETE HEADER
CONCRETE HEADER TYPICAL SECTION 4" DECOMPOSED DRMff[
DEVELOPER MAY INSTALL ALTERNATE
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EASEMENT.
Trails Committee 3
RECOMMEII�Ll
ORDINANCE NO. 1050
Planning Commission and Staff recommends AN ORDINANCE OF THE CITY OF RANCHO CUCAMONGA,
CALIFORNIA, DISSOLVING THE TRAILS ADVISORY
COMMITTEE, APPROVING A MUNICIPAL CODE AMENDMENT
first reading of Ordinance 1050 to be read TO AMEND SECTION 1 2.20.080 OF CHAPTER 1 . 0 OF TITLE
12 AND SECTIONS 17. 0.020 AND 17. 0.040 OF TITLE 17 OF
THE MUNICIPAL CODE TO ELIMINATE REFERENCES TO THE
by title only and waive further reading to TRAILS ADVISORY COMMITTEE, AND MAKING A FINDING OF
EXEMPTION FROM THE CALIFORNIA ENVIRONMENTAL
QUALITY ACT PURSUANT TO SECTIONS 15061(B)(3) AND
amend the municipal code to dissolve the 15378(B)(5)
The City Council of the City of Rancho Cucamonga does ordain as follows:
Trails Advisory Committee . Section 1. Recitals.
A_ The City of Rancho Cucamonga (the "City") is a municipal corporation, duly
organized under the constitution and laws of the State of California.
B. Policy H-5_1 of the City of Rancho Cucamonga 2021- 029 Housing Element states
that the City will consider new policies, codes and procedures that have the potential to reduce
procedural delays, provide information early in the development process regarding development
costs, and charge only those fees necessary to adequately carry out needed public services and
improvements_ Program HE-10 of the City of Rancho Cucamonga 2021-2029 Housing Element
states that the City will continue to evaluate and improve the permit processing procedures to
facilitate residential development_ Additionally, one of the City's pro-housing designation
commitments is to streamline the processing of housing development applications through the
reduction in the number of public meetings required.
C. The Trails Advisory Committee is an advisory committee of the City Council of the
City of Fancho Cucamonga, subject to the Ralph h'1_ Brown Act (Goer_ Code, § 54950), that is tasked
with discussing and providing recommendations to the City Council on the development of the City's
trail systern and trail design standards_ Since the establishment of the Committee in 1981, the
Committee has also been tasked with reviewing and male recommendations to the Planning
Commission of the City of Rancho Cucamonga regarding trail locations and the application of trail
design standards for development proposals within the City_ The Committee, however, has not ,net
in nearly two gears.
Trails Committee 4
CITY OF RANCHO CUCAMONGA
DATE: November 19, 2025
TO: Mayor and Members of the City Council
FROM: John R. Gillison, City Manager
INITIATED BY: Michael Parmer, Engagement and Special Programs Director
Chris Beeman, Deputy Director of Electric Utility Services
SUBJECT: Public Hearing to Consider a Resolution Amending Electric Rates,
Pursuant to the Requirements and Authority of Chapter 3.46 of Title 3 of
the Rancho Cucamonga Municipal Code. (RESOLUTION NO. 2025-
094) (CITY)
RECOMMENDATION:
Staff recommend the City Council adopt the attached resolution amending the existing electric
rates, pursuant to the requirements and authority of Chapter 3.46 of Title 3 of the Rancho
Cucamonga Municipal Code.
BACKGROUND:
On August 31, 2001, the City Council established the Rancho Cucamonga Municipal Utility
(RCMU) and adopted Chapter 3.46 of Title 3 of the Rancho Cucamonga Municipal Code. This
chapter outlines the Electricity Service Rules and Regulations, and authorizes that rates, fees,
and charges may be amended by resolution as needed.
In the electric utility industry, it is standard practice to conduct a Cost-of-Service Study every three
to five years to ensure rates remain fair, equitable, and aligned with the actual cost of providing
service. RCMU's most recent study was completed in June 2022.
RCMU's electric rate structure currently includes 15 distinct customer classifications, covering
residential, commercial, industrial, lighting, and electric vehicle(EV)charging services.To support
this rate review, RCMU engaged Utility Financial Solutions (UFS), a firm with extensive
experience in municipal utility rate studies and a strong track record of providing data-driven,
fiscally responsible recommendations. Their expertise and historical data help ensure that our
rates support both customer fairness and the long-term financial stability of the utility.
ANALYSIS:
The Cost-of-Service Study and Rate Design, conducted by Utility Financial Solutions (UFS), has
been completed. This comprehensive analysis serves several key purposes to ensure RCMU's
electric rates remain fair, equitable, and financially sustainable. This study provides the foundation
for proposed rate adjustments and supports the City's commitment to responsible utility
management and transparency.
Page 363
The study was designed to:
• Align electric rates with the actual cost of service for each customer class.
• Determine RCMU's overall revenue requirement to support operations and capital
needs.
• Identify any cross-subsidies that may exist between different rate classes.
• Evaluate the cost of existing power supply contracts and assess future load forecasts.
• Review the costs associated with operations, maintenance, and infrastructure
replacement.
• Recommend rate adjustments necessary to meet both revenue targets and capital
reserve goals.
• Establish appropriate fixed monthly customer charges for each rate class; and
• Provide recommendations on rate design to ensure long-term rate stability and fairness.
Historically, RCMU has implemented uniform rate increases across all customer classes. While
this approach has helped maintain overall system stability, it has resulted in the residential
customer charge falling below the actual cost to serve that class. In effect, commercial and
industrial customers have been subsidizing a portion of the residential service costs.
Average Customer Energy
Rate Classes Average Monthly Bill($) Monthly Charge % Charge &
Difference Difference Difference
(l.)
Current Proposed kWh kW
Residential - Single o 0
Family725 kWh) $108.37 $112.13 3.4/0 27.3/° N/C
Residential - Multi
Famil 765 kWh $118.04 $121.53 2.9% 27.3% N/C
Small Commercial $489.62 $496.00 1.3% 7.7% 1%
2425 kWh
Medium Commercial $3,736.66 $3,797.38 1.6/o
21,075 kWh; 60 kW) ° N/C 1.7% N/C
Medium TOU (115,507
kWh; 314 kW) $19,851.01 $20,136.32 1.4% N/C 1.4% N/C
Large Commercial ° °
273,621 kWh/586 kW $45,233.35 $45,755.97 1.1 /o N/C 1.2/o N/C
Large Industrial (1,192 $178,603.19 $180,857.37 1.2% N/C 1.2% N/C
MWh/2,280 kW
Electric Vehicle $25,725.44 $25,909.42 0.72% N/C 1% N/C
173,793 kWh/658 kW
Street Lighting (1 LED
Pole/31.9 kWh) $4.64 $4.90 5.3% N/C 7.9%
Irrigation Systems
909 kWh $167.83 $164.91 -0.9% 5.4% -1.8%
Wireless Technology $78.49 $79.72 1.5% 6.6% N/C
Traffic Control (500
kWh) $74.74 $78.01 4.2% N/C 5.4%
Outdoor Lighting (80
kWh) $20.43 $20.79 1.7% N/C 6.5%
Page 2
Page 364
Page 2
Page 365
This rate study proposes a significant adjustment to the residential customer charge to better align
it with the true cost of service. With RCMU anticipating substantial growth in residential
accounts—both single-family and multi-family—it is essential to begin correcting this imbalance.
Addressing the residential customer charge now will help ensure that rates more accurately reflect
the cost of maintaining and operating the electric utility for each customer class.
If approved by the City Council, the revised electric service rates will take effect on January 1,
2026, and January 1, 2027. Customers will see the changes reflected on their February 2026 and
February 2027 utility bills.
These adjustments are based on a cost-of-service analysis and reflect the City's commitment to
setting fair, reasonable, and financially prudent rates. As a municipal utility, RCMU operates on a
cost-recovery basis—there is no profit margin, nor are there shareholder dividends as with
investor-owned utilities. The proposed RCMU rates will continue to be lower than comparable
neighboring investor-owned utility rates by the approximate percentages - residential rates 58%;
commercial rates 35%; and industrial rate 44%. Our rates are designed solely to cover the actual
costs of providing reliable electric service to our community.
FISCAL IMPACT:
If approved by the City Council, the proposed amendments to RCMU's electric rates, fees, and
charges are projected to increase annual revenue to the Utility Fund by approximately 2% per
year over the next 2 years, or approximately $410,000 per year. This increase will support the
continued financial stability of the utility and help ensure adequate funding for operations,
maintenance, and capital improvements.
COUNCIL MISSION /VISION /VALUE(S) ADDRESSED:
This item addresses the City Council's vision to build on our success as a world-class community
by ensuring that the appropriate cost and rate structure for its Municipal Utility is followed to meet
the community's needs.
ATTACHMENT:
Attachment 1 — Resolution
Attachment 2 — Electric Rates & Tariffs Year 1 (Redline)
Attachment 3— Electric Rates & Tariffs Year 2 (Redline)
Page 3
Page 366
ATTACHMENT 1
RESOLUTION NO. 2025-094
A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF RANCHO
CUCAMONGA, CALIFORNIA, AMENDING ELECTRIC RATES AND
CHARGES, PURSUANT TO THE REQUIREMENTS AND AUTHORITY OF
CHAPTER 3.46 OF TITLE 3 OF THE RANCHO
CUCAMONGA MUNICIPAL CODE
A. Recitals
1. The City Council of the City of Rancho Cucamonga has previously adopted Chapter 3.46 of
Title 3 of the Rancho Cucamonga Municipal Code establishing Electricity Service Rules and
Regulations and authorizing that the rates, fees and charges arising, directly or indirectly, under
said legislation be adopted pursuant to resolution, and thereafter, be amended from time to
time by resolution.
2. City staff has prepared a comprehensive schedule of the rates, fees and charges that reflect
the reasonable and prudent costs relating to the acquisition and distribution of electric power
to retail customers and are recommending that the City Council adopt the recommended rates
and fees. These rates do not present the City an opportunity to achieve profits or to impose
charges in excess of the costs reasonably related to the development, maintenance and
expansion of a municipal electric distribution system. The City Council has directed City staff
to regularly review the operations of the City's electric utility to ensure that the rates are
sufficient to cover all prudent business costs, reserves and capital equipment acquisition but
not exceeding the amount necessary for the same. The rates, fees and charges reflect the
reasonable costs to the City system only and do not reflect any excess rates, fees, or charges
that are in excess of the reasonable costs of providing the electrical services as set forth
hereinafter.
3. The City Council has reviewed the adoption of this Resolution pursuant to the requirements of
the California Environmental Quality Act of 1970, as amended, and has determined that the
adoption of the Electric Rules and Regulations has no foreseeable potential to a result in a
significant impact upon the environment and is exempt from CEQA review pursuant to State
CEQA Guidelines Section 15061(b)(3). Further, the City Council has determined that the
adoption of the fees is exempt from substantive environmental review under Section 15273 of
the State CEQA Guidelines as no capital projects for system expansion are included in the
proposed action.
4. All legal prerequisites to the adoption of this Resolution have occurred.
B. Resolution
NOW, THEREFORE, THE CITY COUNCIL OF THE CITY OF RANCHO CUCAMONGA, HEREBY
RESOLVES,
Section 1.: The facts set forth in the Recitals, Part A of this Resolution, are true and correct.
Section 2.: The rates, fees and charges assessed under Chapter 3.46 of Title 3 shall be as set
forth on Attachment 1 hereto and incorporated by reference as if fully set forth herein on January 1, 2026,
and January 1, 2027.
Section 3.: The City Clerk shall certify to the adoption of this Resolution.
Page 367
PASSED, APPROVED, AND ADOPTED this 19th day of November 2025.
Page 368
Table of Contents
Electric Rates and Tariffs
RESIDENTIAL 1
SMALL COMMERCIAL 4
MEDIUM COMMERCIAL 6
MEDIUM COMMERCIAL (TIME-OF-USE) 9
LARGE COMMERCIAL 12
LARGE INDUSTRIAL 15
STREET LIGHTING 18
TRAFFIC CONTROL 21
OUTDOOR AREA LIGHTING 22
IRRIGATION SYSTEMS 24
WIRELESS TECHNOLOGY 25
NET ENERGY METERING 27
ECONOMIC DEVELOPMENT 30
STANDBY DEMAND CHARGE 33
ELECTRIC VEHICLE CHARGING 36
POWER COST ADJUSTMENT FACTOR 38
SERVICE ESTABLISHMENT CHARGE 39
ATTACHMENT 2
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RESIDENTIAL
A. Applicability
Applicable to individual accommodations devoted primarily to domestic purposes where
service includes lighting, appliances, heating, cooking and power consuming appliances or
combination thereof in a residential accommodation.
B. Territory
Within the entire territory served.
C. Rates
Energy Charge $/kWh/Meter
Summer and Winter
Tier 1 —Baseline Quantities 0.11910
Tier 2— 101% to 130% of Baseline 0.14000
Tier 3 —Over 131% of Baseline 0.25686
Customer Charge - $/Meter/Day
Single-Family Residence 0-50.40
Multi-Family Residence 0-.60.37
D. Special Conditions
1. Summer and Winter Seasons are defined as follows:
The Summer Season shall commence at 12:00 a.m. on June 1 st and continue until
12:00 a.m. on October 1st of each year. The Winter Season shall commence at
12:00 a.m. on October 1st of each year and continue until 12:00 a.m. on June 1 st of
the following year. A pro rata computation will be made for seasonal billing
purposes.
2. Customer Charge: For purposes of applying the Customer Charge, the following
definitions shall be used:
Single-Family Residence: A building of single occupancy, which does not share
common walls, floors, or ceiling with other residential dwelling units.
Multi-Family Residence: Apartments, mobile homes, condominiums, townhouses
or a building of multiple occupancy which shares common walls and/or floors and
ceilings with other residential dwelling units.
3. Voltage. Service will be supplied at one (1) standard voltage.
4. Baseline Quantities: The residential allocation shall be 16.1 kWhs per day in
Summer Season and 10.6 kWhs per day in the Winter Season.
1 Effective Date:January 1,2026
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5. Customer-Owned Electrical Generating Facilities.
Upon written approval by the Utility, momentary parallel operation may be
permitted to allow the Customer to test the auxiliary/emergency generating
facilities.
6. Medical Support Assistance
Eligible customers under this schedule upon application and certification from a
medical doctor shall receive a monthly discount to assist customers with doctor-
prescribed life support equipment. To qualify, a customer must submit an
application and satisfactory proof that a full-time occupant of the customer's
residence requires a life support device. A qualifying life support device may be
any one of the following or such other equipment as the Utility may deem eligible:
aerosol tents, apnea monitors, compressors or concentrators, electrostatic or
ultrasonic nebulizers, electric nerve stimulators, hemodialysis machines, kidney
dialysis machines, intermittent positive pressure breathing machines, iron lungs,
pressure pads, pressure pumps, respirators, or suction machines. Customers must
reapply annually to demonstrate eligibility for the discount.
The monthly discount applies to energy charges only. All other charges and taxes
are calculated at the standard rates. Program qualifications and rules are subject to
change and are based on funding availability. In the event the Utility becomes
aware of any false or fraudulent statements or information submitted in writing or
verbally by the Customer, the Utility reserves the right to back bill the Customer
for services rendered under this program.
7. Low Income Assistance
A low-income assistance program is available under this schedule for income
qualified customers. To be considered for this discount, an application must be
filled out with supporting documentation of proof of income. Total combined gross
annual household income, both taxable and nontaxable, must meet the current
income levels of the San Bernardino County (Very Low) Income Limits
Documentation System. Customers must reapply annually to demonstrate
eligibility for the discount.
The monthly discount applies to energy charges only. All other charges and taxes
are calculated at the standard rates. Program qualifications and rules are subject to
change and are based on funding availability. In the event the Utility becomes
aware of any false or fraudulent statements or information submitted in writing or
verbally by the Customer, the Utility reserves the right to back bill the Customer
for services rendered under this program.
8. Billing Calculation
A Customer's bill is calculated according to the rates and conditions above. The
charges are calculated by applying the Rate Charges when applicable to the actual
billing determinants (kilowatt hours [kWh]).
9. Power Cost Adjustment Factor(PCAF)
The rates above are subject to an adjustment as provided in Rule 12, Section E.
2 Effective Date:January 1,2026
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10. Change of Law Adjustment Factor(CLAF)
The rates above are subject to an adjustment as provided in Rule 12, Section F.
11. State Mandated Public Purpose Programs Charge
State law requires all California electric utilities to establish a public purpose
program charge of 2.85% of electric retail revenues to fund qualifying energy
efficiency programs, renewable energy resources, research and demonstration
projects, and services for low-income electricity customers.
3 Effective Date:January 1,2026
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SMALL COMMERCIAL
A. Applicability
Applicable to single and three-phase general service including lighting and power
Customers, except for the Customer whose monthly Maximum Demand, in the opinion of
the Utility, is expected to exceed 20 kW or has exceeded 20 kW in any three (3) months
during the preceding twelve (12) months is ineligible for service under this Schedule.
Effective with the date of ineligibility of any Customer served under this Schedule, the
Customer's account shall be transferred to another applicable Rate Schedule.
B. Territory
Within the entire territory served.
C. Rates
Energy Charge $/kWh/Meter/Month
Summer 0.187680.18907
Winter 04-29-760.13115
Customer Charge- $/Meter/Da
Sin le Phase 4-.001.10
Three Phase 44-51.25
D. Special Conditions
1. Summer and Winter Seasons are defined as follows:
The Summer Season shall commence at 12:00 a.m. on June 1st and continue until
12:00 a.m. on October 1st of each year. The Winter Season shall commence at
12:00 a.m. on October 1st of each year and continue until 12:00 a.m. on June 1st of
the following year. A pro rata computation will be made for seasonal billing
purposes.
2. Voltage. Service will be supplied at one (1) standard voltage
3. Temporary Discontinuance of Service
Where the use of energy is seasonal or intermittent, no adjustments will be made
for a temporary discontinuance of service. Any Customer, prior to resuming
service within twelve (12) months after such service was discontinued, will be
required to pay all charges which would have been billed if service had not been
discontinued.
4. Customer-Owned Electrical Generating Facilities
Upon written approval by the Utility, momentary parallel operation may be
permitted to allow the Customer to test the auxiliary/emergency generating
facilities.
4 Effective Date:January 1,2026
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5. Installation of Demand Meters
Where a Customer's usage exceeds an average of 4,500 kWh per month in the
preceding 12-month period, the Utility may, at its sole option, install a demand
Meter on the account at the Utility's expense.
6. Billing Calculation
A Customer's bill is calculated according to the rates and conditions above. The
charges are calculated by applying the Rate Charges when applicable to the actual
billing determinants (kilowatt hours [kWh], demand [kW], etc.).
7. Power Cost Adjustment Factor(PCAF)
The rates above are subject to an adjustment as provided in Rule 12, Section E.
8. Change of Law Adjustment Factor(CLAF)
The rates above are subject to an adjustment as provided in Rule 12, Section F.
9. State Mandated Public Purpose Programs Charge
State law requires all California electric utilities to establish a public purpose
program charge of 2.85% of electric retail revenues to fund qualifying energy
efficiency programs, renewable energy resources, research and demonstration
projects, and services for low-income electricity customers.
5 Effective Date:January 1,2026
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ELECTRIC RATES&TARIFFS
MEDIUM COMMERCIAL
A. Applicability
Applicable to single and three-phase service including lighting and power Customers
whose monthly Maximum Demand registers, or in the opinion of the Utility is expected to
register, above 20 kW and below 200 kW. The Customer whose monthly Maximum
Demand, in the opinion of the Utility, is expected to reach 200 kW or has reached 200 kW
for any three (3) months during the preceding twelve (12) months is ineligible for service
under this Schedule. Effective with the date of ineligibility, such Customer's account shall
be transferred to another applicable Rate Schedule. Further, any Customer served under
this Schedule whose monthly Maximum Demand has registered 20 kW or less for twelve
(12) consecutive months is eligible for service under another applicable Rate Schedule.
B. Territory
Within the entire territory served.
C. Rates
Energy Charge - $/kWh/Meter/Month
Summer Season 0-.083-530.08647
Winter Season 0-.067250.07013
Customer Charge - $/Meter/Month 145.00
Demand Charge - $/kW of Billing Demand/Meter/Month
Facilities Related 14.00
Time Related Summer 16.50
D. Special Conditions
1. Summer and Winter Seasons are defined as follows:
The Summer Season shall commence at 12:00 a.m. on June 1st and continue until
12:00 a.m. on October 1st of each year. The Winter Season shall commence at
12:00 a.m. on October 1st of each year and continue until 12:00 a.m. on June 1 st of
the following year. A pro rata computation will be made for seasonal billing
purposes.
2.
3. Voltage
Service will be supplied at one(1) standard voltage.
4. Billing Demand
6 Effective Date:January 1,2026
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ELECTRIC RATES&TARIFFS
The Billing Demand shall be the kilowatts of Maximum Demand, determined to
the nearest kW. The Demand Charge shall include the following billing
components. The Time Related Component shall be for the kilowatts of Maximum
Demand recorded during (or established for) the monthly billing period. The
Facilities Related Component shall be for the kilowatts of Maximum Demand
recorded during(or established for)the monthly billing period. However,when the
Utility determines the Customer's Meter will record little or no energy use for
extended periods of time or when the Customer's Meter has not recorded a
Maximum Demand in the preceding eleven (11) months, the Facilities Related
Component of the Demand Charge may be established at fifty percent(50%) of the
Customer's Connected Load.
5. Maximum Demand
The Maximum Demand in any month shall be the measured maximum average
kilowatt input,indicated or recorded by instruments, during any 15-minute metered
interval in the month, but, where applicable, shall not be less than the diversified
resistance welder load computed in accordance with the section designated Welder
Service in Rule 2. Where the demand is intermittent or subject to violent
fluctuations, a 5-minute interval may be used.
6. Temporary Discontinuance of Service
Where the use of energy is seasonal or intermittent, no adjustments will be made
for a temporary discontinuance of service. Any Customer resuming service within
twelve (12) months after such service was discontinued will be required to pay all
charges which would have been billed if service had not been discontinued.
7. Customer-Owned Electrical Generating Facilities
Upon written approval by the Utility, momentary parallel operation may be
permitted to allow the Customer to test the auxiliary/emergency generating
facilities.
8. Billing Calculation
A Customer's bill is calculated according to the rates and conditions above. The
charges are calculated by applying the Rate Charges when applicable to the actual
billing determinants (kilowatt hours [kWh], demand [kW], etc.).
9. Power Cost Adjustment Factor(PCAF)
The rates above are subject to an adjustment as provided in Rule 12, Section E.
10. Change of Law Adjustment Factor(CLAF)
The rates above are subject to an adjustment as provided in Rule 12, Section F.
11. State Mandated Public Purpose Programs Charge
State law requires all California electric utilities to establish a public purpose
program charge of 2.85% of electric retail revenues to fund qualifying energy
efficiency programs, renewable energy resources, research and demonstration
projects, and services for low-income electricity customers.
7 Effective Date:January 1,2026
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MEDIUM COMMERCIAL (TIME-OF-USE)
A. Applicability
Applicable to single and three-phase service including lighting and power Customers
whose monthly Maximum Demand registers, or in the opinion of the Utility is expected to
register 200 kW through 500 kW. The customer whose monthly Maximum Demand, in
the opinion of the Utility, is expected to exceed 500 kW or has exceeded 500 kW for any
three (3) months during the preceding twelve (12) months is ineligible for service under
this Schedule and effective with the date of ineligibility, such Customer's account shall be
transferred to Large Commercial. Further,any Customer served under this Schedule whose
monthly Maximum Demand has registered below 200 kW for twelve (12) consecutive
months is ineligible for service under this Rate Schedule and shall be transferred to another
applicable Rate Schedule.
B. Territory
Within the entire territory served.
C. Rates
Energy Charge - $/kVVWeter/Month
Summer Season—On-Peak 04466-90.11915
Mid-Peak 0.083680.08615
Off-Peak 0-.036UO.05865
Winter Season—Mid-Peak 0-.0604-90.06265
Off-Peak 0.043650.04615
Customer Charge - $/Meter/Month 400.00
Demand Charge - $/kW of Billing Demand/Meter/Month
Facilities Related 14.25
Time Related Summer—On-Peak 13.50
Summer—Mid-Peak 3.50
Power Factor Adjustment - $/KVA 0.27
D. Special Conditions
1. Time periods are defined as follows:
On-Peak: Noon to 6:00 p.m. summer weekdays except holidays.
Mid-Peak: 8:00 a.m. to noon and 6:00 p.m. to 11:00 p.m. summer weekdays
except holidays.
8:00 a.m. to 9:00 p.m. winter weekdays except holidays.
Off-Peak: All other hours.
8 Effective Date:January 1,2026
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ELECTRIC RATES&TARIFFS
Holidays are New Year's Day (January 1), Washington's Birthday (third Monday
in February), Memorial Day (last Monday in May), Independence Day (July 4),
Labor Day (first Monday in September), Veteran's Day (November 11),
Thanksgiving Day(fourth Thursday in November), and Christmas (December 25).
When any holiday listed above falls on Sunday, the following Monday will be
recognized as an off-peak period. No change will be made for holidays falling on
Saturday.
The Summer Season shall commence at 12:00 a.m. on June 1st and continue until
12:00 a.m. on October 15t of each year. The Winter Season shall commence at
12:00 a.m. on October 1st of each year and continue until 12:00 a.m. on June 1st of
the following year. A pro rata computation will be made for seasonal billing
purposes.
2. Voltage
Service will be supplied at one (1) standard voltage.
3. Billing Demand
The Billing Demand shall be the kilowatts of Maximum Demand, determined to
the nearest kW. The Demand Charge shall include the following billing
components. The Time Related Component shall be for the kilowatts of Maximum
Demand recorded during (or established for) the monthly billing period. The
Facilities Related Component shall be for the kilowatts of Maximum Demand
recorded during(or established for)the monthly billing period. However,when the
Utility determines the Customer's Meter will record little or no energy use for
extended periods of time or when the Customer's Meter has not recorded a
Maximum Demand in the preceding eleven (11) months, the Facilities Related
Component of the Demand Charge may be established at fifty percent(50%) of the
Customer's Connected Load.
4. Maximum Demand
Maximum Demand shall be established for the On-Peak, Mid-Peak, and Off-Peak
periods. The Maximum Demand in any month shall be the measured maximum
average kilowatt input, indicated or recorded by instruments, during any 15-minute
metered interval in the month, but, where applicable, shall not be less than the
diversified resistance welder load computed in accordance with the section
designated Welder Service in Rule 2. Where the demand is intermittent or subject
to violent fluctuations, a 5-minute interval may be used.
5. Power Factor Adjustment
The Customer's bill will be increased each month for power factor by the amount
shown in the Rates section above for service metered and delivered at the applicable
voltage level, based on the per kilovar of maximum reactive demand imposed by
the Utility.
The maximum reactive demand shall be the highest measured maximum average
kilovar demand indicated or recorded by metering during any 15-minute interval in
9 Effective Date:January 1,2026
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ELECTRIC RATES&TARIFFS
the month. The kilovars shall be determined to the nearest unit. A device will be
installed on each kilovar meter to prevent reverse operation of the meter.
6. Temporary Discontinuance of Service
Where the use of energy is seasonal or intermittent, no adjustments will be made
for a temporary discontinuance of service. Any Customer resuming service within
twelve (12) months after such service was discontinued will be required to pay all
charges which would have been billed if service had not been discontinued.
7. Customer-Owned Electrical Generating Facilities
Upon written approval by the Utility, momentary parallel operation may be
permitted to allow the Customer to test the auxiliary/emergency generating
facilities.
8. Billing Calculation
A Customer's bill is calculated according to the rates and conditions above. The
charges are calculated by applying the Rate Charges when applicable to the actual
billing determinants (kilowatt hours [kWh], demand [kW], kilovar [kVa], etc.).
9. Power Cost Adjustment Factor(PCAF)
The rates above are subject to an adjustment as provided in Rule 12, Section E.
10. Change of Law Adjustment Factor(CLAF)
The rates above are subject to an adjustment as provided in Rule 12, Section F.
11. State Mandated Public Purpose Programs Charge
State law requires all California electric utilities to establish a public purpose
program charge of 2.85% of electric retail revenues to fund qualifying energy
efficiency programs, renewable energy resources, research and demonstration
projects, and services for low-income electricity customers.
10 Effective Date:January 1,2026
Page 379
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ELECTRIC RATES&TARIFFS
LARGE COMMERCIAL
A. Applicability
Applicable to general services including lighting and power Customers. This Schedule is
applicable to and mandatory for all Customers whose monthly Maximum Demand, in the
opinion of the Utility, is expected to exceed 500 kW or has exceeded 500 kW in any three
(3) months during the preceding twelve (12) months. Any existing Customer on this
Schedule whose monthly Maximum Demand has registered 500 kW or less for twelve(12)
consecutive months is ineligible for service under this Schedule and shall be transferred to
another applicable Rate Schedule. Service under this Schedule is subject to Meter
availability.
B. Territory
Within the entire territory served.
C. Rates
Energy Charge - $/kWh/Meter/Month
Summer Season—On-Peak 0427360.12927
Mid-Peak 0.0803,00.08221
Off-Peak 0-.0509-50.05286
Winter Season—Mid-Peak 0-.07-GnO.07272
Off-Peak 0.047490.04940
Customer Charge - $/Meter/Month 515.00
Demand Charge - $/kW of Billing Demand/Meter/Month
Facilities Related 15.00
Time Related Summer—On-Peak 17.00
Summer—Mid-Peak 5.00
Power Factor Adjustment - $/KVA 0.27
D. Special Conditions
1. Time periods are defined as follows:
On-Peak: Noon to 6:00 p.m. summer weekdays except holidays.
Mid-Peak: 8:00 a.m. to noon and 6:00 p.m. to 11:00 p.m. summer weekdays
except holidays.
8:00 a.m. to 9:00 p.m. winter weekdays except holidays.
Off-Peak: All other hours.
Holidays are New Year's Day (January 1), Washington's Birthday (third Monday
in February), Memorial Day (last Monday in May), Independence Day (July 4),
Labor Day (first Monday in September), Veteran's Day (November 11),
Thanksgiving Day(fourth Thursday in November), and Christmas (December 25).
11 Effective Date:January 1,2026
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When any holiday listed above falls on Sunday, the following Monday will be
recognized as an off-peak period. No change will be made for holidays falling on
Saturday.
The Summer Season shall commence at 12:00 a.m. on June 1st and continue until
12:00 a.m. on October lst of each year. The Winter Season shall commence at
12:00 a.m. on October lst of each year and continue until 12:00 a.m. on June lst of
the following year. A pro rata computation will be made for seasonal billing
purposes.
2. Voltage
Service will be supplied at one standard voltage.
3. Maximum Demand
Maximum Demands shall be established for the On-Peak, Mid-Peak, and Off-Peak
periods. The Maximum Demand for each period shall be the measured maximum
average kilowatt input indicated or recorded by instruments, during any 15-minute
metered interval, but, where applicable, not less than the diversified resistance
welder load computed in accordance with the section designated Welder Service in
Rule 2. Where the demand is intermittent or subject to violent fluctuations, a 5-
minute interval may be used.
4. Billing Demand
The Billing Demand shall be the kilowatts of Maximum Demand, determined to
the nearest kW. The Demand Charge shall include the following billing
components. The Time Related Component shall be for the kilowatts of Maximum
Demand recorded during(or established for)the monthly billing period for each of
the On-Peak, Mid-Peak, and Off-Peak Time Periods. The Facilities Related
Component shall be for the kilowatts of Maximum Demand recorded during (or
established for) the monthly billing period. However, when the Utility determines
the Customer's Meter will record little or no energy use for extended periods of
time or when the Customer's Meter has not recorded a Maximum Demand in the
preceding eleven (11) months, the Facilities Related Component of the Demand
Charge may be established at fifty percent (50%) of the Customer's Connected
Load. Separate Demand Charge(s) for the On-Peak, Mid-Peak, and Off-Peak Time
Periods shall be established for each monthly billing period. The Demand Charge
for each time period shall be based on the Maximum Demand for that time period
occurring during the respective monthly billing period.
5. Power Factor Adjustment
The Customer's bill will be increased each month for power factor by the amount
shown in the Rates section above for service metered and delivered at the applicable
voltage level, based on the per kilovar of maximum reactive demand imposed by
the Utility.
The maximum reactive demand shall be the highest measured maximum average
kilovar demand indicated or recorded by metering during any 15-minute metered
interval in the month. The kilovars shall be determined to the nearest unit. A device
will be installed on each kilovar Meter to prevent reverse operation of the Meter.
12 Effective Date:January 1,2026
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6. Temporary Discontinuance of Service
Where the use of energy is seasonal or intermittent, no adjustments will be made
for a temporary discontinuance of service. Any Customer, prior to resuming
service within twelve (12) months after such service was discontinued, will be
required to pay all charges which would have been billed if service had not been
discontinued.
7. Customer-Owned Electrical Generating Facilities
Upon written approval by the Utility, momentary parallel operation may be
permitted to allow the Customer to test the auxiliary/emergency generating
facilities.
8. Contracts
An initial three-year facilities contract may be required where Applicant requires
new or added serving capacity exceeding 2,000 kVA.
9. Billing Calculation
A Customer's bill is calculated according to the rates and conditions above. The
charges are calculated by applying the Rate Charges when applicable to the actual
billing determinants (kilowatt hours [kWh], demand [kW], kilovar [kVa], etc.).
10. Power Cost Adjustment Factor(PCAF)
The rates above are subject to an adjustment as provided in Rule 12, Section E.
11. Change of Law Adjustment Factor(CLAF)
The rates above are subject to an adjustment as provided in Rule 12, Section F.
12. State Mandated Public Purpose Programs Charge
State law requires all California electric utilities to establish a public purpose
program charge of 2.85% of electric retail revenues to fund qualifying energy
efficiency programs, renewable energy resources, research and demonstration
projects, and services for low-income electricity customers.
13 Effective Date:January 1,2026
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LARGE INDUSTRIAL
A. Applicability
Applicable to general services including lighting and power Customers delivered at the
utility's primary distribution voltage level of 12 kV. This Schedule is applicable to and
mandatory for all Customers whose monthly Maximum Demand, in the opinion of the
Utility, is expected to exceed 500 kW or has exceeded 500 kW in any three (3) months
during the preceding twelve (12) months. Any existing Customer on this Schedule whose
monthly Maximum Demand has registered 500 kW or less for twelve (12) consecutive
months is ineligible for service under this Schedule and shall be transferred to another
applicable Rate Schedule. Service under this Schedule is subject to Meter availability.
B. Territory
Within the entire territory served.
C. Rates
Energy Charge - $/kWh/Meter/Month
Summer Season—On-Peak 0403-700.10559
Mid-Peak 0-.0809-90.08288
Off-Peak 0-.0541-50.05607
Winter Season—Mid-Peak 0-.07542-0.07731
Off-Peak 0.049870.05176
Customer Charge - $/Meter/Month 515.00
Demand Charge - $/kW of Billing Demand/Meter/Month
Facilities Related 13.50
Time Related Summer—On-Peak 20.00
Summer—Mid-Peak 5.00
Power Factor Adjustment - $/KVA 0.27
D. Special Conditions
1. Time periods are defined as follows:
On-Peak: Noon to 6:00 p.m. summer weekdays except holidays.
Mid-Peak: 8:00 a.m. to noon and 6:00 p.m. to 11:00 p.m. summer weekdays
except holidays.
8:00 a.m. to 9:00 p.m. winter weekdays except holidays.
Off-Peak: All other hours.
Holidays are New Year's Day (January 1), Washington's Birthday (third Monday
in February), Memorial Day (last Monday in May), Independence Day (July 4),
Labor Day (first Monday in September), Veteran's Day (November 11),
Thanksgiving Day(fourth Thursday in November), and Christmas (December 25).
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When any holiday listed above falls on Sunday, the following Monday will be
recognized as an off-peak period. No change will be made for holidays falling on
Saturday.
The Summer Season shall commence at 12:00 a.m. on June 1st and continue until
12:00 a.m. on October lst of each year. The Winter Season shall commence at
12:00 a.m. on October lst of each year and continue until 12:00 a.m. on June lst of
the following year. A pro rata computation will be made for seasonal billing
purposes.
2. Voltage
Service will be supplied at one standard voltage.
3. Maximum Demand
Maximum Demands shall be established for the On-Peak, Mid-Peak, and Off-Peak
periods. The Maximum Demand for each period shall be the measured maximum
average kilowatt input indicated or recorded by instruments, during any 15-minute
metered interval, but, where applicable, not less than the diversified resistance
welder load computed in accordance with the section designated Welder Service in
Rule 2. Where the demand is intermittent or subject to violent fluctuations, a 5-
minute interval may be used.
4. Billing Demand
The Billing Demand shall be the kilowatts of Maximum Demand, determined to
the nearest kW. The Demand Charge shall include the following billing
components. The Time Related Component shall be for the kilowatts of Maximum
Demand recorded during(or established for)the monthly billing period for each of
the On-Peak, Mid-Peak, and Off-Peak Time Periods. The Facilities Related
Component shall be for the kilowatts of Maximum Demand recorded during (or
established for) the monthly billing period. However, when the Utility determines
the Customer's Meter will record little or no energy use for extended periods of
time or when the Customer's Meter has not recorded a Maximum Demand in the
preceding eleven (11) months, the Facilities Related Component of the Demand
Charge may be established at fifty percent (50%) of the Customer's Connected
Load. Separate Demand Charge(s) for the On-Peak, Mid-Peak, and Off-Peak Time
Periods shall be established for each monthly billing period. The Demand Charge
for each time period shall be based on the Maximum Demand for that time period
occurring during the respective monthly billing period.
5. Power Factor Adjustment
The Customer's bill will be increased each month for power factor by the amount
shown in the Rates section above for service metered and delivered at the applicable
voltage level, based on the per kilovar of maximum reactive demand imposed by
the Utility.
The maximum reactive demand shall be the highest measured maximum average
kilovar demand indicated or recorded by metering during any 15-minute metered
interval in the month. The kilovars shall be determined to the nearest unit. A device
will be installed on each kilovar Meter to prevent reverse operation of the Meter.
15 Effective Date:January 1,2026
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6. Temporary Discontinuance of Service
Where the use of energy is seasonal or intermittent, no adjustments will be made
for a temporary discontinuance of service. Any Customer, prior to resuming
service within twelve (12) months after such service was discontinued, will be
required to pay all charges which would have been billed if service had not been
discontinued.
7. Customer-Owned Electrical Generating Facilities
Upon written approval by the Utility, momentary parallel operation may be
permitted to allow the Customer to test the auxiliary/emergency generating
facilities.
8. Customer Responsibilities
The customer will be responsible for all costs associated with the primary point-of-
delivery installation, including the metering and primary voltage physical
disconnect necessary to isolate the customer's facilities from the utility's facilities.
The customer will be responsible to own, operate and maintain all electrical
distribution facilities on the customer side of the primary point-of-delivery
(typically established at the primary meter).
9. Contracts
An initial three-year facilities contract may be required where Applicant requires
new or added serving capacity exceeding 2,000 kVA.
10. Billing Calculation
A Customer's bill is calculated according to the rates and conditions above. The
charges are calculated by applying the Rate Charges when applicable to the actual
billing determinants (kilowatt hours [kWh], demand [kW], kilovar [kVa], etc.).
11. Power Cost Adjustment Factor(PCAF)
The rates above are subject to an adjustment as provided in Rule 12, Section E.
12. Change of Law Adjustment Factor(CLAF)
The rates above are subject to an adjustment as provided in Rule 12, Section F.
13. State Mandated Public Purpose Programs Charge
State law requires all California electric utilities to establish a public purpose
program charge of 2.85% of electric retail revenues to fund qualifying energy
efficiency programs, renewable energy resources, research and demonstration
projects, and services for low-income electricity customers
16 Effective Date:January 1,2026
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STREET LIGHTING
A. Applicability
Applicable to meter for the lighting of streets, and publicly-owned and publicly-operated
automobile parking lots which are opened to the general public where the City owns and maintains
the street lighting equipment and associated facilities included under this Schedule.
B. Territory
Within the entire territory served.
C. Rates
Light Emitting Diode (LED) Lamps—All Night Service
Street Lighting
Energy Charge - $/kWh/Lamp 0466W0.07282
Lamp Charge - $/Lamp/Month 2.50
Safety
Energy Charge - $/kWh/Lamp 9466990.07282
D. Special Conditions
1. The Applicant shall install streetlights that will be served by the Utility. These
streetlights must be installed in accordance with the Utility's specifications and the
developer will deed such facilities to the City.
2. Requirements and Restrictions
a. The Applicant for street light service shall specify the type of service, lamp
size, and location of street lights.
b. Service shall not be furnished under this Schedule where location,mounting
height, and/or other considerations are unacceptable to the Utility.
C. The installation of street lighting equipment and facilities hereunder is
contingent upon the utility obtaining easements, and rights of way, as may
be required, satisfactory to the Utility for the required poles, lines,
equipment, and facilities.
d. Should the Applicant not commence using the street lighting in a bona fide
manner within ninety(90) days after date of completion and installation of
a street light or street lighting system requested by the Applicant,the Utility
will bill, and the Applicant shall pay, the applicable lamp charges(s).
3. Hours of Service
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Under the Utility's standard all night operating schedule, approximately 4,140
hours of service per year will be furnished.
Kilowatt hours for Lamp Type and Size: The kilowatt hours for lamp types and
sizes served under this Schedule used to determine the Energy Charge are shown
below:
Lamp Watts
Including
Lamp Watts Driver Loss kWh per Lamp per
Light Emitting Diode Including Mid-Point Month
(LED)Lamps Driver Loss Range All Night Service
0-5 2.50 0.9
5.01-10 7.50 2.6
10.01-15 12.50 4.3
15.01-20 17.50 6.0
20.01-25 22.50 7.8
25.01-30 27.50 9.5
30.01-35 32.50 11.2
35.01-40 37.50 12.9
40.01-45 42.50 14.7
45.01-50 47.50 16.4
50.01-55 52.50 18.1
55.01-60 57.50 19.8
60.01-65 62.50 21.6
65.01-70 67.50 23.3
70.01-75 72.50 25.0
75.01-80 77.50 26.7
80.01-85 82.50 28.5
85.01-90 87.50 30.2
90.01-95 92.50 31.9
95.01-100 97.50 33.6
100.01-105 102.50 35.4
105.01-110 107.50 37.1
110.01-115 112.50 38.8
115.01-120 117.50 40.5
120.01-125 122.50 42.3
125.01-130 127.50 44.0
130.01-135 132.50 45.7
135.01-140 137.50 47.4
140.01-145 142.50 49.2
145.01-150 147.50 50.9
150.01-155 152.50 52.6
155.01-160 157.50 54.3
160.01-165 162.50 56.1
165.01-170 167.50 57.8
170.01-175 172.50 59.5
18 Effective Date:January 1,2026
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4. Maintenance
The Utility shall exercise reasonable care and diligence in maintaining its street
light facilities or Utility-owned attachments thereto. Where the Utility experiences,
or expects to experience, maintenance costs exceeding its normal maintenance
expense resulting from, but not limited to, vandalism, the Utility may require the
customer to pay the excess maintenance expense.
5. Liability of the Utility
The Utility shall not, by taking action pursuant to its tariffs, be liable for any loss,
damage, or injury, established or alleged, which may result, or be claimed to result,
therefrom.
6. Removal, Relocation or Modification of Facilities
Where street lighting service and facilities are ordered removed by a customer, the
customer shall pay to the Utility a nonrefundable amount equal to the total
estimated cost installed less any Customer contribution, plus the estimated cost of
removal less the estimated net salvage value of the facilities.
Where street lighting service and facilities were ordered removed by a Customer
and such service and facilities, or their equivalent are ordered reinstalled within
thirty-six (36)months from the date of the order to remove, the Customer shall pay
to the Utility in advance of reinstallation a nonrefundable amount equal to the cost
of removal of the prior facilities and the estimated cost of such reinstallation.
Where street lighting facilities are ordered modified and /or relocated by a
Customer, the Customer shall pay to the Utility, in advance of such modification
and/or relocation, a nonrefundable amount equal to the estimated cost of such
modification and/or relocation. This includes facilities that now serve street light
load only,but that may have been installed originally to serve other than street light
load.
Utility-owned facilities removed or installed remain the sole property of the Utility.
7. Billing Calculation
A Customer's bill is calculated according to the rates and conditions above.
8. Power Cost Adjustment Factor(PCAF)
The rates above are subject to an adjustment as provided in Rule 12, Section E.
9. Change of Law Adjustment Factor(CLAF)
The rates above are subject to an adjustment as provided in Rule 12, Section F.
10. State Mandated Public Purpose Programs Charge
State law requires all California electric utilities to establish a public purpose
program charge of 2.85% of electric retail revenues to fund qualifying energy
efficiency programs, renewable energy resources, research and demonstration
projects, and services for low-income electricity customers.
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TRAFFIC CONTROL
A. Applicability
Applicable to single and three-phase service for traffic directional signs or traffic signal
systems located on streets, highways and other public thoroughfares and to railway
crossing and track signals; for public thoroughfare lighting that is utilized twenty-four(24)
hours per day or is not controlled by switching equipment, such as tunnel or underpass
lighting; and, to public authorities for the illumination of bus stop shelters located in the
dedicated road right-of-way where such service is combined with other traffic control
service as defined above.
B. Territory
Within the entire territory served.
C. Rates
Energy Charge - $/kWh 9 12980.11941
Customer Charge - $/Day 0.60
D. Special Conditions
1. Voltage
Service will be supplied at one(1) standard voltage not in excess of 240 volts or, at
the option of the Utility, at 240/480 volts, three wire, single-phase.
2. Billing Calculation
A Customer's bill is calculated according to the rate and conditions above.
3. Power Cost Adjustment Factor(PCAF)
The rate above is subject to an adjustment as provided in Rule 12, Section E.
4. Change of Law Adjustment Factor(CLAF)
The rate above is subject to an adjustment as provided in Rule 12, Section F.
5. State Mandated Public Purpose Programs Charge
State law requires all California electric utilities to establish a public purpose
program charge of 2.85% of electric retail revenues to fund qualifying energy
efficiency programs, renewable energy resources, research and demonstration
projects, and services for low-income electricity customers.
20 Effective Date:January 1,2026
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OUTDOOR AREA LIGHTING
A. Applicability
Applicable to single-phase service for metered outdoor area lighting load, controlled for
dusk to dawn operation and used for purposes other than street and highway lighting such
as, but not limited to parking lots, pedestrian walkways, billboards, building exteriors,
security, sports and recreation areas, monuments, decorative areas, and bus shelters.
B. Territory
Within the entire territory served.
C. Rates
Ener y Charge - $/kVVWeter/Month 04642-10.06923
Customer Charge- $/Meter/Month 15.25
D. Special Conditions
1. Voltage
Service will be provided at one (1) standard voltage.
2. Three-Phase Service
Where, in the sole opinion of the Utility, it is impractical to provide single-phase
service under this Schedule, three-phase service will be provided.
3. Separate Point of Delivery
When requested by the Applicant or Customer, and agreed upon by the Utility, an
additional Point of Delivery may be provided, separate from any other Point of
Delivery provided under any other applicable Rate Schedule. Customers so served
shall not be permitted to have an electrical interconnection beyond the Utility's
Point of Delivery between the separately metered loads except upon written
approval of the Utility.
A change from this Schedule to any other Rate Schedule will be permitted if the
additional Point of Delivery is removed. Any such removal shall be at the
Customer's expense.
Any rearrangement of facilities required to provide the additional Point of Delivery
shall be at the expense of the requesting Applicant or Customer.
4. Controlled Operation
Service under this Schedule requires the control of lamps in a manner acceptable to
the Utility so that lamps will not be lighted daily from dawn to dusk. Customer
shall install, own, operate, and maintain the control device. The Utility shall have
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the right to periodically inspect the control device to ensure its correct operation
and maintenance.
5. Distribution Line Extension
Distribution Line Extensions to reach an outdoor area light or area lighting system
shall be in accordance with Rule 15.
6. Services
Services shall be installed and maintained as provided in Rule 16.
7. Incidental Loads
Incidental, non-lighting loads may be served under this Schedule only where such
Connected Loads do not exceed fifteen percent (15) of the Customer's total
Connected Load. Incidental Loads must also be controlled for dusk to dawn
operation exclusively.
8. Billing Calculation
A Customer's bill is calculated according to the rates and conditions above. The
charges are calculated by applying the Rate Charges when applicable to the actual
billing determinants (kilowatt hours [kWh], demand [M], etc.).
9. Power Cost Adjustment Factor(PCAF)
The rates above are subject to an adjustment as provided in Rule 12, Section E.
10. Change of Law Adjustment Factor(CLAF)
The rates above are subject to an adjustment as provided in Rule 12, Section F.
11. State Mandated Public Purpose Programs Charge
State law requires all California electric utilities to establish a public purpose
program charge of 2.85% of electric retail revenues to fund qualifying energy
efficiency programs, renewable energy resources, research and demonstration
projects, and services for low-income electricity customers.
22 Effective Date:January 1,2026
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IRRIGATION SYSTEMS
A. Applicability
Applicable where the Utility determines that 100%of the customer's electrical usage is for
limited irrigation service except for the Customer whose monthly Maximum Demand, in
the opinion of the Utility, is expected to exceed 20 kW or has exceeded 20 kW in any three
(3) months during the preceding twelve (12) months is ineligible for service under this
Schedule. Effective with the date of ineligibility of any Customer served under this
Schedule,the Customer's account shall be transferred to another applicable Rate Schedule.
B. Territory
Within the entire territory served.
C. Rates
Energy Charge - $/kWh no 94-5°0.18142
Customer Charge - $/Day 0,7�0.80
D. Special Condition
1. Voltage
Service will be supplied at one(1) standard voltage not in excess of 240 volts or, at
the option of the Utility, at 240/480 volts, three wire, single-phase.
2. Billing Calculation
A Customer's bill is calculated according to the rate and conditions above.
3. Power Cost Adjustment Factor(PCAF)
The rate above is subject to an adjustment as provided in Rule 12, Section E.
4. Change of Law Adjustment Factor(CLAF)
The rate above is subject to an adjustment as provided in Rule 12, Section F.
5. State Mandated Public Purpose Programs Charge
State law requires all California electric utilities to establish a public purpose
program charge of 2.85% of electric retail revenues to fund qualifying energy
efficiency programs, renewable energy resources, research and demonstration
projects, and services for low-income electricity customers.
23 Effective Date:January 1,2026
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WIRELESS TECHNOLOGY
A. Applicability
Applicable to single-phase service for wireless technology industries that require electric
service to operate radio repeaters or similar devices (wireless communication devices)that
are mounted on existing City facilities, or other facilities approved by the Utility and are
unmetered. This Schedule excludes Wi-Fi devices on"looped" (served by 120/240 volts)
streetlight facilities. Customers must execute an application/contract with the Utility for
service under this Schedule and must execute an applicable agreement when devices are
attached to City facilities. The monthly kilowatt-hour (kWh) usage of each device shall
not exceed 500 kWh. Effective with the date of ineligibility of any Customer served under
this Schedule, the Customer's account shall be transferred to another applicable Rate
Schedule. If the Customer's account cannot be transferred to another applicable Rate
Schedule, the account will be closed, the Utility's service will be removed, and the
Customer must remove its device and equipment form the applicable City facility.
B. Territory
Within the entire territory served
C. Rates
Fixed Energy Charge - $/Device/Month 61.20
Customer Charge - $/Month 4-7.-N18.52
Inspection Charge - $/Device/Month 12.60
Three-Phase Service - $/Day 0.03
Initialization of Service Charge 6.79
D. Special Conditions
1. Contract
An approved City contract is required for service under this Rate Schedule.
2. Voltage
Service will be supplied at one (1) standard voltage not in excess of 240 volts.
3. Three-Phase Service
Where the Utility provides three-phase service, the billing will be increased by the
amount shown in the Rates section above.
4. Maximum Wattage
The maximum watts/connected load/name plate is 746 watts.
5. Installation
The device(s) shall be installed on City facilities or other facilities approved by the
Utility. When the devices are installed on City facilities, the installation and
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removal of such device(s) will be performed by the Customer, and at the
Customer's expense. Device installation shall not be performed under this Rate
Schedule, where location, mounting height, and/or other considerations are not
acceptable to the Utility. Unless approved by the Utility, all wireless
communication devices must be visible to the Utility.
7. Modification of Facilities
No modifications can be made to the Customer-owned wireless communications
devices unless approved by the Utility. Where the Customer requests a
modification of City facilities, and such modifications are acceptable to the City,
the City will perform the requested modifications at the Customer's expense.
8. Maintenance
The Utility shall exercise reasonable care and diligence in maintaining its facilities.
Upon installation of the device(s), where the Utility experiences, or expects to
experience, maintenance costs exceeding its normal maintenance expense resulting
from,but not limited to,vandalism,the Utility may require the Customer to pay the
excess maintenance expense.
9. Liability of the Utility
The Utility shall not, by taking action pursuant to its tariffs, be liable for any loss,
damage, or injury, established or alleged,which may result, or be claimed to result,
there from.
10. Initialization of Service Charge
A one-time charge, as shown in the Rates section of this Rate Schedule, is applied
to each service account provided service under this Rate Schedule to recover the
costs of a lock and spare fuse which are required with the initialization of service.
11. Power Cost Adjustment Factor(PCAF)
The rates above are subject to an adjustment as provided in Rule 12, Section E.
12. Change of Law Adjustment Factor(CLAF)
The rates above are subject to an adjustment as provided in Rule 12, Section F.
13. State Mandated Public Purpose Programs Charge
State law requires all California electric utilities to establish a public purpose
program charge of 2.85% of electric retail revenues to fund qualifying energy
efficiency programs, renewable energy resources, research and demonstration
projects, and services for low-income electricity customers.
25 Effective Date:January 1,2026
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NET ENERGY METERING
A. Applicability
Applicable to a customer who operates a renewable electrical generation facility that is
located on the customer's premises with a capacity of not more than 1 MW that is
interconnected and operates in parallel with the City's electric system, intended primarily
to offset part or all of the customer's own electrical requirements, and meets all the
applicable safety and performance standards.
B. Territory
Within the entire territory served.
C. Net Surplus Compensation Rate
For customer accounts established on or after December 1, 2018: The net surplus
compensation rate shall be $0.0500 per kWh applied to any net surplus energy remaining
at the end of the customer's twelve (12) monthly billing period("relevant period").
Grandfathered Provision: For customer accounts established before December 1, 2018:
The net surplus compensation rate shall be equivalent to the highest hourly rate that was
charged for consumption in their OAT during the year prior to the Customer's Annual
Billing Date.This provision will remain in effect for fifteen(15)years from the Customer's
original year in which the generating facility was interconnected to RCMU's grid. After
that period expires, the Customer will receive the current net surplus compensation that is
being offered at that time.
D. Rates
1. All rates charged under this schedule will be in accordance with the Eligible
Customer-Generator's otherwise applicable tariff (OAT) or rate schedule. An
Eligible Customer-Generator served under this schedule is responsible for all
charges in its OAT including the monthly or annual minimum charges (including
service, customer, reliability and demand charges, when applicable) regardless of
the Customer's monthly or annual net generation.
Eligible Customers under this schedule are subject to any new or additional
charge(s)that may be imposed by the Utility on the other customer in the rate class
to which Customer would otherwise be assigned.
2. As determined in each billing period,when a customer consumes more energy than
generated at the premises (net consumer), the net consumed energy will be used in
the calculation of all applicable energy charges, calculated by multiplying the net
amount consumed by the applicable energy rate components of the customer's
OAT.
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3. As determined in each billing period,when a customer generates more energy than
is consumed by the customer(net generator),the resulting net produced energy will
be calculated by multiplying the net produced kWh by the applicable energy rate
component of the Customer's OAT (including TOU periods) and be a credit on the
bill. Any net kilowatt-hours of production credit that exceeds the net consumed
energy, will be carried forward into the next billing period.
If the Customer's OAT includes "time of use" (TOU) rates, any net energy
consumed monthly shall be calculated according to the terms of the OAT. When
the customer is a net generator during any TOU period, the net kilowatt-hours
generated shall be valued at the same price per kilowatt-hour as the Utility would
charge during that same TOU period.
4. Customers who are Net Surplus Electricity producers at the Customer's Annual
True-Up Date,may elect to either carry over annual Net Surplus Energy production
(in kilowatt hours) as a credit that will be applied to kilowatt hours consumed by
the Customer or Customer may elect to receive payment to cash out the remaining
Net Surplus Energy.
D. Special Condition
1. An executed Net Energy Metering and Generating Facility Interconnection
Agreement is required prior to receiving service under this Schedule.
2. Metering Requirements: If the customer's existing meter is not capable of
measuring the flow of energy in two directions, an appropriate meter shall be
provided at the expense of the customer. The City may elect to install an additional
meter or meters, at the City's expense to provide the information necessary to
accurately bill or credit the customer.
3. To be eligible for service under this Schedule, the customer's generating facilities
must be sized to offset part or all of the customer's own electrical requirements and
cannot be oversized. This means that the estimated output of the generating facility,
using the CEC-AC nameplate rating for inverter-based generating facilities must
not exceed the customer's previous annual usage in kWh.
4. A new customer of record who owns, leases, or rents a premise that includes an
existing generating facility with a capacity under 30 kW that was approved by
RCMU for operation prior to the new customer moving in and/or taking electric
service with RCMU will take service under this Tariff as long as the requirements
of this Tariff are met and will not have to sign a new Interconnection Agreement.
This provision also applies to premises where the developer/contractor establishes
the interconnection.
A new customer of record who owns, leases, or rents a premise that includes an
existing generating facility with a capacity over 30 kW that was approved by
RCMU for operation prior to the new customer moving in and/or taking electric
service with RCMU will take service under this Tariff and will need to sign a new
Interconnection Agreement.
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5. RCMU shall retain any net surplus energy generated by the NEM Customer
including any associated environmental attributes or renewable energy credits
(RECs).
6. Net Metering Aggregation (NMA): Customers served under this Tariff with a
Generating Facility on a property owned by the Customer, may elect to aggregate
electric services to additional properties that are solely owned by the Customer and
are located on parcels adjacent or contiguous to the Generating Facility. Generation
not used where the Generating Facility is located, is transferred to adjacent
properties and equally distributed to the other properties by a percentage
determined upon entering into the Interconnection Agreement. NMA does not
allow for Net Surplus Compensation for excess generation.
E. Billing
1. City shall provide all customers served under this Schedule with net energy
consumption information and/or net energy export information with each monthly
bill.
2. Customers served under this Schedule shall pay both energy and non-energy
charges on a monthly basis, in accordance with the customer's OAT except as
otherwise allowed by State law. The value of net energy production will be used
to offset only energy related charges in subsequent billing periods.
F. Definitions
1. Net energy metering measures the difference between the electricity supplied
through the electric grid and the electricity generated on the customer's premises
and fed back to the electric grid over a Twelve-Month Period.
2. Otherwise Applicable Tariff(OAT) is the customer's regularly filed rate schedule
under which service is rendered.
3. Net Surplus Electricity is the electricity generated by an eligible customer-
generator measured in kilowatt hours over a 12-month period that exceeds the
amount of electricity consumed by that eligible customer-generator.
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ECONOMIC DEVELOPMENT
A. Applicability
Commercial or industrial end-use Customers that would otherwise receive service under
the Large Commercial or Large Industrial Electric Rate Schedule and meet certain criteria
as established and adopted by resolution of the City Council of the City of Rancho
Cucamonga may take advantage of the Economic Development (ED) rate as a New
Customer or Expanded Load Customer. This ED rate is applicable to all or part of the
services provided to New Customers and Expanded Load Customers, as such terms are
defined herein.
1. A New Customer shall be a Customer seeking to locate a new business or relocate
an existing business(not currently located within the territory served by the Rancho
Cucamonga Municipal Utility (RCMU)) within RCMU's service territory.
a. A New Customer shall meet both of the following criteria in order to qualify
for Schedule ED:
i. Projected minimum monthly electric demand of at least 200 kW.
ii. Job Creation
1. Tier 1 Discount Rate 100—249 jobs
2. Tier 2 Discount Rate 250— 500 jobs
3. Tier 3 Discount Rate greater than 500 jobs
2. An Expanded Load Customer shall be an existing RCMU Large Commercial or
Large Industrial customer that is adding new load to RCMU by a minimum monthly
electric demand of 200 kW based upon the Customer's past electrical demand as
determined by RCMU. The expanded load can be at the customer's current site, or
at a new site within the RCMU service territory. The Tier 1 ED rate will only be
applied to the expanded load as determined in Section 6 below.
B. Territory
Within the entire territory served.
C. Character of Service
The service provided hereunder shall be alternating current with regulated frequency of 60
hertz, three-phase, or a combination single and three-phase served through one meter, at a
standard voltage specified by RCMU. To be eligible to participate all customers must have
a demand meter.
D. Rates
Except as provided herein, or in the Economic Development Rate Agreement, all charges
and provisions of the Customer's otherwise applicable rate schedule shall apply. The
applicable Energy Charge and Demand Charge under the Customer's otherwise applicable
rate schedule will be reduced as follows:
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Tier 1 Tier 2 Tier 3
Years 1 - 2 20% 20% 20%
Years 3 - 4 15% 17% 20%
Year 5 10% 12% 15%
E. Special Conditions
1. Term: Economic Development Rate Agreements entered into under this Schedule shall
be for a single five-year term.
2. Approval: Application of this Rate Schedule shall be subject to the approval of the
City Manager or his/her designee,based on meeting the eligibility criteria outlined
herein.
3. Agreement: The Customer must sign a standard Rancho Cucamonga Economic
Development Rate Agreement in order for the rates under this Schedule to be
applicable. In addition to the other terms of this Schedule, the Economic
Development Rate Agreement shall require the Customer to reimburse Rancho
Cucamonga for all rate reductions received under this Schedule, if the Customer
fails to maintain the required minimum load during the five-year term of the
Agreement.
4. Minimum Load: Customers qualifying under this Schedule as a New Customer with a
projected minimum monthly electric demand of at least 200 kW or as an Expanded
Load Customer under Applicability Sections 1 and 2 above, respectively, must
agree to maintain a minimum level of load for five years from the date service is
first rendered under this Schedule and to document compliance with all applicable
requirements, as set forth in the Economic Development Rate Agreement.
5. Job Creation / Retention: Customers qualifying under this Schedule as a New
Customer with a projected minimum monthly electric demand of at least 200 kW
under Applicability Section la (ii), respectively, must agree to create and retain a
minimum level of full-time equivalent jobs for five years from the date service is
first rendered under this Schedule and to document compliance with all applicable
requirements, as set forth in the Economic Development Rate Agreement.
6. Base Period Usage: Base Period Usage shall be established and agreed to in the
Economic Development Rate Agreement for Expanded Load Customers. Base
Period Usage shall be the average monthly energy use and demand for the Customer
during the last three years of service to the Customer, from the date ending the last
payment period before the date of the Agreement. Expanded Load qualifying for
the rate under this Schedule shall be measured as the difference between the new
monthly,metered documented energy use and demand, and the Base Period Usage.
7. State Mandated Public Purpose Program Charge:All bills rendered under this Schedule
shall be subject to the Public Purpose Program Charge as established by the City
Council.
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8. Miscellaneous Fees and Charges: Rates charged pursuant to this Schedule shall be
subject to any Energy Users Taxes, Utility Users Taxes, and any other
governmental taxes, duties, or fees which are applicable to Electric Service
provided to Customer by the City of Rancho Cucamonga. Rates are also subject to
adjustment, as established by the City of Rancho Cucamonga's City Council, in its
sole discretion, in response to federal or state climate change laws, renewable
portfolio standard or other mandated legislation. These adjustments may include
but are not limited to charges to mitigate the impacts of greenhouse gas emissions
or"green power"premiums.
9. Expanded Load: Expanded Load customers applying for this rate must demonstrate to
the satisfaction of the Utility that the expanded load is new to the Rancho
Cucamonga Municipal Utility.
10. Effective Date: The effective date of the Economic Development Rate Agreement shall
commence within 12 months from the date of the City's approval, or the Agreement
becomes null and void. The Agreement becomes effective upon execution by the
parties, and the Economic Development Rate commences upon written notice by
Customer and coincides with the Customer's normal billing cycle.
11. Reapplication: Customers who have received service under the Economic
Development Rate are eligible to reapply for the rate as an Expanded Load
Customer, if they meet the criteria therefore.
12. Restrictions: Residential customers and federal, state or local government agencies are
not eligible to apply for service under this Schedule.
31 Effective Date:January 1,2026
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STANDBY DEMAND CAPACITY RESERVATION CHARGE
(SELF GENERATION)
A. Applicability
Applicable to Large Commercial and Large Industrial customers who operates a non-net
metered, non-utility generating facility rated at 1000 kW or less, interconnected on the
Customer's premises and operates in parallel with the City's electric system. The
generating facility is intended primarily to offset part or all of the customer's own electrical
requirements and meets all the applicable safety and performance standards.
Standby service customers have unique electric demands, due to their on-site generation
assets, that are often quite different from those of full requirement customers. These
customers pay standby rates so that they may,in the event of a planned or unplanned outage
of their non-utility generating system, take service from the City electric system. The City
bears an "obligation to serve" and must configure their system to allow every customer
reliable access to the grid. The standby charge is designed to recover the costs of
transmission and distribution facilities, as well as substation and transformers dedicated to
the customer's use that do not vary with usage in maintaining sufficient capacity (through
operating reserves) in order to serve an unplanned outage, even if such an outage never
occurs. The standby charge also includes appropriate service voltage level distinctions:
secondary and primary.
B. Territory
The entire territory served.
C. Rates
1. Rates for this service shall be the same as for the schedule under which the
customer's otherwise applicable rate schedule shall apply.
2. Standby Demand Capacity Reservation Charge(CRC): A CRC shall be a flat$/kW
amount applied to the Standby Demand in kW,which represents the entire reserved
capacity needed for the City to serve the self-generation customer's load, which
would have been regularly served by the customer's generating facility when such
facility experiences a partial or complete outage. The level of Standby Demand
shall be provided by the customer and shall not exceed the nameplate capacity of
the customer's generating facility.
Standby Charge— Secondary($/kW) Standby Charge—Primary($/kW)
$8.61 $7.61
3. Demand Charge: As determined in each billing period, a Standby Service
customer's billing demand shall be the kilowatts of Maximum Demand indicated
or recorded by instruments, determined to the nearest kW of the absolute net power
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that the customer received from the City's electric system. The Demand Charge for
each time period shall be based on the Maximum Demand for that time period
occurring during the respective monthly billing period.
4. Energy Charge: As determined in each billing period, when a Standby Service
customer consumes more energy than generated at the premises, the net consumed
energy will be used in the calculation of all applicable energy charges. All Energy
shall be billed in accordance with the customer's Otherwise Applicable Tariff rate
schedule which would otherwise apply if the customer had no generating
equipment.
5. Other charges: All other specific rate components, including the Power Factor
Adjustment Charge, Customer Charge and the State Electric SurTax will not vary
based on registered usage or demand of the customer's generating facility.
D. Special Conditions
1. Contract Required-Customer shall sign an Interconnection Agreement contract for
this service, which shall state the number of kW of standby capacity required.
"Standby capacity" shall not exceed the nameplate rating of the customer's
generating equipment.
2. Metering Requirements - If the customer's existing meter is not capable of
measuring the flow of energy in two directions, an appropriate meter shall be
provided at the expense of the customer. The City may elect to install an additional
meter or meters, at the customer's expense to provide the information necessary to
accurately bill or credit the customer.
3. The CRC tariff is only applicable to Standby Service customers who require electric
capacity and energy supplied by the City on a regular basis to supplement the
Customer's power requirement in addition to that ordinarily supplied by the on-site
non-utility generation facilities. If a customer has a planned generator outage with
prior notification given to RCMU for an entire billing period the standby charge
will not be applicable.
4. Customers exempted from the CRC tariff:
(a) Customers with backup on-site generation that is used exclusively when service
from the utility is not available in the event of an interruption in utility service and
which are not used to offset Customer electricity purchases.
(b) The applicability of these exemptions shall be determined at the discretion of the
Utilities Manager.
5. Standby Demand in kW represents the entire reserved capacity needed for the City
to serve the customer's load,regularly served by the customer's generating facility
when such facility experiences a partial or complete outage. The level of Standby
Demand, which shall not exceed the nameplate capacity of the customer's
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generating facility, is initially designated by the customer and is set forth in the
generation interconnection agreement. Once a customer's designated Standby
Demand has been set, it shall remain at such level for a minimum of 12 months
unless, in the City's determination, the Standby Demand needs to be adjusted to
more accurately represent the customer's actual reserve capacity needs. Upon the
City's determination that the customer's designated Standby Demand does not
reflect the actual level of needed reserve capacity, over any 15-minute period or
through on-site verification,the City shall adjust the Standby Demand to reflect the
actual needed reserve capacity. When the Standby Demand is adjusted by the City
as provided above, a qualified change in the Standby Demand shall not be made for
12 months from the last adjustment. The customer is responsible for notifying the
City of permanent or material changes in their generation facilities (size, type and
operations) for future adjustments to the Standby Demand.
6. Diversity Factor- a statistical assumption that a certain percentage of standby load
will be utilizing substation and distribution service between each class' peak
demand and the system peak demand. This factor was determined using the
diversity factors calculated in the utility's most recent cost of service study and is
embedded in the current CRC tariff. A percentage difference was identified as the
diversity factor and the distribution and substation portion of the standby rates were
reduced accordingly reflecting a reduction in those infrastructure requirements.
E. Billing Calculation
A Customer's bill is calculated according to the rates and conditions above. The charges
are calculated by applying the Rate Charges on the customer's applicable nameplate
generation capacity for the generating unit at the customer's facility. All other usage
provided by RCMU will be based on the applicable rate tariff, including any riders or
additional charges.
Customers served under this Schedule shall pay both energy and non-energy charges on a
monthly basis, in accordance with the customer's Otherwise Applicable Tariff except as
otherwise allowed by State law.
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ELECTRIC VEHICLE CHARGING
A. Applicability
Applicable solely for the charging of electric vehicles, on a premises or public right of way
where a separate RCMU meter to serve electric vehicle (EV) charging facilities is
requested.
B. Territory
Within the entire territory served.
C. Rates
Energy Charge - $/kWh/Meter/Month
Summer Season—On-Peak 0.23654
Mid-Peak 04039-50.10738
Off-Peak 0.04273
Winter Season—On-Peak 0-.087-860.09129
Mid-Peak 0.07932
Off-Peak 0.049830.05326
Customer Charge - $/Meter/Month Under 20 kW 30.00
Over 20 kW 185.00
Demand Charge - $/kW of Billing Demand/Meter/Month
Facilities Related 12.00
Power Factor Adjustment - $/KVA 0.30
D. Special Conditions
1. Time periods are defined as follows:
On-Peak: Noon to 6:00 p.m. weekdays except holidays
Mid-Peak: 8:00 a.m. to noon and 6:00 p.m. to 11:00 p.m. weekdays except
holidays.
Off-Peak: All other hours.
Holidays are New Year's Day (January 1), Washington's Birthday (third Monday
in February), Memorial Day (last Monday in May), Independence Day (July 4),
Labor Day (first Monday in September), Veteran's Day (November 11),
Thanksgiving Day(fourth Thursday in November), and Christmas (December 25).
When any holiday listed above falls on Sunday, the following Monday will be
recognized as an off-peak period. No change will be made for holidays falling on
Saturday.
The Summer Season shall commence at 12:00 a.m. on June 1st and continue until
12:00 a.m. on October 1st of each year. The Winter Season shall commence at
12:00 a.m. on October 1st of each year and continue until 12:00 a.m. on June 1 st of
35 Effective Date:January 1,2026
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the following year. A pro rata computation will be made for seasonal billing
purposes.
2. Voltage Service will be supplied at one (1) standard voltage.
3. Metering
Only EV charging facilities and related equipment shall be separately metered and
served under this Schedule. Where RCMU determines that the operation of the EV
charging facilities may interfere with service to that customer or other customers,
RCMU will install a load management device at customer's expense to control
when EV charging will occur. For purposes of monitoring customer load, RCMU
may install at its expense, load research metering. The customer shall provide, at
no expense to RCMU, a suitable location for meters and associated equipment.
4. Billing Demand
The Billing Demand shall be the kilowatts(kW) of Maximum Demand, determined
to the nearest kW. The Demand Charge may include the following billing
components. The Time Related Component shall be for the kilowatts of Maximum
Demand recorded during (or established for) the monthly billing period. The
Facilities Related Component shall be for the kilowatts of Maximum Demand
recorded during(or established for)the monthly billing period. However,when the
Utility determines the Customer's Meter will record little or no energy use for
extended periods of time or when the Customer's Meter has not recorded a
Maximum Demand in the preceding eleven (11) months, the Facilities Related
Component of the Demand Charge may be established at fifty percent(50%) of the
Customer's Connected Load.
5. Maximum Demand
The Maximum Demand in any month shall be the measured maximum kilowatt
input, indicated or recorded by instruments, during any 15-minute metered interval
in the month.
6. Power Factor Adjustment
The Customer's bill will be increased each month for power factor by the amount
shown in the Rates section above for service metered and delivered at the applicable
voltage level, based on the per kilovar of maximum reactive demand imposed by
the Utility.
The maximum reactive demand shall be the highest measured maximum average
kilovar demand indicated or recorded by metering during any 15-minute interval in
the month. The kilovars shall be determined to the nearest unit. A device will be
installed on each kilovar meter to prevent reverse operation of the meter.
7. Interconnection
Customers taking service under this Schedule shall have no electrical
interconnection beyond the RCMU's Point of Delivery between electrical loads
eligible for service under this Schedule and any other electrical loads.
8. Temporary Discontinuance of Service.
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Where the use of energy is seasonal or intermittent, no adjustments will be made
for a temporary discontinuance of service. Any Customer resuming service within
twelve (12) months after such service was discontinued will be required to pay all
charges which would have been billed if service had not been discontinued.
9. Customer-Owned Electrical Generating Facilities.
Upon written approval by the Utility, momentary parallel operation may be
permitted to allow the Customer to test the auxiliary/emergency generating
facilities.
10. Billing Calculation.
A Customer's bill is calculated according to the rates and conditions above. The
charges are calculated by applying the Rate Charges when applicable to the actual
billing determinants (kilowatt hours [kWh], demand [kW], kilovar [kVa], etc.).
11. Power Cost Adjustment Factor(PCAF).
The rates above are subject to an adjustment as provided in Rule 12, Section E.
12. Change of Law Adjustment Factor(CLAF).
The rates above are subject to an adjustment as provided in Rule 12, Section F.
12. State Mandated Public Purpose Programs Charge.
State law requires all California electric utilities to establish a public purpose
program charge of 2.85% of electric retail revenues to fund qualifying energy
efficiency programs, renewable energy resources, research and demonstration
projects, and services for low-income electricity customers.
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POWER COST ADJUSTMENT FACTOR
A. Applicability
The Power Cost Adjustment Factor (PCAF) is a charge per kWh which is used to adjust
the Utility's electric rates for the actual cost of purchasing and generating electric power
and energy to service the Utility's customers and to minimize fluctuations in rates.
The energy charge per kWh in each Rate Schedule recovers the costs of purchasing and
delivering power and energy from all suppliers of power and energy, other suppliers and
the cost of power from the Utility's owned generating resources.
B. Territory
Within the entire territory served.
C. Calculation
The PCAF will be calculated using the most recent six (6) month's actual power cost and
applied to each customer's following monthly billed energy (k)").
The Adjustment shall be calculated according to the following formula:
PCAF = ((P/S) +L) —B
P =Wholesale power supplier cost*
S =Number of kilowatt-hours sold during the same time period as factor"P"
L= System annual average losses
B = The average cost of power per kilowatt-hour sold and recovered through base
retail rates
*Power Supplier Costs shall include all costs of power supply including but not
limited to costs of power production, power purchases, transmission and wheeling
payments, losses, CAISO, capacity, REC's, environmental allowances and
scheduling and dispatching.
D. Special Conditions
1. The PCAF, which may be either positive or negative, will be reviewed and revised
monthly to reflect actual changes.
2. Should the PCAF ever exceed the base retail rate, the Utility will cap the PCAF for
the billing month at the base retail rate and charge each customer the difference
between the PCAF and the base retail rate in the next available subsequent billing
month.
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SERVICE ESTABLISHMENT CHARGE
A. Applicability
Applicable to General Service and Domestic Service customers.
B. Territory
Within the entire territory served.
C. Rates
For each establishment of electric service............... $15.00
D. Special Conditions
1. The service establishment charge provided for herein is in addition to the charges calculated
in accordance with the applicable schedule and may be made each time an account is
established. As used herein, establishment means each time an account is opened, including
a turn on of electric service or a change of name which requires a meter reading.
2. In case the customer requests that electric service be established on the day of his request or
outside of regular hours, an additional charge of$11.00 may be made.
39 Effective Date:January 1,2026
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Table of Contents
Electric Rates and Tariffs
RESIDENTIAL 1
SMALL COMMERCIAL 4
MEDIUM COMMERCIAL 6
MEDIUM COMMERCIAL (TIME-OF-USE) 9
LARGE COMMERCIAL 12
LARGE INDUSTRIAL 15
STREET LIGHTING 18
TRAFFIC CONTROL 21
OUTDOOR AREA LIGHTING 22
IRRIGATION SYSTEMS 24
WIRELESS TECHNOLOGY 25
NET ENERGY METERING 27
ECONOMIC DEVELOPMENT 30
STANDBY DEMAND CHARGE 33
ELECTRIC VEHICLE CHARGING 36
POWER COST ADJUSTMENT FACTOR 38
SERVICE ESTABLISHMENT CHARGE 39
ATTACHMENT 3
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RESIDENTIAL
A. Applicability
Applicable to individual accommodations devoted primarily to domestic purposes where
service includes lighting, appliances, heating, cooking and power consuming appliances or
combination thereof in a residential accommodation.
B. Territory
Within the entire territory served.
C. Rates
Energy Charge $/kWh/Meter
Summer and Winter
Tier 1 —Baseline Quantities 0.11910
Tier 2— 101% to 130% of Baseline 0.14000
Tier 3 —Over 131% of Baseline 0.25686
Customer Charge - $/Meter/Day
Single-Family Residence 9.400.52
Multi-Family Residence 0470.49
D. Special Conditions
1. Summer and Winter Seasons are defined as follows:
The Summer Season shall commence at 12:00 a.m. on June 1 st and continue until
12:00 a.m. on October 1st of each year. The Winter Season shall commence at
12:00 a.m. on October 1st of each year and continue until 12:00 a.m. on June 1 st of
the following year. A pro rata computation will be made for seasonal billing
purposes.
2. Customer Charge: For purposes of applying the Customer Charge, the following
definitions shall be used:
Single-Family Residence: A building of single occupancy, which does not share
common walls, floors, or ceiling with other residential dwelling units.
Multi-Family Residence: Apartments, mobile homes, condominiums, townhouses
or a building of multiple occupancy which shares common walls and/or floors and
ceilings with other residential dwelling units.
3. Voltage. Service will be supplied at one (1) standard voltage.
4. Baseline Quantities: The residential allocation shall be 16.1 kWhs per day in
Summer Season and 10.6 kWhs per day in the Winter Season.
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5. Customer-Owned Electrical Generating Facilities.
Upon written approval by the Utility, momentary parallel operation may be
permitted to allow the Customer to test the auxiliary/emergency generating
facilities.
6. Medical Support Assistance
Eligible customers under this schedule upon application and certification from a
medical doctor shall receive a monthly discount to assist customers with doctor-
prescribed life support equipment. To qualify, a customer must submit an
application and satisfactory proof that a full-time occupant of the customer's
residence requires a life support device. A qualifying life support device may be
any one of the following or such other equipment as the Utility may deem eligible:
aerosol tents, apnea monitors, compressors or concentrators, electrostatic or
ultrasonic nebulizers, electric nerve stimulators, hemodialysis machines, kidney
dialysis machines, intermittent positive pressure breathing machines, iron lungs,
pressure pads, pressure pumps, respirators, or suction machines. Customers must
reapply annually to demonstrate eligibility for the discount.
The monthly discount applies to energy charges only. All other charges and taxes
are calculated at the standard rates. Program qualifications and rules are subject to
change and are based on funding availability. In the event the Utility becomes
aware of any false or fraudulent statements or information submitted in writing or
verbally by the Customer, the Utility reserves the right to back bill the Customer
for services rendered under this program.
7. Low Income Assistance
A low-income assistance program is available under this schedule for income
qualified customers. To be considered for this discount, an application must be
filled out with supporting documentation of proof of income. Total combined gross
annual household income, both taxable and nontaxable, must meet the current
income levels of the San Bernardino County (Very Low) Income Limits
Documentation System. Customers must reapply annually to demonstrate
eligibility for the discount.
The monthly discount applies to energy charges only. All other charges and taxes
are calculated at the standard rates. Program qualifications and rules are subject to
change and are based on funding availability. In the event the Utility becomes
aware of any false or fraudulent statements or information submitted in writing or
verbally by the Customer, the Utility reserves the right to back bill the Customer
for services rendered under this program.
8. Billing Calculation
A Customer's bill is calculated according to the rates and conditions above. The
charges are calculated by applying the Rate Charges when applicable to the actual
billing determinants (kilowatt hours [kWh]).
9. Power Cost Adjustment Factor(PCAF)
The rates above are subject to an adjustment as provided in Rule 12, Section E.
2 Effective Date:January 1,2027
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10. Change of Law Adjustment Factor(CLAF)
The rates above are subject to an adjustment as provided in Rule 12, Section F.
11. State Mandated Public Purpose Programs Charge
State law requires all California electric utilities to establish a public purpose
program charge of 2.85% of electric retail revenues to fund qualifying energy
efficiency programs, renewable energy resources, research and demonstration
projects, and services for low-income electricity customers.
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SMALL COMMERCIAL
A. Applicability
Applicable to single and three-phase general service including lighting and power
Customers, except for the Customer whose monthly Maximum Demand, in the opinion of
the Utility, is expected to exceed 20 kW or has exceeded 20 kW in any three (3) months
during the preceding twelve (12) months is ineligible for service under this Schedule.
Effective with the date of ineligibility of any Customer served under this Schedule, the
Customer's account shall be transferred to another applicable Rate Schedule.
B. Territory
Within the entire territory served.
C. Rates
Energy Charge $/kWh/Meter/Month
Summer 0.59070.19053
Winter 04-344-50.13261
Customer Charge- $/Meter/Da
Single Phase 4401.20
Three Phase 4—.M1.35
D. Special Conditions
1. Summer and Winter Seasons are defined as follows:
The Summer Season shall commence at 12:00 a.m. on June 1st and continue until
12:00 a.m. on October 1st of each year. The Winter Season shall commence at
12:00 a.m. on October 1st of each year and continue until 12:00 a.m. on June 1st of
the following year. A pro rata computation will be made for seasonal billing
purposes.
2. Voltage. Service will be supplied at one (1) standard voltage
3. Temporary Discontinuance of Service
Where the use of energy is seasonal or intermittent, no adjustments will be made
for a temporary discontinuance of service. Any Customer, prior to resuming
service within twelve (12) months after such service was discontinued, will be
required to pay all charges which would have been billed if service had not been
discontinued.
4. Customer-Owned Electrical Generating Facilities
Upon written approval by the Utility, momentary parallel operation may be
permitted to allow the Customer to test the auxiliary/emergency generating
facilities.
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5. Installation of Demand Meters
Where a Customer's usage exceeds an average of 4,500 kWh per month in the
preceding 12-month period, the Utility may, at its sole option, install a demand
Meter on the account at the Utility's expense.
6. Billing Calculation
A Customer's bill is calculated according to the rates and conditions above. The
charges are calculated by applying the Rate Charges when applicable to the actual
billing determinants (kilowatt hours [kWh], demand [kW], etc.).
7. Power Cost Adjustment Factor(PCAF)
The rates above are subject to an adjustment as provided in Rule 12, Section E.
8. Change of Law Adjustment Factor(CLAF)
The rates above are subject to an adjustment as provided in Rule 12, Section F.
9. State Mandated Public Purpose Programs Charge
State law requires all California electric utilities to establish a public purpose
program charge of 2.85% of electric retail revenues to fund qualifying energy
efficiency programs, renewable energy resources, research and demonstration
projects, and services for low-income electricity customers.
5 Effective Date:January 1,2027
Page 414
CITY OF RANCHO CUCAMONGA MUNICIPAL UTILITY
ELECTRIC RATES&TARIFFS
MEDIUM COMMERCIAL
A. Applicability
Applicable to single and three-phase service including lighting and power Customers
whose monthly Maximum Demand registers, or in the opinion of the Utility is expected to
register, above 20 kW and below 200 kW. The Customer whose monthly Maximum
Demand, in the opinion of the Utility, is expected to reach 200 kW or has reached 200 kW
for any three (3) months during the preceding twelve (12) months is ineligible for service
under this Schedule. Effective with the date of ineligibility, such Customer's account shall
be transferred to another applicable Rate Schedule. Further, any Customer served under
this Schedule whose monthly Maximum Demand has registered 20 kW or less for twelve
(12) consecutive months is eligible for service under another applicable Rate Schedule.
B. Territory
Within the entire territory served.
C. Rates
Energy Charge - $/kWh/Meter/Month
Summer Season 0.08647-0.08941
Winter Season 0-.070B0.07307
Customer Charge - $/Meter/Month 145.00
Demand Charge - $/kW of Billing Demand/Meter/Month
Facilities Related 14.00
Time Related Summer 16.50
D. Special Conditions
1. Summer and Winter Seasons are defined as follows:
The Summer Season shall commence at 12:00 a.m. on June 1st and continue until
12:00 a.m. on October 1st of each year. The Winter Season shall commence at
12:00 a.m. on October 1st of each year and continue until 12:00 a.m. on June 1 st of
the following year. A pro rata computation will be made for seasonal billing
purposes.
2.
3. Voltage
Service will be supplied at one (1) standard voltage.
4. Billing Demand
6 Effective Date:January 1,2027
Page 415
CITY OF RANCHO CUCAMONGA MUNICIPAL UTILITY
ELECTRIC RATES&TARIFFS
The Billing Demand shall be the kilowatts of Maximum Demand, determined to
the nearest kW. The Demand Charge shall include the following billing
components. The Time Related Component shall be for the kilowatts of Maximum
Demand recorded during (or established for) the monthly billing period. The
Facilities Related Component shall be for the kilowatts of Maximum Demand
recorded during(or established for)the monthly billing period. However,when the
Utility determines the Customer's Meter will record little or no energy use for
extended periods of time or when the Customer's Meter has not recorded a
Maximum Demand in the preceding eleven (11) months, the Facilities Related
Component of the Demand Charge may be established at fifty percent(50%) of the
Customer's Connected Load.
5. Maximum Demand
The Maximum Demand in any month shall be the measured maximum average
kilowatt input,indicated or recorded by instruments, during any 15-minute metered
interval in the month, but, where applicable, shall not be less than the diversified
resistance welder load computed in accordance with the section designated Welder
Service in Rule 2. Where the demand is intermittent or subject to violent
fluctuations, a 5-minute interval may be used.
6. Temporary Discontinuance of Service
Where the use of energy is seasonal or intermittent, no adjustments will be made
for a temporary discontinuance of service. Any Customer resuming service within
twelve (12) months after such service was discontinued will be required to pay all
charges which would have been billed if service had not been discontinued.
7. Customer-Owned Electrical Generating Facilities
Upon written approval by the Utility, momentary parallel operation may be
permitted to allow the Customer to test the auxiliary/emergency generating
facilities.
8. Billing Calculation
A Customer's bill is calculated according to the rates and conditions above. The
charges are calculated by applying the Rate Charges when applicable to the actual
billing determinants (kilowatt hours [kWh], demand [kW], etc.).
9. Power Cost Adjustment Factor(PCAF)
The rates above are subject to an adjustment as provided in Rule 12, Section E.
10. Change of Law Adjustment Factor(CLAF)
The rates above are subject to an adjustment as provided in Rule 12, Section F.
11. State Mandated Public Purpose Programs Charge
State law requires all California electric utilities to establish a public purpose
program charge of 2.85% of electric retail revenues to fund qualifying energy
efficiency programs, renewable energy resources, research and demonstration
projects, and services for low-income electricity customers.
7 Effective Date:January 1,2027
Page 416
CITY OF RANCHO CUCAMONGA MUNICIPAL UTILITY
ELECTRIC RATES&TARIFFS
MEDIUM COMMERCIAL (TIME-OF-USE)
A. Applicability
Applicable to single and three-phase service including lighting and power Customers
whose monthly Maximum Demand registers, or in the opinion of the Utility is expected to
register 200 kW through 500 kW. The customer whose monthly Maximum Demand, in
the opinion of the Utility, is expected to exceed 500 kW or has exceeded 500 kW for any
three (3) months during the preceding twelve (12) months is ineligible for service under
this Schedule and effective with the date of ineligibility, such Customer's account shall be
transferred to Large Commercial. Further,any Customer served under this Schedule whose
monthly Maximum Demand has registered below 200 kW for twelve (12) consecutive
months is ineligible for service under this Rate Schedule and shall be transferred to another
applicable Rate Schedule.
B. Territory
Within the entire territory served.
C. Rates
Energy Charge - $/kVVWeter/Month
Summer Season—On-Peak 04494-50.12004
Mid-Peak 00.08704
Off-Peak 0-.055650.05954
Winter Season—Mid-Peak 0-.0626-50.06354
Off-Peak 0-.046450.04704
Customer Charge - $/Meter/Month 400.00
Demand Charge - $/kW of Billing Demand/Meter/Month
Facilities Related 14.25
Time Related Summer—On-Peak 13.50
Summer—Mid-Peak 3.50
Power Factor Adjustment - $/KVA 0.27
D. Special Conditions
1. Time periods are defined as follows:
On-Peak: Noon to 6:00 p.m. summer weekdays except holidays.
Mid-Peak: 8:00 a.m. to noon and 6:00 p.m. to 11:00 p.m. summer weekdays
except holidays.
8:00 a.m. to 9:00 p.m. winter weekdays except holidays.
Off-Peak: All other hours.
8 Effective Date:January 1,2027
Page 417
CITY OF RANCHO CUCAMONGA MUNICIPAL UTILITY
ELECTRIC RATES&TARIFFS
Holidays are New Year's Day (January 1), Washington's Birthday (third Monday
in February), Memorial Day (last Monday in May), Independence Day (July 4),
Labor Day (first Monday in September), Veteran's Day (November 11),
Thanksgiving Day(fourth Thursday in November), and Christmas (December 25).
When any holiday listed above falls on Sunday, the following Monday will be
recognized as an off-peak period. No change will be made for holidays falling on
Saturday.
The Summer Season shall commence at 12:00 a.m. on June 1st and continue until
12:00 a.m. on October 15t of each year. The Winter Season shall commence at
12:00 a.m. on October 1st of each year and continue until 12:00 a.m. on June 1st of
the following year. A pro rata computation will be made for seasonal billing
purposes.
2. Voltage
Service will be supplied at one (1) standard voltage.
3. Billing Demand
The Billing Demand shall be the kilowatts of Maximum Demand, determined to
the nearest kW. The Demand Charge shall include the following billing
components. The Time Related Component shall be for the kilowatts of Maximum
Demand recorded during (or established for) the monthly billing period. The
Facilities Related Component shall be for the kilowatts of Maximum Demand
recorded during(or established for)the monthly billing period. However,when the
Utility determines the Customer's Meter will record little or no energy use for
extended periods of time or when the Customer's Meter has not recorded a
Maximum Demand in the preceding eleven (11) months, the Facilities Related
Component of the Demand Charge may be established at fifty percent(50%) of the
Customer's Connected Load.
4. Maximum Demand
Maximum Demand shall be established for the On-Peak, Mid-Peak, and Off-Peak
periods. The Maximum Demand in any month shall be the measured maximum
average kilowatt input, indicated or recorded by instruments, during any 15-minute
metered interval in the month, but, where applicable, shall not be less than the
diversified resistance welder load computed in accordance with the section
designated Welder Service in Rule 2. Where the demand is intermittent or subject
to violent fluctuations, a 5-minute interval may be used.
5. Power Factor Adjustment
The Customer's bill will be increased each month for power factor by the amount
shown in the Rates section above for service metered and delivered at the applicable
voltage level, based on the per kilovar of maximum reactive demand imposed by
the Utility.
The maximum reactive demand shall be the highest measured maximum average
kilovar demand indicated or recorded by metering during any 15-minute interval in
9 Effective Date:January 1,2027
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CITY OF RANCHO CUCAMONGA MUNICIPAL UTILITY
ELECTRIC RATES&TARIFFS
the month. The kilovars shall be determined to the nearest unit. A device will be
installed on each kilovar meter to prevent reverse operation of the meter.
6. Temporary Discontinuance of Service
Where the use of energy is seasonal or intermittent, no adjustments will be made
for a temporary discontinuance of service. Any Customer resuming service within
twelve (12) months after such service was discontinued will be required to pay all
charges which would have been billed if service had not been discontinued.
7. Customer-Owned Electrical Generating Facilities
Upon written approval by the Utility, momentary parallel operation may be
permitted to allow the Customer to test the auxiliary/emergency generating
facilities.
8. Billing Calculation
A Customer's bill is calculated according to the rates and conditions above. The
charges are calculated by applying the Rate Charges when applicable to the actual
billing determinants (kilowatt hours [kWh], demand [M], kilovar [kVa], etc.).
9. Power Cost Adjustment Factor(PCAF)
The rates above are subject to an adjustment as provided in Rule 12, Section E.
10. Change of Law Adjustment Factor(CLAF)
The rates above are subject to an adjustment as provided in Rule 12, Section F.
11. State Mandated Public Purpose Programs Charge
State law requires all California electric utilities to establish a public purpose
program charge of 2.85% of electric retail revenues to fund qualifying energy
efficiency programs, renewable energy resources, research and demonstration
projects, and services for low-income electricity customers.
10 Effective Date:January 1,2027
Page 419
CITY OF RANCHO CUCAMONGA MUNICIPAL UTILITY
ELECTRIC RATES&TARIFFS
LARGE COMMERCIAL
A. Applicability
Applicable to general services including lighting and power Customers. This Schedule is
applicable to and mandatory for all Customers whose monthly Maximum Demand, in the
opinion of the Utility, is expected to exceed 500 kW or has exceeded 500 kW in any three
(3) months during the preceding twelve (12) months. Any existing Customer on this
Schedule whose monthly Maximum Demand has registered 500 kW or less for twelve(12)
consecutive months is ineligible for service under this Schedule and shall be transferred to
another applicable Rate Schedule. Service under this Schedule is subject to Meter
availability.
B. Territory
Within the entire territory served.
C. Rates
Energy Charge - $/kWh/Meter/Month
Summer Season—On-Peak 0429270.13121
Mid-Peak 0-.08224-0.08415
Off-Peak 0.052-860.05480
Winter Season—Mid-Peak 0.072-720.07466
Off-Peak 0.049400.05134
Customer Charge - $/Meter/Month 515.00
Demand Charge - $/kW of Billing Demand/Meter/Month
Facilities Related 15.00
Time Related Summer—On-Peak 17.00
Summer—Mid-Peak 5.00
Power Factor Adjustment - $/KVA 0.27
D. Special Conditions
1. Time periods are defined as follows:
On-Peak: Noon to 6:00 p.m. summer weekdays except holidays.
Mid-Peak: 8:00 a.m. to noon and 6:00 p.m. to 11:00 p.m. summer weekdays
except holidays.
8:00 a.m. to 9:00 p.m. winter weekdays except holidays.
Off-Peak: All other hours.
Holidays are New Year's Day (January 1), Washington's Birthday (third Monday
in February), Memorial Day (last Monday in May), Independence Day (July 4),
Labor Day (first Monday in September), Veteran's Day (November 11),
Thanksgiving Day(fourth Thursday in November), and Christmas (December 25).
11 Effective Date:January 1,2027
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CITY OF RANCHO CUCAMONGA MUNICIPAL UTILITY
ELECTRIC RATES&TARIFFS
When any holiday listed above falls on Sunday, the following Monday will be
recognized as an off-peak period. No change will be made for holidays falling on
Saturday.
The Summer Season shall commence at 12:00 a.m. on June 1st and continue until
12:00 a.m. on October lst of each year. The Winter Season shall commence at
12:00 a.m. on October lst of each year and continue until 12:00 a.m. on June lst of
the following year. A pro rata computation will be made for seasonal billing
purposes.
2. Voltage
Service will be supplied at one standard voltage.
3. Maximum Demand
Maximum Demands shall be established for the On-Peak, Mid-Peak, and Off-Peak
periods. The Maximum Demand for each period shall be the measured maximum
average kilowatt input indicated or recorded by instruments, during any 15-minute
metered interval, but, where applicable, not less than the diversified resistance
welder load computed in accordance with the section designated Welder Service in
Rule 2. Where the demand is intermittent or subject to violent fluctuations, a 5-
minute interval may be used.
4. Billing Demand
The Billing Demand shall be the kilowatts of Maximum Demand, determined to
the nearest kW. The Demand Charge shall include the following billing
components. The Time Related Component shall be for the kilowatts of Maximum
Demand recorded during(or established for)the monthly billing period for each of
the On-Peak, Mid-Peak, and Off-Peak Time Periods. The Facilities Related
Component shall be for the kilowatts of Maximum Demand recorded during (or
established for) the monthly billing period. However, when the Utility determines
the Customer's Meter will record little or no energy use for extended periods of
time or when the Customer's Meter has not recorded a Maximum Demand in the
preceding eleven (11) months, the Facilities Related Component of the Demand
Charge may be established at fifty percent (50%) of the Customer's Connected
Load. Separate Demand Charge(s) for the On-Peak, Mid-Peak, and Off-Peak Time
Periods shall be established for each monthly billing period. The Demand Charge
for each time period shall be based on the Maximum Demand for that time period
occurring during the respective monthly billing period.
5. Power Factor Adjustment
The Customer's bill will be increased each month for power factor by the amount
shown in the Rates section above for service metered and delivered at the applicable
voltage level, based on the per kilovar of maximum reactive demand imposed by
the Utility.
The maximum reactive demand shall be the highest measured maximum average
kilovar demand indicated or recorded by metering during any 15-minute metered
interval in the month. The kilovars shall be determined to the nearest unit. A device
will be installed on each kilovar Meter to prevent reverse operation of the Meter.
12 Effective Date:January 1,2027
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CITY OF RANCHO CUCAMONGA MUNICIPAL UTILITY
ELECTRIC RATES&TARIFFS
6. Temporary Discontinuance of Service
Where the use of energy is seasonal or intermittent, no adjustments will be made
for a temporary discontinuance of service. Any Customer, prior to resuming
service within twelve (12) months after such service was discontinued, will be
required to pay all charges which would have been billed if service had not been
discontinued.
7. Customer-Owned Electrical Generating Facilities
Upon written approval by the Utility, momentary parallel operation may be
permitted to allow the Customer to test the auxiliary/emergency generating
facilities.
8. Contracts
An initial three-year facilities contract may be required where Applicant requires
new or added serving capacity exceeding 2,000 kVA.
9. Billing Calculation
A Customer's bill is calculated according to the rates and conditions above. The
charges are calculated by applying the Rate Charges when applicable to the actual
billing determinants (kilowatt hours [kWh], demand [kW], kilovar [kVa], etc.).
10. Power Cost Adjustment Factor(PCAF)
The rates above are subject to an adjustment as provided in Rule 12, Section E.
11. Change of Law Adjustment Factor(CLAF)
The rates above are subject to an adjustment as provided in Rule 12, Section F.
12. State Mandated Public Purpose Programs Charge
State law requires all California electric utilities to establish a public purpose
program charge of 2.85% of electric retail revenues to fund qualifying energy
efficiency programs, renewable energy resources, research and demonstration
projects, and services for low-income electricity customers.
13 Effective Date:January 1,2027
Page 422
CITY OF RANCHO CUCAMONGA MUNICIPAL UTILITY
ELECTRIC RATES&TARIFFS
LARGE INDUSTRIAL
A. Applicability
Applicable to general services including lighting and power Customers delivered at the
utility's primary distribution voltage level of 12 kV. This Schedule is applicable to and
mandatory for all Customers whose monthly Maximum Demand, in the opinion of the
Utility, is expected to exceed 500 kW or has exceeded 500 kW in any three (3) months
during the preceding twelve (12) months. Any existing Customer on this Schedule whose
monthly Maximum Demand has registered 500 kW or less for twelve (12) consecutive
months is ineligible for service under this Schedule and shall be transferred to another
applicable Rate Schedule. Service under this Schedule is subject to Meter availability.
B. Territory
Within the entire territory served.
C. Rates
Energy Charge - $/kWh/Meter/Month
Summer Season—On-Peak 040-5,590.10750
Mid-Peak 0-.8M0.08479
Off-Peak 0.05607-0.05798
Winter Season—Mid-Peak 0-.077RO.07922
Off-Peak 0.054-760.05367
Customer Charge - $/Meter/Month 515.00
Demand Charge - $/kW of Billing Demand/Meter/Month
Facilities Related 13.50
Time Related Summer—On-Peak 20.00
Summer—Mid-Peak 5.00
Power Factor Adjustment - $/KVA 0.27
D. Special Conditions
1. Time periods are defined as follows:
On-Peak: Noon to 6:00 p.m. summer weekdays except holidays.
Mid-Peak: 8:00 a.m. to noon and 6:00 p.m. to 11:00 p.m. summer weekdays
except holidays.
8:00 a.m. to 9:00 p.m. winter weekdays except holidays.
Off-Peak: All other hours.
Holidays are New Year's Day (January 1), Washington's Birthday (third Monday
in February), Memorial Day (last Monday in May), Independence Day (July 4),
Labor Day (first Monday in September), Veteran's Day (November 11),
Thanksgiving Day(fourth Thursday in November), and Christmas (December 25).
14 Effective Date:January 1,2027
Page 423
CITY OF RANCHO CUCAMONGA MUNICIPAL UTILITY
ELECTRIC RATES&TARIFFS
When any holiday listed above falls on Sunday, the following Monday will be
recognized as an off-peak period. No change will be made for holidays falling on
Saturday.
The Summer Season shall commence at 12:00 a.m. on June 1st and continue until
12:00 a.m. on October lst of each year. The Winter Season shall commence at
12:00 a.m. on October lst of each year and continue until 12:00 a.m. on June lst of
the following year. A pro rata computation will be made for seasonal billing
purposes.
2. Voltage
Service will be supplied at one standard voltage.
3. Maximum Demand
Maximum Demands shall be established for the On-Peak, Mid-Peak, and Off-Peak
periods. The Maximum Demand for each period shall be the measured maximum
average kilowatt input indicated or recorded by instruments, during any 15-minute
metered interval, but, where applicable, not less than the diversified resistance
welder load computed in accordance with the section designated Welder Service in
Rule 2. Where the demand is intermittent or subject to violent fluctuations, a 5-
minute interval may be used.
4. Billing Demand
The Billing Demand shall be the kilowatts of Maximum Demand, determined to
the nearest kW. The Demand Charge shall include the following billing
components. The Time Related Component shall be for the kilowatts of Maximum
Demand recorded during(or established for)the monthly billing period for each of
the On-Peak, Mid-Peak, and Off-Peak Time Periods. The Facilities Related
Component shall be for the kilowatts of Maximum Demand recorded during (or
established for) the monthly billing period. However, when the Utility determines
the Customer's Meter will record little or no energy use for extended periods of
time or when the Customer's Meter has not recorded a Maximum Demand in the
preceding eleven (11) months, the Facilities Related Component of the Demand
Charge may be established at fifty percent (50%) of the Customer's Connected
Load. Separate Demand Charge(s) for the On-Peak, Mid-Peak, and Off-Peak Time
Periods shall be established for each monthly billing period. The Demand Charge
for each time period shall be based on the Maximum Demand for that time period
occurring during the respective monthly billing period.
5. Power Factor Adjustment
The Customer's bill will be increased each month for power factor by the amount
shown in the Rates section above for service metered and delivered at the applicable
voltage level, based on the per kilovar of maximum reactive demand imposed by
the Utility.
The maximum reactive demand shall be the highest measured maximum average
kilovar demand indicated or recorded by metering during any 15-minute metered
interval in the month. The kilovars shall be determined to the nearest unit. A device
will be installed on each kilovar Meter to prevent reverse operation of the Meter.
15 Effective Date:January 1,2027
Page 424
CITY OF RANCHO CUCAMONGA MUNICIPAL UTILITY
ELECTRIC RATES&TARIFFS
6. Temporary Discontinuance of Service
Where the use of energy is seasonal or intermittent, no adjustments will be made
for a temporary discontinuance of service. Any Customer, prior to resuming
service within twelve (12) months after such service was discontinued, will be
required to pay all charges which would have been billed if service had not been
discontinued.
7. Customer-Owned Electrical Generating Facilities
Upon written approval by the Utility, momentary parallel operation may be
permitted to allow the Customer to test the auxiliary/emergency generating
facilities.
8. Customer Responsibilities
The customer will be responsible for all costs associated with the primary point-of-
delivery installation, including the metering and primary voltage physical
disconnect necessary to isolate the customer's facilities from the utility's facilities.
The customer will be responsible to own, operate and maintain all electrical
distribution facilities on the customer side of the primary point-of-delivery
(typically established at the primary meter).
9. Contracts
An initial three-year facilities contract may be required where Applicant requires
new or added serving capacity exceeding 2,000 kVA.
10. Billing Calculation
A Customer's bill is calculated according to the rates and conditions above. The
charges are calculated by applying the Rate Charges when applicable to the actual
billing determinants (kilowatt hours [kWh], demand [kW], kilovar [kVa], etc.).
11. Power Cost Adjustment Factor(PCAF)
The rates above are subject to an adjustment as provided in Rule 12, Section E.
12. Change of Law Adjustment Factor(CLAF)
The rates above are subject to an adjustment as provided in Rule 12, Section F.
13. State Mandated Public Purpose Programs Charge
State law requires all California electric utilities to establish a public purpose
program charge of 2.85% of electric retail revenues to fund qualifying energy
efficiency programs, renewable energy resources, research and demonstration
projects, and services for low-income electricity customers
16 Effective Date:January 1,2027
Page 425
CITY OF RANCHO CUCAMONGA MUNICIPAL UTILITY
ELECTRIC RATES&TARIFFS
STREET LIGHTING
A. Applicability
Applicable to meter for the lighting of streets, and publicly-owned and publicly-operated
automobile parking lots which are opened to the general public where the City owns and maintains
the street lighting equipment and associated facilities included under this Schedule.
B. Territory
Within the entire territory served.
C. Rates
Light Emitting Diode (LED) Lamps—All Night Service
Street Lighting
Energy Charge - $/kWh/Lamp 047M0.07889
Lamp Charge - $/Lamp/Month 2.50
Safety
Energy Charge - $/kWh/Lamp 9.07M0.07889
D. Special Conditions
1. The Applicant shall install streetlights that will be served by the Utility. These
streetlights must be installed in accordance with the Utility's specifications and the
developer will deed such facilities to the City.
2. Requirements and Restrictions
a. The Applicant for street light service shall specify the type of service, lamp
size, and location of street lights.
b. Service shall not be furnished under this Schedule where location,mounting
height, and/or other considerations are unacceptable to the Utility.
C. The installation of street lighting equipment and facilities hereunder is
contingent upon the utility obtaining easements, and rights of way, as may
be required, satisfactory to the Utility for the required poles, lines,
equipment, and facilities.
d. Should the Applicant not commence using the street lighting in a bona fide
manner within ninety(90) days after date of completion and installation of
a street light or street lighting system requested by the Applicant,the Utility
will bill, and the Applicant shall pay, the applicable lamp charges(s).
3. Hours of Service
17 Effective Date:January 1,2027
Page 426
CITY OF RANCHO CUCAMONGA MUNICIPAL UTILITY
ELECTRIC RATES&TARIFFS
Under the Utility's standard all night operating schedule, approximately 4,140
hours of service per year will be furnished.
Kilowatt hours for Lamp Type and Size: The kilowatt hours for lamp types and
sizes served under this Schedule used to determine the Energy Charge are shown
below:
Lamp Watts
Including
Lamp Watts Driver Loss kWh per Lamp per
Light Emitting Diode Including Mid-Point Month
(LED)Lamps Driver Loss Range All Night Service
0-5 2.50 0.9
5.01-10 7.50 2.6
10.01-15 12.50 4.3
15.01-20 17.50 6.0
20.01-25 22.50 7.8
25.01-30 27.50 9.5
30.01-35 32.50 11.2
35.01-40 37.50 12.9
40.01-45 42.50 14.7
45.01-50 47.50 16.4
50.01-55 52.50 18.1
55.01-60 57.50 19.8
60.01-65 62.50 21.6
65.01-70 67.50 23.3
70.01-75 72.50 25.0
75.01-80 77.50 26.7
80.01-85 82.50 28.5
85.01-90 87.50 30.2
90.01-95 92.50 31.9
95.01-100 97.50 33.6
100.01-105 102.50 35.4
105.01-110 107.50 37.1
110.01-115 112.50 38.8
115.01-120 117.50 40.5
120.01-125 122.50 42.3
125.01-130 127.50 44.0
130.01-135 132.50 45.7
135.01-140 137.50 47.4
140.01-145 142.50 49.2
145.01-150 147.50 50.9
150.01-155 152.50 52.6
155.01-160 157.50 54.3
160.01-165 162.50 56.1
165.01-170 167.50 57.8
170.01-175 172.50 59.5
18 Effective Date:January 1,2027
Page 427
CITY OF RANCHO CUCAMONGA MUNICIPAL UTILITY
ELECTRIC RATES&TARIFFS
4. Maintenance
The Utility shall exercise reasonable care and diligence in maintaining its street
light facilities or Utility-owned attachments thereto. Where the Utility experiences,
or expects to experience, maintenance costs exceeding its normal maintenance
expense resulting from, but not limited to, vandalism, the Utility may require the
customer to pay the excess maintenance expense.
5. Liability of the Utility
The Utility shall not, by taking action pursuant to its tariffs, be liable for any loss,
damage, or injury, established or alleged, which may result, or be claimed to result,
therefrom.
6. Removal, Relocation or Modification of Facilities
Where street lighting service and facilities are ordered removed by a customer, the
customer shall pay to the Utility a nonrefundable amount equal to the total
estimated cost installed less any Customer contribution, plus the estimated cost of
removal less the estimated net salvage value of the facilities.
Where street lighting service and facilities were ordered removed by a Customer
and such service and facilities, or their equivalent are ordered reinstalled within
thirty-six (36)months from the date of the order to remove, the Customer shall pay
to the Utility in advance of reinstallation a nonrefundable amount equal to the cost
of removal of the prior facilities and the estimated cost of such reinstallation.
Where street lighting facilities are ordered modified and /or relocated by a
Customer, the Customer shall pay to the Utility, in advance of such modification
and/or relocation, a nonrefundable amount equal to the estimated cost of such
modification and/or relocation. This includes facilities that now serve street light
load only,but that may have been installed originally to serve other than street light
load.
Utility-owned facilities removed or installed remain the sole property of the Utility.
7. Billing Calculation
A Customer's bill is calculated according to the rates and conditions above.
8. Power Cost Adjustment Factor(PCAF)
The rates above are subject to an adjustment as provided in Rule 12, Section E.
9. Change of Law Adjustment Factor(CLAF)
The rates above are subject to an adjustment as provided in Rule 12, Section F.
10. State Mandated Public Purpose Programs Charge
State law requires all California electric utilities to establish a public purpose
program charge of 2.85% of electric retail revenues to fund qualifying energy
efficiency programs, renewable energy resources, research and demonstration
projects, and services for low-income electricity customers.
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TRAFFIC CONTROL
A. Applicability
Applicable to single and three-phase service for traffic directional signs or traffic signal
systems located on streets, highways and other public thoroughfares and to railway
crossing and track signals; for public thoroughfare lighting that is utilized twenty-four(24)
hours per day or is not controlled by switching equipment, such as tunnel or underpass
lighting; and, to public authorities for the illumination of bus stop shelters located in the
dedicated road right-of-way where such service is combined with other traffic control
service as defined above.
B. Territory
Within the entire territory served.
C. Rates
Energy Charge - $/kWh 9 1941-0.12610
Customer Charge - $/Day 0.60
D. Special Conditions
1. Voltage
Service will be supplied at one(1) standard voltage not in excess of 240 volts or, at
the option of the Utility, at 240/480 volts, three wire, single-phase.
2. Billing Calculation
A Customer's bill is calculated according to the rate and conditions above.
3. Power Cost Adjustment Factor(PCAF)
The rate above is subject to an adjustment as provided in Rule 12, Section E.
4. Change of Law Adjustment Factor(CLAF)
The rate above is subject to an adjustment as provided in Rule 12, Section F.
5. State Mandated Public Purpose Programs Charge
State law requires all California electric utilities to establish a public purpose
program charge of 2.85% of electric retail revenues to fund qualifying energy
efficiency programs, renewable energy resources, research and demonstration
projects, and services for low-income electricity customers.
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OUTDOOR AREA LIGHTING
A. Applicability
Applicable to single-phase service for metered outdoor area lighting load, controlled for
dusk to dawn operation and used for purposes other than street and highway lighting such
as, but not limited to parking lots, pedestrian walkways, billboards, building exteriors,
security, sports and recreation areas, monuments, decorative areas, and bus shelters.
B. Territory
Within the entire territory served.
C. Rates
Ener y Charge - $/kVVWeter/Month 0469B0.07437
Customer Charge- $/Meter/Month 15.25
D. Special Conditions
1. Voltage
Service will be provided at one (1) standard voltage.
2. Three-Phase Service
Where, in the sole opinion of the Utility, it is impractical to provide single-phase
service under this Schedule, three-phase service will be provided.
3. Separate Point of Delivery
When requested by the Applicant or Customer, and agreed upon by the Utility, an
additional Point of Delivery may be provided, separate from any other Point of
Delivery provided under any other applicable Rate Schedule. Customers so served
shall not be permitted to have an electrical interconnection beyond the Utility's
Point of Delivery between the separately metered loads except upon written
approval of the Utility.
A change from this Schedule to any other Rate Schedule will be permitted if the
additional Point of Delivery is removed. Any such removal shall be at the
Customer's expense.
Any rearrangement of facilities required to provide the additional Point of Delivery
shall be at the expense of the requesting Applicant or Customer.
4. Controlled Operation
Service under this Schedule requires the control of lamps in a manner acceptable to
the Utility so that lamps will not be lighted daily from dawn to dusk. Customer
shall install, own, operate, and maintain the control device. The Utility shall have
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the right to periodically inspect the control device to ensure its correct operation
and maintenance.
5. Distribution Line Extension
Distribution Line Extensions to reach an outdoor area light or area lighting system
shall be in accordance with Rule 15.
6. Services
Services shall be installed and maintained as provided in Rule 16.
7. Incidental Loads
Incidental, non-lighting loads may be served under this Schedule only where such
Connected Loads do not exceed fifteen percent (15) of the Customer's total
Connected Load. Incidental Loads must also be controlled for dusk to dawn
operation exclusively.
8. Billing Calculation
A Customer's bill is calculated according to the rates and conditions above. The
charges are calculated by applying the Rate Charges when applicable to the actual
billing determinants (kilowatt hours [kWh], demand [M], etc.).
9. Power Cost Adjustment Factor(PCAF)
The rates above are subject to an adjustment as provided in Rule 12, Section E.
10. Change of Law Adjustment Factor(CLAF)
The rates above are subject to an adjustment as provided in Rule 12, Section F.
11. State Mandated Public Purpose Programs Charge
State law requires all California electric utilities to establish a public purpose
program charge of 2.85% of electric retail revenues to fund qualifying energy
efficiency programs, renewable energy resources, research and demonstration
projects, and services for low-income electricity customers.
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IRRIGATION SYSTEMS
A. Applicability
Applicable where the Utility determines that 100%of the customer's electrical usage is for
limited irrigation service except for the Customer whose monthly Maximum Demand, in
the opinion of the Utility, is expected to exceed 20 kW or has exceeded 20 kW in any three
(3) months during the preceding twelve (12) months is ineligible for service under this
Schedule. Effective with the date of ineligibility of any Customer served under this
Schedule,the Customer's account shall be transferred to another applicable Rate Schedule.
B. Territory
Within the entire territory served.
C. Rates
Energy Charge - $/kWh 04S4420.17676
Customer Charge - $/Day 0:880.85
D. Special Condition
1. Voltage
Service will be supplied at one(1) standard voltage not in excess of 240 volts or, at
the option of the Utility, at 240/480 volts, three wire, single-phase.
2. Billing Calculation
A Customer's bill is calculated according to the rate and conditions above.
3. Power Cost Adjustment Factor(PCAF)
The rate above is subject to an adjustment as provided in Rule 12, Section E.
4. Change of Law Adjustment Factor(CLAF)
The rate above is subject to an adjustment as provided in Rule 12, Section F.
5. State Mandated Public Purpose Programs Charge
State law requires all California electric utilities to establish a public purpose
program charge of 2.85% of electric retail revenues to fund qualifying energy
efficiency programs, renewable energy resources, research and demonstration
projects, and services for low-income electricity customers.
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WIRELESS TECHNOLOGY
A. Applicability
Applicable to single-phase service for wireless technology industries that require electric
service to operate radio repeaters or similar devices (wireless communication devices)that
are mounted on existing City facilities, or other facilities approved by the Utility and are
unmetered. This Schedule excludes Wi-Fi devices on"looped" (served by 120/240 volts)
streetlight facilities. Customers must execute an application/contract with the Utility for
service under this Schedule and must execute an applicable agreement when devices are
attached to City facilities. The monthly kilowatt-hour (kWh) usage of each device shall
not exceed 500 kWh. Effective with the date of ineligibility of any Customer served under
this Schedule, the Customer's account shall be transferred to another applicable Rate
Schedule. If the Customer's account cannot be transferred to another applicable Rate
Schedule, the account will be closed, the Utility's service will be removed, and the
Customer must remove its device and equipment form the applicable City facility.
B. Territory
Within the entire territory served
C. Rates
Fixed Energy Charge - $/Device/Month 61.20
Customer Charge - $/Month 4S-.K19.76
Inspection Charge - $/Device/Month 12.60
Three-Phase Service - $/Day 0.03
Initialization of Service Charge 6.79
D. Special Conditions
1. Contract
An approved City contract is required for service under this Rate Schedule.
2. Voltage
Service will be supplied at one (1) standard voltage not in excess of 240 volts.
3. Three-Phase Service
Where the Utility provides three-phase service, the billing will be increased by the
amount shown in the Rates section above.
4. Maximum Wattage
The maximum watts/connected load/name plate is 746 watts.
5. Installation
The device(s) shall be installed on City facilities or other facilities approved by the
Utility. When the devices are installed on City facilities, the installation and
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removal of such device(s) will be performed by the Customer, and at the
Customer's expense. Device installation shall not be performed under this Rate
Schedule, where location, mounting height, and/or other considerations are not
acceptable to the Utility. Unless approved by the Utility, all wireless
communication devices must be visible to the Utility.
7. Modification of Facilities
No modifications can be made to the Customer-owned wireless communications
devices unless approved by the Utility. Where the Customer requests a
modification of City facilities, and such modifications are acceptable to the City,
the City will perform the requested modifications at the Customer's expense.
8. Maintenance
The Utility shall exercise reasonable care and diligence in maintaining its facilities.
Upon installation of the device(s), where the Utility experiences, or expects to
experience, maintenance costs exceeding its normal maintenance expense resulting
from,but not limited to,vandalism,the Utility may require the Customer to pay the
excess maintenance expense.
9. Liability of the Utility
The Utility shall not, by taking action pursuant to its tariffs, be liable for any loss,
damage, or injury, established or alleged,which may result, or be claimed to result,
there from.
10. Initialization of Service Charge
A one-time charge, as shown in the Rates section of this Rate Schedule, is applied
to each service account provided service under this Rate Schedule to recover the
costs of a lock and spare fuse which are required with the initialization of service.
11. Power Cost Adjustment Factor(PCAF)
The rates above are subject to an adjustment as provided in Rule 12, Section E.
12. Change of Law Adjustment Factor(CLAF)
The rates above are subject to an adjustment as provided in Rule 12, Section F.
13. State Mandated Public Purpose Programs Charge
State law requires all California electric utilities to establish a public purpose
program charge of 2.85% of electric retail revenues to fund qualifying energy
efficiency programs, renewable energy resources, research and demonstration
projects, and services for low-income electricity customers.
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NET ENERGY METERING
A. Applicability
Applicable to a customer who operates a renewable electrical generation facility that is
located on the customer's premises with a capacity of not more than 1 MW that is
interconnected and operates in parallel with the City's electric system, intended primarily
to offset part or all of the customer's own electrical requirements, and meets all the
applicable safety and performance standards.
B. Territory
Within the entire territory served.
C. Net Surplus Compensation Rate
For customer accounts established on or after December 1, 2018: The net surplus
compensation rate shall be $0.0500 per kWh applied to any net surplus energy remaining
at the end of the customer's twelve (12) monthly billing period("relevant period").
Grandfathered Provision: For customer accounts established before December 1, 2018:
The net surplus compensation rate shall be equivalent to the highest hourly rate that was
charged for consumption in their OAT during the year prior to the Customer's Annual
Billing Date.This provision will remain in effect for fifteen(15)years from the Customer's
original year in which the generating facility was interconnected to RCMU's grid. After
that period expires, the Customer will receive the current net surplus compensation that is
being offered at that time.
D. Rates
1. All rates charged under this schedule will be in accordance with the Eligible
Customer-Generator's otherwise applicable tariff (OAT) or rate schedule. An
Eligible Customer-Generator served under this schedule is responsible for all
charges in its OAT including the monthly or annual minimum charges (including
service, customer, reliability and demand charges, when applicable) regardless of
the Customer's monthly or annual net generation.
Eligible Customers under this schedule are subject to any new or additional
charge(s)that may be imposed by the Utility on the other customer in the rate class
to which Customer would otherwise be assigned.
2. As determined in each billing period,when a customer consumes more energy than
generated at the premises (net consumer), the net consumed energy will be used in
the calculation of all applicable energy charges, calculated by multiplying the net
amount consumed by the applicable energy rate components of the customer's
OAT.
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3. As determined in each billing period,when a customer generates more energy than
is consumed by the customer(net generator),the resulting net produced energy will
be calculated by multiplying the net produced kWh by the applicable energy rate
component of the Customer's OAT (including TOU periods) and be a credit on the
bill. Any net kilowatt-hours of production credit that exceeds the net consumed
energy, will be carried forward into the next billing period.
If the Customer's OAT includes "time of use" (TOU) rates, any net energy
consumed monthly shall be calculated according to the terms of the OAT. When
the customer is a net generator during any TOU period, the net kilowatt-hours
generated shall be valued at the same price per kilowatt-hour as the Utility would
charge during that same TOU period.
4. Customers who are Net Surplus Electricity producers at the Customer's Annual
True-Up Date,may elect to either carry over annual Net Surplus Energy production
(in kilowatt hours) as a credit that will be applied to kilowatt hours consumed by
the Customer or Customer may elect to receive payment to cash out the remaining
Net Surplus Energy.
D. Special Condition
1. An executed Net Energy Metering and Generating Facility Interconnection
Agreement is required prior to receiving service under this Schedule.
2. Metering Requirements: If the customer's existing meter is not capable of
measuring the flow of energy in two directions, an appropriate meter shall be
provided at the expense of the customer. The City may elect to install an additional
meter or meters, at the City's expense to provide the information necessary to
accurately bill or credit the customer.
3. To be eligible for service under this Schedule, the customer's generating facilities
must be sized to offset part or all of the customer's own electrical requirements and
cannot be oversized. This means that the estimated output of the generating facility,
using the CEC-AC nameplate rating for inverter-based generating facilities must
not exceed the customer's previous annual usage in kWh.
4. A new customer of record who owns, leases, or rents a premise that includes an
existing generating facility with a capacity under 30 kW that was approved by
RCMU for operation prior to the new customer moving in and/or taking electric
service with RCMU will take service under this Tariff as long as the requirements
of this Tariff are met and will not have to sign a new Interconnection Agreement.
This provision also applies to premises where the developer/contractor establishes
the interconnection.
A new customer of record who owns, leases, or rents a premise that includes an
existing generating facility with a capacity over 30 kW that was approved by
RCMU for operation prior to the new customer moving in and/or taking electric
service with RCMU will take service under this Tariff and will need to sign a new
Interconnection Agreement.
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5. RCMU shall retain any net surplus energy generated by the NEM Customer
including any associated environmental attributes or renewable energy credits
(RECs).
6. Net Metering Aggregation (NMA): Customers served under this Tariff with a
Generating Facility on a property owned by the Customer, may elect to aggregate
electric services to additional properties that are solely owned by the Customer and
are located on parcels adjacent or contiguous to the Generating Facility. Generation
not used where the Generating Facility is located, is transferred to adjacent
properties and equally distributed to the other properties by a percentage
determined upon entering into the Interconnection Agreement. NMA does not
allow for Net Surplus Compensation for excess generation.
E. Billing
1. City shall provide all customers served under this Schedule with net energy
consumption information and/or net energy export information with each monthly
bill.
2. Customers served under this Schedule shall pay both energy and non-energy
charges on a monthly basis, in accordance with the customer's OAT except as
otherwise allowed by State law. The value of net energy production will be used
to offset only energy related charges in subsequent billing periods.
F. Definitions
1. Net energy metering measures the difference between the electricity supplied
through the electric grid and the electricity generated on the customer's premises
and fed back to the electric grid over a Twelve-Month Period.
2. Otherwise Applicable Tariff(OAT) is the customer's regularly filed rate schedule
under which service is rendered.
3. Net Surplus Electricity is the electricity generated by an eligible customer-
generator measured in kilowatt hours over a 12-month period that exceeds the
amount of electricity consumed by that eligible customer-generator.
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ECONOMIC DEVELOPMENT
A. Applicability
Commercial or industrial end-use Customers that would otherwise receive service under
the Large Commercial or Large Industrial Electric Rate Schedule and meet certain criteria
as established and adopted by resolution of the City Council of the City of Rancho
Cucamonga may take advantage of the Economic Development (ED) rate as a New
Customer or Expanded Load Customer. This ED rate is applicable to all or part of the
services provided to New Customers and Expanded Load Customers, as such terms are
defined herein.
1. A New Customer shall be a Customer seeking to locate a new business or relocate
an existing business(not currently located within the territory served by the Rancho
Cucamonga Municipal Utility (RCMU)) within RCMU's service territory.
a. A New Customer shall meet both of the following criteria in order to qualify
for Schedule ED:
i. Projected minimum monthly electric demand of at least 200 kW.
ii. Job Creation
1. Tier 1 Discount Rate 100—249 jobs
2. Tier 2 Discount Rate 250— 500 jobs
3. Tier 3 Discount Rate greater than 500 jobs
2. An Expanded Load Customer shall be an existing RCMU Large Commercial or
Large Industrial customer that is adding new load to RCMU by a minimum monthly
electric demand of 200 kW based upon the Customer's past electrical demand as
determined by RCMU. The expanded load can be at the customer's current site, or
at a new site within the RCMU service territory. The Tier 1 ED rate will only be
applied to the expanded load as determined in Section 6 below.
B. Territory
Within the entire territory served.
C. Character of Service
The service provided hereunder shall be alternating current with regulated frequency of 60
hertz, three-phase, or a combination single and three-phase served through one meter, at a
standard voltage specified by RCMU. To be eligible to participate all customers must have
a demand meter.
D. Rates
Except as provided herein, or in the Economic Development Rate Agreement, all charges
and provisions of the Customer's otherwise applicable rate schedule shall apply. The
applicable Energy Charge and Demand Charge under the Customer's otherwise applicable
rate schedule will be reduced as follows:
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Tier 1 Tier 2 Tier 3
Years 1 - 2 20% 20% 20%
Years 3 - 4 15% 17% 20%
Year 5 10% 12% 15%
E. Special Conditions
1. Term: Economic Development Rate Agreements entered into under this Schedule shall
be for a single five-year term.
2. Approval: Application of this Rate Schedule shall be subject to the approval of the
City Manager or his/her designee,based on meeting the eligibility criteria outlined
herein.
3. Agreement: The Customer must sign a standard Rancho Cucamonga Economic
Development Rate Agreement in order for the rates under this Schedule to be
applicable. In addition to the other terms of this Schedule, the Economic
Development Rate Agreement shall require the Customer to reimburse Rancho
Cucamonga for all rate reductions received under this Schedule, if the Customer
fails to maintain the required minimum load during the five-year term of the
Agreement.
4. Minimum Load: Customers qualifying under this Schedule as a New Customer with a
projected minimum monthly electric demand of at least 200 kW or as an Expanded
Load Customer under Applicability Sections 1 and 2 above, respectively, must
agree to maintain a minimum level of load for five years from the date service is
first rendered under this Schedule and to document compliance with all applicable
requirements, as set forth in the Economic Development Rate Agreement.
5. Job Creation / Retention: Customers qualifying under this Schedule as a New
Customer with a projected minimum monthly electric demand of at least 200 kW
under Applicability Section la (ii), respectively, must agree to create and retain a
minimum level of full-time equivalent jobs for five years from the date service is
first rendered under this Schedule and to document compliance with all applicable
requirements, as set forth in the Economic Development Rate Agreement.
6. Base Period Usage: Base Period Usage shall be established and agreed to in the
Economic Development Rate Agreement for Expanded Load Customers. Base
Period Usage shall be the average monthly energy use and demand for the Customer
during the last three years of service to the Customer, from the date ending the last
payment period before the date of the Agreement. Expanded Load qualifying for
the rate under this Schedule shall be measured as the difference between the new
monthly,metered documented energy use and demand, and the Base Period Usage.
7. State Mandated Public Purpose Program Charge:All bills rendered under this Schedule
shall be subject to the Public Purpose Program Charge as established by the City
Council.
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8. Miscellaneous Fees and Charges: Rates charged pursuant to this Schedule shall be
subject to any Energy Users Taxes, Utility Users Taxes, and any other
governmental taxes, duties, or fees which are applicable to Electric Service
provided to Customer by the City of Rancho Cucamonga. Rates are also subject to
adjustment, as established by the City of Rancho Cucamonga's City Council, in its
sole discretion, in response to federal or state climate change laws, renewable
portfolio standard or other mandated legislation. These adjustments may include
but are not limited to charges to mitigate the impacts of greenhouse gas emissions
or"green power"premiums.
9. Expanded Load: Expanded Load customers applying for this rate must demonstrate to
the satisfaction of the Utility that the expanded load is new to the Rancho
Cucamonga Municipal Utility.
10. Effective Date: The effective date of the Economic Development Rate Agreement shall
commence within 12 months from the date of the City's approval, or the Agreement
becomes null and void. The Agreement becomes effective upon execution by the
parties, and the Economic Development Rate commences upon written notice by
Customer and coincides with the Customer's normal billing cycle.
11. Reapplication: Customers who have received service under the Economic
Development Rate are eligible to reapply for the rate as an Expanded Load
Customer, if they meet the criteria therefore.
12. Restrictions: Residential customers and federal, state or local government agencies are
not eligible to apply for service under this Schedule.
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STANDBY DEMAND CAPACITY RESERVATION CHARGE
(SELF GENERATION)
A. Applicability
Applicable to Large Commercial and Large Industrial customers who operates a non-net
metered, non-utility generating facility rated at 1000 kW or less, interconnected on the
Customer's premises and operates in parallel with the City's electric system. The
generating facility is intended primarily to offset part or all of the customer's own electrical
requirements and meets all the applicable safety and performance standards.
Standby service customers have unique electric demands, due to their on-site generation
assets, that are often quite different from those of full requirement customers. These
customers pay standby rates so that they may,in the event of a planned or unplanned outage
of their non-utility generating system, take service from the City electric system. The City
bears an "obligation to serve" and must configure their system to allow every customer
reliable access to the grid. The standby charge is designed to recover the costs of
transmission and distribution facilities, as well as substation and transformers dedicated to
the customer's use that do not vary with usage in maintaining sufficient capacity (through
operating reserves) in order to serve an unplanned outage, even if such an outage never
occurs. The standby charge also includes appropriate service voltage level distinctions:
secondary and primary.
B. Territory
The entire territory served.
C. Rates
1. Rates for this service shall be the same as for the schedule under which the
customer's otherwise applicable rate schedule shall apply.
2. Standby Demand Capacity Reservation Charge(CRC): A CRC shall be a flat$/kW
amount applied to the Standby Demand in kW,which represents the entire reserved
capacity needed for the City to serve the self-generation customer's load, which
would have been regularly served by the customer's generating facility when such
facility experiences a partial or complete outage. The level of Standby Demand
shall be provided by the customer and shall not exceed the nameplate capacity of
the customer's generating facility.
Standby Charge— Secondary($/kW) Standby Charge—Primary($/kW)
$8.61 $7.61
3. Demand Charge: As determined in each billing period, a Standby Service
customer's billing demand shall be the kilowatts of Maximum Demand indicated
or recorded by instruments, determined to the nearest kW of the absolute net power
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that the customer received from the City's electric system. The Demand Charge for
each time period shall be based on the Maximum Demand for that time period
occurring during the respective monthly billing period.
4. Energy Charge: As determined in each billing period, when a Standby Service
customer consumes more energy than generated at the premises, the net consumed
energy will be used in the calculation of all applicable energy charges. All Energy
shall be billed in accordance with the customer's Otherwise Applicable Tariff rate
schedule which would otherwise apply if the customer had no generating
equipment.
5. Other charges: All other specific rate components, including the Power Factor
Adjustment Charge, Customer Charge and the State Electric SurTax will not vary
based on registered usage or demand of the customer's generating facility.
D. Special Conditions
I. Contract Required-Customer shall sign an Interconnection Agreement contract for
this service, which shall state the number of kW of standby capacity required.
"Standby capacity" shall not exceed the nameplate rating of the customer's
generating equipment.
2. Metering Requirements - If the customer's existing meter is not capable of
measuring the flow of energy in two directions, an appropriate meter shall be
provided at the expense of the customer. The City may elect to install an additional
meter or meters, at the customer's expense to provide the information necessary to
accurately bill or credit the customer.
3. The CRC tariff is only applicable to Standby Service customers who require electric
capacity and energy supplied by the City on a regular basis to supplement the
Customer's power requirement in addition to that ordinarily supplied by the on-site
non-utility generation facilities. If a customer has a planned generator outage with
prior notification given to RCMU for an entire billing period the standby charge
will not be applicable.
4. Customers exempted from the CRC tariff:
(a) Customers with backup on-site generation that is used exclusively when service
from the utility is not available in the event of an interruption in utility service and
which are not used to offset Customer electricity purchases.
(b) The applicability of these exemptions shall be determined at the discretion of the
Utilities Manager.
5. Standby Demand in kW represents the entire reserved capacity needed for the City
to serve the customer's load,regularly served by the customer's generating facility
when such facility experiences a partial or complete outage. The level of Standby
Demand, which shall not exceed the nameplate capacity of the customer's
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generating facility, is initially designated by the customer and is set forth in the
generation interconnection agreement. Once a customer's designated Standby
Demand has been set, it shall remain at such level for a minimum of 12 months
unless, in the City's determination, the Standby Demand needs to be adjusted to
more accurately represent the customer's actual reserve capacity needs. Upon the
City's determination that the customer's designated Standby Demand does not
reflect the actual level of needed reserve capacity, over any 15-minute period or
through on-site verification,the City shall adjust the Standby Demand to reflect the
actual needed reserve capacity. When the Standby Demand is adjusted by the City
as provided above, a qualified change in the Standby Demand shall not be made for
12 months from the last adjustment. The customer is responsible for notifying the
City of permanent or material changes in their generation facilities (size, type and
operations) for future adjustments to the Standby Demand.
6. Diversity Factor- a statistical assumption that a certain percentage of standby load
will be utilizing substation and distribution service between each class' peak
demand and the system peak demand. This factor was determined using the
diversity factors calculated in the utility's most recent cost of service study and is
embedded in the current CRC tariff. A percentage difference was identified as the
diversity factor and the distribution and substation portion of the standby rates were
reduced accordingly reflecting a reduction in those infrastructure requirements.
E. Billing Calculation
A Customer's bill is calculated according to the rates and conditions above. The charges
are calculated by applying the Rate Charges on the customer's applicable nameplate
generation capacity for the generating unit at the customer's facility. All other usage
provided by RCMU will be based on the applicable rate tariff, including any riders or
additional charges.
Customers served under this Schedule shall pay both energy and non-energy charges on a
monthly basis, in accordance with the customer's Otherwise Applicable Tariff except as
otherwise allowed by State law.
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ELECTRIC VEHICLE CHARGING
A. Applicability
Applicable solely for the charging of electric vehicles, on a premises or public right of way
where a separate RCMU meter to serve electric vehicle (EV) charging facilities is
requested.
B. Territory
Within the entire territory served.
C. Rates
Energy Charge - $/kWh/Meter/Month
Summer Season—On-Peak 0.23654
Mid-Peak 0407-3-50.11086
Off-Peak 0.04273
Winter Season—On-Peak 0.094-N0.09477
Mid-Peak 0.07932
Off-Peak 0-.053h0.05674
Customer Charge - $/Meter/Month Under 20 kW 30.00
Over 20 kW 185.00
Demand Charge - $/kW of Billing Demand/Meter/Month
Facilities Related 12.00
Power Factor Adjustment - $/KVA 0.30
D. Special Conditions
1. Time periods are defined as follows:
On-Peak: Noon to 6:00 p.m. weekdays except holidays
Mid-Peak: 8:00 a.m. to noon and 6:00 p.m. to 11:00 p.m. weekdays except
holidays.
Off-Peak: All other hours.
Holidays are New Year's Day (January 1), Washington's Birthday (third Monday
in February), Memorial Day (last Monday in May), Independence Day (July 4),
Labor Day (first Monday in September), Veteran's Day (November 11),
Thanksgiving Day(fourth Thursday in November), and Christmas (December 25).
When any holiday listed above falls on Sunday, the following Monday will be
recognized as an off-peak period. No change will be made for holidays falling on
Saturday.
The Summer Season shall commence at 12:00 a.m. on June 1st and continue until
12:00 a.m. on October 1st of each year. The Winter Season shall commence at
12:00 a.m. on October 1st of each year and continue until 12:00 a.m. on June 1 st of
35 Effective Date:January 1,2027
Page 444
CITY OF RANCHO CUCAMONGA MUNICIPAL UTILITY
ELECTRIC RATES&TARIFFS
the following year. A pro rata computation will be made for seasonal billing
purposes.
2. Voltage Service will be supplied at one (1) standard voltage.
3. Metering
Only EV charging facilities and related equipment shall be separately metered and
served under this Schedule. Where RCMU determines that the operation of the EV
charging facilities may interfere with service to that customer or other customers,
RCMU will install a load management device at customer's expense to control
when EV charging will occur. For purposes of monitoring customer load, RCMU
may install at its expense, load research metering. The customer shall provide, at
no expense to RCMU, a suitable location for meters and associated equipment.
4. Billing Demand
The Billing Demand shall be the kilowatts(kW) of Maximum Demand, determined
to the nearest kW. The Demand Charge may include the following billing
components. The Time Related Component shall be for the kilowatts of Maximum
Demand recorded during (or established for) the monthly billing period. The
Facilities Related Component shall be for the kilowatts of Maximum Demand
recorded during(or established for)the monthly billing period. However,when the
Utility determines the Customer's Meter will record little or no energy use for
extended periods of time or when the Customer's Meter has not recorded a
Maximum Demand in the preceding eleven (11) months, the Facilities Related
Component of the Demand Charge may be established at fifty percent(50%) of the
Customer's Connected Load.
5. Maximum Demand
The Maximum Demand in any month shall be the measured maximum kilowatt
input, indicated or recorded by instruments, during any 15-minute metered interval
in the month.
6. Power Factor Adjustment
The Customer's bill will be increased each month for power factor by the amount
shown in the Rates section above for service metered and delivered at the applicable
voltage level, based on the per kilovar of maximum reactive demand imposed by
the Utility.
The maximum reactive demand shall be the highest measured maximum average
kilovar demand indicated or recorded by metering during any 15-minute interval in
the month. The kilovars shall be determined to the nearest unit. A device will be
installed on each kilovar meter to prevent reverse operation of the meter.
7. Interconnection
Customers taking service under this Schedule shall have no electrical
interconnection beyond the RCMU's Point of Delivery between electrical loads
eligible for service under this Schedule and any other electrical loads.
8. Temporary Discontinuance of Service.
36 Effective Date:January 1,2027
Page 445
CITY OF RANCHO CUCAMONGA MUNICIPAL UTILITY
ELECTRIC RATES&TARIFFS
Where the use of energy is seasonal or intermittent, no adjustments will be made
for a temporary discontinuance of service. Any Customer resuming service within
twelve (12) months after such service was discontinued will be required to pay all
charges which would have been billed if service had not been discontinued.
9. Customer-Owned Electrical Generating Facilities.
Upon written approval by the Utility, momentary parallel operation may be
permitted to allow the Customer to test the auxiliary/emergency generating
facilities.
10. Billing Calculation.
A Customer's bill is calculated according to the rates and conditions above. The
charges are calculated by applying the Rate Charges when applicable to the actual
billing determinants (kilowatt hours [kWh], demand [kW], kilovar [kVa], etc.).
11. Power Cost Adjustment Factor(PCAF).
The rates above are subject to an adjustment as provided in Rule 12, Section E.
12. Change of Law Adjustment Factor(CLAF).
The rates above are subject to an adjustment as provided in Rule 12, Section F.
12. State Mandated Public Purpose Programs Charge.
State law requires all California electric utilities to establish a public purpose
program charge of 2.85% of electric retail revenues to fund qualifying energy
efficiency programs, renewable energy resources, research and demonstration
projects, and services for low-income electricity customers.
37 Effective Date:January 1,2027
Page 446
CITY OF RANCHO CUCAMONGA MUNICIPAL UTILITY
ELECTRIC RATES&TARIFFS
POWER COST ADJUSTMENT FACTOR
A. Applicability
The Power Cost Adjustment Factor (PCAF) is a charge per kWh which is used to adjust
the Utility's electric rates for the actual cost of purchasing and generating electric power
and energy to service the Utility's customers and to minimize fluctuations in rates.
The energy charge per kWh in each Rate Schedule recovers the costs of purchasing and
delivering power and energy from all suppliers of power and energy, other suppliers and
the cost of power from the Utility's owned generating resources.
B. Territory
Within the entire territory served.
C. Calculation
The PCAF will be calculated using the most recent six (6) month's actual power cost and
applied to each customer's following monthly billed energy (k)").
The Adjustment shall be calculated according to the following formula:
PCAF = ((P/S) +L) —B
P =Wholesale power supplier cost*
S =Number of kilowatt-hours sold during the same time period as factor"P"
L= System annual average losses
B = The average cost of power per kilowatt-hour sold and recovered through base
retail rates
*Power Supplier Costs shall include all costs of power supply including but not
limited to costs of power production, power purchases, transmission and wheeling
payments, losses, CAISO, capacity, REC's, environmental allowances and
scheduling and dispatching.
D. Special Conditions
1. The PCAF, which may be either positive or negative, will be reviewed and revised
monthly to reflect actual changes.
2. Should the PCAF ever exceed the base retail rate, the Utility will cap the PCAF for
the billing month at the base retail rate and charge each customer the difference
between the PCAF and the base retail rate in the next available subsequent billing
month.
38 Effective Date:January 1,2027
Page 447
CITY OF RANCHO CUCAMONGA MUNICIPAL UTILITY
ELECTRIC RATES&TARIFFS
SERVICE ESTABLISHMENT CHARGE
A. Applicability
Applicable to General Service and Domestic Service customers.
B. Territory
Within the entire territory served.
C. Rates
For each establishment of electric service............... $15.00
D. Special Conditions
1. The service establishment charge provided for herein is in addition to the charges calculated
in accordance with the applicable schedule and may be made each time an account is
established. As used herein, establishment means each time an account is opened, including
a turn on of electric service or a change of name which requires a meter reading.
2. In case the customer requests that electric service be established on the day of his request or
outside of regular hours, an additional charge of$11.00 may be made.
39 Effective Date:January 1,2027
Page 448
RANCHO
f CUCAMONGA
Resolution Amending
RCM, U Ele c t ric Ra t e s
City Council — Public Hearing
November 19 , 2025
RANCHO RCMU Rate History
f CUCAMONGA
• As a locally owned public utility for the last 21 years,
PCMU is a not -for - profit utility
• Rates a re set loca l ly a nd a pproved by the City Cou nci l
• Rates are based on the actua l cost to provide electric
service
RANCHO RCMU Rates
f CUCAMONGA
• Based on the actual cost to provide electric service
while remaining
• Fair
• Equitable
• F *inanciallysusta *lnable
• Engaged Utility Financial Solutions ( UFS ) to perform
Cost - of- Service Study and Rate Design
• Last rate adj* ustment - July ] , 2022 ( increase of 3 % )
RANCHO RCMU Cost of Service StudyCUCAMONGA
• Phase I - determine net revenue required to cover
projected operating and capital expenditures ( O & M , power
contracts , capital improvements , and replacement )
• Phase I I - assig n costs to PCM U ' s f u nctiona l services a nd
then a l locate the cost com ponents to the va rious rate
classes
• Phase I I I - deve lop rate adj ustments a nd f i na l rate desig n
RANCHO Rate Recommendation
f CUCAMONGA
• Residential rates increase an average of 4%
• Increases only in customer charge component to
better align with cost - of- service and reduce cross
su bsidy
• Commercial / Industrial rates increase an average of 2%
• I ncreases on ly i n the energy cha rge com ponent to
better align with cost - of- service
• It should be noted that all PCIVIU rate classes will continue
to be significantly lower than comparable SCE rates
RANCHO
CUCAMONGA
Average Customer Energy
Monthly Charge % Charge &
Difference Difference Difference
Rate Classes Average Monthly Bill ( ) (YO)
Current Proposed kWh kW
Residential - Single $108.37 $112. 13 3.4% 27.3% N/C
Family (725 kWh)
Residential - Multi $118.04 $121 .53 2.9% 27.3% N/C
Family (765 kWh)
Small Commercial $489.62 $496.00 1 .3% 7.7% 1 %
(2425 kWh)
Medium Commercial $3,736.66 $3797.38 1 .6% N/C 1 .7% N/C
(21 ,075 kWh ; 60 kW)
Medium TOU (115,507 $193851 .01 $20, 136.32 1 .4% N/C 1 .4% N/C
kWh; 314 kW)
Large Commercial $455233.35 $45,755.97 1 . 1 % N/C 1 .2% N/C
(273,621 kWh/586 kW)
Large Industrial (1 , 192 $178,603. 19 $180)857.37 1 .2% N/C 1 .2% N/C
MWh/2,280 kW)
RANCHO RCMURecommendati* on
f CUCAMONGA
• Staff recommends that the City Council open the Public
Hearing and adopt the attached Resolution amending
PCIVIU I s Electric Rates , Fees , and Charges
• If approved , the revised rates will take effect January 1 , 2026
CITY OF RANCHO CUCAMONGA
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DATE: November 19, 2025
TO: Mayor and Members of the City Council
FROM: John R. Gillison, City Manager
INITIATED BY: Jennifer Nakamura, CNU-A, Planning Director
Aracely Estrada, Management Analyst I
SUBJECT: Consideration of First Reading of Ordinance No. 1051, to be Read by
Title Only and Waive Further Reading, an Ordinance that Repeals
Ordinance 89 Adopting a Design Review Procedure. (ORDINANCE NO.
1051) (CITY)
RECOMMENDATION:
Staff recommends that the City Council adopt Ordinance No. 1051, by approving a first reading,
to be read by title only, and waive further reading, an ordinance which serves to repeal Ordinance
89 adopting a design review procedure that established a Design Review Committee and design
review criteria.
BACKGROUND:
The City of Rancho Cucamonga has several advisory bodies that meet to review and make
recommendations on policies and priorities. Advisory bodies play an important role in the
governance of the City and provide valuable input to the City Council and the Planning
Commission. An advisory body under the purview of the Planning Department is the Design
Review Committee (DRC). The DRC is not an authoritative body, but rather, a recommending
body subject to the authority of the Planning Commission.
Advisory committees like the DRC abide by administrative regulations set forth in the Municipal
Code and applicable state laws such as the Ralph M. Brown Act. Administrative regulations are
intended to guide the committees on matters related to policies, duties, operations, and
procedures.
ANALYSIS:
In 1979, the DRC was established under Ordinance 89 and by Resolution No. 79-61. Both the
Ordinance and the Resolution provided the DRC with procedures to follow and authorized the
DRC the right to develop its own rules and regulations for conducting its meetings and for
developing its own criteria and standards.
Although provisions of Municipal Code section 17.04.020 Administrative Responsibility—Planning
Agency, and the City of Rancho Cucamonga's 2023 Boards/Commissions/Committees Staff
Liaison Handbook offered more updated administrative regulations than did the Resolution and
Ordinance, neither the Municipal Code nor the Staff Liaison Handbook provided sufficient details
specific to the DRC. Thus, Resolution No. 2025-033 was created to provide updated
Page 449
administrative regulations. Resolution 2025-033 repeals Resolution No. 79-61 and adopts DRC
Bylaws. The Resolution was approved and adopted by the Planning Commission on October 22,
2025.
Accordingly, it was determined that Ordinance 89 is obsolete and consequently, should be
repealed.
FISCAL IMPACT:
None.
COUNCIL MISSION /VISION /VALUE(S) ADDRESSED:
This item supports the City Council's core values of relentless pursuit of improvement.
ATTACHMENTS:
Attachment 1 - Draft Ordinance No. 1051
Page 2
Page 450
Attachment 1
ORDINANCE NO. 1051
AN ORDINANCE OF THE CITY OF RANCHO CUCAMONGA,
CALIFORNIA, REPEALING ORDINANCE NO. 89 ADOPTING A
DESIGN REVIEW PROCEDURE WHICH ESTABLISHES A
DESIGN REVIEW COMMITTEE AND DESIGN REVIEW
CRITERIA
The City Council of the City of Rancho Cucamonga does ordain as follows:
Section 1. Recitals.
A. In 1979 the City Council of the City Rancho Cucamonga ("City") adopted
Ordinance 89 and the City's Planning Commission adopted Resolution 79-61, both collectively
establishing the Design Review Committee as an advisory body to the Planning Commission
and City Council and applicable governing regulations in order to support the implementation of
the General Plan.
B. The Design Review Committee is a recommending body with the authority to
review architectural and site plan elements as defined by Municipal Code Section 17.04.020.
The Design Review Committee has further been operating under the guidance of established
documentation such as Rancho Cucamonga's 2023 Boards/Commissions/Committees Staff
Liaison Handbook.
C. In order to better define the role of the Design Review Committee considering
recent changes to State law governing land use and land development procedures, City staff
have prepared draft administrative regulations, otherwise referred to as the DRC Bylaws.
Planning Commission Resolution 2025-033 repealed the previous Planning Commission
Resolution 79-61.
D. On October 22, 2025, the Planning Commission of the City of Rancho
Cucamonga considered the proposed DRC Bylaws, and following the receipt of public comment,
adopted Resolution No. 2025-033 approving the DRC Bylaws and repealing Planning
Commission Resolution 79-61.
E. The City Council desires to repeal Ordinance No. 89, as the Planning
Commission's adoption of the DRC Bylaws by adoption of Resolution No. 2025-033 now provide
the governing regulations for the Design Review Committee.
Section 2. Ordinance.
A. Recitals. The City Council finds the foregoing recitals and their findings to be true
and correct, and hereby incorporates such recitals and their findings into this Ordinance.
B. Ordinance No. 89 (An Ordinance of the City of Rancho Cucamonga, California,
Adopting a Design Review Procedure Which Establishes a Design Review Committee and
Design Review Criteria) is hereby repealed in its entirety.
Ordinance No. 1051 - Page 1 of 3
Page 451
Section 3. CEQA. Pursuant to the California Environmental Quality Act ("CEQA") and the
City's local CEQA Guidelines, the City Council finds that adoption of this Ordinance is covered
by general rule that CEQA applies only to projects which have the potential for causing a
significant effect on the environment. The City Council finds that there is no possible significant
effect directly related to adoption of this Ordinance, therefore no further action is required under
CEQA pursuant to Section 15061(b)(3) of the State CEQA Guidelines (14 CCR § 15061(b)(3)).
This is because this Ordinance will result in no potential development that could have an
environmental impact.
Section 4. Severability. The City Council declares that, should any section, subsection,
subdivision, sentence, clause, phrase, or portion of this Ordinance for any reason be held invalid
or unconstitutional by the decision of any court of competent jurisdiction, such decision shall not
affect the validity of the remaining portions of this Ordinance. The City Council hereby declares
that it would have adopted this Ordinance and each section, subsection, subdivision, sentence,
clause, phrase, or portion thereof, irrespective of the fact that any one or more sections,
subsections, subdivisions, sentences, clauses, phrases, or portions thereof be declared invalid
or unconstitutional.
Section 5. Effective Date. This Ordinance shall be in full force and effective thirty (30) days
after its adoption, and shall be published or posted as required by law.
Section 6. Publication. The City Clerk shall certify to the adoption of this Ordinance and
shall cause it to be published in the manner required by law.
Ordinance No. 1051 - Page 2 of 3
Page 452
PASSED, APPROVED,AND ADOPTED this_ day of November, 2025.
L. Dennis Michael, Mayor
ATTEST:
Kim Sevy, City Clerk
STATE OF CALIFORNIA )
COUNTY OF SAN BERNARDINO ) ss
CITY OF RANCHO CUCAMONGA )
I, Kim Sevy, City Clerk of the City of Rancho Cucamonga, California, do hereby
certify that the foregoing Ordinance was introduced at a Regular Meeting of the City Council of
the City of Rancho Cucamonga held on the 191" day of November, 2025, and was passed at a
Regular Meeting of the City Council of the City of Rancho Cucamonga held on the 3rd day of
December, 2025.
AYES:
NOES:
ABSENT:
ABSTAINED:
Executed this day of December, 2025, at Rancho Cucamonga, California.
Kim Sevy, City Clerk
Ordinance No. 1051 - Page 3 of 3
Page 453
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ORDINANCE NO. 1051 2
BACKGROUND
DESIGN REVIEW
COMMITTEE Resolution No . 2025 -033
o Repeals No . 79 -61
o Establishes DRC Bylaws
RANCHO
NCAMONGA o Approved by the Planning
Commission on October 22 ,
BYLAWS 2025
October 2025
ORDINANCE NO. 1051 3
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DATE: November 19, 2025
TO: Mayor and Members of the City Council
President and Members of the Board of Directors
FROM: John R. Gillison, City Manager
INITIATED BY: Peter Castro, Deputy City Manager
Julie A. Sowles, Deputy City Manager
Jevin Kaye, Finance Director
Rick Flinchum, Deputy Finance Director
Darrell Richardson, Management Analyst II
Adriana Camacho, Management Analyst I
SUBJECT: Consideration to Receive and File the First Quarter Financial Update for
the Fiscal Year 2025/26 and to Approve Additional Appropriations in the
Amount of $3,090,670 in Revenues and $4,695,800 in Expenditures.
(CITY/FIRE)
RECOMMENDATION:
Staff recommends the City Council and Board of Directors of the Rancho Cucamonga Fire
Protection District receive and file the attached quarterly financial update for the first quarter of
the Fiscal Year 2025/26 and approve additional appropriations in the amount of $3,090,670 in
Revenues and $4,695,800 in Expenditures as outlined in the fiscal impact section.
BACKGROUND:
Every quarter, the City Manager's Office and the Finance Department provide the City Council
and Board of Directors with a brief update on the financial performance of the City's operating
funds, consisting of the General Fund, Library Fund, and the Fire District's primary operating
funds. The report also includes an economic update for the City Council.
Additional appropriations are also requested with the presentation of this report to provide
necessary funding for additional and adjusted operations consistent with the performance of the
first quarter of the fiscal year.
ANALYSIS:
The quarterly financial update provides the City Council with a detailed analysis of revenues and
expenditures across all major operating funds. With approximately 25% of the fiscal year
complete, overall financial performance is tracking within expected ranges based on historical
trends and current budget assumptions. Staff will continue to monitor key revenue categories and
expenditure patterns closely and will make targeted adjustments as needed to maintain balanced
operations and ensure continued fiscal stability.
As is typical during the first quarter of the fiscal year, instances where departmental expenditures
appear to exceed the 25 percent benchmark are largely the result of encumbrances established
at the beginning of the year. These encumbrances represent planned commitments such as
Page 454
contracts, purchase orders, and ongoing service agreements, rather than actual expenditures.
This practice serves as a proactive budget management tool to reserve funds for known
obligations and prevent departments from exceeding their approved appropriations. Each
department's encumbrances that contribute to variances from the benchmark have been reviewed
and summarized within this report for Council's reference.
Major revenue sources are generally performing in line with expectations for the first quarter.
Property tax revenues are not received until December and will be reflected in the second
quarter's report, while sales tax collections ordinarily begin in August or September and are
included on a lagging basis. Other revenue streams such as licenses and permits, fines and
forfeitures, and charges for services, are tracking near the 25 percent benchmark relative to
annual budget projections. Overall, first quarter revenues indicate a stable and seasonally typical
start to the fiscal year.
The report also includes an analysis of the most recently available economic data, including
unemployment rates, the size of the labor force, consumer price index, residential real estate and
prices, and summarized trends in sales tax. An overview of the information presented in the report
is as follows:
• As of August 2025, the City's unemployment rate has increased slightly to 5.9% compared
to the same period in the prior year. Despite the slight uptick, the City's unemployment
remains slightly more favorable than those in the local region and throughout San
Bernardino County and the State of California.
• In September 2025, the consumer price index rose 3.5% year-over-year, primarily driven
by escalating costs in food and energy. In line with regional and nationwide trends, inflation
seems lower than in recent years, but still slightly persistent. As a result, we have seen a
couple of interest rate cuts from the Fed over the last year.
• Consumer confidence is cautious amid concerns of impending economic headwinds,
though trends do not indicate heavy risk factors at this time.
FISCAL IMPACT:
Requested appropriations are outlined in detail on Attachment 2 to this staff report and are
summarized below:
Total Revenue Requests: $3,090,670 Total Expenditure Requests: $4,695,800
General Fund (F001): $1,602,740 General Fund (F001): $864,520
Includes $441,000 in Reimbursable Costs
Fire Fund F281 : $1,409,780 Fire Fund F281 $850,340
Library Fund F290 : $78,150 Special Revenue Funds: $4,681,620
In the General Fund, Fire Fund, and Library Fund, as mentioned in the Financial Update, the
property tax revenue budget is being revised due to higher than anticipated projections from the
City's property tax consultant. Staff have included these revisions as appropriations requests in
Attachment 2 to this Staff Report.
Note: Because these appropriations are being approved in November, the revised property tax
figures are not reflected in the Financial Update document included as Attachment 1. Upon City
Council approval, the updated figures will be incorporated into the Second Quarter Financial
Update prepared by the Finance Department in March 2026.
These revenue revisions also offset the Finance Contract staffing appropriation approved by City
Council on September 16, 2025. The costs were originally planned to be funded through vacancy
savings in the Sheriff's Contract, though will now be covered by the additional expected revenues.
Page 2
Page 455
Increases in the General Fund are also being requested to recognize additional property transfer
tax revenue in the current fiscal year. The City previously forecasted property transfer tax revenue
at$302,000 in response to declining sales activity. However, based on a review of recent receipts
and a sustained, though lower, level of sales activity, the Finance Department is revising its
projection to $750,000 for the fiscal year.
Furthermore, increases in General Fund revenue are being requested to recognize
reimbursements for on-call services and higher than anticipated interest earnings in the City's
investment portfolio.
With respects to expenditures, requests in the General Fund are included for several Engineering
and Public Works Department items for expanded on-call services along with ongoing fleet and
facility maintenance projects, infrastructure and HVAC repairs, and safety and monitoring
upgrades.
The largest items within the requested appropriations are two Major Projects in the Engineering
Department funded by the Road Maintenance and Rehabilitation Act (RMRA) Fund. These
include $2.67 million for the Vineyard Avenue Major Arterial Paving Project and $1.46 million for
the Highland Avenue Major Arterial Paving Project. Both projects were originally included in the
Major Projects Program (MPP) adopted by the City Council as part of the June 26, 2025 Budget.
However, due to a clerical omission during final budget preparation, the appropriations were not
reflected in the final document. As such, these two projects are included in the current
appropriations request to formally provide funding to the Engineering Department for project
commencement.
The Fire Fund shows a reduction in expenditure due to budget corrections and shifts of a capital
vehicle purchase to the Fire Capital Fund.
Requests are included for several special revenue funds as part of ongoing service additions,
adjustments for higher than anticipated contract bids, and new service additions and equipment
purchases that are being added for Fiscal Year 2025/26.
COUNCIL MISSION /VISION / GOAL(S) ADDRESSED:
Providing the City Council with regular financial updates supports the City Council's goals of
intentionally embracing and anticipating the future by receiving timely financial information upon
which they can base their current and future decisions.
ATTACHMENTS:
Attachment 1 — FY 2025/26 First Quarter Financial Update
Attachment 2 — FY 2025/26 First Quarter Requested Appropriations
Page 3
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QuarterlyUpdateFinancial
Quarter Ended
September 30, 2025
ATTACHMENT 1
Page 457
UPDATE ON • GOALS
As part of the quarterly update,the City Manager's Team is providing an update on Council Goals for FY 2025/26.
Updates are provided in italics as part of this report:
Goal 1:
By the end of October 2025, bring a project to add lights to the Garcia Sports Field to the City Council for consideration.
The City conducted a comprehensive community engagement process from June 24 through July 30, 2025 to gather
feedback on the proposed addition of sport field lighting at Garcia Park, including the installation of new electrical
infrastructure,foundations, light poles, and LED lighting at the existing single ballfield. Efforts included mailers to
households in Landscape Maintenance District 9(LMD 9), community pop-up events, and a virtual community
meeting.
Generating 908 responses, staff confirmed strong community interest in field lighting and validated the project's
inclusion in the City's Major Projects Program.Accordingly, the Garcia Park Field Lighting Project is ready to advance
to the next phase of implementation —construction and installation —in alignment with the Fiscal Year 2025-2026
Major Projects Program.
Goal 2:
By the end of December 2025, present to the City Council a plan and implementation strategy for workforce
development pathways into public service.
In March 2025,staff presented the PathwaysRC plan to the City Council. This plan outlined a vision and goals for
creating pathways to public service through various connections and programs for three specific groups:1)
Elementary and Middle School students, 2)High School students, and 3)Early Career Individuals. Following this
presentation,staff was assigned the task of refining the Pathways RC plan and developing an implementation
strategy as part of the City Council's annual goal-setting process. To facilitate this, a staff subcommittee was formed
to work on the updated plan and strategy. The subcommittee is expected to present their findings to the City Council
in December 2025.
Goal 3:
By the end of December 2025, present to the City Council concept plans to modernize and expand the public safety
facilities at the Civic Center.
City and Sheriff personnel worked with a design consultant to develop a needs and operations assessment,
deployment options and concept design, and preliminary cost estimates to incrementally improve and modernize the
police headquarters building. Based on feedback, the consultant is refining the scope and developing a full set of
design plans and cost estimates. This is expected at the end of November 2025.
Goal 4:
By the end of June 2026, complete construction on Phase 2 of ATMS.
The expected completion of construction for ATMS Phase 2 is Q2 of 2026 along the corridors of Milliken Ave, 1911 St.,
Arrow Rte., Rochester Ave., and Day Creek Blvd.
Goal 5:
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By the end of June 2026, finalize the site location and high-level concept design details for the second RCMU substation.
Since Council passed a FY 2025126 goal for a second RCMU substation, several important milestones have been
achieved.A site location of approximately 4.61 acres has been identified at Napa Street and Etiwanda, adjacent to the
Southern California Edison (SCE)Etiwanda Substation. High-level conceptual site plans and single line diagram plans
have been drafted and were submitted to SCE to be incorporated into two concurrent studies. The two SCE studies
look at feasibility and SCE-related backend infrastructure costs required to either implement a 66kV Interconnection
with SCE(with a 66kV Substation very similar to existing RCMU Arbor Substation)or a 230kV Interconnection to serve
a new 100MVA Transmission Load(which would double the capacity of the existing RCMU Arbor Substation). The first
SCE study was completed at the beginning of October 2025, and the second study is expected in early December 2025.
Once the second study is completed,Staff will evaluate the studies and recommend to Council which substation path
to pursue based on total cost, benefits to the community,feasibility, and timeliness for construction.
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INTRODUCTION AND EXECUTIVE SUMMARY As of the first quarter, no departments show a Red status,
demonstrating sound overall budget performance.
The City Manager's Office and Finance Department are GENERAL FUND OVERVIEW
providing this quarterly financial report to the City Council
with a high-level overview of the City's financial status The City's General Fund is the primary fund used to pay
through the quarter end, and an overview of economic for a variety of programs and services that are provided to
indicators that can influence the City's revenues and people and businesses in Rancho Cucamonga. This
expenditures. includes programs and services offered by different
departments of the City.
This report has several components:
1. Quarterly Report: This report includes budget to Overall, the revenues (amount of money coming in) and
actual variance analysis for revenues and expenditures (going out) of the General Fund are within
expenditures for July 1, 2025,through September 30, the expected range, accounting for items like seasonal
2025.The quarterly report provides this detail for the changes and ongoing expenses.
General Fund, Fire District, and Library Fund.
Currently, the amount of money spent or encumbered
2. Economic Brief: This report compiles economic from the General Fund is 30% of the total budget for the
information and indicators,such as employment data, year.This includes both general expenses that benefit the
sales tax data, and other local and regional economic whole city, as well as the costs of running individual
news. departments. This report will focus on analyzing the
expenses for each department within the General Fund.
After the first quarter of the fiscal year, the City's
financial status is in line with expectations. Significant General Fund Total Revenues and Expend itures{Rounded♦
accounts and notable variances are presented in this Revenues
Property Taxes 39,840,047 39,840,047 1,214,909 3>f E5,15E
quarterly financial report. 5alesTaxes 42,14E,743 42,148,743 3:032,503 7�s 3,118,58E
OtherTaxes 17,573,41E 17,573,41E 1,527,0W 9% 1,313,467
Oth er Reve n u es 22,490,02E 22,490,02E 6,219,383 28fi 5,031,820
The tables in this report compare budgeted to actual Total Revenues 122,052,236 122,052,236 11,993,875 1.afi 9,529,a31
amounts for the General Fund, Fire District, and Library. Expenditures
The year-to-date (YTD) financials are unaudited actuals P e rson n e l 5e rvi r e s 41,931,38E 41,953,44E 9,C52,118 22fi 8,633;C11
Operations&Maimename 12,974,20, 13,482,419 4,697,184 35'{, 3,514,362
and presented with encumbrances requested throughout P rofe ssiona l Se mires 67,956,816 69,426,673 22.994,37E 33fi 19,010,038
Utilities 2,511,745 2,511,745 32E,923 13'{, 623,954
the quarter. The revised budget includes budget Cost Alloration (9,137,6711i (9,137,G70i - 3fi
Capital Outlay 531,20fi 594,012 201,611 34'S 87,417
adjustments, encumbrance carryovers from the prior CehtServire 106,450 106,41 - 3fi
fiscal year, and any supplemental appropriations Transfers Out 5,176,250 5,175,250 3{
Other 2,15o 54L-3 52
98 37 ,971 97 i5 3,561
approved by the City Council throughout the quarter.The T-t3l E�perditure=_ 122,052,236 124,167,6 ,327.182 3.3 c 31,839,343
percent of the budget The table above includes departmental and non-departmental
(% Bud) is the percentage received/spent of the budget. spending. Non-departmental expenditures are excluded from the
The prior year-to-date (PYTD)financials show comparable operating departmental analysis section.
information from the same quarter of the prior fiscal year.
The report uses colored icons to illustrate how well the
category is doing financially. Green indicates that
performance is within expected parameters, yellow
signals areas being monitored closely, and red denotes
issues requiring corrective action or further attention.
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General Fund Revenues 2, the peak months of November and December will help
provide data to adjust forecasts for the remainder of the
Primary revenue sources for the General Fund are year. Note that due to timing of receipts, only one month
property tax, sales tax, franchise fees, and transient (July) is reflected in the actuals for Quarter 1 each year.
occupancy tax. Collectively, these comprise about 82% of
the annual budget. Franchise Fees/Transient Occupancy Taxes. Transient
Occupancy Taxes (TOT) and Franchise Fees comprise 13%
General Fund Revenues)Raunded% of the taxes received by the General Fund. Franchisees
Revenues remit payment to the City on recurring schedules, but not
Property Tax 39,840;D47 39,84a,047 1,214,BC 3i' E5,15E i
Salesian 42,148,743 42,148,743 3,432,543 , - 3.112.522 ■ in the first quarter of the year. Gas and electric franchise
Franchise Fees 10,564,718 10,564,718 5,214 .._ -
fees are received in the year's final quarter. At the same
Tr nsient Dccupancy Tax 7,am,am 7,aaa,xC 1,51_1,9EE -1-1= 1,313,=E7
Admissi—Tax 8,7aa s,raa - __ - ■ time, refuse and cable franchise fees are received after
Licenses and Permits 6,323,198 6,324,198 1,723,994 2 1,552,457
Fines and Forfeitures 1,066,163 1,066,160 232,162 19i' 223,216 0 the quarter.TOT is remitted by hotels to the City monthly.
Ch a rae s for Se rvi c e s 8,311,694 8,311,694 3,142,324 38i' 2,385,497 • The budget estimate projects growth of approximately
Inter,—rn m e ntal 60a;aaa 6aa,Dm 248,538 -1i5 -
Transfersin 2,249,266 2,249,266 - .._ - 0 18.7%from the prior year's budget, based on the opening
Cther 3,3='_,710 3,6=','1C 3-5,3EE '3i: 869,650
T-[al Revenues 1".-5','36 12',C5','3E 11,553,875 1_i= 9,529,D31 of the Sanctity Hotel during the last fiscal year and the
increases forecasted as a result of the passage of Measure
Property Tax. The first major apportionment of property Q in November 2024.
tax occurs in December each year. The City partners with
a property tax consultant to continually monitor and Licenses and Permits. After the end of the first quarter,
project property tax revenues. The adopted budget actual revenue is at 27% of the budget. The largest
assumed a 4% increase over the prior year. Based on category of this section is business licenses, which
updated projections from the consultant, this Financial comprise almost 60% of the budget. In the first quarter,
Update adjusts the budget to reflect a 5.3% increase over these receipts are as expected.
the prior year, consistent with continued growth in
assessed valuations and stable activity in the region. Fines and Forfeitures. Includes vehicle and parking fines
and citations comprise 70% of the fines and forfeitures
Property taxes include property tax in lieu of vehicle budget, and other general fines and forfeitures. This
license fees budgeted for $27.9 million and residual category includes vehicle code fines collected by San
property tax for the form RDA budgeted for $3.6 million. Bernardino County and remitted to the City.At the end of
Both revenue sources are received in installments later in the first quarter, fines and forfeitures are in line with
the fiscal year. expectations.
Note: As part of this quarterly financial update, a request Charges for Services. Charges for services refer to the
is being made for additional appropriations to the amounts collected for specific services provided by the
property tax budget for FY 2025/26. Though these departments. Includes various community development
additional figures are not reflected in the chart above, fees, such as plan check, planning, and engineering fees,
upon approval, they will be reflected in the Second comprise 70%of the budget, and recreation fees make up
Quarter Financial Update in March 2026. 28%. As of the first quarter, charges for services are
performing well at 38%of expected budget for the year.
Sales Tax. Sales tax is the largest single source of revenue
for the City. As such, City staff and consultants monitor Intergovernmental. The bulk of this category includes
how much sales tax is coming in closely. The sales tax motor vehicle in-lieu fees and homeowners property tax
received to date is slightly lower, but ultimately on-par relief revenues from the County,which are predominantly
with the prior year-to-date.As the city heads into Quarter received later in the year.
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Transfers In. Transfers represent the transfers of
resources from other funds to the General Fund and are Department Summaries
typically booked starting in the second quarter. ad"''"'s" eye"i`es EKpenditAd.ptcunded;'
E.perdl[I.rE=
Fer rrel service ',Svc ',SCC 1E9,7=1 E7SC>: 91,'E9
Other Revenues. Includes interest earned on invested Operations&Maintenance 14,650 14,650 1,314
Co=t.411ocatiun - ■
funds, rental and lease income, reimbursements, and Total E,perditur- 12,150 1 13,15- 168,7=1 aHK3 82,581
miscellaneous revenues. Reimbursements represent 28%
of this category. Revenues fluctuate heavily in this The Administrative Services budget is in the process of
category due to timing of receipts but are within being merged with the overall City Management budget
expectations for those reimbursements expected in the as its costs solely cover costs for the Deputy City Manager
first quarter. assigned to Administrative Services. In Quarter 2, the
Finance Department will be reclassifying transactions in
General Fund Departmental Expenditures this category to correct expenditures and close this
budget out.
Expenditures for the General Fund can vary because of
the timing of vendor payments, carryover of purchase RnimalCare and Services Expend i[ureslRcunded;•
orders from the prior year, and the changes in operations Expenditures
Personnel Services 3,558,490 3,558,490 770,436 22�' 681,892 ■
during the year.Therefore,even if expenditures are above Operations&Maintenance 113,923 311,923 226,706 687S 100,205 ■
Professional Services 204,063 204,463 161,361 79fi 143,098 ■
or below the benchmark of 25%, departments could be Other 2,154 2,150 747 35-s 634 ■
Capital Outlay 14,400 14,400 oils - ■
within the expected range due to their need to issue Total Expenditures 4,108,620 4,108,620 1,159,"C 29-5 925,825
purchase orders and blanket encumbrances at the start of
each fiscal year for operations, For Animal Care and Services, professional services are
over three-fourths of the budget at 79% for the year.
Professional services include encumbrances for recurring
Personnel: programs, such as professional spay and neuter services,
Last fiscal year marked the first time fringe benefit costs as well as laboratory testing services. The budgets for
were distributed to departments in real time as they were these categories will be monitored to ensure
incurred, rather than allocated in full at the start of the overspending does not occur but overall are within the
year. With this process now fully implemented, current expected range.
personnel costs are more comparable to prior year-to-
date figures. This approach continues to provide a more Buildingand Safety Expenditures[Rounded♦
accurate and timely reflection of actual expenses Expenditures
Personnel 5ervices 2,223,393 2,223,390 532,771 24% 412,764 ■
throughout the year. Operations&Maintenance 59,279 59,2i9 11,120 19% 8,- ■
Frcfea=icral'e ices 302,540 131,503 30Z) 98-1i 11,114 ■
Total E.Ferdit�res 2,389,169 2,385,169 6a3,891 27fi 51a.9 17
Cost Allocations
Departments that provide services that benefit the City In Building & Safety, professional services are at 98% due
have their budgets reduced to reflect the allocation of the to fully encumbered contracts with consultants to assist
cost of those services to the benefiting departments.This with building examinations and plan check services to aid
is the Cost Allocation category within the department's in operations. The budget for this category will be
budget.These are typically booked beginning in Quarter 2 monitored, but is overall within expectations.
of each fiscal year.
City Cleikaltd Records P,Ialla;eltaent ExpeltdituiesIRcultded;•
Expenditures
Person nel Services 93E,C 93E,C=3 199,115 __7 17 E,S7 ❑
Operations&Maintenance 96,483 SE,=BC 11.C9C 13i1 12.C1 ❑
P rofe ssi on a l Se rvi ce s 44,703 3S.179 . L2 ❑
Cost Al l oc ati on (311,660;• 1311.EEC;• - Q
Total Expenditures 725,563 7'5,5EC '=5,32L 3Li'
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For City Clerk and Records Management, overall
Ccmmunity I mprcvenaent Expenditures l Rcunded;•
operations and professional services are within expected
ranges. Because this fiscal year is a non-election year, Expenditures
Personn el Se rvices 3EE,=?C 366,470 2 33,4v4 2lii 178,553
some expenditures are lower than in the prior year. Operations&Maintenance 27,93C 27,530 5,167 19 3,430
P rofe ssiona l Servi c e s 21 C,CCC 210,932 89,443 42"�i 117,E-69
Total Expenditures 1,'� _3=,E5=
City Ccuncil ExpenditureslRcunded;•
Expenditures For Community Improvement, professional services
P ersonnel 5e Writes 1fi2,330 1fi2,330 32,2fi5 20% 21,3E-2
Operations&Maintenance 58,303 58,3x 81562 15% 2,961 i expenses, which primarily include legal fees for
Cost Allocation (63,920;. (63,920;� 0i5 -
TotalExpenditures 159,713 1 159.714 1 43,82E r 2u, 24,343 abatements, civil litigation, and other necessary services,
are at 42%of the budget.
City Council expenditures are meeting expectations.
Operations and maintenance expenses can vary as they Cvmmunity5ervices Expenditures{RvundedI
primarily consist of travel and meetings. Spending is Expenditures
Per-nel5ervices 8,007,1S7 8,007,15- 1,320,S06 1U 1,1E-9,381
expected with current activity and will adjust as further Operations&Maintenance 7SO,680 791,4E- iS4,S20 23i� 147,434
P rofe ssion a l Se rvi ce s 2,012,340 2,043,SEE 720,369 35i5 651,342 0
travel is scheduled. Capital Outlay 140,000 281,13E 141,330 5-i5 92,699 0
Total Expenditures 10,910,1i7 11,1'3,3'3 2,336,694 1 21 i5 2,070,E-57
City Management Expenditures IRcunded�
Expenditures In Community Services, operations and maintenance and
Personne15ervices 2,352,714 2,352,710 413,619 1Qi= 311,798 • professional services are approximate to the benchmark,
Operations&Maintenance 76,E-67 77,372 9,239 11i, 22,965
Professional5ervices 19,503 19,543 - 12,5W 0 at 20% and 35% of their respective budgets. Operations
Cost Allocation (735,494i (735,490j i -
TctalExperdi[ure 1,713,5E-7 1,714,092 421,E-59 'Si' 3=7,'_E'_ and maintenance and professional services can vary
depending on the timing of events. In the current fiscal
In the City Manager's Office, personnel expenses are year, significant expenditures represent special
tracking lower due to pending reclassifications from programming and consulting of the Victoria Gardens
Administrative Services. Once completed, expenses will Cultural Center,as well as planned spending for additional
be as expected for the department. subsites for the Lewis Family Playhouse and Second Story
and Beyond°.
Overall budget for the City Manager's Office will appear
lower year-to-year due to the separation of budgets Capital Outlay includes spending and encumbrances for
within the newly formed Engagement&Special Programs portable radios, a sound system, and camera equipment
department, described below. for the Victoria Gardens Cultural Center.
En;a;ement&Special Pi c�ramslRcunded;• Ecenenaic and Ccmmunity 6evelepment Expenditures)Rcunded;•
E.perliture Expenditures
Fe-nnel Services 1,758,3E: 1,753,3E_ 'S3,'11 1-3E 191,038 Personnel Services 1,.23,2 e0 1,c23,2 e0 171,63- 175s 153,9E-6 ❑
Operations&Maintenance 143,35- 1=3,3s� E,2=1 SP; 19,7S4 * Operations&Maintenance S42,2S4 542,254 149,E-43 23is 133,1S4 ❑
P-fessiona15-ices 335,7 388,' _.�,�75 40,705 Prcsfessio l5ervices 678,563 883,E-48 37E-,349 43iS 172,2E-5 ❑
Cc=t allc:aticr (244,770;• T en otal Expditures 2,243,990 2,449,338 =659,7E-5 27iS 459, 'S
Tctal E:perdits 1,987,6S-
This fiscal year marks the first full budget where Healthy In Economic Development, operations and maintenance
RC, the Community Affairs Network (CAN), and RCMU are near the benchmark at 20%of the budget.The current
were integrated into a single Engagement & Special fiscal year spending is lower than the prior year due to the
Programs Department. All previous budgets for these timing of bills to vendors but is within the expected ranges
divisions are now reflected in the single graphic above and overall.
show that expenditures are tracking as expected.
Professional services are at 72% of budget due to Professional services are 43% of their budget due to
encumbrance activity for planned Healthy RC and CAN encumbrances for marketing, branding, and
communications services for specific efforts.
services for the fiscal year.
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Er.IreeiiI.E'I:e i7ui e;IRct cec: marks its first full budget year and includes the Risk
Expenditures Management division. Spending across categories is as
Personne l 5-ices 3,SSE,E2- 3,SSE,E2 6-1,975 17 i5 52E,SE8 ❑
Operations&Maintenance 61,9x 61,940 15,351 2475 7,331 Q expected and tracking below the benchmark in Q1.
P rofessi one l 5e rvi ces 422,723 422,723 373,150 99ii 333,393 Q
Total Expenditures 4,341,243 1 4,341,243 1 -90,17E r 'Si' 867,252
Innovation and Techncicry Expenditures)Rcunded;•
Expenditures
In the Engineering Department, professional services are Personnel Services 3,885,592 3,88S,592 372,551 22% 69S,S80 ■
Operations&Maintenance 1,392,324 1,392,324 73,553 796 140,937 •
at 88/ of its ts budget, which includes spending on
Professional Services 3,331,192 3,453,381 1,920,293 56% 1,704,339 •
Capital Outlay 7,5a3 7,330 - os6 -
engineering on-call plan check services and other land Utilities 273,483 273,484 50,212 1996 92,615
costallocation [2,745,323� (2,749,32O� 026 -
development services to aid in reviewing large projects. Total Expenditures 5,837,968 5,956,8S7 2,91E,599 49fi 2,623,472
Finance ExpenditureslRcvnded;•
For the Innovation and Technology Department,
Expenditures professional services are at 56% of the budget due to
Pe rsonn el 5ervic es 2,912,933 2,912,93C 5=9,=Cc 19 i= 538,308 •
Operations&Maintenance 11=,9'_- 113,42C Q,='1 7i- 20,345 ■ software subscriptions and support services. These are
Professional5ervices 1C1,' 527,710 181,Es- 3-P, 164,624 •
Cost AIlccaticr I_5_ ;• [999,480;• - • often encumbered and paid for at the beginning of the
Tot al E.pe rdi[e= 2,1'9,E1� 2,554,E 1� 739,SCE _--- 692,978
year and include some support costs for new systems
In Finance, professional services are at 34%of the budget. implemented in support of the Workday implementation.
Expenses are higher than the adopted budget due to the Plan nin;Expenditure5rRaundedF
ongoing accounting services contract related to staff Expenditures
turnover and onboarding of new staff. P e rson n e l Se Ni c e s 1,671,240 1,671,240 413,462 2&% 315,779
Operations&Maintenance R9,733 99,730 13,280 15% 15,524
Professional Services 1,375,430 1,796,756 934,231 52i5 600,252
Human Resource Expenditures)Rounded;• Total ExpenditurE-- 2,835,973 3,557,726 1,385,9-3 39i5 931,555
Expenditures
P e rson n e l Se rvi ce s 979,360 979,36- 'E-,39' 3Ci= E.971 ❑
Operations&Maintenance 99,2S0 99,254 19,254 18i= '=,11' ❑ For the Planning Department, professional services are
Professional5ervices 133;030 133;000 2-,512 19 is 'S�77` ❑ above the benchmark at 52% due to contracts
Cc_t allocation I==S,73r'� 1==5,?3�' - ❑
Total ExPE ditcr EE2,Ss- EE2,2s- 3-3,153 =Ei= 25E,857 encumbered for the full year for CEQA services,
environmental review services, and other planning
This fiscal year marks the first full year of the realignment services. Many of these costs are reimbursed to the City.
of this previous budget into two departments: Human
Resources& Organizational Development. Police ExpenditureslRcunded;
Expenditures
Operations&Maintenance 3,743,425 3,773,539 613,583E24'%�S
311,983 •
The Human Resources budget is showing near benchmark Professional5ervices 52,641,303 52,279,997 13373479 12,420,160 •
Utilities 114,583 114,583 12,247 22,867 •
across all activities. As the fiscal year continues, HR Other - 62,224 52,224 - •
Total Expenditures 56,498,609 56,219,242 13,749,533 12,755,010
typically sees higher spending activity in Quarter 2
onward, so receipts are as expected currently. For the Police Department, operations and maintenance
Organizational 6evelcpmentlRcunde6 covers events, training, and other crime prevention
E.perdit�re= activities and are tracking as expected. The "Other"
F--crrel'ersic 9",'S. ",'S. 117,496V�S
■ category includes capital costs associated with office
Cperaticrm&Mairterar:e 1-5.22- '1_,11= 30,508 •
Frcfe icral_ervic - L-.25- L-.25- 1,023 ■ furniture renewal in the department headquarters.
Cc_t allccaticr 1'79,716;• 1,7�716,,TctalUpErditur-- EE7,'76 901,5- 149,327 P Professional services are primarily dedicated to the
contract with the San Bernardino County Sheriff for
As mentioned above, the Organizational Development policing services in the City.
department was formed last fiscal year, and this year
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Public Works Expenditures(Rounded) LIBRARY FUND OVERVIEW
Expenditures
Personnel Services 6,915,749 6,938,109 1,502,060 22% 1,167,429 0
Operations&Maintenanc 3,749,007 4,170,152 2,196,231 53% 937,141 ■ The Library Fund has spent 20%of its total budget for the
Profession a l Services 4,374,200 4,576,329 4,040,051 88% 2,041,442
Utilities 449,298 449,398 119,520 27% 179,941 0 year,while the revenues are 17%of the total budget.
Capital Outlay 374,200 295,376 60,310 20% 4,719
Cost Allocation [3,673,360) (1,679,360) - 0% -
Total Upend itures 14,12,3,694 1 1=,7.52,-_-_5 7,91S,222 r 54%1 4,329,673 Li h ra ry Tc to l Re we n u e s a n d Exp e n d i to re s l Rc u n d e d}
Revenue=-
In the Public Works Department, operations and PropertyTanes 6,S46,427 6,546,427 1,066,501 16%
Other Revenues 301,460 301,46� 69,233 23% 149,265
maintenance are above the benchmark at 53% of the Total Revenues 6,947,997 6,&47,&97 2,135,739 17% 149,265
budget,mainly due to internal service user fees forvehicle Expenditures
Personnel Services 4,3S4,232 4,3S4,232 734,650 1796 697,429
and equipment charges from the City's Equipment and Gperations&M a i nten a ncE WZ,730 933,673 316,741 34% 273,925
Vehicle Replacement Fund at the beginning of the fiscal Profession a l Services 9M,690 S07,647 152,010 30% 204,639
Utilities 149,030 149,030 36,902 25% 55,670
year. This fee accounts for the immediate and long-term Cult Allocation 305,977 305,977 - 0%
capital replacement needs for the City's vehicles and Capital Outlay - - -
TransfersOut - - - -
equipment. It is charged at the start of the year. Total Expenditures 6,198,6591 6,2 SO,S09 1 1,240,333 20%1 1,241,661
Professional services are at 88% of the budget due to Library Revenues
encumbrances for maintenance contracts made at the
beginning of the fiscal year, including park, vehicle, Library Fund Revenues(RaundedJ
equipment, and street maintenance. Revenues
Property Tax 5,546,427 6,545,427 1,065,501 16% -
ChargesfarServices 91,770 91,770 11,517 13% 15,&59
Capital outlay expenditures are for the recurring citywide Intergovernmental 3,690 3,690 - 0% s,-
Other 206,00) 206,000 57,701 29% 125,223 10
Concrete repair project. Total Revenues 6,847,887 6,S47,&57 1,135,739 17% 149,265
Property Tax. The Library Fund receives a portion of the
property taxes collected by the City. The first major
apportionment of property tax occurs in December each
year. As mentioned in the City's analysis, preliminary
assessed valuation reports suggest that growth may be
near 5.3% over the prior year. As such, the Library
Revenue budget will be adjusted accordingly in this first
quarter financial update. Also included in the property tax
revenue category is a total of$2.5 million in statutory and
residual payments from the dissolution of the former
redevelopment agency, which are received later in the
year.
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Library Expenditures.
Fire District Revenues
Library Expenditures(Rounded)
Fire District Revenues 111cunde6
Expenditures
Personnel Services 4,354,232 4,354,232 734,&&0 17% 697,429
Operations&Maintenanc E8E,790 933,673 316,741 34% 273,925 0 Revenues
Professiana l Services 500,690 507,647 152,010 30% 204,639 0 Property Tax 59,142,090 59,142,090 20,331 0% -
Utilities 149,0M 149,0E0 36,902 25% 55,670 0 Licenses a nd Perm its - - - -
CapitalOutlay - - - - 0 Fines and Forfeitures 8;x%- S,ODO - 0% -
CostAllocation 305,377 305,377 - 0'%. Chargesfor Services 435,6-0 435,600 106,459 24% 109,402
Transfers Out - - - - Transfersln 6,953,71E 6,983,71S - 0% -
Total Expenditures 6,193,659 6,250,509 1,240,333 2. 1,241,661
Other 2,164,930 2,164,930 74,992 3% 11732,094
Total Revenues 63,734,33E 69,734,335 201,7E1 0% 1,E41,496
Operations and maintenance spending are above the
benchmark at 34% of the budget. This is because of Property Tax. The first major apportionment of property
encumbrances of printed and digital books, materials,and tax occurs in December each year. As mentioned in the
supplies for the two libraries made at the start of each City's analysis,the property tax forecast for this fiscal year
fiscal year. shows an increase of 5.3% over the prior year, and
adjustments are accordingly included in the
Professional services spending is at 30% of the budget, appropriations requested for the first quarter.
which is approximate to the prior year, and due to
encumbrances for security services, cataloging services, The property tax revenue budget includes $22.3 million
and other materials at both libraries. for statutory payments from the dissolution of the former
redevelopment agency, which are received later in the
FIRE DISTRICT OVERVIEW year.
The Fire District is responsible for keeping the community CFDs 85-1 and 88-1 levy special taxes for funding
safe by providing fire prevention and suppression administration, personnel services, maintenance, and
services. It includes the Fire General Fund and two operations within the CFDs' boundaries. Combined, the
Community Facilities Districts (CFD) 85-1 and 88-1. The CFDs will collect $8.6 million and receive a $6.9 million
City has eight fire stations that are currently operational. contribution of resources from the Fire District's General
Fund to subsidize operations. The budget contribution is
The Fire District's expenditures are at 23% of the budget, shown as a Transfer In (revenue) to the CFDs and
while revenues are at 1%of the budget. Transfers Out (expenditure) from the Fire District in the
Fire DistrictTctal Revenues and EKdapte ureslRcunded} summary, revenue, and expenditure tables for the Fire
Reverue=- District. As mentioned for the City, transfers will be
Property Taxes 59,142,090 59,142,090 20,311 0% -
Other Revenues 9,592,24E 9,592,243 131,450 2% 1,E41,496 booked beginning in the second quarter.
Total Revenues 65,734,33E E9,7M HS. 201,72.1 0% 1,341,496
Expenditures Other Revenues. Other revenue includes interest earned
PersonnelServices 44,944,600 44,944,600 11,440,129 25% 10,404,596
Operations&Maintenance 5,124,950 5,125,236 1,957,077 3E% 1,E75,901 on invested funds, rental and lease income,
ProfessionalServices 3,921,020 2,971,624 1,538,545 29% 1,464,995
Utilities 615,940 615,940 94,014 15% 131,522 reimbursements, and miscellaneous revenues.
CostAllocation 5,055,520 S,055,520 - o% - Reimbursements from the Other Post-Employment
Ca Pita Outl ay 1,611M,006 1,650,430 42,490 3% -
DebtService - - - - Benefits (OPEB) Trust for the retiree healthcare costs
Transfers Out 2,964,090 3,964,090 - 0% -
Other - - - 635 comprise 48% and other non-abated reimbursements,
Total Expenditures 65,237,120 55,330,500 15,072,545 23% 13,877,699
which primarily consist of CaIOES, comprise 20% of the
budget. Finance requests reimbursements from the OPEB
Trust for retiree healthcare costs near the end of each
fiscal year, and reimbursement from CalOES for fire
support depends on the timing of reimbursement receipts
7
Page 466
processed by the state agency. As of the first quarter, results are within expectations.
Fire District Expenditures quarter of the current fiscal year but not in the first
quarter of the prior fiscal year.
Eire DMI ic-E<I:a I'ciru I'e;IF cul'-:
Expenditures
Personnel Services 44,944,6-20 44,944,650 11,443,129 'Si' 13,4D4,596
Operations&Maintenance5,124,950 5,125,236 1,957,077 387s 1,375,901 Despite the timing of these transactions, overall
Professional Services 3,921,020 3,971,634 1,539,945 39"fs 1,464,995
Utilities 615,940 615,940 94,014 15�S 131,522 operations and maintenance appear to be within
Capital Outlay 1,608,ODD 1,650,480 42,49D 3% - • expected ranges.
Debt Service - - -
CostAllocation 5,058,520 5,058,520 - 096 -
TransfersOut 3,964,090 3,964,090 - 096 - d
Other - - - 685 Professional services are at 39% of the budget due to
Total Exp-U irure 55,237,12❑ 65,330,500 15,072,645 23% 13,377,699
spending and encumbrances for various contract services
Personnel services are higher than prior year, but right at necessary for fire administration, communications, and
the benchmark of 25% of budget. Operations and facilities maintenance, and are comparable with the prior
maintenance are at 38% of the budget due to the timing year.
of expenditures and encumbrances necessary for
Cost allocation represents the estimated service costs
operations. For example, the payment of the general
that City departments expend to benefit the Fire District.
liability insurance premium occurred within the first
As mentioned in the City analysis,the Cost Allocations will
begin assessment in the second quarter of this fiscal year.
9
Page 467
ECONOMIC BRIEF
The economic brief provides information on economic indicators that can be used to measure and track economic
activity at a local level. The economy is a combination of individual, business, and government spending or
investment at the national, regional, and local levels. Governments of all levels keep an eye on these economic
factors to assess the strength of the economy. This section of the brief focuses on indicators that can help track
aspects of the local economy.
Statewide, Regional and Local Labor Market
According to preliminary August 2025 figures, San Bernardino County had an unemployment rate of 5.9%, which
is approximate to the average unemployment rate for the State of California.
The graph below shows the unemployment rates (not seasonally adjusted) for the largest Counties and
Metropolitan Areas statewide for August 2025:
Unemployment Rate by Ten Largest Counties Unemployment Rate by Ten Largest Areas
Los Angeles County 63% San Jose-Sunnyvale-Santa Clara MSA 4.7%
Orange County 4.6% San Francisco-San Mateo-Redwood 4.2%
City-M D
San Diego County 5.0% San Diego-Chula Vista-Carlsbad MSA 5.0%
Riverside County 6.3% Sacramento-Roseville-Folsom MSA 5.4%
Santa Clara County 4.6% Riverside-San Bernardino-Ontario MSA 6.1%
San Bernardino County 5.9% Oxnard-Thousand Oaks-Ventura MSA 5.2%
Alameda County 5.1% Oakland-Hayward-Berkeley MD 5.1%
Sacramento County 5.5% Los Angeles-Long Beach-Glendale M D 6.3%
San Francisco County 4.3% Fresno MSA 7.9%
Contra Costa County 5.2% Anaheim-Santa Ana-Irvine MD 4.6%
Source:Employment Development Department,State of California
10
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At a local level, the City's unemployment rate for August 2025 was 4.9%. The City's unemployment rate is lower
but also consistent with changes in the unemployment rate for the County and State.
Unemployment Rate for City,County,and State
7.00A
6.5%
6.0%
5.5%
5.0%
4.5%
4.0%
3.5%
3.0U/0
2.5%
2.0%
Aug-24 Sep-24 Oct-24 I Nov-24 Dec-24 Jan-25 Feb-25 Mar-25 I Apr-25 I May-25 Jun-25 I Jul-25 Aug-25
Rancho Cucamonga 4.3% 4.0% 4.00A 3.90/6 3.7% 4.4% 4.3% 4.0% 3.90A 3.9% 4.8% 5.2% 4.9%
-San Bernardino County 5.7% 5.2% 5.3% 5.1% 4.8% 5.2% 5.1% 5.0% 4.8% 4.8% 5.9% 6.3% 5.9%
California 5.3% 5.3% 5.4% 5.4% 5.5% 5.5% 5.5% 5.3% 5.0% 5.0% 5.8% 6.1% 5.8%
Rancho Cucamonga -San Bernardino County -California
Source:Employment Development Department,State of California
The graph above illustrates the historical unemployment rate for the City, County, and State.
11
Page 469
12
Page 470
Consumer Price Index
US headline inflation rose to 2.9%yea r-over-year in August,with core inflation rising to 3.1%.The Federal Reserve
lowered interest rates by 25 basis points, continuing the recent trend of gradual rate cuts over the past year.This
lowers the interest rate target to a range of 3.75%to 4.00%during its October policy meeting due to the progress
made on inflation.
CPI is also calculated for cities and metropolitan areas, which helps consider more localized factors that affect
price changes.Over the two months ending in September 2025,the Consumer Price Index for All Urban Consumers
(CPI-U) in the Riverside area increased by .05%.The CPI for this area was recorded at a level of 137.71, consistent
with the rate of 137.45 two months prior and up 3.5%from one year ago.
From September 2021 to September 2025,there has been a notable decrease in the percentage change in CPI-U,
with the inflation rate peaking around March 2022 and then gradually fluctuating.
Within the area,food prices increased by 3.5%over the year,with prices for food at home increased by 2.1%and
prices for food away from home increasing by 5.4%. Energy prices decreased by 1.8% over the year, largely due
to lower prices for gasoline (-5.2%).The index for all items less food and energy rose by 3.9%over the year.
The graph below presents the rolling 12-month change for CPI for the Riverside-San Bernardino-Ontario area.
CPI 12-Month Change
Riverside-San Bernardino-Ontario
6.003/0
4.87%
5.00% —
4.28% 4.26%
4.02% 4.0696
4.00% 3.59%
3.351YO
3.0{}% 88 .7711A 2.94%
2.00%
.38%
1.13
1.00%
0.000/0
Sep-23 Nov-23 Jan-24 Mar-24 May-24 Jul-24 Sep-24 Nov-24 Jan-25 Mar-25 May-25 Jul-25
Source:Bureau of Labor Statistics
12
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Sales Tax
Sales tax revenue is a primary source of revenue for the City. It is generated from retail and business activity,
whether that be from sales within the City or sales tax receipts allocated from State and county pools. City staff
closely monitors sales tax, not only for its fiscal impacts on operations but also at a policy level, ensuring revenue
streams are healthy and diversified.
As of September 2025, various macroeconomic indicators and consumer spending trends in California depict a
mixed picture,which may have implications for sales tax revenues for local governments. Nationwide, retail sales
grew by 5.0%over the past year, indicating consistent sales growth despite the fluctuating inflation nationwide.
Inflation measures appear to be stabilizing overall,following gradual increases over the past year. However,a poll
from the Public Policy Institute of California revealed that roughly six in ten Californians expect bad economic
times to lie ahead.This perception might affect consumer spending and, consequently, sales tax revenues.
At a Statewide level,sales tax revenue showed a slight decrease of 1.0%for the Fiscal Year 2024-25.As the holiday
shopping season approaches, expectations are that buyers will start spending sooner. Some consumers are
expected to spend less as stubborn inflated prices for household obligations (utilities, insurance, and food) take
priority over purchasing non-essential and gift items. The California Legislative Analyst's Office anticipates
statewide sales tax revenue to be relatively flat through the 2025-26 fiscal year.
For the City, sales tax revenues have remained consistent and the City anticipates projections to stay relatively
flat. Continuous adaptation to changing consumer behaviors, price fluctuations, and other economic challenges
will be just as necessary as it has been over the last two years. The growth in e-commerce, the shift towards in-
state fulfillment, and changing sales tax allocations are critical factors that might impact sales tax revenues in the
coming fiscal years.
The chart below depicts a breakdown of business sectors that generate sales tax for the City as of the most recent
sales tax data available.
Sales Tax Sectors as a Percent of Total
Autos and Transportation
State and County Pools 3% Building and Construction
14% 10%
Fuel and Service Stations
6%
Food and Drugs
Restaurants and Hotels 5%
19%
General Consumer Goods
Business and Industry 28%
13%
13
Page 472
FY 2025/26 First Quarter Financial Update
Request.for.First.Quarter.Appropriations.(City--Fire.District)
Appropriations to Revenues
Account Codes Description Amount Justification
F001 ICCOOOIRC0001 General Fund $36,630 Increased due to higher property
Property Tax-Unsecured tax forecast at 5.3%.
F001 ICCOOOIRCO201 General Fund $20,250 Increased due to higher property
Property Tax-Residual tax forecast at 5.3%.
F001 ICCOOOIRC0301 General Fund $150,380 Increased due to higher property
_ Property Tax-In Lieu of VLF tax forecast at 5.3%.
General Fund
F001 ICCOOOIRC0302 Property Tax- $1,570 Increased due to higher property
tax forecast at 5.3%.
Supplemental
F001 ICCOOOIRC0303 General Fund $5,180 Increased due to higher property
Property Tax-Unitary tax forecast at 5.3%.
General Fund Increased due to higher receipts
F0011CC000IRC0304 Property Transfer Tax $447,130 in prior fiscal year and higher
than anticipated sales activity.
Increasing revenue budget for
F001 ICCOOOIRC3000 General Fund $500,000 interest earnings due to higher
Interest Earnings than anticipated returns on the
City's investment portfolio.
Increased reimbursement
revenue associated with on-call
General Fund plan check services and
F001 ICC305IRC6104 Engineering $441,600 appraisal services.This line
Reimbursements corresponds with a request in
the Expenditures section of this
report.
F281 ICC501 IRC0001 Fire Fund $310,600 Increased due to higher property
Property Tax-Unsecured tax forecast at 5.3%.
F281 ICC501 IRC0002 Fire Fund $4,260 Increased due to higher property
Property Tax-Secured tax forecast at 5.3%.
F281 ICC501 IRCO200 Fire Fund $280,000 Increased due to higher property
RPTTF Passthrough tax forecast at 5.3%.
Fire Fund
F281 ICC501 IRC0302 Property Tax- $13,940 Increased due to higher property
_ tax forecast at 5.3%.
Supplemental
F281 ICC501 IRC0303 Fire Fund $10,980 Increased due to higher property
Property Tax-Unitary tax forecast at 5.3%.
Increased due to additional
strike team costs.This line
F281 ICC501 IRC6105 Fire Fund $750000 corresponds with a reimbursable
P0116 Reimbursement Revenues , expenditure request in the
Expenditures section of this
report.
F281 ICC501 IRC6103 Fire Fund Increased due to anticipated
P0116 Reimbursement Revenues $40,000 reimbursement of fire incident
costs.Corresponds with a
ATTACHMENT 2
Page 473
request in the Expenditures
section of this report.
F2901CC601 IRC0001 Library Fund $45,670 Increased due to higher property
Property Tax-Unsecured tax forecast at 5.3%.
F2901CC601 IRC0002 Library Fund $620 Increased due to higher property
Property Tax-Secured tax forecast at 5.3%.
F2901CC601 IRCO200 Library Fund $31,860 Increased due to higher property
RPTTF Passthrough tax forecast at 5.3%.
General Fund Total $1,602,740
Fire Fund Total $1,409,780
Library Fund Total $78,150
Total Revenue Adjustments $3,090,670
Appropriations to Expenditures
Account Codes Description Amount Justification
Additional funding for on-call
General Fund plan check services.These
F001 ICC3051SC2106 Engineering $431,600 costs are reimbursable to the
Contract Services City and are aligned with the
revenue line request in the
Revenues Section of this report.
Additional funding for
General Fund additional appraisal services.
F001 ICC3071SC2108 Engineering $10,000 These costs are reimbursable to
Contract Services the City and are aligned with the
revenue line request in the
Revenues Section of this report.
Appropriations include funding
for fleet and facility
maintenance projects,
General Fund emergency building and
F001 ICC3121SC2101 Public Works-Facilities $422,920 infrastructure repairs,replacement of key mechanical
Contract Services
and HVAC systems,safety and
monitoring upgrades,software
subscriptions,and unplanned
operational costs.
Additional project costs related
F1101CC3031SC7004 Beautification Fund to the San Sevaine Trail Project.
PID-2112-110 Engineering $31,820 Additional funds come from
Capital Outlay residual balance in
Beautification Fund.
Additional costs for the ongoing
F1241CC3071SC7004 Transportation DIF Fund City Center Boulevard Project.
PID-2086-124 Engineering $125,000 These additional funds are
Capital Outlay aligned with a grant that will
later be reimbursed to the City.
F1301CC3191SC2105 LIVID 1 $72,100 Parks Mowing and Facility
Public Works-Parks Landscape Contract received
Page 474
Contract Services bids and were returned higher
than anticipated.
LMD3 Additional landscape
F1331CC3191SC2105 Public Works-Parks $64,160 maintenance services for new
Contract Services sites, including 9/11 memorial
park and 81h/Hellman.
LMD4 Additional costs in parks
F1341CC3191SC2105 Public Works-Parks $25,930 landscape and facility
Contract Services maintenance contracts.
LMD6-R Additional West Coast Arborist
F1361CC3201SC2105 Public Works-Parks $141,320 contract services and
Contract Services additional costs for pesticides,
fertilizers,and fencing costs.
LMD7 Additional costs not included in
F1371CC3121SC2106 Public Works-Parks $1,700 adopted budget for pesticides
Contract Services and fertilizers for park
maintenance.
LMD9
F1391CC3201SC2105 Public Works-Parks $12,350 Additional costs for contract
mowing and fertilizer services.
Contract Services
Additional project costs related
F1741CC3071SC7004 Gas Tax Fund to the survey work for the Local
PID-2198-174 Engineering Capital Outlay $20,950 Overlay Pavement
Rehabilitation project.
Measure I Fund Additional survey work costs
F1771CC3071SC7004 Engineering $34,610 related to the Local Overlay
PID-2198-177 Capital Outlay Pavement Rehabilitation
Project.
Project costs for the Vineyard
Ave. Major Arterial Paving
F1791CC3071SC7004 Road Maintenance Fund Project were included in the
PID-2196-179 Engineering $2,678,960 Major Projects Program for
Capital Outlay FY2025/26, but were
erroneously omitted in the final
budget entry process.
Project costs for the Highland
Ave. Major Arterial Paving
F1791CC3071SC7004 Road Maintenance Fund Project were included in the
PID-2104-179 Engineering $1,460,000 Major Projects Program for
Capital Outlay FY2025/26, but were
erroneously omitted in the final
budget entry process.
Road Maintenance Fund Additional costs related to
F1791CC3071SC7004 Geotech investigations for the
PID-2097-179 Engineering $1,050 Capital Outlay Base Line Road Major Arterial
Paving Program.
F1981CC3031SC2104 City Infrastructure Fund Additional legal costs related to
PID-2112-198 Engineering $5,030 the San Sevaine Trail Project.
Contract Services-Legal
F1981CC3031SC2104 City Infrastructure Fund Additional legal costs related to
PID-2086-198 Engineering $112,220 the YellowwoodConnection
Capital Outlay project.
Page 475
F1981CC3031SC7004 City Infrastructure Fund Additional legal costs related to
PID-000217 Engineering $18,190 the Etiwanda Grade Separation
Capital Outlay project.
F2271CC3131SC0003 Used Oil Recycling Fund Additional overtime costs
GR-000110 Public Works $17,300 associated with Household
Personnel—Overtime Hazardous Waste Collection.
Costs for minor equipment and
Fire Fund small tools were included in the
F281 ICC501 ISC1201 Fire Administration ($718,740) Fire Capital Budget for this
Operations Fiscal Year.These funds are not
needed for the year.
Funds associated with
F281 ICC5271SC2000 Fire Fund reimbursements to the City
P0114 Vehicle&Equipment Maint. ($316,140) were overstated in budget and
Interfund Reimbursements are being corrected to actual
activity for the year.
F281 ICC501 ISC2200 Fire Fund Increases due to higher than
P0122 Fire Administration $15,780 anticipated CIRA premiums.
Insurance Premiums
Increase to reimbursable
overtime budget to
F281 ICC5081SC0004 Fire Fund accommodate for additional
P00261A0122 Fire Suppression $750,000 strike team deployment.This
Reimbursable Overtime line has a corresponding
revenue line and is
reimbursable to the District.
Fire Fund
Increases to reimbursable fire
F281 JCC5081SC1003 incident costs.This line has a
P0116 Fire Suppression $28,000 corresponding revenue line and
Operations—Reimbursable
is reimbursable to the District. _
Correcting interfund
F281 ICC5291SC2000 Fire Fund reimbursements and account
P0114 Fire Administration $140,760 coding for District
Interfund Reimbursements reimbursement of Fire
Maintenance Workers.
F2881CC501 ISC2106 Fire Capital Fund Additional costs associated
P0128 Fire Administration $11,300 with roof repair design for Fire
Contract Services District facilities.
Funds for fire mechanic vehicle
Fire Capital Fund were budgeted in F281
F2881CC501 ISC7007 Fire Administration $60,000 (Interfund Reimbursements).
P0110 Capital Outlay Purchase will now be done
directly by the District out of the
Capital Fund.
Sports Complex Fund Replacement costs for facility's
F7001CC3121SC2101 Public Works-Facilities $70,240
fire door manual hand crank.
Contract Services
RCMU Fund Acquisition of Supervisory
F7051CC3041SC7009 Capital Outlay $120,350 Control and Data Acquisition
PID-2181-705 Utility Equipment (SCADA)system for RCMU
operations.
Vehicle Replacement Fund $102 Conclusion of purchase
F712�CC001�SC7002 Public Works ,850 activities from FY2024/25,
Page 476
Capital Outlay including final costs for
replacement of Diesel Utility
vehicle and bunker rake.
Personnel costs associated to
F714 CC001 ISCO001 Tech. Replacement Fund ($103 the Workday project were
Personnel-Salaries ,720) budgeted and are no longer
needed.
Tech. Replacement Fund Additional costs for PSVN
F7141CC001 ISC1200 Minor Equipment $145,000 Camera Replacement not
previously included in budget.
Tech. Replacement Fund Budget correction for Data
F7141CC001 ISC7002 Capital Outlay-Equipment ($688,000) Network Refresh project that
_ was over-appropriated.
PD-85 Additional water utilities costs
F8481CC3031SC1606 for PD-85 parks that were
P0048 A0284 Public Works $71,210 Water Utilities erroneously omitted from the
adopted budget.
CFD 2000-03 Parks Mowing and Facility
F868ICC319ISC2105 Public Works $49,560 Landscape Contract received
Contract Services bids and were returned higher
than anticipated.
CFD 2018-01 Additional unanticipated costs
F8761CC3181SC2106 Public Works $21,190 related to signal maintenance
Contract Services that exceed adopted budget.
Page 477
Totals: NotesF001 General Fund $864,520 PJ007'666.in.Reimbursable.
Costs
F110 Beautification Fund $31,820
F124Transportation DIF $125,000
F130 LMD 1 $72,100
F133 LMD3 $64,160
F134 LMD 4 $25,930
F136 LMD 6-R $141,320
F137 LMD 7 $1,700
F139 LMD 9 $12,350
F174 Gas Tax Fund $20,950
F177 Measure I Fund $34,610
F179 Road Maintenance & Rehab. Fund $4,138,960
F198 City Infrastructure Fund $135,440
F277 Used Oil Recycling Program $17,300
F281 Fire Fund ($850,340)
F288 Fire Capital Fund $71,300
F700 Sports Complex Fund $70,240
F705 Rancho Cucamonga Municipal Utility(RCMU) $120,350
F712 Vehicle Replacement Fund $102,850
F714Computer/Equipment Replacement Fund ($646,720)
F848 PD-85 Fund $71,210
F868 CFD 2000-03 $49,560
F876 CFD 2018-01 $21,190
Grand Total $4,695,800
BudgetAmou nts.that.a re.decreasing.a re.shown.in.(Parentheses)
Page 478
RAN CH O
CUCAMONGA
F *isca I Year 2025/26
First Quarter Financial Update
N ove m be r 19 , 202S
IFinancialRANCHO
CUCAMONGA
Overall
Resu Its Revenue Results Expenditures Results
• Sales Tax: Receipts Some higher contract
surpass projections, but services expenditures
remain subject to anticipated for Public
adjustments and Works and
Revenue cycles for allocation adjustments. Engineering.
General Fund major sources, such as Cost Allocations: Will
property taxes, start TOT. Passage of TOT Q1 spending appears begin charging in Q2 of
after Q1 measure in 2024 has above benchmarks due the fiscal year as
resulted in higher budgeted. Once
performance for 2025. to early fisca I year posted, this will display
Aligning with Based on early encumbrances for a reduction to expenses
expectations projections, the departmental in the General Fund.
through Q1 Property Tax revenue $57,000 in donations operations, a budget Expenditures are
forecast has been received in Q1 with management practice consistent with prior
Library reviewed. Consultants more anticipated in Q2. to prevent year with timing of
are projecting a 5.3% overspending. encumbrances for
increase over the prior materials and supplies.
yea r. Other Revenue: Expenditures are
Includes cost recovery consistent with the
Fire District from fire support prior year considering
services, which can vary timing of payments
by timing. varied slightly.
U AMON A
RANCHO Results through 0 the Fiscal
r
0% 25% 50% 75% 100%
$ 11.99 m illion
General Fund Revenues
$ 9 .53 million
$ 34 .66 million
General Fund Expenditures
$ 2 7 .7 9 million
$ 1.14 r illion '
Library Revenues 'IM
r$ 149 thousand
$ 1.2 4 m illio n
Libary Expenditures '
$ 1.2 4 m illio n
$ 20 1 thousand
Fire District Revenues
$ 1.84 m illion
$ 15 .0 7 m illion
Fire District Expenditures $ 13 .8 7 m illion
■ % Bud ■ % Bud PY
AM
FF7.
a Mo — fI If 1 1 F f
Animal Care and Services 4. 103 . 620 4. 108 .620 1 . 158 . 920 8% 925 , 8252
-Building and Safety 2. 335 . 169 , 8 , 1 4 , 8 1 7% 514 , 817
City lerk and Records Management 725 . 560 725 .560 4 , 84 4% 202 , 472
-City Council 159 . 710 159 .710 40 , 8 6% 24 , 343
City Management 1 . 726 . 737 1 . 727 .242 590 . 600 4% 429 , 843
-Cornrnunity Improvement 1 . 204 . 000 1 . 204 .932 4 , 4 4% 299 , 852
Community Services 10, 10 , 177 11 . 123 .323 , 6 , 6 4 1 % 21070 , 857
Economic Development 2. 243 . 990 2. 449 .338 659 . 785 27% 459 . 425
Engagement & Special Programs 1 , 987 . 680 , 040 , 80 7, 1 7 6% 51 , 4
Engineering ,
Finance 21129 , 610 21554 ,610 739 , 506 % 692 , 978
Human Resources 662 , 880 662 ,880 303 , 159 46% 256 , 857
Innovation and Technology 5. 837 , 968 5, 956 .857 21916 , 598 49% 21623 , 472
-Organizational Development 887 , 270 901 .504 149 , 027 17% 155 , 168
Police Department 56, 498 . 609 56, 219 ,242 13 ,748 , 530 4% 12 ,755 , 010
Public Works 14, 183 . 694 14, 752 ,005 71918 , 222 54% 14 ,329 , 673
AM
Personnel Services 4 . 354 . 232 4 . 354 . 232 734 , 680 17% 697 . 428
Operations & Maintenance 888 . 780 933 . 673 316 , 741 4% 273 . 925
Professional Services 500 . 690 507 . 647 152 , 010 0% 204 . 638
Utilities 149 . 080 149 . 080 36 , 902 25% 65 . 670
Cost Allocations 305 . 877 305 , 877 - 0% -
Total 691985659 6� 50�509 1 � 40� 01% 1 a 41 a661
AM
* 1 * a a I LM M F = M -
Personnel Services 44 . 944 . 600 44 . 44 . 600 11 . 440 . 129 % 10 . 404 . 596
Operations & Maintenance 5 . 124 . 950 5 . 125 . 236 11957 , 077 8% 1 . 876 . 586
Professional Services 3 . 921 . 020 3 . 971 . 634 1 . 538 , 845 % 1 . 464 . 995
Utilities 615 . 940 615 . 940 94 , 014 15% 131 . 522
Capital Outlay 1 . 608 . 000 1 . 650 . 480 42 , 480 %
Cost Allocations 5 . 058 . 520 5 . 058 . 520 - 0%
Transfers Out 3 . 964 . 090 31964 , 090 - 0% -
RANCHO Appropriation CUCAMONGA Considerations
Appropriations are requested for revised revenue forecasts.
Revenue Appropriation Requests Requested Increase )
Appropriation Decrease Sources
•
Public Works Contracts
General Fund 41 5 0 Increase Engineering Contract Services
(Includes Frei r-r-r bursea ble)
Fire District ( 50, 40) Decrease
Budget Corrections
Shifting Capital Casts
Major Project Appropriations
Special Revenue Funds 41 1 , 0 Increase Legal Casts for Capital Projects
Landscaping Contracts in LEI Ds
Total $4,695,800
AL
Vineyard Ave . Major Arterial Paving Project $2 , 678 , 960
Engineering Department - R M RA Fund
Highland Ave . Major Arterial Paving Project $ 11460 . 000
Engineering Department - RM RA Fund
Facilities Contract Service $422 , 920
Public Works Department
Orr-Call Plan Check Services
Engineering Department - General Fund $431 , 600
Unemployment Rate by-Ten Largest Counties
Los Angeles County 6.3°
Orange County 4.6°l
San Diego County 5.0%
• • Riverside County 6.3°
Santa Clara County 4.6°
San Bernardino County 5.9/6
Alameda County 5.10
• , • • _ Sacramento County 5.5°Yo
. • San Francisco County 4.3%
Contra Costa County 5.2
A AL
AM
API 12- Month Change
Riverside-fan Bernardino-Ontardio
6.00%
4.87%
5 .00%
4. 8% 4.26%
4.02% 4.06°ib
4.0 Oalo 3.59GiG
3 .00%
-818 77%
2 .00%
1 . 13
1 .00%
0 .00%
pep-2 Nov-23 Jan-24 Mar- 4 May-24 Jul- 24Sep- 4 Nov- 4 Jan- 5 Mar- 5) May- 5 Jul-25
M
AM
Banes Tax Sectors as a Percent of Total
Autos and Transportation
Mate and County Pools 3% Building and Construction
14% 10%
Fuel and Service Stations
6%
Food and Drugs
Restaurants and Hotels 5%
1
JAL
General Consumer Goods
Business and Industry 8%
13%
f�{F RANCHO Recommendation
CUCAMONGA
• Receive and File the First Quarter Financial Update
• Approve appropriations in the amount of "-')3 090 670 in
Reven ues and $ 4 , 695 , 800
Cr��� RANCHO
CUCAMONGA
Questions ,,?