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Committee requests refined staff report; next meeting set for March 3
Summary
Members asked staff for a refined fiscal scenarios report (dollar amount, duration, allocation) and prioritized street list; staff committed to circulate materials ahead of a March 3 meeting.
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The committee closed the discussion by identifying the deliverables staff should prepare for the next meeting and confirmed a March 3 follow-up.
Members asked for a staff report that lays out: (1) a recommended dollar amount and duration for any MST renewal; (2) an allocation split (roads vs vegetation/fire mitigation); (3) per‑category cost estimates distinguishing residential, collector and arterial streets; and (4) an assessment of procurement/capacity implications for front‑loaded programs.
The committee set its next meeting for March 3 and requested staff circulate the report by the Friday before the meeting to give members time to review. No formal vote or motion was taken during this meeting; the direction was to prepare analysis for council consideration.
