File #: 13-00396    Version: 1
Type: Agenda Item Status: Passed
File created: In control: BOARD OF SUPERVISORS
On agenda: 5/21/2013 Final action: 5/21/2013
Title: HEARING - Consider recommendations regarding Tax and Revenue Anticipation Note Short Term Financing Program for Fiscal Year 2013/2014, as follows: (EST. TIME: 5 MIN.) a) Adopt a Resolution "In The Matter of Providing For the Borrowing of Funds for Fiscal Year 2013/2014 and the Issuance and Sale of County of Santa Barbara, California, 2013/2014 Tax and Revenue Anticipation Notes Therefor"; b) Adopt a Resolution "In the Matter of Affirming That Moneys in Internal Service Funds are Available Only for Designated Purposes and are Reasonably Required and May be Loaned for Temporary Cash Flow Needs"; c) Authorize the Treasurer - Tax Collector or the Auditor-Controller to execute the Contract of Purchase with E. J. De La Rosa and Co., Inc. for the issuance of non-taxable Tax and Revenue Anticipation Notes in accordance with State and Federal law, in an amount not to exceed $60,000,000.00, at a yield not to exceed 1.0%, to meet General Fund cash flow requirements during the 2013/2014 F...
Sponsors: TREASURER-TAX COLLECTOR-PUBLIC ADMINISTRATOR
Attachments: 1. Board Letter, 2. TRAN Resolution, 3. Insurance Resolution - 2013-14 TRANS, 4. Santa Barbara 2013 TRANs Purchase Contract, 5. Orrick Contract, 6. Santa Barbara 2013 TRAN POS (9), 7. Santa Barbara 2013 TRAN Appendix A (8) (3), 8. Santa Barbara TRAN 2013 CDA (2), 9. Cashflow, 10. Final Executed Purchase Contract
Title
HEARING - Consider recommendations regarding Tax and Revenue Anticipation Note Short Term Financing Program for Fiscal Year 2013/2014, as follows: (EST. TIME: 5 MIN.)
 
a) Adopt a Resolution “In The Matter of Providing For the Borrowing of Funds for Fiscal Year 2013/2014 and the Issuance and Sale of County of Santa Barbara, California, 2013/2014 Tax and Revenue Anticipation Notes Therefor”;
 
b) Adopt a Resolution “In the Matter of Affirming That Moneys in Internal Service Funds are Available Only for Designated Purposes and are Reasonably Required and May be Loaned for Temporary Cash Flow Needs”;
 
c) Authorize the Treasurer - Tax Collector or the Auditor-Controller to execute the Contract of Purchase with E. J. De La Rosa and Co., Inc. for the issuance of non-taxable Tax and Revenue Anticipation Notes in accordance with State and Federal law, in an amount not to exceed $60,000,000.00, at a yield not to exceed 1.0%, to meet General Fund cash flow requirements during the 2013/2014 Fiscal Year;
 
d) Approve and authorize the Chair to execute an Agreement with Orrick, Herrington, and Sutcliffe, LLP to perform legal services as bond counsel incident to the execution and delivery of 2013/2014 Tax and Revenue Anticipation Notes in the amount of $20,000.00;
 
e) Authorize the Treasurer - Tax Collector to abandon this issuance if market conditions are deemed financially unfavorable; and
 
f) Determine that the above actions are government funding mechanisms and/or fiscal activities that are not a project under the California Environmental Quality Act (CEQA) pursuant to section 15378(b)(4) of the CEQA Guidelines.
 
COUNTY EXECUTIVE OFFICER'S RECOMMENDATION: APPROVE