HomeMy WebLinkAbout2020-074 - Resolution RESOLUTION NO. 2020-074
A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF RANCHO
CUCAMONGA, CALIFORNIA, RE-ESTABLISHING ANNUAL SPECIAL
TAX FOR COMMUNITY FACILITIES DISTRICT 2006-02 (AMADOR ON
ROUTE 66) FOR FISCAL YEAR 2020/21
WHEREAS, the City Council of the City of Rancho Cucamonga, California, (hereinafter referred
to as the "legislative body of the local Agency"), has initiated proceedings, held a public hearing,
conducted an election and received a favorable vote from the qualified electors relating to the levy of a
special tax in a Community Facilities District, all as authorized pursuant to the terms and provisions of
the "Mello-Roos Community Facilities Act of 1982", being Chapter 2.5, Part 1, Division 2, Title 5 of the
Government Code for the State of California. This Community Facilities District shall hereinafter be
referred to as Community Facilities District No. 2006-02 (Amador on Route 66) (hereinafter referred to as
the "District"); and
WHEREAS, at this time, bonds were previously issued for purposes of financing the project
facilities for said District(the "Prior Special Tax Bonds"); and
WHEREAS, this legislative body, by Ordinance as authorized by Section 53340 of the
Government Code of the State of California, has authorized the levy of a special tax to pay for costs and
expenses related to said District, and this legislative body, by the adoption of Resolution No. 15-152 on
August 5, 2015, established the specific rate of the special tax to be collected for the fiscal year based, in
part, upon the debt service payable on the Prior Special Tax Bonds; and
WHEREAS, on July 30, 2015, special tax refunding bonds were issued by the District to refund
the Prior Special Tax Bonds resulting a reduction in the debt service payable from the special taxes
levied within the District.
NOW, THEREFORE, THE CITY COUNCIL OF THE CITY OF RANCHO CUCAMONGA HEREBY
RESOLVES:
SECTION 1: That the above recitals are all true and correct.
SECTION 2: That the specific rate and amount of the special tax to be collected to pay for the
costs and expenses for Fiscal Year 2020/21 for the District is hereby determined and established as set
forth in the attached, referenced and incorporated in the Annual Status Report.
SECTION 3: That the rates as set forth in such Annual Status Report do not exceed the amount
as previously authorized by Ordinance of this legislative body, and are not in excess of that as previously
approved by the qualified electors of the District.
SECTION 4: That the proceeds of the special tax are used to pay, in whole or in part, the costs
of the following, in the following order of priority:
A. Payment of principal of and interest on any outstanding authorized bonded indebtedness;
B. Necessary replenishment of bond reserve funds or other reserve funds;
C. Payment of costs and expenses of administering the District and any bonds of the District;
and
D. Repayment of advances and loans, if appropriate.
Resolution No. 2020- 074— Page 1 of 3
The proceeds of the special taxes shall be used as set forth above, and shall not be used for any
other purpose.
SECTION 5: The special tax shall be collected in the same manner as ordinary ad valorem
property taxes are collected, and shall be subject to the same penalties and same procedure and sale in
cases of any delinquency for ad valorem taxes, and the Tax Collector is hereby authorized to deduct
reasonable administrative costs incurred in collecting any said special tax.
SECTION 6: All monies above collected shall be paid into the District funds, including but not
limited to, any special tax fund, bond fund, and reserve fund.
SECTION 7: The County Auditor is hereby directed to enter in the next county assessment roll
on which taxes will become due, opposite each lot or parcel of land effected in a space marked "public
improvements, special tax", or by any other suitable designation, the installment of the special tax, and
for the exact rate and amount of said tax, reference is made to the attached Annual Status Report.
SECTION 8: The County Auditor shall then, at the close of the tax collection period, promptly
render to this Agency a detailed report showing the amount and/or amounts of such special tax
installments, interest, penalties, and percentages so collected and from what property collected, and also
provide a statement of any percentages retained for the expense of making any such collection.
Resolution No. 2020-074— Page 2 of 3
PASSED, APPROVED and ADOPTED this 151h day of July, 2020.
L. n enis M hael, KQyor
ATTEST: ,
r
eynolds, City Clerk
STATE OF CALIFORNIA )
COUNTY OF SAN BERNARDINO ) ss
CITY OF RANCHO CUCAMONGA )
I, Janice C. Reynolds, 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 15th day of July 2020.
AYES: Hutchison, Kennedy, Michael, Scott, Spagnolo
NOES: None
ABSENT: None
ABSTAINED: None
Executed this 16th day of July, 2020, at Rancho Cucamonga, California.
e . Reynolds, CNry Cle
Resolution No. 2020- 074— Page 3 of 3
RESOLUTION NO. 2020-074
CITY OF RANCHO CUCAMONGA
MELLO-ROOS COMMUNITY
FACILITIES DISTRICT NO. 2006-02
AMADOR ON ROUTE 66
ANNUAL STATUS REPORT
J U LY 2020
BACKGROUND
On October 18, 2006, an election was held and the property owners within the boundary
of Community Facilities District No. 2006-02 (Amador on Route 66) (the "District")
authorized the District to incur bonded indebtedness in the principal amount of
$2,980,000. On November 1, 2006, the City Council adopted Ordinance No. 770
approving the levy of the special tax and on December 20, 2006 approved
Resolution No. 06-402 authorizing the issuance of bonds. The District boundary is
located south of Garcia, east of Etiwanda, north of Foothill and west of East.
Bonds were issued on January 25, 2007, to share in the provision of funds for the
acquisition of street improvements, landscape improvements within the public right-of-
way and water and sewer improvements.
On July 1, 2015, the City Council adopted Resolution No. 15-115 authorizing the
issuance of special tax refunding bonds for this District in conjunction with various other
Community Facilities Districts. The Special Tax Refunding Bonds, Series 2015, were
refunded with a total principal amount of $18,546,000 and were issued on
July 30, 2015.
By authorizing this refunding, the City Council provided savings to the property owners
for the remaining life of the bond issue, that translated to a 28.42% overall reduction in
the annual debt service payment paid by property owners.
This special tax shall be levied only so long as required for each parcel of taxable
property to discharge bond obligations.
Each fiscal year, all Taxable Property within the District shall be classified as Developed
Property, Taxable Public Property, Taxable Property Owner Association Property or
Undeveloped Property and shall be subject to the levy of Special Taxes in accordance
with the rate and method of apportionment determined pursuant to the section below.
Community Facilities District No. 2006-02 1
Fiscal Year 2020/21 RESOLUTION 2020-074
COMMUNITY FACILITIES DISTRICT NO. 2006-02 (AMADOR ON ROUTE 66)
ANNUAL SPECIAL TAX
FISCAL YEAR 2020/21
Land Use Residential Floor
Class Description Residential Floor Area Area
1 Single Family Detached Property >1,850 Sq. Ft. $ 2,015.67/DU
2 Single Family Detached Property 1,601 - 1,850 Sq. Ft. $ 1,930.49/DU
3 Single Family Detached Property 1,351 - 1,600 Sq. Ft. $ 1,767.29/DU
4 Single Family Detached Property <1 351
$ 1,604.09/DU
5 Non-Residential Property N/A $46,345.26/ACRE
COMMUNITY FACILITIES DISTRICT NO. 2006-02
PROPOSED SOURCES AND USES OF FUNDS
Fiscal Year
2020/21 Budget
Sources
Taxes:
Estimated Assessments, Net of Estimated Delinquencies $ 183,160
Anticipated Prior Year Delinquencies Collection 1,490
Subtotal - Taxes 184,650
Interest Revenue 2,570
Total Proposed Sources $ 187,220
Uses
Debt Service
Principal Repayments $ 83,000
Interest Expense 74,310
Subtotal - Debt Service 157,310
Contract Services 1,000
Assessment Administration 18,250
Admin./General Overhead 200
Total Proposed Uses $ 176,760
Contribution to/(Use of) Fund Balance $ 10,460
Community Facilities District No. 2006-02 2
Fiscal Year 2020/21 RESOLUTION 2020-074
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