Loading...
HomeMy WebLinkAboutSS5 - Early Look at CIP - PowerPointMarch 14, 2017 Item No. SS5 Early Look FY 17/18 Capital Improvement Program City Council Study Session March 14, 2017 �? PORT C`it,FO9, :. Early Look FY 17/18 Capital Improvement Program City Council Study Session March 14, 2017 City Council Goals for Allocation to CIP - /I Budget Focuses Resources on Maintaining TopQuality Existing Infrastructure $4,000,000 GF Investment towards Citywide Infrastructure Maintenance & Repair $1,000,000 General Fund Investment to Update NB General Plan Increased Investment in Newport Harbor, such as: dredging, Seawalls, Bulkheads, Improved/Enhanced Amenities for Harbor Users & Mooring Permittees 'rIncreased Investment in Traffic Management Modernization, Efficiency, Reliability and Safety Explore Adaptive Traffic Management Systems Incorporate Intelligent Transportations Elements (smart software, changeable message signs, parking guidance, etc.) FACILITIES (new programmed funding) Major Capital Facilities Maintenance r Lida Fire Station No. 2 Rebuild v' Fire Station 1 Yard Gate Y Utilities Yard Painting City Yard Fuel Site Control System Replacement TOTAL FACILITIES $1,500,000 FMMP $6,864,200 FFP $20,000 BET $50,000 WF/SF $140,000 EF $8,574,200 FMMP - Facilities Capital Maintenance Fund J WF — Water Fund j SF — Sewer Fund I FFP — Facilities Financing Plan I BET — Building Excise Tax EF — Equipment Fund STREETS & DRAINAGE (new programmed funding) r Storm Drain System Repair and Rehabilitation Pavement Management Plan Update (Street Pavement Review & Testing) r Annual Neighborhood Streets Slurry Seal (Harbor View, Seawind and Spyglass ,Neighborhoods) Concrete Pavement Rehabilitation Program (Anode, Montero, Alvarado & 6th) (Ocean Blvd — Carnation to Marguerite — design only) STREETS & DRAINAGE CONTINUED.., GF — General Fund GT - Gas Tax M2 - OCTA Measure M2 * Adding additional funds to an existing project $400, 000 G F * $25,000 GF $040,000 GF $925,000 GT NEF — Neighborhood Enhancement Fund STREETS & DRAINAGE (new programmed funding) P, Arterial Highway Pavement Repair (Pothole Prevention) Asphalt Pavement Rehabilitation (Pavement overlay) (Irvine Ave — 161h/Dover and SantiagofBaycrest; Hospital Rd) (Marguerite Ave — 5th to San Joaquin Hills Rd) (MacArthur — Ford Rd to North City Limits) Annual Neighborhood Concrete Replacement (Harbor 'View, Seawind and Spyglass Neighborhoods) West {Coast Highway Median Landscape (First of a Couple of Phases) TOTAL STREET & DRAIN $150,000 GT $3,2151(]00 M2/ G F/ GT $800,000 GF/+CDBG $1,000,000 NEF/GF r , a � e 111 GF —General Fund GT - Gas Tax M2 - OCTA Measure M2 NEF —Neighborhood Enhancement Fund CDBG — Community Development Block Grant TRANSPORTATION(new programmed funding) Oceanfront Walk Bike Safety Improvements Traffic Signal Management & Modernization (Adaptive Management, CCTV, Parking Info, Speed & Traffic Advisory Signs, etc.) Annual Traffic Signal Rehabilitation (Replacement of Wires, Signal Heads, Pull Boxes etc.) �' Citywide Street Signage, Striping & Marking (Includes Peninsula/tither Crosswalk Upgrades) TOTAL TRANSPORTATION GF — General Fund aCN — Oceanfront Encroachments * Adding additional funds to an existing project $150,000 CCN $325,000 GF* $500,000 GF $250,000 GF* $1,225,000 PARKS, HARBORS & BEACHES (new programmed funding) ➢ Grand Canal Dredging (Phases ll & lll) Abandoned Watercraft Abatement H a rborwi d e Dredging (Development, Design, Permits) Y Seawall Extensions (Street Ends, Boat Yards, Ordinance) � Bilge Pump -Out Dock i�, City Parks Signage Rehabilitation �;, Playground Equipment Replacement � TOTAL PARKS, HARBORS & BEACHES �1r GF —General Fund TL — Tidelands BET Building Excise Tax $800,000 TL $1001000 TL $500,000 TL $1501000 TL $150,000 TL $15,000 BET $300,000 BET $2,015,000 WATER programmed funding) Adjust Waterline Valves to Grade $50,000 WF Transmission Water Main Valve Replacement $100,000 WF Bay & Channel Water Main Crossings Replacement (Design) $200,000 WF* Big Canyon Reservoir Site Paving Big Canyon Reservoir Flow Metering / Treatment '� Utilities Yard Back-up Generator (Design) r ;;, Utilities Yard Spill Control Valve & Tipping Floor TOTAL WATER WF — Water Fund * Adding additional funds to an existing ,project $1501000 WF $500,000 F* $100,000 WF $270,000 WF $x.,670,000 WASTEWATER programmed fundis r Adjust Sewer Manholes to Grade ➢ Sewer Pump Station Improvements (Ford Rd- Design) )�, Sewer Pipeline Paint Repairs and Lining TOTAL WAST E WAT E R Fee increase under consideration in 2017 SF — Sewer Fund " Adding additional funds to an existing project $100,000 SF $150,000 SF $50,000 SF* $300,000 WATER QUALITY & ENVIRONMENTAL (new programmed funding) ➢TI'V'1IDL Compliance &'t1U'ater Quality Improvements $300,000 TL TOTAL WATER QUALITY & ENVIRONMENTAL $3009000 MISCELLANEOUS (new programmed funding) ➢Corporate Yard Refuse Transfer Station Repairs $125,000 RF G e n e ra I P f a n U pts ate (First of Multi -Year Request) $1,0001000 GF TOTAL MISCELLANEOUS $17125,000 RF — Refuse Fund GF — General Fund r�wpo4v Comments/Questions Your Public Works Department .A Wei! -Engineered Machine Protecting and Providing Quality Public Improvements and Services NEWPORTBEA CHCA. G o V/PUBLICWORKS