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HomeMy WebLinkAboutStaff Report 3883 City of Palo Alto (ID # 3883) Policy and Services Committee Staff Report Report Type: Meeting Date: 6/25/2013 City of Palo Alto Page 1 Summary Title: Stanford Development Agreement Funds Approval Guidelines and Process Title: Stanford University Medical Center Development Agreement Funds Guiding Principles and Approval Process From: City Manager Lead Department: Administrative Services Recommendation Draft Motion: The Policy & Services Committee recommends the City Council approve the: 1. Guiding parameters for use of the Stanford University Medical Center development agreement fund as follows… 2. Process for Council review and approval of proposed projects as outlined in the staff report and Attachment C. Background On May 6 the City Council reviewed and discussed conceptual guiding principles and an approval process for use of the Stanford University Medical Center (SUMC) development agreement funds (see attachment A). Council referred development of guiding principles and an approval process for the use of the SUMC funds to the Policy and Services Committee for further discussion and recommendation to the full Council. Furthermore, the Council authorized use of $2 million from such funds for Project Safety Net. Attachment B provides the draft meeting minutes from the May 6 Council meeting. Council’s comments on the potential guidelines included suggestions such as: 1. Funds should be used for impactful, long-last projects. 2. Bulk of funds should be used for infrastructure projects. 3. The endowment fund concept, although thought provoking, is inconsistent with City of Palo Alto Page 2 investing in large scale transformative, impactful projects, especially given the small scale of the base funding. 4. Expenditure of funds should reflect the City’s core values and guiding principles. Council also had comments related to project ideas. Overall, Council deferred the discussion of specific projects until a review framework could be established. Staff clarified that the projects for the One Bay Area Grant process that were identified in the May 6 staff report to Council were presented as ideas of the types of projects that Council might consider for funding and not as explicit suggestions for projects to approve. Discussion As a starting point and to help facilitate the Committee’s discussion, the staff report provides the following: 1. Summary of the funds by category and analysis of interest earned verses cost of construction over next ten years. 2. Key financial management practices that will guide the administrative oversight of the funds. 3. Recommended parameters (framed as guiding questions) for use of SUMC funds based on Council feedback and staff’s recommendations. 4. Recommended process for review of projects. Summary of SUMC Funds As illustrated in Table 1 below, the SUMC Parties (Stanford Hospitals and Clinics, Lucile Packard Children’s Hospital, and Stanford University) have paid $32.5 million in public benefit fees to the City through January 2013 as required by the Development Agreement between SUMC and the City as part of the Stanford University Medical Center Facilities Renewal and Replacement Project. The City is set to receive an additional $11.7 million from Stanford in the 2016-2017 timeframe upon issuance of final occupancy permits. This final payment brings the total due the City to $44.3 million. The City has spent $664,000 for activities related to Project Safety Net and the 27 University Avenue project. Additionally, Council recently committed $4.3 million from the Infrastructure, Sustainable Neighborhoods & Communities and Affordable Housing Fund to fund a long-term loan to the Stevenson House rehabilitation project and a short-term loan to the Maybell-Clemo affordable senior housing site, and $2 million to project safety net. City of Palo Alto Page 3 Table 1. Stanford University Medical Center Development Agreement Funds SUMC Funds Category Total Payments Due Amount Received Amount Spent or Loaned Available Funding as of 3/31/13* Committed/ Status Project Operating Deficit $2,417,000 $2,417,000 $0 $2,612,413 Committed through end of project to mitigate unexpected project impact costs Linkage from Downtown through PAITS to Quarry/ECR Intersection $2,250,000 $2,250,000 $374,124 $2,035,937 Recommended for CIP funding in FY2015 Linkage along Quarry Road for Pedestrian/Bicycles/ Transit $400,000 $400,000 $0 $432,340 Recommended for CIP funding in FY2015 Community Health and Safety Programs $4,000,000 $4,000,000 $139,389 $4,180,151 ($1,600,000 for PSN) Council allocated $2m to PSN on May 6. $139,000 spent; $260,000 newly budgeted in FY2014 Balance in PSN $1.6m Infrastructure, Sustainable Neighborhoods and Affordable Housing $23,200,000 $15,466,666 $4,470,220 ($150,000 for portion of 27 University) $11,669,332 ($7,733,333 due upon occupancy, est. 2016) Sustainability Programs $12,000,000 $8,000,000 $8,381,809 ($4,000,000 due upon occupancy, est. 2016) Totals $44,267,000 $32,533,666 $4,983,733 $29,311,982 (includes $1.8m interest) *Includes interest earned. As noted, over the life of the development agreement, the City is due to receive $44.3 million from the SUMC parties. As the City considers the timing of investing SUMC funds, the chart below examines how these funds might fare if invested at the City’s interest rate growth assumption from the long-range financial forecast versus the cost of construction over the next City of Palo Alto Page 4 ten years. With construction costs rising faster than interest rates the table below shows that waiting to construct projects would cost more than the City would gain in interest earnings. Table 2. Interest Growth Verses Cost of Construction Over next 10 years ($Millions) Total SUMC Funds 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 Interest only $29 $30 $30 $44 $45 $46 $47 $48 $49 $50 $51 $52 Construction cost index $29 $30 $31 $45 $47 $48 $49 $51 $53 $54 $56 $57 Difference $0 $1 $1 $1 $2 $2 $3 $4 $4 $5 $5 Total Difference $28 *Interest is averaged at 2.28% per year and the construction cost index is averaged at 3%. Financial Management Practices Staff will incorporate sound financial practices in managing the SUMC funds to maximize and preserve the funds until allocated. In managing the SUMC funds, staff will: 1. Preserve the funds by prohibiting the funds from being used to cover structural budget short falls. This aligns with the financial practice of not using one-time funds to cover ongoing budget gaps. 2. Accrue interest earnings generated by the monies in the project categories within the sub fund categories. This aligns with the fundamental practice of crediting interest where it is generated. 3. Not charge administrative costs to the funds to best preserve the totality of the funds for projects (although allowed in the development agreement). Parameters for Use of SUMC Funds Based on the Council’s discussion and feedback on May 6 and the City Manager’s review, staff is recommending that the Policy and Services Committee consider the following parameters (framed as guiding questions) for use of the SUMC funds: 1. Should funds be invested in projects that will have a lasting effect with the intention to generate measurable community impact? 2. Should funds be treated as one-time funds and not used for ongoing program expenditures that result in unsustainable continuing commitments after funding expires? 3. Should funds be dedicated in the near-term, over the next five to ten years, with an City of Palo Alto Page 5 emphasis on allocating sooner than later? 4. At the same time, should funds be allocated over time, both to assure careful review and to manage implementation effectively? 5. Should the Council attempt to develop a “master list” that potential projects could be drawn from, so that project funding decisions are made within a larger perspective and so relative importance and value is clear? 6. Does the Policy and Services Committee wish to discuss adding other guiding parameters? Process for Review of Projects Staff recommends that the Policy & Services Committee consider recommending Council routinize decisions and allocations of Stanford Funds. Staff suggests Council considers use of SUMC funds twice annually, once in the Fall and once in the Spring. During each cycle, staff and Council, will submit proposals for consideration to the City Manager. Staff will review and package proposals, much as we do during budget, weighing the suggestions against guidelines and other criteria established by Council, and forwarding to Council. The Finance Committee will review proposals, and make funding recommendations to the City Council. The City Council will consider the Finance Committee recommendations and make final determination on the use of funds. Attachment C provides a flow chart of the annual cycle. Resource Impact On May 6 staff reported that $29.3 million was available from the SUMC funds (see page 5 of report ID #3651). Council approved $2 million of that amount for Project Safety Net (PSN). Included in the FY2014 Adopted Budget is $260,000 in budgeted expenditures for PSN. This puts the balance of available SUMC funds at $29 million going into FY2014. Since the City has proposed using SUMC funds as matching grant funding and for loans, in the case of affordable housing, this funding will be returned to the City in the future. As these funds are returned to the SUMC categories they will become available for appropriate projects in future years. During Council’s review of the FY2014 proposed capital improvement, Council decided to place on hold the allocation of SUMC funds for the Bicycle and Pedestrian Transportation Plan (PL- 04010; $1.2 million, $6 million over 5 years) until guidelines and the process can be formalized. Instead this project will be funded out of the infrastructure fund until a decision is made regarding the use of SUMC funds. The Council could decide to reimburse the infrastructure fund for any funds used. Also in the FY2014 budget, Council approved in-concept funding of $1 million for the Highway 101 Pedestrian/Bicycle Overpass capital project (PE-11011). These funds would be used as a local match towards $4 million in funding to be received from the One Bay Area Grant process. City of Palo Alto Page 6 Council noted that the staff report showed that $5.4 million had been collected in development impact fees and asked what the total amount would be upon completion of the project. Staff estimates the SUMC projects will generate $8.5 million in development impact fees during construction. The City’s Infrastructure Committee is currently evaluating currently available funding sources that could be allocated to infrastructure projects at Council’s discretion such as the SUMC Funds. The Committee has not made any recommendations. Policy Implications The guiding parameters and the process to evaluate use of funds will guide Council’s review of all future funding requests. Environmental Review No environmental review is required at this stage of the discussion process but, if funded, some projects may require a CEQA analysis. Attachments:  Attachment A. 05-06-2013 Staff Report (PDF)  Attachment B. 05-06-2013 Draft Meeting Minutes (PDF)  Attachment C. Process for Reviewing Use of Funds (PDF) City of Palo Alto (ID # 3651) City Council Staff Report Report Type: Action Items Meeting Date: 5/6/2013 City of Palo Alto Page 1 Summary Title: Stanford Funds Review and Allocation Process Title: Review of Guiding Principles for Stanford University Medical Center Fund Allocations and Allocation of $2 Million to Project Safety Net From: City Manager Lead Department: Administrative Services Recommendation Staff   recommends   that   the   Council   provide   input   on   staff’s   proposed   process   for   allocating   Stanford University Medical Center (SUMC) Development Agreement funds and formally approve an allocation of $2 million for Project Safety Net from the Community Health and Safety Program funds, which was previously discussed by the City Council. Motion To  approve  Staff’s  recommendation  to  approve  an  allocation  of  $2  million  for  Project  Safety  Net   from the Community Health and Safety Program funds. Executive Summary The   SUMC   Parties   (Stanford   Hospitals   and   Clinics,   Lucile   Packard   Children’s   Hospital,   and   Stanford University) have paid $32.5 million in public benefit fees to the City through January 2013 as required by the Development Agreement between SUMC and the City as part of the Stanford University Medical Center Facilities Renewal and Replacement Project. The City is set to receive an additional $11.7 million from Stanford in the 2016-2017 timeframe upon issuance of final occupancy permits. This final payment brings the total due the City to $44.3 million. The City has spent $664,000 for activities related to Project Safety Net and the 27 University Avenue project. Additionally, Council recently committed $4.3 million from the Infrastructure, Sustainable Neighborhoods & Communities, and Affordable Housing fund to fund a long-term loan to the Stevenson House rehabilitation project and a short-term loan to the Maybell-Clemo affordable senior housing site. This report outlines a proposed process and set of guidelines for allocating Stanford funds to appropriate projects consistent with the requirements of the # 15 City of Palo Alto Page 2 Development Agreement. The report also recommends that the City Council formally approve an allocation of $2 million to Project Safety Net as discussed below. Background On June 6, 2011, the City Council approved Comprehensive Plan amendments, zoning changes, a conditional use permit, annexation and design applications for the Stanford University Medical Center Facilities Renewal and Replacement   Project   (the   “Projects”).   The   Projects   include the construction of a new Stanford Hospital and clinics buildings, an expansion of the Lucile   Packard   Children’s   Hospital,   construction   of   new   School   of   Medicine   buildings,   renovation of the existing Hoover Pavilion, construction of a new medical office building and parking garage at Hoover Pavilion, roadway improvements along Welch Road and Durand Way, and SUMC design guidelines. A Development Agreement vesting these approvals was entered into between the SUMC Parties and the City and was effective on June 6, 2011 and continued for thirty years from the effective date. On July 25, 2011 Council discussed the status of the funds (Report ID #1954) and high-level themes guiding the use of the funds. Staff committed to returning to Council with defined guidelines, which are discussed in this report. In addition, at the July 25 meeting Council discussed the intent to allocate $2 million to Project Safety Net from the $4 million in Community Health and Safety Program funds. While the $2 million allocation was discussed, it was not formally approved via a Council vote. Staff is, therefore, asking Council to formalize the allocation via this staff report. The Council minutes from the July 25, 2011 meeting are attached to this report (Attachment C). This report lays out Staff’s  recommendation of a proposed process and set of guidelines for allocating these funds in the near term and in future years. While the Infrastructure Blue Ribbon Commission (IBRC) initiative has identified many specific projects that could be funded by the SUMC monies, to best leverage all available funds, it is important to examine these projects in a larger context. Staff is proposing a phased approach to allocating the SUMC funds that is tied to leveraging opportunities such as grant funding, capital improvement program budget discussions, and a possible revenue ballot measure. Staff is seeking Council input on this proposed process and guidelines so staff can tailor upcoming discussions at the key decision points mentioned above. Discussion City Staff responsible for the project areas that will receive funds have met to layout a proposal for a process and guidelines to allocate SUMC funds. This process hinges on upcoming decisions and discussions that could take place around possible transportation grant City of Palo Alto Page 3 opportunities in 2013 or beyond, the FY2014 (or beyond) capital improvement program budget, and projects for a possible bond or initiative in FY2014. Guiding Principles Council discussed all the SUMC funds during an update on July 25, 2011 (Report ID #1954). Council comments suggested the funds should not be used for budgetary deficits, but rather to establish permanent funds from which the community could benefit for years to come (Attachment C). Comments also pointed to the transformative nature of the funds to do something for the community in a major way. Further, comments suggested that only high- priority projects, after much vetting from the community, should be selected. Projects that were fiscally sustainable could also be a requirement. Staff, building on Council comments, added financial management concepts along with principles of endowment management to develop the following recommended policy guidelines for reviewing SUMC funding allocation proposals (for Council discussion). Guiding Principles for Use of SUMC Funds 1. SUMC funds are onetime funds and they should be used to invest in initiatives that will have lasting impact 2. Funding decisions should strike a balance between safeguarding the principal and leveraging the interest 3. Interest is accrued to the individual funds 4. Should the vote threshold to approve the use of the funds by Council be high? 5. Any decision to expend funds includes full status report, review of approved policy guidelines and an accounting of expenditure outlays 6. Proposed projects or programs that would leverage matching grant funding or other funding sources would be weighted highly 7. The funds should not be used for ongoing expenditures, should strive to be one-time in nature 8. Endowment fund management concepts to consider and help frame discussion: a. Capital preservation for future generations b. “The  trustees  of  an  endowment  institution  are  the  guardians  of  the  future   against the claims of the present. Their task is to preserve equity among generations.”  James  Tobin c. Capital appreciation as well as current income (i.e. rent from real property) d. Restricted versus unrestricted funds City of Palo Alto Page 4 e. The  role  of  the  endowment  in  supporting  the  organization’s  mission? f. How much   of   the   endowment’s   return   should   be   spent   and   how   much   should be reinvested? g. Balance this tension: the current needs of the City and community vs. the obligation to preserve the endowment for future generations h. What’s  the  life  of  the  SUMC  funds? (i.e. endowments are forever) i. Risks:  Gradual reduction of assets on small non impactful projects or outcomes  “Too  many  hands  in  the  pot,” Dilution of impact  Lax oversight j. How can endowment value be preserved for the future? k. Policies   that   will   guide   it’s   management, written down and reviewed periodically Staff proposes that the (Council) Finance Committee weigh the merits of any proposed funding allocations via these guidelines and concepts. Under this process, all funding allocation proposals would come through Finance Committee for review and recommendation to the full Council. Staff would provide a package for Finance Committee review that would include a review of the guidelines, status on any expenditures and a recommendation based on staff review and other input from possible staff or external review committees. Current Fund Status As of March 2013, the City has spent a portion of SUMC funds on specific projects: 27 University ($524,124), Project Safety Net ($139,389), and affordable housing ($4,300,000; long and short term housing loans). The table below summarizes the responsible departments, funding received and the remaining funding after taking into account committed funds and interest income earned. The table does not include proposed allocations from the SUMC funds in the FY2014 Proposed Budget for Project Safety Net ($260,000) and the Bicycle and Pedestrian Transportation Plan ($1.2 million). These proposed allocations are due to be reviewed by the Finance Committee on May 16 as part of the FY2014 budget hearings. For a detailed accounting of SUMC funds to date see Attachment A. City of Palo Alto Page 5 SUMC Funds Category Responsible Department Payments due from Stanford per Development Agreement Amount Received from Stanford Amount Spent or Loaned Available Funding as of 3/31/13 (includes interest earned) Committed/ Status Committed/Designated Project Operating Deficit ASD $2,417,000 $2,417,000 $0 $2,612,413 Committed through end of project to mitigate unexpected project impact costs Linkage from Downtown through PAITS to Quarry/ECR Intersection Planning $2,250,000 $2,250,000 $374,124 $2,035,937 Recommended for CIP funding in FY2015 Linkage along Quarry Road for Pedestrian/Bicycles/ Transit Planning $400,000 $400,000 $0 $432,340 Recommended for CIP funding in FY2015 Not Committed – Council Input Sought Community Health and Safety Programs Community Services $4,000,000 $4,000,000 $139,389 $4,180,151 Available, recommended in part for Project Safety Net Infrastructure, Sustainable Neighborhoods and Affordable Housing Public Works and Planning $23,200,000 $15,466,666 $4,470,220 (Council voted on 9/24/12 to use $150,000 for a portion of 27 University) $11,669,332 ($7,733,333 due upon occupancy, est. 2016) Available pending OBAG project selection, then to Infrastructure and Sustainability Committees for prioritization and recommendation to Council Sustainability Programs Public Works and Planning $12,000,000 $8,000,000 $8,381,809 ($4,000,000 due upon occupancy, est. 2016) Available pending OBAG project selection, then to Infrastructure and Sustainability Committees for prioritization and recommendation to Council Totals $44,267,000 $32,533,666 $4,983,733 $29,311,982 (includes $1.8m interest) City of Palo Alto Page 6 Two projects, Linkage from Downtown through Palo Alto Intermodal Transit Station to Quarry/El Camino Real Intersection and Linkage along Quarry Road for Pedestrians, Bicycles, and Transit, have well-defined project areas. The Quarry Road linkage is a project that is required to be completed by December 2016. The same deadline applies to the larger Downtown linkage funds. Staff will work with Stanford as needed to coordinate these projects. Two other funding areas, Infrastructure and Affordable Housing and Climate Change and Sustainability represent funding that could go to any number of projects without any Development Agreement conditions. As discussed below, staff recommends that the process for allocating these funds be staged. The fourth funding category is for Community Health and Safety Programs with an emphasis on Project Safety Net. Staff proposes formalizing the $2million allocation to Project Safety Net and that no new allocations be decided until Project Safety Net has completed their strategic planning process currently under way. This is discussed in more detail below. Finally, the Project Operating Deficit funds are set aside in the Development Agreement to mitigate unanticipated project impact expenses that emerge during the course of the project. Staff anticipates holding these funds until final project completion, at which time the funds could be used to backfill additional City operating expenses that arise when the projects come fully online. At this point, the funds are not considered available for other projects. Community Health and Safety Programs ($4.2 million available) DA requirement:  $4 million to be distributed to selected community health programs that benefit residents of the City, based on joint committee recommendations and Council acceptance  Council may decide to use the entire portion for the Project Safety Net Program  The SUMC parties and the City shall establish a joint committee to review proposals and make recommendations to the City Council on programs or projects other than Project Safety Net.    (The  decision  is  Council’s  sole  discretion.) Consistent   with   the   Guiding   Principles   discussed   above   and   Council’s   earlier  direction, staff proposes that $2 Million of the Stanford funds be allocated to Project Safety Net (PSN). PSN is a recognized leader in suicide prevention and youth well-being and the umbrella entity for this effort in Palo Alto. The SUMC funding would support prevention, intervention, and education programs  and  projects  targeted  at  “At  Risk  Youth”  in  the  community. Project Safety Net is currently going through a significant planning process as a community collaborative with a local City of Palo Alto Page 7 non-profit  Compass  Point  to  define  a  strategic  path  for  meaningful  social  impact  on  Palo  Alto’s   youth wellbeing and suicide prevention goals over the next three years. This planning work will be complete by the end of the fiscal year and will be particularly informative as we consider how best to invest the remainder of the Community Health and Safety funds. The planning work   will   further   define   PSN’s   core   programmatic   and   strategic   goals,  building upon current efforts. The plan will also provide a recommended structure along with decision making processes for the collaborative that will support the programmatic and strategic goals. At this time staff recommends that Council make no decision as to the allocation of the remainder  of  the  funds,  but  wait  until  staff  returns  with  the  results  of  PSN’s  strategic  planning   process. Staff does believe that a process similar to the Human Services Resources Allocation Process would be appropriate in discussing and prioritizing fund allocations. The Development Agreement anticipates use of this $4 million within a 10 year period. At the right point in time, staff recommends establishment of the joint review committee to discuss the best investment opportunities for the other $2 million. Infrastructure, Sustainable Neighborhoods and Communities and Affordable Housing ($11.8 million available) DA requirement:  $23 million for use in connection with infrastructure, sustainable neighborhoods and communities and affordable housing  Final payment of $7 million due upon issuance of a hospital occupancy permit, which is expected in 2016. Council  recently  approved  the  City’s  participation  in  the  One  Bay  Area  Grant  Program  (OBAG)  to   seek grant opportunities for transportation projects that would satisfy infrastructure needs and sustainability objectives (report ID #3551). The Stanford funds were identified as a potential source for the necessary matching grants. The total for matching grants is $25 million and the available funds in the two SUMC funds categories is $22.7 million. It is unlikely that the City will be approved for all 10 projects so the ultimate matching requirement is expected to be far less than $25 million. The grant approval process is expected to be completed in April, with the City learning which projects have been approved by May. Staff proposes to return after the grant awards are announced with a final funding strategy, including the possible use of SUMC funds, recognizing there are many other competing possibilities, now and in the future. City of Palo Alto Page 8 Staff recommends that Council consider that upcoming discussions about the potential use of SUMC funds and prioritization and allocation possibilities be held with the Infrastructure committee, as a prelude to Finance Committee review. Staff proposes to set aside an amount of approximately $1,500,000 to be ready for affordable housing opportunities. Climate Change and Sustainability ($8.2 million available) DA Requirement:  $12 million for use in projects and programs (including carbon credits) for a sustainable community,   including   programs   identified   in   the   City’s   Climate   Action   Plan,   and   investments in renewable energy and energy conservation.  $8 million received to date; $4 million final payment to be received upon hospital occupancy permit Projects prosed for the OBAG program, such as Adobe Creek/Highway 101 Bicycle-Pedestrian Bridge,  are  consistent  with  the  City’s  sustainability  goals.    Staff  expects  to  learn  what  projects   have been approved for OBAG funding in May. In any case, staff proposes that the discussion of project prioritization and recommended allocation of the sustainability funds be referred to the City’s  staff  “Sustainability  Board” for a more detailed analysis and report. Resource Impact In addition to the funds from the Development Agreement identified earlier, development impact fees of $5.4 million have been collected so far on the project. Staff recommends preserving the development impact fees until the end of the project to help address remaining mitigations at that time. Administrative Fees: The development agreement allows for the City to recover from the SUMC funds the reasonable costs associated with managing, accounting and reporting for the funds. While City staff has recently began contributing time to managing the funds it is not significant. At this time staff does not recommend charging an administrative fee to the funds. City of Palo Alto Page 9 Since the City has proposed using SUMC funds as matching grant funding and for loans, in the case of affordable housing, this funding will be returned to the City in the future. As these funds are returned to the SUMC categories they will become available for appropriate projects in future years. Policy Implications One of the policy implications is how to synchronize the process for prioritizing infrastructure and other potential projects with the availability of funding. Council will surely want to discuss alternatives. Staff has met with representatives of Stanford to discuss the proposed allocation of funds discussed in this report and the ongoing process for allocating those funds. Environmental Review No environmental review is required at this stage of the discussion process but, if funded, some of the proposed projects may be required to complete a CEQA Analysis prior to construction. Attachments:  Attachment A: SUMC Funds 2012 (XLSX)  Attachment B: SUMC Funds 2013 (XLSX)  Attachment C: Excerpt City Council minutes from 07-25-2011.pdf (PDF) City of Palo Alto 5/2/2013 Stanford Medical Center Development Agreement (Fund 260) FY 2012 Project Ped & Bike Link Ped & Bike Link Infrastructure &Climate Change Community Total FY 2012 FY 2012 Operating at El Camino Park At Quarry Rd Afford Housing & Sustainability Health & Safety Actuals Authorized Deficit cost centers 26000000 60260010 60260020 60260030 60260040 80260010 Revenues: Revenues From Stanford 2,417,000 2,250,000 400,000 7,733,333 4,000,000 4,000,000 20,800,333 20,800,333 Investment Earnings 1,340,172 1,340,172 459,984 Allocate to categories (1,340,172) (1,340,172) Allocated Investment Earnings 157,814 130,758 26,117 504,934 261,173 259,376 1,340,172 - Total Revenues 2,574,814 2,380,758 426,117 8,238,267 4,261,173 4,259,376 22,140,505 21,260,317 Expenditures: Temp Salaries/Benefits (1)20,224 20,224 45,000 Contract Services for 27 University (2)247,369 247,369 250,000 Contract Services 1,650 1,650 - Other expenses 5,644 5,644 20,000 Total Expenditures - 247,369 - - - 27,518 274,886 315,000 Net total 06/30/12 2,574,814 2,133,390 426,117 8,238,267 4,261,173 4,231,858 21,865,619 20,945,317 Future Revenues from Stanford: Estimated January 2012-Foundation 7,733,333 4,000,000 permit for 1st hospital project. Permit is still under review by OSHPD Estimated January 2018-1st hospital 7,733,333 4,000,000 occupancy permit (1) Position was budgeted for six months, the person did not start until April. (2) $66K Fergus Gerber Young Architects $50K Sandis Engineers $31K Sand Civic Engineers $85K Fukuji Planning $13K Metropolitan Planning $2K Michael Reardon City of Palo Alto 5/2/2013 Stanford Medical Center Development Agreement (Fund 260) FY 2013 Expansion Cost Intermodal Transit Quarry Road Infrastructure &Climate Change Community Total FY 2013 FY 2013 Mitigation Improvements Afford Housing & Sustainability Health & Safety Actuals Authorized cost centers 26000000 60260010 60260020 60260030 60260040 80260010 Beginning Balance 07/01/12 2,574,814 2,133,390 426,117 8,238,267 4,261,173 4,231,858 21,865,619 Revenues: Revenues From Stanford (1)- - - 7,733,333 4,000,000 - 11,733,333 Investment Earnings 459,843 459,843 - Allocate to categories (459,843) (459,843) Allocated Investment Earnings 37,599 29,302 6,222 167,952 120,636 60,163 421,876 - Total Revenues 37,599 29,302 6,222 7,901,285 4,120,636 60,163 12,155,209 - Expenditures: Temp Salaries/Benefits 70,704 70,704 118,000 Contract Services for 27 University 126,755 150,000 276,755 374,504 Contract Services 37,476 37,476 95,000 Other expenses 3,691 3,691 15,000 Transfer to HIL-Residential 1,000,000 1,000,000 1,000,000 Loan to HIL-Residential 2,600,000 Transfer to HIL-Commercial 720,220 720,220 720,220 Total Expenditures - 126,755 - 4,470,220 - 111,871 2,108,846 2,322,724 FY 2013 Revenues less Exp 37,599 (97,453) 6,222 3,431,065 4,120,636 (51,708) 10,046,363 (2,322,724) Net total 03/31/13 2,612,413 2,035,937 432,340 11,669,332 8,381,809 4,180,151 31,911,982 Future Revenues from Stanford: Estimated January 2018-1st hospital 7,733,333 4,000,000 occupancy permit 07/25/2011 108-408 Council Member Shepherd asked whether wireless antennae could be installed on traffic lights. Mr. Marshall stated that he did not believe that the City would allow installation on traffic lights due to safety concerns. Council Member Shepherd asked how wireless antennae differed from traffic cameras. Mr. Marshall stated that wireless antennae were fairly large and heavy, and could potentially interfere with the traffic signal. MOTION PASSED: 8-0 Schmid absent 17. Stanford University Medical Center Community Benefits Discussion and Appointment of City Representatives to Joint Committee for Community Health and Safety Programs. Council Member Klein advised that he would not participate in the Item, as his wife was a member of the faculty at Stanford University. Deputy City Manager, Steve Emslie, explained that the Staff Report provided a summary of the schedule of payments to the City resulting from approval of the Stanford University Medical Center (SUMC) Development Agreement in June 2011. He stated that the first payment was due at the time of initial permit, estimated for summer 2011. The last two payments were due when the hospital’s  foundation permit was pulled in January 2012, and upon occupancy of the first hospital project some time in 2018. He noted that the payments were to be divided into three major categories of funds: the Sustainability Fund ($12,000,000), the Neighborhood Infrastructure Fund ($23,200,000), and the Community Health and Safety Fund ($4,000,000). He stated that approximately $20,000,000 of the Neighborhood Infrastructure   Fund   was   uncommitted,   and   could   be   used   at   Council’s   discretion for projects that supported neighborhood infrastructure and other infrastructure needs of the City. He remarked that Council had designated $2,000,000 from the Community Health and Safety Fund to go to Project Safety Net,  and  that  Staff  would  return  after  Council’s  August  break  with  a   Budget Amendment Ordinance and a job description for the creation of a Project Safety Net Coordinator position in the Community Services Department.  He  stated  that  Staff’s  recommendation  was  for Council to utilize the Finance Committee in determining the allocation of the funds. He explained that the Finance Committee was well equipped to facilitate conversations   within   the   context   of   the   City’s budgetary priorities and Capital Improvement Projects. Mr. Keene stated that there was no particular urgency regarding the issue. He stated that considering the amount of money that would be needed for Attachment C Excerpt minutes from 7/25/11 City Council minutes 07/25/2011 108-409 Project Safety Net, the $2,000,000 allocation was not an extraordinary sum. He explained that only a portion of the $2,000,000 would be allocated to the new Project Safety Net Coordinator staff position. He stated that one of the reasons that Staff had placed the Item on the Agenda was so that Council could receive an update on the status of the Project Safety Net Coordinator position. Council Member Price observed that although the Staff report stated that the Finance Committee had recommended the designation of $2,000,000 from the Community Health and Safety Fund toward Project Safety Net, the Policies and Services Committee P&S had also reviewed the Item and made a similar recommendation. She asked that Staff correct the information in the Staff Report to include the P&S Committee. She asked whether the purpose of the Joint Stanford/City Committee for Community Health and Safety Programs was to develop procedures for the utilization of the funds. Mr. Keene stated that Council Member Price was correct, and added that Council may want to use the Joint Committee as a model for the assessment of allocations across all of the Funds. He acknowledged that Council may not use the same appointment technique for each committee, but emphasized the need to establish an allocation process and criteria would be more critical as Council began to make decisions regarding some of the larger Funds. Council Member Price agreed that Council would need an organized approach to defining the policy priorities that would determine the allocation of funds. She stated that although the Staff recommendation was rather broad, it was important to present Council the opportunity to discuss those issues. She emphasized that there was a lot of money at stake, and that it would need to be handled in a careful and responsible manner. She stated that Project Safety Net was an extremely important project, and that she looked forward to discussing it further. Mr. Keene stated that Staff sought direction from Council regarding how to create a process for allocation of the Community Benefit funds. He explained that Staff was not yet ready to present specific alternatives, but that with some direction they could return to Council with a more refined proposal. Council Member Shepherd stated that the strategic planning and vision work that had already been done by the Project Safety Net group was extremely valuable. She asked whether Staff intended to spread out the $2,400,000 fiscal neutrality payment over a number of years. Mr. Keene stated that the plan for the money was to place it in a savings account and allow the interest to grow to a point which could guarantee fiscal neutrality. 07/25/2011 108-410 Council Member Shepherd asked whether Council   Member   Klein’s   participation in determining allocation of funds which had already been received from Stanford would represent a conflict of interest. City Attorney, Molly Stump, stated that Council Member Klein should not participate in the Joint Committee for Community Health and Safety Programs. Council Member Shepherd stated that Council had been asked to offer direction to Staff regarding allocation of Community Benefit funds, and asked whether Council Member Klein would be allowed to participate at some point. Ms.  Stump  replied  that  Council  Member  Klein’s  participation could be further discussed as the project continued, but that he should not participate at the present time. Council Member Shepherd stated that the funds received from Stanford University should not be used for general purposes, such as balancing the annual budget. MOTION: Council Member Shepherd moved, seconded by Vice Mayor Yeh to accept Staff recommendation to authorize the Mayor to appoint two Council Members to the Joint Stanford/City Committee for Community Health and Safety Programs and provide Staff direction regarding the recommended process for expending Community Benefit funds. Vice Mayor Yeh agreed with Council Member Shepherd that the money should not be used to compensate for budgetary deficits within a given fiscal year, but to establish permanent Funds from which the community could benefit for years to come. Council Member Scharff expressed support for the Motion. He stated that the money should be used in a transformative way to do something positive for the community of Palo Alto. He stated that Council should focus on only the highest impact projects, which would require a great deal of input from the community. He commented that Council should consult the Infrastructure Blue Ribbon Task Force for their input regarding projects that could be extremely  transformative  to  the  City’s  infrastructure.  The Council needed to use the money on long-term rather than short-term projects, and that the emphasis should be placed on fiscally sustainable projects. Council Member Burt expressed support for the Motion, but asked for clarification regarding the Joint Committee. He asked whether, once formed, the Joint Committee would be advisory to one of the standing committees or to Council. 07/25/2011 108-411 Mr. Keene replied that the Joint Committee would be advisory to Council. He stated that most likely, the Joint Committee would seek explicit policy direction from Council prior to making any commitments. Council Member Burt stated that it was important to avoid misunderstandings regarding the delegation of authority. He expressed concerns regarding the misconception by some that Project Safety Net Staff would determine how to spend the funds, and asked that any misunderstandings be addressed as soon as possible. He stated that in order to avoid a false sense of authority over final decision making, it was necessary to have open communication and to be very clear from the outset about where the authority would reside. He stated that two of the Funds were primarily policy oriented, and so should be sent to the P&S Committee. He stated that he would like to hear from the other Council Members regarding which committees should review the Fund allocations. Mr. Keene explained that Staff was still in the very initial stages of the plan, but that they had included Finance Committee review in order to connect the projects to the budget cycle. He assured Council that conversations regarding Project Safety Net programs had been focused on how to create endowment funding that would leverage other money to remain sustainable. He indicated that during Fall 2011, Council might want to move forward with development of some guiding values and principles regarding the use of the funds. Council Member Holman suggested that any advisory  committee’s  formed  to consider the allocation of funds from either the Sustainability Fund or the Neighborhood Infrastructure Fund should include different Council Members than the Joint Committee for Community Health and Safety Programs. She stated that Mr. Keene had indicated that the Joint Committee would seek explicit policy directions from Council prior to making any commitments, and inquired as to what types of commitments the two Council Members would make. Mr. Keene stated that his comments were intended to convey that efforts should be made to avoid a situation in which the Joint Committee Members made commitments without explicit direction from Council. He stated that Staff had recommended the Joint Committee because it was specifically prescribed by the SUMC Development Agreement. He stated that he had assumed that Council would prefer not to delegate full authority to the two Council Members appointed to the Joint Committee, but rather to give them direction prior to making any commitments. Council Member Holman asked why two Council Members would be making commitments, and not the Council as a whole. 07/25/2011 108-412 Mr. Keene stated that Council should be making the final decisions, and that the two Joint Committee Members would need to receive direction from Council. Council Member Burt clarified that the Joint Committee for Community Health and Safety Programs was the only committee specifically referenced in the SUMC Development Agreement. Council Member Holman stated that the Joint Committee had been described as an advisory body, and that she had been unclear as to the intent of Mr. Keene’s  comments. She stated that having received clarification, she would support the Motion. Mayor Espinosa stated that he would like to see Staff provide a timeline, a process, and a list of responsibilities for both the Joint Committee and for the other two Funds. He would like to see those materials presented for review   not   long   after   Council’s   return   from   the   August break so that everyone was clear early on about how the process would work. He stated that the issues presented a great deal of overlap, and should be reviewed by both the Finance and the P&S Committees. He asserted that prior committee review would allow Council to engage in a broader conversation, and agreed that community input would be very important moving forward. MOTION PASSED: 7-0 Klein not participating, Schmid absent 18. Resolution 9194 entitled  “Resolution  of  the  Council  of  the  City  of  Palo   Alto Amending Section 1401 of the Merit System Rules and Regulations to Incorporate a Side Letter with SEIU Local 521 to Extend the Term of the Memorandum of Agreement for One Additional Year, Through June 30, 2012, and Add a Provision for a Flexible Spending Arrangement.” City Manager, James Keene, stated that the proposal would extend the SEIU Local 521 Memorandum of Agreement (MOA) until June 30, 2012. If approved, Staff would begin negotiation at the end of the calendar year for the 2012 MOA. He commented that Staff would have placed the Item on the Consent Calendar, but that the 2010 Santa Clara County Civil Grand Jury Report had specifically recommended that all cities in the County place labor agreements on the Action Agenda to improve transparency. Acting Assistant Director Human Resources, Marcie Scott, stated that the MOA would apply to 582 full-time equivalent employees working in nearly every City Department. She explained that in late October 2009, the City and SEIU were at impasse and could not agree on a wage and benefit package. As a result, Council implemented significant changes to compensation and made structural changes to pension and medical benefits. She explained that the changes included increased employee pension CITY OF PALO ALTO CITY COUNCIL DRAFT EXCERPT MINUTES   Page 1 of 8  Special Meeting May 6, 2013 Review of Guiding Principles for Stanford University Medical Center Fund Allocations and Allocation of $2 Million to Project Safety Net James Keene, City Manager wished to update the Council and community on the status of Stanford University Medical Center (SUMC) Development Agreement funds, to review guidelines suggested by Staff, and to follow up on two potential funding requests. Staff recommended the Council approve a $2 million allocation to Project Safety Net. A total of $4 million in the Community Health and Safety Programs category had to be spent within a ten-year period. Both the Policy and Services Committee and the Finance Committee approved recommendations to allocate $2 million for Project Safety Net. The $2 million amount for Project Safety Net was included in the Adopted Budget. Staff requested the Council provide input or action on the Guiding Principles for the use of funds. David Ramberg, Assistant Director Administrative Services, reported Stanford University owed the City a total of $44.2 million under the SUMC Development Agreement. As of the end of March 2013, the City received $32.5 million from Stanford University. To date the City spent or loaned a total of $4.9 million, leaving a balance of approximately $29.3 million including $1.8 million in interest earnings. The City would receive $7.7 million in the category of Infrastructure, Sustainable Neighborhoods and Affordable Housing in 2016. The City would receive $4 million in the Sustainability Programs category. The Council approved a $374,000 expenditure from the category Linkage from Downtown through Palo Alto Intermodal Transit Station to Quarry/El Camino Real Intersection for the 27 University Avenue Project. In addition, the Council approved funding of $150,000 for that project from the Infrastructure, Sustainable Neighborhoods and Affordable Housing category. From the Community Health and Safety Programs category, the Council spent $139,000 for Project Safety Net. The majority of funds expended from the Infrastructure, Sustainable Neighborhoods and Affordable Housing category supported the Stevenson House and Maybell-Clemo projects. DRAFT EXCERPT MINUTES     Page 2 of 8  City Council Meeting  Draft Excerpt Minutes:  5/6/13  Mr. Keene added that generally the Council had discretion to expend SUMC funds. Funds in the two Linkage categories were required to be spent by 2016; therefore, Staff included those amounts in the Capital Improvement Program (CIP). He anticipated establishing a joint committee composed of Stanford University and City representatives to consider and review funding proposals for the $4 million in the Community Health and Safety Programs category. The joint committee would make recommendations to the Council, and the Council would make the final decision regarding allocation of those funds. Funds in the Community Health and Safety Programs category had to be expended over a ten-year period from the date of the Development Agreement. In the Infrastructure, Sustainable Neighborhoods and Affordable Housing category, $1.7 million was devoted to affordable housing. Expenditure of remaining funds was within the Council's discretion. Mr. Ramberg indicated in the Infrastructure, Sustainable Neighborhoods and Affordable Housing category, $4.3 million was spent or loaned. As required by the Development Agreement, $1.7 million was loaned to the Stevenson House and Maybell-Clemo projects. A short-term loan for the remainder of the Maybell-Clemo project was approved in March 2013 for a two-year period. The City received approximately $1.1 million in housing in-lieu fees, which would partially repay those loans. Additional in-lieu fees would repay the loans as funds were received. Staff suggested an additional $1.5 million could be set aside for affordable housing. With regard to Guiding Principles, Staff proposed a review package consisting of a clear accounting of transactions, review of prior decisions, and review of guidelines. Proposed allocations would be presented to the Finance Committee as a package, and then the Finance Committee would make recommendations to the Council. From a prior Council discussion, Staff noted comments regarding not using SUMC funds for budget deficits, funds were one-time in nature, and using funds for transformative projects. Staff provided endowment management concepts to assist the Council in its discussion. The Fiscal Year (FY) 2014 Proposed Budget would contain allocations for Project Safety Net and for the Bicycle and Pedestrian Transportation Plan. These allocations were proposals only. Mr. Keene noted the heart of the conversation concerned policy guidelines for allocating SUMC funds. The City Council should strive to be wise stewards of funding, and allocate it to provide the most impact. The suggested Guiding Principles included not using funds for ongoing expenses or for balancing the budget, leveraging funds for matching grants, accomplishing many projects to provide lasting impact, and safeguarding the principle. Endowment concepts were suggested to assist the Council. Staff recommended that all funding proposals be vetted through the Finance DRAFT EXCERPT MINUTES     Page 3 of 8  City Council Meeting  Draft Excerpt Minutes:  5/6/13  Committee, with the Finance Committee making recommendations to the Council. Josh Walker urged the Council to consider allocating more SUMC funds to future affordable housing projects in order to maintain diversity. As the Council considered policy direction, it should consider Palo Alto Housing Corporation's request to adjust the $1.5 million loan for the Maybell-Clemo project to a long-term loan. Stephanie Munoz felt the City of Palo Alto needed more low-income housing; however, Stanford University had the only available land. Stanford University should house its low-income employees on Stanford University land. Council Member Berman assumed transformative projects would require significant amounts of money; however, an endowment concept did not advocate spending significant amounts of money. He wanted to understand how the City could achieve both goals. Mr. Keene suggested the endowment concept be viewed as an overlay for the Council to move slowly in making funding decisions. Because the Council would be besieged with funding requests, it should slowly determine which requests provided transformative projects. Council Member Berman believed the endowment concept created a safeguard. He wanted the Council to have the flexibility to fund projects. Council Member Schmid believed it was important to determine the process first. The One Bay Area Grant (OBAG) Program presented certain guidelines and principles which were not necessarily the same as the City Guiding Principles. By using OBAG as a justification for projects, the City would not fund projects in the long-term interest of the City. The original idea for the 27 University Avenue project was to construct a bridge on Quarry Road to connect to Stanford Hospital. However, funds were spent on a different kind of planning. He wished to ensure a consistent method was utilized to generate ideas. Stanford Hospital provided funds to the City for public access to the Stanford Medical School library and for public health subsidies; yet, those were not mentioned. He asked who was responsible for generating and initiating spending proposals that were in the interests of Palo Alto. Mr. Keene did not wish to imply that potential OBAG funding was the default approach in determining which projects were funded. The Council should have a process for considering supplemental funding. With respect to the DRAFT EXCERPT MINUTES     Page 4 of 8  City Council Meeting  Draft Excerpt Minutes:  5/6/13  linkage issue, the majority of funding was related to particular linkage pieces. Stanford Hospital Staff provided ideas related to health issues, and Staff would present those ideas at a later time. A range of needs assessments and identified deficiencies were available for Council consideration. Staff did not have a specific timeline for presenting those needs to the Council. Council Member Schmid wanted to have a range of options focused on community needs. Council Member Klein inquired about the status of OBAG requests for funding. Jaime Rodriguez, Chief Transportation Official, reported the Adobe Creek/Highway 101 Bicycle-Pedestrian Bridge project was recommended for funding. The requested amount was $4 million. Council Member Klein asked if the City had to provide matching funds. Mr. Rodriguez indicated the estimated cost of the Bridge was approximately $9.5 million. The City secured $4 million from the Stanford-Palo Alto Trail Program, committed to funding internally the design phase, and spent approximately $500,000 for the feasibility and environmental assessment. No fund source was identified for $1 million. Council Member Klein inquired whether the project was fully funded. Mr. Rodriguez replied yes. Council Member Klein asked if any projects were rejected. Mr. Rodriguez stated no City projects were rejected; however, the program was oversubscribed. Some projects were rejected because they did not meet program qualifications. Council Member Klein asked if other City projects had a chance of receiving funding. Mr. Rodriguez noted the City's request for transit mall improvements did not score well. Council Member Klein felt the endowment concept was inconsistent with the Council's intention of spending SUMC funds on impactful projects. DRAFT EXCERPT MINUTES     Page 5 of 8  City Council Meeting  Draft Excerpt Minutes:  5/6/13  Endowments were meant to be a permanent source of funding for ongoing expenses. Mr. Keene requested the Council provide a Motion removing the endowment portion from the Guiding Principles. Council Member Klein inquired whether $260,000 in the FY 2014 Proposed Budget for Project Safety Net was in addition to or a part of the $2 million amount. Mr. Keene stated it was part of the $2 million amount. Council Member Klein hoped the Council would consider allocating the remainder of funds in the Community Health and Safety Programs category to programs for other age groups. Youth were important, but so were the elderly and those aged 21-65. The language at the bottom of page 7 regarding OBAG grants was misleading, because Staff did not expect to receive $25 million. He asked if Staff had projects in mind for the proposed $1.5 million for affordable housing. Curtis Williams, Director Planning and Community Environment, reported $1.5 million could serve as a transition for many projects. For example, it could supplement cash flow for some projects. Staff did not anticipate using the funds for only one project. Rather, Staff proposed reserving funds for a transition period for a project. Council Member Klein inquired about the amount of development impact fees, in addition to $5.4 million, Staff anticipated collecting. Mr. Keene noted the $5.4 million amount was not part of the SUMC funds. Mr. Williams would return with that information. Council Member Klein inquired about Staff's reasoning for preserving development impact fees until the end of the project to help address remaining mitigations. Mr. Ramberg reported other funds were set aside; therefore, Staff would not necessarily need to use development impact fees at a later time. The Project Operating Deficit category covered unanticipated costs. Council Member Klein suggested Staff review the use of development impact fees. DRAFT EXCERPT MINUTES     Page 6 of 8  City Council Meeting  Draft Excerpt Minutes:  5/6/13  MOTION: Council Member Klein moved, seconded by Vice Mayor Shepherd to refer this item to the Policy and Services Committee to develop formal Guiding Principles and an approval process for the use of Stanford University Medical Center Development Agreement funds. Furthermore, to authorize the use of $2 million from such funds for Project Safety Net. Vice Mayor Shepherd wanted to eliminate proposed Guiding Principle Number 8 from Policy and Services Committee review. Council Member Klein preferred not to restrict the Policy and Services Committee discussion. Vice Mayor Shepherd inquired whether the Motion was for the Policy and Services Committee to draft Guiding Principles outside of Staff's recommendations. Council Member Klein suggested the Policy and Services Committee could use or not use suggested language. Vice Mayor Shepherd clarified that the Motion was for the Policy and Services Committee to draft Guiding Principles with Staff input but without restrictions. She inquired whether the Council would review Staff's recommendation for the $173 million from Stanford University. Mr. Keene indicated one of the largest pieces was related to the purchase of Go Passes and other transportation demand management (TDM) requirements as part of the project. Vice Mayor Shepherd was interested in the in-lieu fee for housing. Mr. Williams noted $1.7 million of the Infrastructure, Sustainable Neighborhoods and Affordable Housing amount was devoted to housing. Remaining funding could be used for affordable housing or other projects. Vice Mayor Shepherd agreed with Council Member Klein's comments regarding endowment, and preferred to spend funds for capital improvements. Reserving funds for the future did not allow for needed incremental improvements. She asked if a proposal for additional shuttles would be appropriate under the Infrastructure, Sustainable Neighborhoods and Affordable Housing category or Climate Change and Sustainability category. Mr. Keene felt either of those areas would be appropriate. DRAFT EXCERPT MINUTES     Page 7 of 8  City Council Meeting  Draft Excerpt Minutes:  5/6/13  Vice Mayor Shepherd requested Staff and the Policy and Services Committee consider sophisticated transit management. Council Member Holman stated the expenditure of funds should reflect the City's values and Guiding Principles. The Motion was to develop formal Guiding Principles and an approval process for the use of SUMC funds. She inquired whether funding proposals would still be reviewed by the Finance Committee. Council Member Klein explained that the Motion was to create an approval process. Each particular project would be presented to the Finance Committee for review. Council Member Holman wanted Finance Committee review of proposals to be part of the Policy and Services Committee discussion. Council Member Klein understood it would be part of the discussion. The Policy and Service Committee's responsibility was to recommend one approval process. Council Member Holman believed one result of the discussion would be ratings, rankings, and identification of community needs. Council Member Price supported the Motion. Project Safety Net was a critical program within the City. She disagreed with comments regarding endowments, because there were methods for limiting the lifespan of an endowment. She inquired whether Staff would return with recommendations for use of the $1.5 million proposed to be set aside for affordable housing. Mr. Keene suggested the Council receive the Policy and Services Committee recommendations for Guiding Principles before answering that question. Important to note was that Staff made the request. Council Member Price stated the Policy and Services Committee would make recommendations regarding the process and Guiding Principles while Staff developed other facets for affordable housing. Mr. Keene believed the Council would be interested in having potential uses for funding to frame the discussion about Guiding Principles. The Finance Committee would determine whether a proposal met the Guiding Principles. Council Member Price inquired whether a potential joint committee would be composed of Staff and Stanford University employees. DRAFT EXCERPT MINUTES     Page 8 of 8  City Council Meeting  Draft Excerpt Minutes:  5/6/13  Mr. Keene responded yes. Council Member Burt supported the Motion. Proposed Guiding Principle Number 2 should be deleted, because the Council discussed it. He encouraged the Policy and Services Committee to consider spending only the amount of interest earned annually. The bulk of funds would be spent for infrastructure projects resulting from impacts created by the hospital. He hoped other resources were available for expanding the shuttle system. Perhaps the shuttle system could be expanded through Palo Alto Unified School District (PAUSD) matching funds, employer participation, a cooperative approach, or a TDM program. With respect to proposed Guiding Principle Number 4, he preferred not to set the precedent of a super majority vote. AMENDMENT TO MOTION: Council Member Schmid moved to add to Guiding Principles approval process for gathering ideas from Staff and Council. AMENDMENT FAILED DUE TO THE LACK OF A SECOND Council Member Klein felt that was part of the Motion. Council Member Price reported PAUSD recently discussed funding for the shuttle system. Mayor Scharff preferred SUMC funds be spent on projects with a life of 30 or more years and on projects that provided a large impact. Having a thorough vetting process was important. MOTION PASSED: 8-0 Kniss absent Proposals Council Council Action Jun 1 Finance Committee Mar- Apr JAN JULY DEC Dec2 Attachment C. Process for Considering Use of Stanford Mitigation Funds Process for Considering Use of Funds 1. Council considers use of Stanford Mitigation Funds twice annually, once in the Fall and once in the Spring. 2. During each cycle, staff and Council will submit proposals for consideration to the City Manager. 3. Staff will review and package proposals, weighing the suggestions against the guidelines and other criteria established by Council. 4. The Finance Committee will review proposals, and make funding recommendations to the City Council. 5. The City Council will consider the Finance Committee recommendations, and make final determination on the use of funds. June 19, 2013 - DRAFT Staff Spring Fall Aug - Dec Jan Dec Apr Jul Oct Proposals Council Council Action Finance Committee Staff