Stanton

City Council

May 13, 2025 Order of Business 6 #F

Agenda Item F

6F. MARCH 2025 GENERAL FUND REVENUE AND EXPENDITURE REPORT; HOUSING\nAUTHORITY REVENUE AND EXPENDITURE REPORT; STATUS OF CAPITAL\nIMPROVEMENT PROGRAM; RATIFY PAYMENTS TO QUALITY MANAGEMENT\nGROUP FOR TINA PACIFIC PROPERTY IMPROVEMENTS\nThe Revenue and Expenditure Reports for the month ended March 31, 2025, have been\nprovided to the City Manager in accordance with Stanton Municipal Code Section\n2.20.080 (D) and are being provided to the City Council. This report includes information\non both the City’s General Fund and the Housing Authority Fund.\nIn addition, staff is requesting a ratification of $110,846.30 for payments already made to\nQuality Management Group for property improvements made at 8910 Tina Way Units A,\nC and D. Lastly, staff seeks authorization from the City Council to approve an additional\n$57,389.24 to Quality Management Group for the remaining balance to complete property\nimprovements for 8910 Tina Way Units C and D.\nRECOMMENDED ACTION:\n1. City Council find that this item is not subject to California Environmental Quality Act\n(“CEQA”) pursuant to Sections 15378(b)(5) (Organizational or administrative activities\nof governments that will not result in direct or indirect physical changes in the\nenvironment); and\n2. Receive and file the General Fund and Housing Authority Fund March 2025 Revenue\nand Expenditure Reports and Status of Capital Improvement Projects for the month\nended March 31, 2025; and\n3. Ratify $129,926.30 in payments made to Quality Management Group for Tina Pacific\nproperty improvements; and\n4. Authorize additional payments to Quality Management Group totaling $57,389.24\nupon completion of the Tina Pacific property improvements.