Page 285 - FY 2022-23 Proposed Budget
P. 285

NONDEPARTMENTAL
                                                       FOOTNOTES


               The following footnotes refer to those funds and items as listed.

               TAX AND REVENUE ANTICIPATION NOTES

               For purposes of the budget, “Total 2022 Tax & Revenue Anticipation Notes: $1,344,345,932” is considered the
               appropriated item to pay debt service payments required by the programs listed. The City Administrative
               Officer is authorized to make payments for such obligations.

               CAPITAL FINANCE ADMINISTRATION FUND

               For purposes of the budget, “Total Capital Finance Administration Fund: “$256,146,081” is considered the
               appropriated item to pay lease payments and other expenses required by the programs listed. The City
               Administrative Officer is authorized to make payments for such services.

               GENERAL CITY PURPOSES

               As detailed below, for items in the General City Purposes Budget, administering departments and the City
               Clerk’s Office jointly prepare contracts, administering departments handle contract monitoring and approve
               payments, and the City Clerk’s Office handles the payments and final close-out of contracts.

               Inclusion of all items requiring contracts in General City Purposes shall, at the time of final action on the
               Budget, constitute an acceptance by the City of the offer made by each of the applicants and an instruction to
               the City Clerk’s Office and the administering department to draft, subject to approval of the City Attorney, the
               appropriate contracts and present them to the applicants for execution except as detailed below. The Mayor,
               unless otherwise specified, is authorized and directed to execute such contracts on behalf of the City. The
               administering departments will monitor the contractor and authorize all payments. Upon written authorization
               for payment by the administering departments, the City Clerk’s Office will prepare all documents required by
               the Controller for payment. The administering departments will perform initial contract close-out reviews to
               ensure any funds not used by the contractor or used for items not authorized are refunded to the City. Upon
               completion of their close-out review and any necessary action, the administering departments will forward
               written contract close-out statements with supporting documentation to the City Clerk’s Office for final contract
               close-out. Subsequent to the adoption of the Budget, appropriations to General City Purposes that require
               contracts are directed to be handled in a like manner.

               1.      The Controller shall transfer the following items to departments on July 1, 2022:

                       Aging Programs Various, Congregate Meals for Seniors, and Home-Delivered Meals for Seniors:  To
                       be transferred to the Department of Aging;

                       Angeleno Connect and Unified Homeless Response Center Data Project: To be transferred to the
                       City Clerk’s Office;

                       City Volunteer Bureau, Crisis Response Team, Equity and Community Well-Being, Gang Reduction
                       and Youth Development (GRYD) Office, Global LA, Great Streets, Green Workforce/Sustainability
                       Plan, Homelessness Support, Immigration Integration, Innovation and Performance Management
                       Unit,  Office  of  International  Trade,  Office  of  Re-entry,  Open  Data  and  Digital  Services,  and,
                       Promise Zone: To be transferred to the Mayor’s Office;

                       Clean and Green Job Program (Los Angeles Conservation Corps): To be transferred to the Board of
                       Public Works;






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