My WebLink
|
Help
|
About
|
Sign Out
Browse
Search
Reso25 16380
RedwoodCity
>
City Clerk
>
Resolutions
>
City Council
>
2020-2029
>
2025
>
Reso25 16380
Metadata
Thumbnails
Annotations
Entry Properties
Last modified
12/23/2025 1:07:55 PM
Creation date
12/23/2025 1:07:34 PM
Metadata
Fields
Template:
CC Index
CC Index - Document Type
Resolution
Meeting Type
Regular
Agency Type
City Council
Date
12/22/2025
There are no annotations on this page.
Document management portal powered by Laserfiche WebLink 9 © 1998-2015
Laserfiche.
All rights reserved.
/
50
PDF
Print
Pages to print
Enter page numbers and/or page ranges separated by commas. For example, 1,3,5-12.
After downloading, print the document using a PDF reader (e.g. Adobe Reader).
Show annotations
View images
View plain text
Annual and Five-Year Development Impact Fee Report <br />Fiscal Year Ending June 30, 2025 <br /> <br />City of Redwood City 43 <br />Water and Wastewater Capacity Fees <br />The water and wastewater capacity and facility fees are subject to the reporting requirements in <br />Government Code section 66013(d), rather than the requirements in sections 66006(b) and <br />66001(d). Since the information required by sections 66006(b) and 66001(d) largely <br />encompasses the information required by 66013(d), the City is complying with the water and <br />wastewater capacity and facilities fee reporting requirements by including them in the prior <br />section of this AB 1600 report. <br />In addition to reporting on future projects, the following sections specifically satisfy Government <br />Code Section 66013(d)(4)(C) by identifying each public improvement that is anticipated to be <br />undertaken in the following fiscal year (FY 2025-26). <br />Wastewater Treatment Capacity Fee <br />Wastewater Treatment Capacity fees are deposited into Account 688 and passed through to <br />Silicon Valley Clean Water at the close of the fiscal year. As such, the Water Treatment Capacity <br />account balance is $0 each year, and the City does not control project-specific expenditures and <br />cannot report on public improvements anticipated to be undertaken in FY 2025-26. <br />Wastewater Collection Capacity Fee <br />The following section identifies future projects and also specifically satisfies Government Code <br />Section 66013(d)(4)(C) by identifying each public improvement that is anticipated to be <br />undertaken in the following fiscal year. <br />• The Wastewater Collection Capacity Fee was established to fund a proportionate share of <br />the costs of existing and future wastewater system facilities and assets that are <br />reasonably necessary to provide wastewater collection capacity to new development. <br />• The City charges a Wastewater Collection Capacity Fee to provide for the use and <br />construction of existing and future sanitary sewerage system capital facilities in <br />accordance with the City’s Capital Improvements Program adopted by the City Council. <br />The fees are based on an average cost approach under which new or expanded <br />developments would fund their proportionate share of costs for existing and planned <br />wastewater system facilities and assets. <br />• There is an unexpended balance in the Wastewater Collection Capacity Fee account which <br />is expected to be used to fund capacity expansion projects including the Veterans Sewer <br />Interceptor the Walnut Street Sewer Interceptor, pump station improvements, and <br />upsizing of the C3 Sewer Trunk Main. All identified improvements are needed to mitigate <br />the impacts of future development on the City’s wastewater facilities. Each project is <br />listed below in Table 28. Information about the total project cost, the estimated start <br />year, and other funding sources are noted. <br />ATTY/RESO.0124/CC RESO ACCEPTING THE DEVELOPMENT IMPACT FEES REPORT FOR FISCAL YEAR 2024-25 - ATTACHMENT A <br />REV: 12-05-25 MI <br />
The URL can be used to link to this page
Your browser does not support the video tag.