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HomeMy WebLinkAboutCapital Improvement Program 2019CAPITAL IMPROVEMENT PROGRAM FISCAL YEAR 2018-2019 CITY OF NEWPORT BEACH City of Newport Beach CAPITAL IMPROVEMENT PROGRAM Adopted for Fiscal Year 2018-19 PREPARED UNDER THE DIRECTION OF: David A. Kiff , City Manager COMPILED BY: David A. Webb, Public Works Director CITY COUNCIL Mayor Marshall "Duffy" DuffieldMayor Pro Tern Will O'NeillCouncil Member Brad AveryCouncil Member Diane B. Dixon Council Member Jeff HerdmanCouncil Member Kevin Muldoon Council Member Scott Peotter ADOPTED: June 12, 2018 Resolution No. 2018-38 TOC-1 Project Page Fiscal Year 2018-2019 Adopted CIP Budget Highlights i FACILITIES Central Library Lecture Hall 1 City Fuel Management System 2 Facilities Maintenance Master Plan Program 3 Fire Station No. 2 Replacement - Lido 4 Fire Station No. 5 / Library Replacement - Corona del Mar 5 Fire Station Remodels 6 Junior Lifeguards Building 7 Marina Park Office Modifications 8 Master Facilities Plan Strategic Planning 9 Police Facility Remodel 10 STREETS AND DRAINAGE Alleys Reconstruction 11 Balboa Boulevard Median Improvements 12 Balboa Island Drainage Master Plan 13 Balboa Village Streetscape Improvements 14 Bayside Drive Rehabilitation 15 Bison Avenue / San Joaquin Hills Road Pavement Rehabilitation 16 Bonita Canyon Drive Pavement Rehabilitation 17 Concrete Replacement Program 18 Concrete Street Pavement Reconstruction 19 Irvine Avenue Pavement Rehabilitation 20 Landscape Enhancement Program 21 MacArthur Boulevard / University Drive Pavement Rehabilitation 22 Marguerite Avenue / Hospital Road Pavement Rehabilitation 23 Marine Avenue Drainage System Improvements 24 Marine Avenue Reconstruction 25 Median Landscape Turf Replacement 26 Ocean Boulevard Concrete Pavement Reconstruction 27 Old Newport Boulevard / W Coast Highway Modifications 28 Park Avenue Bridge Replacement 29 Pavement Management Plan 30 Slurry Seal Program 31 Storm Drain System Repair / Rehabilitation 32 Street Pavement Repair Program 33 Streetlight Rehabilitation Program 34 Tide Valve Replacement Program 35 West Coast Highway Median Landscaping 36 City of Newport Beach Capital Improvement Program Adopted FY 2018-2019 TABLE OF CONTENTS TOC-2 Project Page TRANSPORTATION Balboa Peninsula Crosswalks Improvements 37 Balboa Peninsula Summer Trolley 38 Coast Highway Traffic Signal Synchronization 39 Dover Shores Traffic Study 40 Ocean Front Bike Safety Improvements 41 Traffic Signage, Striping and Marking 42 Traffic Signal Rehabilitation Program 43 Traffic Management and Modernization 44 PARKS, HARBORS AND BEACHES Grant Howald Park Rehabilitation 45 Jasmine Creek Maintenance Road Reconstruction 46 Lower Sunset View Park Concept / Overcrossings 47 Newport Elementary School Playfield Maintenance 48 Park Walls and Staircases Rehabilitation 49 Playground Refurbishment Program 50 Sunset Ridge Park Access 51 West Newport Park Modifications 52 Abandoned / Surrendered Watercraft Abatement 53 American Legion Bulkhead 54 Balboa Island and 10th Street Swim Platforms 55 Beach and Bay Sand Management 56 Bilge Pumpout Dock / Oil Collection Centers 57 Eelgrass Survey - Harborwide RGP 58 Grand Canal Dredging 59 Harbor Bulkheads and Seawalls Repairs 60 Harbor Maintenance / Minor Improvements 61 Harbor Piers Rehabilitation 62 Harbor Port Plan 63 Harborwide Dredging / Planning 64 Newport Pier Platform and Piles 65 Ocean Piers Maintenance 66 WATER QUALITY AND ENVIRONMENTAL Arches Storm Drain Dry Weather Diversion 67 Bayview Heights Drainage / Runoff Treatment 68 Big Canyon Golf Course Pond Treatment 69 Little Corona Infiltration Gallery 70 Newport Bay Water Wheel 71 TMDL Compliance / Water Quality Improvements 72 Parks Harbors and Beaches TOC-3 Project Page WATER Advanced Metering Infrastructure 73 Alta Vista Regulating Station Relocation 74 Balboa Island Water Main Replacement 75 Bay / Channel Crossings Main Replacement 76 Big Canyon Reservoir Flow Metering / Treatment 77 Big Canyon Reservoir Site Paving 78 Grade Adjustments - Water Valves 79 Hillsborough Pump Station Rehabilitation 80 Lido Village Water Main Replacement 81 Spyglass Hill Reservoir Mixing System 82 Transmission Main Valves Replacement 83 Utilities Back Up Generators 84 Utilities Yard Spill Control Valve / Tipping Floor 85 Water Master Plan Update 86 Water System Rehabilitation 87 Water Well Rehabilitation 88 WASTEWATER Grade Adjustments - Sewer Manhole Covers 89 Sewer Lift Station Improvements 90 Sewer Main Lining and Repairs 91 MISCELLANEOUS Affordable Housing 92 Aircraft Sound Monitoring Station 93 Assessment District Payment for City Parcels 94 Balboa Island Enhancements 95 Balboa Village Enhanced Maintenance 96 Balboa Village Façade Improvement Program 97 Balboa Village Wayfinding Improvements 98 City Yard Refuse Transfer Station Improvements 99 SCE Rule 20A Credit Purchase 100 Sea Level Rise Study 101 Slope Erosion Control and Enhancements 102 Utilities Undergrounding AD 111 (Newport Blvd / 23rd St / Ocean Front W / 31st St)103 Utilities Undergrounding AD 116 (Channel Rd / 44th St / Balboa Blvd / 38th St)104 Utilities Undergrounding AD 116B (River Ave / 47th St / Balboa Blvd / 45th St)105 Utilities Undergrounding AD 117 (Carnation Ave / Begonia Ave / Acacia Ave)106 i City of Newport Beach CAPITAL IMPROVEMENT PROGRAM FY 2018-2019 Adopted CIP Budget Highlights The City of Newport Beach Capital Improvement Program (CIP) serves as a plan for the provision of public improvements, special projects, on-going maintenance programs, and the implementation of the City’s master plans. Projects in the CIP include improvements and major maintenance on arterial highways, local streets, and alleys; storm drain and water quality improvements; harbor, pier, and beach improvements; park and facility improvements; water and wastewater system improvements; transportation safety, reliability, and traffic signal improvements; and planning programs and studies. The adopted CIP budget consists of about $35.8 million in new appropriations, about $30.7 million in rebudgeted funds estimated to carry forward from this fiscal year, and approximately $11 million in utilities undergrounding improvement funds for a total proposed budget of $77,565,456. Projects are programmed by long range master plans and as directed by the City Council priorities and community input. There is no standard length of time to complete a capital project. A project can take several months or several years to finish. Capital spending can span multiple fiscal years. The Newport Beach CIP budget is adopted annually along with the City’s operating budget. Generally, sufficient funds are appropriated for the work to be performed one year at a time and follow detailed project schedules established every July. Funding estimates for future components of a project appear in the Five Year Look Ahead tab. This report projects a multi-year financial forecast for more anticipatory and transparent capital management while maintaining annual review of capital planning. Project status and actual expenses for current projects can be viewed on the City’s website at www.newportbeachca.gov/budget. Projects are organized by primary function or benefit into one of the following categories: Facilities; Streets and Drainage; Transportation; Parks, Harbors and Beaches; Water Quality and Environmental; Water; Wastewater; and Miscellaneous. The Capital Improvement Program budget is a living document that continues to evolve throughout the budgeting process to reflect City Council and community goals, needs and desires. The proposed CIP is developed following the City’s stated budget principles: keep the community safe; provide quality mix of services that Newport Beach residents expect in a cost effective manner; keep Newport Beach looking great; maintain a fiscally stable and sustainable city government; provide government transparency to the citizenry. Our project delivery team of engineers, support staff and consultants are tasked with managing complex workloads maintaining established schedules and budgets and high quality standards at the best possible value. This proposed CIP is a key foundational document for the City that responds to the needs and desires of our citizens for a well maintained, attractive and safe community, while maintaining functionality, effective fiscal and property stewardship, and value. ii FY 18-19 Adopted CIP Budget Funding Summaries By Category - $77,565,456 By Fund - $77,565,456 * Other: Oceanfront Encroachment, Transportation & Circulation, Equipment Fund, Environmental Liability, BET Facilities $14.4 M 19% Streets & Drainage $20.4 M 25% Transportation $3.1 M 4% Parks, Harbors, & Beaches $13.8 M 17% Water Quality & Environmental $1.7 M 3% Water $9.6 M 13% Wastewater $1.7 M 2% Misc $12.8 M 17% Dollars in Millions Grants - Contributions $1.6 M 2% General Fund $10.1M 12%Neighborhood Enhancement $2.1 M 2% Tidelands Maintenance $4.9 M 6% Tidelands Capital $1.5 M 2% Major Facilities Financing Plan $13.9 M 18%Facilities Maintenance $2.2 M 3% Water Enterprise $9.8 M 13% Wastewater Enterprise $1.7 M 2% Other* $1.7 M 2% UUD ADs $11.1 M 15% Gas Tax $6.1 M 8% SB 1 RMRA $1.9 M 3% Measure M - Fair Share $4.3 M 6% Grants - Measure M $3.4 M 5% Dollars in Millions BVAC $1.0 M 1% iii FY 18-19 Adopted CIP Budget Project Summaries Capital projects are grouped into eight functional categories to form the Capital Improvement Program budget. Detailed project sheets are assembled alphabetically within each tabbed section of the CIP budget book. Highlights of the adopted CIP budget for FY 2018-19 are presented by category as follows: Facilities Projects organized under Facilities include construction, rehabilitation and repair of City buildings and facilities. Major projects within this category approximate $14.4 million and include: •Central Library Lecture Hall Concept Plans •City Fuel Management System •Corona del Mar Fire Station 5 and Branch LibraryReplacement •Facilities Maintenance Master Plan •Fire Station Remodels •Junior Lifeguards Building •Lido Fire Station 2 Replacement •Master Facilities Plan Strategic Planning •Police Facilities Remodel and Shooting Range Rehabilitation Streets and Drainage Projects organized under Streets and Drainage include construction, rehabilitation and repair of City roads, alleys, medians, bridges, sidewalks, landscaping, streetlights, storm drains, and tide structures. Projects within this category approximate $20.4 million and major highlights include: •Asphalt Pavement Rehabilitation •Balboa Island Drainage Master Plan •Concrete Pavement Rehabilitation •Neighborhood Concrete Replacement •Landscaping and Enhancements •Marine Avenue Drainage System Improvements •Marine Avenue Reconstruction •Median Landscape Turf Replacement •Pavement Management Plan Update •Slurry Seal Program •Storm Drain System Repairs/ Improvements •Street Pavement Repair •Streetlight Replacement Program •Tide Valve Replacements •West Coast Hwy Median Landscaping iv Transportation Projects organized under Transportation include traffic signal system maintenance and improvements, neighborhood traffic management, pedestrian improvements and signage. Projects within this category approximate $3.1 million and major highlights include: • Balboa Peninsula Summer Trolley • Dover Shores Traffic Study • Ocean Front Bike Safety Improvements • Traffic Signage, Striping, Marking, and Crosswalks • Traffic Signal Rehabilitation • Traffic Signal Synchronization Parks, Harbors and Beaches Projects organized under Parks, Harbors and Beaches include improvements or repairs to the City’s parks, harbors, docks, wharfs, piers and beaches. Projects within this category approximate $13.8 million and major highlights include: Park Improvements: • Grant Howald Park Rehabilitation Design • Jasmine Creek Maintenance Road Reconstruction • Lower Sunset View Park Concept / Overcrossings • Park Wall and Staircase Rehabilitation • Playground Park Modifications • West Newport Park Rehabilitation v Parks, Harbors and Beaches Harbor and Ocean Projects: • Abandoned and Surrendered Watercraft Abatement • American Legion Bulkhead • Balboa Island and 10th Street Swim Platforms • Beach and Bay Sand Management • Bilge Pumpout Dock • Eelgrass Survey - RGP • Grand Canal Dredging • Harbor Bulkheads and Seawall Repairs • Harbor Maintenance / Improvements • Harbor and Ocean Piers Maintenance • Harbor Port Plan • Harborwide Dredging / Planning • Newport Pier Platform and Piles Water Quality and Environmental Projects organized under Water Quality and Environmental include studies, improvements and programs that benefit the City’s natural resources. Projects within this category approximate $1.7 million and major highlights include: • Arches Storm Drain Dry Weather Diversion • Bayview Heights Drainage / Runoff Treatment • Little Corona Infiltration Gallery • Newport Bay Water Wheel • TMDL Compliance / Water Quality Improvements vi Water and Wastewater Projects listed as Water and Wastewater improvements are funded from respective utility service charges and are used for the rehabilitation, upkeep, and expansion of these services. Projects in these categories exceed $11.3 million and major highlights include: • Advanced Metering Infrastructure • Grade Adjustments – Water Valves and Manhole Covers • Master Plan Program Projects for Water Mains and Wastewater Mains • Capital Maintenance and Repairs • Water Pump Station, Wells and Reservoir Improvements • Transmission Valve Replacements • Utilities Yard Improvements Miscellaneous Projects listed as Miscellaneous are ones that do not fit into any other category and include capital purchases and special projects with a budget about $1.4 million. Improvement funds for owner financed utilities underground assessment districts exceed $11 million. Major highlights include: • Affordable Housing Programs • Aircraft Sound Monitoring Station • Assessment District Payments for City Parcels • Balboa Island Enhancements • Balboa Village Enhanced Maintenance • Balboa Village Façade and Wayfinding Improvements • SCE Rule 20A Credit Purchase • Sea Level Rise Study • Slope Erosion Control / Enhancements • Utilities Undergrounding Assessment Districts vii FY 18-19 Adopted CIP Budget Performance Measures Performance measures along with targets have been established to monitor delivery of capital projects within defined scopes, timelines and budgets. This reporting is for publically bid, large capital projects and does not include informal contracts, generally less than or equal to $120,000. SCHEDULE: On time delivery measures the percent of capital projects in construction which began within two months of the expected start date as established on the baseline schedule. Year # Projects Completed # Completed On Time % Completed On Time Target FY 2014 17 14 82% 85% FY 2015 24 24 100% 85% FY 2016 21 20 95% 85% FY 2017 25 20 80% 85% FY 2018 23 21 91% 85% BUDGET: On budget performance measures capital projects completed within the awarded contract value, plus Council approved contingency (usually 10 percent.) Year # Projects Completed # Completed On Budget % Completed On Budget Target FY 2014 17 16 94% 90% FY 2015 24 21 85% 90% FY 2016 21 19 90% 90% FY 2017 25 20 80% 90% FY 2018 23 22 96% 90% STAFFING: Public Works Department includes Administration, CIP Delivery, Transportation and Development Services, Harbor Resources and Water Quality / Environmental Services. Year 2014 2015 2016 2017 2018 2019 FTE 35 34 35 35 36 36 REPORTS: Additional information and reports are available online at the City’s website at www.newportbeachca.gov/CIP City of Newport Beach Public Works Department pwinfo@newportbeachca.gov 949-644-3311 Facilities Pg Project Fund Title Est. Rebudget New Budget Total 1 19F11 135 Central Library Lecture Hall $0 $20,000 $20,000 1 19F11 562 Central Library Lecture Hall $0 $50,000 $50,000 2 18F11 752 City Fuel Management System $140,000 $0 $140,000 3 18F02 571 Facilities Maintenance Master Plan Program $966,200 $0 $966,200 3 19F02 012 Facilities Maintenance Master Plan Program $0 $275,000 $275,000 3 19F02 571 Facilities Maintenance Master Plan Program $0 $1,000,000 $1,000,000 4 15F13 532 Fire Station No. 2 Replacement - Lido $6,899,185 $2,208,000 $9,107,185 5 15F12 532 Fire Station No. 5 / Library Replc - Corona del Mar $963,969 $0 $963,969 6 17F11 141 Fire Station Remodels $0 $31,000 $31,000 6 17F11 571 Fire Station Remodels $186,899 $0 $186,899 7 19F13 135 Junior Lifeguards Building $0 $20,000 $20,000 7 19F13 531 Junior Lifeguards Building $0 $50,000 $50,000 8 19F14 551 Marina Park Office Modifications $0 $75,000 $75,000 9 15F01 572 Master Facilities Plan Strategic Planning $150,000 $0 $150,000 10 17F12 012 Police Facility Remodel $490,000 $360,000 $850,000 10 19F12 160 Police Facility Remodel - Shooting Range $0 $500,000 $500,000 Total Facilities $9,796,253 $4,589,000 $14,385,253 Category: Facilities Project No.:19F11 Project Manager: Mark Vukojevic, 949-644-3319 Description: 2018-2019 Design/Environmental/Permits $0 Right-of-Way/Acquisition $0 Construction $0 Other $70,000 Total $70,000 ORG OBJECT REBUDGET $BUDGET $TOTAL 13501 980000 $0 $20,000 $20,000 56201 980000 $0 $50,000 $50,000 $0 $70,000 $70,000 Location: 1000 Avocado Avenue Proposed Expenses: This provides funding to initiate planning efforts, develop conceptual plans and estimate costs for a new 300-seat lecture hall at Central Library. Central Library was first completed in 1994 and expanded in 2013 to connect it to the Civic Center and Park. Due to the growing success of numerous programs and community events, the Library Foundation and Library Services have requested the development of an expanded lecture hall. Central Library Lecture Hall FUNDING SOURCE 1 TOTAL Contributions FFP: Parks/Community Ctrs. Category: Facilities Project No.:18F11 Project Manager: Fong Tse, 949-644-3321 Description: 2018-2019 Design/Environmental/Permits $0 Right-of-Way/Acquisition $0 Construction $140,000 Other $0 Total $140,000 ORG OBJECT REBUDGET $BUDGET $TOTAL 75201 980000 $140,000 $0 $140,000 $140,000 $0 $140,000 Location: Multiple Proposed Expenses: This replaces a fuel management system to track, record and allocate fuel charges to respective City Departments. Fuel usage is monitored for vehicles and equipment at five fuel islands: Corporation Yard, Utilities Yard, Police Station, Fire Station 3 and Fire Station 8. City Fuel Management System FUNDING SOURCE 2 TOTAL Equipment Fund Category: Facilities Project No.:19F02 Project Manager: Fong Tse, 949-644-3321 Description: 2018-2019 Design/Environmental/Permits $200,000 Right-of-Way/Acquisition $0 Construction $1,800,000 Other $241,200 Total $2,241,200 ORG OBJECT REBUDGET $BUDGET $TOTAL 01201925 980000 $0 $275,000 $275,000 57101 980000 $966,200 $0 $966,200 57101 980000 $0 $1,000,000 $1,000,000 $966,200 $1,275,000 $2,241,200 Location: Multiple 3 Facilities Maintenance (18F02) Facilities Maintenance (19F02) TOTAL Proposed Expenses: The Facilities Maintenance Master Plan includes a summary of all City facilities and prioritizes capital repairs or major maintenance based on a variety of factors including current condition and age of facilities. This program funds a variety of trade specific projects. Planned improvements include a continuation of prior year planned projects plus the following new projects: chiller coil replacement, lighting system changes, and mat replacements at Central Library; Newport Pier, 38th Street, and Channel Park restrooms rehabilitation; and Civic Center paver grouting. Facilities Maintenance Master Plan Program FUNDING SOURCE General Fund (19F02) Category: Facilities Project No.:15F13 Project Manager: Fong Tse, 949-644-3321 Description: 2018-2019 Design/Environmental/Permits $0 Right-of-Way/Acquisition $0 Construction $8,957,185 Other $150,000 Total $9,107,185 ORG OBJECT REBUDGET $BUDGET $TOTAL 53201 980000 $6,899,185 $2,208,000 $9,107,185 $6,899,185 $2,208,000 $9,107,185 Location: 2807 Newport Boulevard 4 TOTAL FFP: Fire Stations Proposed Expenses: This project designs and builds a new 11,500 square foot 10-crew fire station to replace the Lido Fire Station No. 2. Fire Station No. 2 was constructed in 1952 and requires frequent maintenance and repairs. The current structure at 475 32nd Street is functional but no longer meets the operational needs for fire equipment. A new location has been acquired for a replacement facility at Newport Boulevard and 28th Street, which is more suitable for circulation, response times, street access and more. Fire Station No. 2 Replacement - Lido FUNDING SOURCE Category: Facilities Project No.:15F12 Project Manager: Fong Tse, 949-644-3321 Description: 2018-2019 Design/Environmental/Permits $0 Right-of-Way/Acquisition $0 Construction $718,783 Other $245,186 Total $963,969 ORG OBJECT REBUDGET $BUDGET $TOTAL 53201 980000 $963,969 $0 $963,969 $963,969 $0 $963,969 Location: 410 Marigold Avenue Proposed Expenses: This replaces and reconstructs existing Fire Station No. 5 and Branch Library on Marigold Avenue in Corona del Mar. Both buildings are due to be replaced. The two buildings will be replaced with a new 10,314 square foot facility to allow for better use of the properties, increase onsite parking and landscaping, and reduce operational costs. Construction began in early 2018 with most funding encumbered by contract. This funding is for remaining expenses such as construction contingency, utilities connections, specialty equipment and incidentals. Fire Station No. 5 / Library Replacement - Corona del Mar FUNDING SOURCE 5 TOTAL FFP: Fire Stations Category: Facilities Project No.:17F11 Project Manager: Fong Tse, 949-644-3321 Description: 2018-2019 Design/Environmental/Permits $30,000 Right-of-Way/Acquisition $0 Construction $187,899 Other $0 Total $217,899 ORG OBJECT REBUDGET $BUDGET $TOTAL 14101 980000 $0 $31,000 $31,000 57101 980000 $186,899 $0 $186,899 $186,899 $31,000 $217,899 Location: Proposed Expenses: This updates Fire Station No. 3 on Santa Barbara Drive (Newport Center). Reconstruction of the turn-out gear locker area brings the building up to current codes and expands its usable space. Fire Station Remodels FUNDING SOURCE 6 TOTAL Building Excise Tax Facilities Maintenance Fire Station #3 - 868 Santa Barbara Drive Category: Facilities Project No.:19F13 Project Manager: Peter Tauscher, 949-644-3316 Description: 2018-2019 Design/Environmental/Permits $0 Right-of-Way/Acquisition $0 Construction $0 Other $70,000 Total $70,000 ORG OBJECT REBUDGET $BUDGET $TOTAL 13501 980000 $0 $20,000 $20,000 53101 980000 $0 $50,000 $50,000 $0 $70,000 $70,000 Location: Balboa Pier 7 TOTAL Contributions FFP: Junior Guards Capital Proposed Expenses: This provides conceptual planning and design studies for a permanent building for the Newport Beach Junior Lifeguard Program as requested by the Newport Beach Junior Guards Foundation and the Fire Department's Lifeguard Division. A portable trailer is currently located adjacent to the Balboa Pier. Junior Lifeguards Building FUNDING SOURCE Category: Facilities Project No.:19F14 Project Manager: Fong Tse, 949-644-3321 Description: 2018-2019 Design/Environmental/Permits $0 Right-of-Way/Acquisition $0 Construction $0 Other $75,000 Total $75,000 ORG OBJECT REBUDGET $BUDGET $TOTAL 55101 980000 $0 $75,000 $75,000 $0 $75,000 $75,000 Location: 1600 West Balboa Boulevard Proposed Expenses: This reconfigures existing building space at Marina Park, which provides working areas for Recreation, Harbor, and UC Irvine program staff. Marina Park Office Modifications FUNDING SOURCE 8 TOTAL FFP: Marina Park Category: Facilities Project No.:15F01 Project Manager: Fong Tse, 949-644-3321 Description: 2018-2019 Design/Environmental/Permits $0 Right-of-Way/Acquisition $0 Construction $0 Other $150,000 Total $150,000 ORG OBJECT REBUDGET $BUDGET $TOTAL 57201 980000 $150,000 $0 $150,000 $150,000 $0 $150,000 Location: Not applicable 9 TOTAL Facilities Strategic Planning Proposed Expenses: This provides for necessary studies and concept development needed to further refine the Major Facilities Financing Plan. It also continues developing, both interim and long term, use concepts and plans for various city owned properties. Master Facilities Plan Strategic Planning FUNDING SOURCE Category: Facilities Project No.:17F12, 19F12 Project Manager: Kathryne Cho, 949-644-3014 Description: 2018-2019 Design/Environmental/Permits $130,000 Right-of-Way/Acquisition $0 Construction $1,220,000 Other $0 Total $1,350,000 ORG OBJECT REBUDGET $BUDGET $TOTAL 01201925 980000 $490,000 $360,000 $850,000 16001 980000 $0 $500,000 $500,000 $490,000 $860,000 $1,350,000 Location: 870 Santa Barbara Drive 10 TOTAL General Fund (17F12) Environmental Liability (19F12) Proposed Expenses: This continues improvements to the Police Facility to make existing space more efficient and to update the building to current codes. Improvements focus on locker room restrooms and parking lot. Environmental Liability funding is included to remodel the shooting range. Improvements may include improved air filtration, sound proofing, lighting, and storage. Safety improvements consist of new, more efficient backstops that meet or exceed current EPA and OSHA requirements; ability to recycle metals such as lead and copper; and improved firing line safety. Police Facility Remodel FUNDING SOURCE Streets and Drainage Pg Project Fund Title Est. Rebudget New Budget Total 11 15R18 012 Alleys Reconstruction $222,635 $0 $222,635 12 19R11 535 Balboa Boulevard Median Improvements $0 $250,000 $250,000 13 19D11 012 Balboa Island Drainage Master Plan $0 $200,000 $200,000 14 17R11 535 Balboa Village Streetscape Improvements $296,925 $0 $296,925 15 16R12 012 Bayside Dr Rehabilitation $335,450 $0 $335,450 15 16R12 121 Bayside Dr Rehabilitation $900,000 $0 $900,000 15 16R12 122 Bayside Dr Rehabilitation $1,397,250 $0 $1,397,250 16 19R21 121 Bison Ave / San Joaquin Hilld Rd Pavement Rehab $0 $131,400 $131,400 16 19R21 122 Bison Ave / San Joaquin Hilld Rd Pavement Rehab $0 $1,164,000 $1,164,000 16 19R21 126 Bison Ave / San Joaquin Hilld Rd Pavement Rehab $0 $1,414,600 $1,414,600 16 19R02 135 Bison Ave / San Joaquin Hilld Rd Pavement Rehab $0 $90,000 $90,000 17 19R22 121 Bonita Canyon Dr Pavement Rehabilitation $0 $300,000 $300,000 17 19R02 135 Bonita Canyon Dr Pavement Rehabilitation $0 $46,000 $46,000 18 18R06 012 Concrete Replacement Program $90,000 $0 $90,000 18 19R06 012 Concrete Replacement Program $0 $700,000 $700,000 19 18R21 121 Concrete Street Pavement Reconstruction $825,000 $275,000 $1,100,000 20 17R21 012 Irvine Ave Pavement Rehabilitation $760,000 $0 $760,000 20 17R21 121 Irvine Ave Pavement Rehabilitation $41,800 $928,200 $970,000 20 17R21 702 Irvine Ave Pavement Rehabilitation 0 $170,000 $170,000 21 15L01 012 Landscape Enhancement Program $49,862 $0 $49,862 21 19L01 012 Landscape Enhancement Program $200,000 $283,000 $483,000 22 18R23 122 MacArthur Blvd / University Dr Pavement Rehab $1,059,031 $0 $1,059,031 22 18R23 126 MacArthur Blvd / University Dr Pavement Rehab $481,310 $4,520 $485,830 22 19R02 135 MacArthur Blvd / University Dr Pavement Rehab $0 $80,000 $80,000 23 18R24 121 Marguerite Ave / Hospital Rd Pavement Rehab $0 $190,000 $190,000 23 18R24 122 Marguerite Ave / Hospital Rd Pavement Rehab $639,000 $0 $639,000 23 19R02 135 Marguerite Ave / Hospital Rd Pavement Rehab $0 $38,000 $38,000 24 19D12 012 Marine Ave Drainage System Improvements $0 $250,000 $250,000 25 17R13 012 Marine Ave Reconstruction $154,000 $96,000 $250,000 26 16L02 012 Median Landscape Turf Replacement $0 $16,000 $16,000 26 16L02 536 Median Landscape Turf Replacement $459,000 $0 $459,000 27 18R25 121 Ocean Blvd Concrete Pavement Reconstruction $100,000 $100,000 $200,000 28 15R19 121 Old Newport Blvd / W Coast Hwy Modifications $31,462 $185,000 $216,462 29 15R20 012 Park Avenue Bridge Replacement $243,655 $0 $243,655 29 15R20 135 Park Avenue Bridge Replacement $395,140 $0 $395,140 30 19R01 012 Pavement Management Plan $0 $30,000 $30,000 31 18R04 012 Slurry Seal Program $129,600 $0 $129,600 31 19R04 012 Slurry Seal Program $0 $860,000 $860,000 32 18D02 012 Storm Drain System Repair / Rehabilitation $151,909 $0 $151,909 32 19D02 012 Storm Drain System Repair / Rehabilitation $0 $400,000 $400,000 33 19R03 121 Street Pavement Repair Program $0 $500,000 $500,000 34 17V02 012 Streetlight Rehabilitation Program $618,886 $0 $618,886 34 19V02 121 Streetlight Rehabilitation Program $0 $300,000 $300,000 35 19D03 100 Tide Valve Replacement Program $0 $500,000 $500,000 36 18L11 536 West Coast Hwy Median Landscaping $348,000 $1,000,000 $1,348,000 Total Streets and Drainage $9,929,915 $10,501,720 $20,431,635 Category: Streets and Drainage Project:15R18 Project Manager: Frank Tran, 949-644-3340 Description: 2018-2019 Design/Environmental/Permits $0 Right-of-Way/Acquisition $0 Construction $222,635 Other $0 Total $222,635 ORG OBJECT REBUDGET $BUDGET $TOTAL 01201927 980000 $222,635 $0 $222,635 $222,635 $0 $222,635 Location: Proposed Expenses: This involves reconstructing deteriorated alleys as needed. Work may supplement other capital projects and utilities grade adjustments. Plans and specifications are prepared by staff. Construction is performed by a private contractor. Alleys Reconstruction FUNDING SOURCE 11 TOTAL General Fund Citywide Category: Streets and Drainage Project No.:19R11 Project Manager: Michael Sinacori, 949-644-3342 Description: 2018-2019 Design/Environmental/Permits $250,000 Right-of-Way/Acquisition $0 Construction $0 Other $0 Total $250,000 ORG OBJECT REBUDGET $BUDGET $TOTAL 53501 980000 $0 $250,000 $250,000 $0 $250,000 $250,000 Location: 12 TOTAL Balboa Village Parking Mgmt Balboa Boulevard from 12th Street to A Street Proposed Expenses: This involves the design of median improvements for Balboa Boulevard from 12th Street to A Street, as described in the Concept Plan approved by the Balboa Village Advisory Committee (BVAC). Construction is budgeted and completed in phases. Balboa Boulevard Median Improvements FUNDING SOURCE Category: Streets and Drainage Project No.:19D11 Project Manager: Bob Stein, 949-644-3322 Description: 2018-2019 Design/Environmental/Permits $0 Right-of-Way/Acquisition $0 Construction $0 Other $200,000 Total $200,000 ORG OBJECT REBUDGET $BUDGET $TOTAL 01201926 980000 $0 $200,000 $200,000 $0 $200,000 $200,000 Location: Proposed Expenses: This prepares a drainage master plan for Balboa Island. The plan studies existing systems and makes recommendations for future island drainage capital improvements. Balboa Island Drainage Master Plan FUNDING SOURCE 13 TOTAL General Fund Balboa Island Category: Streets and Drainage Project No.:17R11 Project Manager: Michael Sinacori, 949-644-3342 Description: 2018-2019 Design/Environmental/Permits $50,000 Right-of-Way/Acquisition $0 Construction $246,925 Other $0 Total $296,925 ORG OBJECT REBUDGET $BUDGET $TOTAL 53501 980000 $296,925 $0 $296,925 $296,925 $0 $296,925 Location: Proposed Expenses: This involves the design of streetscape improvements for Balboa Boulevard and secondary streets, and Main Street within Balboa Village, as described in the Concept Plan approved by the Balboa Village Advisory Committee (BVAC). Construction is budgeted and completed in phases. Balboa Village Streetscape Improvements FUNDING SOURCE 14 TOTAL Balboa Village Parking Mgmt Main Street, Balboa Boulevard and secondary streets Category: Streets and Drainage Project No.:16R12 Project Manager: Patrick Arciniega, 949-644-3347 Description: 2018-2019 Design/Environmental/Permits $60,000 Right-of-Way/Acquisition $0 Construction $2,572,700 Other $0 Total $2,632,700 ORG OBJECT REBUDGET $BUDGET $TOTAL 01201927 980000 $335,450 $0 $335,450 12101 980000 $900,000 $0 $900,000 12201 980000 $1,397,250 $0 $1,397,250 $2,632,700 $0 $2,632,700 Location: Proposed Expenses: This includes pavement reconstruction on Bayside Drive from Jamboree to Coast Highway and the south leg of Jamboree Road including a portion of Marine Avenue towards the bridge. The proposed design maintains four travel lanes for the entire length of the project segment, incorporates reduced lane widths, raised and non-raised medians as traffic calming measures; improves pedestrian and bicycle access; adds drought tolerant landscaping for beautification; and rehabilitates or replaces area traffic signals. Plans and specifications are prepared by a consultant and construction is done by a private contractor. Bayside Drive Rehabilitation FUNDING SOURCE 15 Measure M Fair Share TOTAL General Fund Gas Tax Bayside Drive from East Coast Highway to Jamboree Road and Jamboree Road from Bayside Drive to East Coast Highway Category: Streets and Drainage Project No.:19R21 Project Manager: Andy Tran, 949-644-3315 Description: 2018-2019 Design/Environmental/Permits $200,000 Right-of-Way/Acquisition $0 Construction $2,600,000 Other $0 Total $2,800,000 ORG OBJECT REBUDGET $BUDGET $TOTAL 12101 980000 $0 $131,400 $131,400 12201 980000 $0 $1,164,000 $1,164,000 12601 980000 $0 $1,414,600 $1,414,600 13501 980000 $0 $90,000 $90,000 $0 $2,800,000 $2,800,000 Location: Proposed Expenses: As part of the Pavement Management Plan, Bison Avenue from Jamboree Road to State Route 73 and San Joaquin Hills Road from Jamboree Road to MacArthur Boulevard will be rehabilitated. The existing pavement will be coldmilled and overlaid with rubberized asphalt concrete. Deteriorated concrete improvements at isolated locations will also be reconstructed. Plans and specifications are prepared by a consultant. Construction is performed by a private contractor. Bison Avenue / San Joaquin Hills Rd Pavement Rehab. FUNDING SOURCE Measure M Fair Share Gas Tax 16 SB1 - RMRA TOTAL Contributions (19R02) Bison Avenue from Jamboree Road to State Highway 73, San Joaquin Hills Road from Jamboree Road to Macarthur Boulevard Category: Streets and Drainage Project No.:19R22 Project Manager: Andy Tran, 949-644-3315 Description: 2018-2019 Design/Environmental/Permits $346,000 Right-of-Way/Acquisition $0 Construction $0 Other $0 Total $346,000 ORG OBJECT REBUDGET $BUDGET $TOTAL 12101 980000 $0 $300,000 $300,000 13501 980000 $0 $46,000 $46,000 $0 $346,000 $346,000 Location: Proposed Expenses: As part of the Pavement Management Plan, Bonita Canyon Drive from Jamboree Road to State Route 73 will be rehabilitated. Existing pavement is coldmilled and overlaid with rubberized asphalt concrete. Deteriorated concrete improvements at isolated locations will also be reconstructed. Plans and specifications are prepared by a consultant. Construction is performed by a private contractor. This year's efforts include final design only. Funding for construction is planned for a future fiscal year. Bonita Canyon Drive Pavement Rehabilitation FUNDING SOURCE 17 TOTAL Gas Tax Contributions (19R02) Bonita Canyon Drive from Jamboree Road to State Route 73 Category: Streets and Drainage Project No.:19R06 Project Manager: Ben Davis, 949-644-3317 Description: 2018-2019 Design/Environmental/Permits $0 Right-of-Way/Acquisition $0 Construction $790,000 Other $0 Total $790,000 ORG OBJECT REBUDGET $BUDGET $TOTAL 01201927 980000 $90,000 $0 $90,000 01201927 980000 $0 $700,000 $700,000 $90,000 $700,000 $790,000 Location: Proposed Expenses: The Concrete Replacement Program replaces deteriorated concrete pavement, sidewalks, curb and gutters at isolated City locations and within designated areas as part of a 7-year cycle. Concrete sidewalk gap closures and curb ramps are also reviewed for inclusion. Plans and specifications are prepared by staff. Construction is performed by a private contractor. Concrete Replacement Program FUNDING SOURCE 18 TOTAL General Fund (18R06) General Fund (19R06) Eastbluff and Santa Ana Heights communities and airport area Category: Streets and Drainage Project No.:18R21 Project Manager: Frank Tran, 949-644-3340 Description: 2018-2019 Design/Environmental/Permits $200,000 Right-of-Way/Acquisition $0 Construction $900,000 Other $0 Total $1,100,000 ORG OBJECT REBUDGET $BUDGET $TOTAL 12101 980000 $825,000 $275,000 $1,100,000 $825,000 $275,000 $1,100,000 Location: 19 TOTAL Anade Avenue, Montero Avenue, Alvarado Place, and 6th Street. Other locations as needed. Proposed Expenses: As part of the Pavement Rehabilitation Program, this project removes and reconstructs concrete pavement. Streets in Central Balboa Peninsula, such as Anade Avenue, Montero Avenue, Alvarado Place and 6th Street, are targeted for improvements. For these streets, reconstruction of adjacent sidewalk and curb and gutter is also considered. Other concrete streets may be included in this work. Concrete Street Pavement Reconstruction FUNDING SOURCE Gas Tax Category: Streets and Drainage Project No.:17R21 Project Manager: Andy Tran, 949-644-3315 Description: 2018-2019 Design/Environmental/Permits $50,000 Right-of-Way/Acquisition $0 Construction $1,850,000 Other $0 Total $1,900,000 ORG OBJECT REBUDGET $BUDGET $TOTAL 01201927 980000 $760,000 $0 $760,000 12101 980000 $41,800 $928,200 $970,000 70201932 980000 $0 $170,000 $170,000 $801,800 $1,098,200 $1,900,000 Location: Proposed Expenses: As part of the Pavement Rehabilitation Program, this project grinds and overlays portions of Irvine Avenue from Santiago Drive to 16th Street with rubberized asphalt concrete. This is a joint project with the City of Costa Mesa. Reconstruction of deteriorated concrete improvements is included. Plans and specifications are prepared by by a consultant. Construction is performed by a private contractor. Irvine Avenue Pavement Rehabilitation FUNDING SOURCE General Fund 20 Water Capital NMP TOTAL Gas Tax Irvine Avenue from Santiago Drive to Baycrest Road and from 16th Street to Dover Drive Category: Streets and Drainage Project No.:19L01 Project Manager: Michael Sinacori, 949-644-3342 Description: 2018-2019 Design/Environmental/Permits $102,862 Right-of-Way/Acquisition $0 Construction $430,000 Other $0 Total $532,862 ORG OBJECT REBUDGET $BUDGET $TOTAL 01201927 980000 $49,862 $0 $49,862 01201927 980000 $200,000 $283,000 $483,000 $249,862 $283,000 $532,862 Location: Citywide Proposed Expenses: This designs or facilitates the installation or rehabilitation of various small landscape projects throughout the City that require more than regular maintenance efforts. Design is performed by a consultant. Installation is completed by a private contractor. Landscape Enhancement Program FUNDING SOURCE 21 TOTAL General Fund (15L01) General Fund (19L01) Category: Streets and Drainage Project No.:18R23 Project Manager: Andy Tran, 949-644-3315 Description: 2018-2019 Design/Environmental/Permits $0 Right-of-Way/Acquisition $0 Construction $1,624,861 Other $0 Total $1,624,861 ORG OBJECT REBUDGET $BUDGET $TOTAL 12201 980000 $1,059,031 $0 $1,059,031 12601 980000 $481,310 $4,520 $485,830 13501 980000 $0 $80,000 $80,000 $1,540,341 $84,520 $1,624,861 Location: 22 TOTAL Measure M Fair Share Contributions (19R02) SB1-RMRA MacArthur Boulevard from Ford Road / Bonita Canyon Drive to city limits and University Drive from Jamboree Road to State Route 73 Proposed Expenses: As part of the Pavement Rehabilitation Program - Overlay, this project grinds and overlays sections of MacArthur Boulevard and University Drive with rubberized asphalt concrete. Reconstruction of deteriorated concrete improvements is also included. Design is performed by a consultant. Construction is performed by a private contractor. MacArthur Boulevard / University Drive Pavement Rehabilitation FUNDING SOURCE Category: Streets and Drainage Project No.:18R24 Project Manager: Alfred Castanon, 949-644-3314 Description: 2018-2019 Design/Environmental/Permits $0 Right-of-Way/Acquisition $0 Construction $867,000 Other $0 Total $867,000 ORG OBJECT REBUDGET $BUDGET $TOTAL 12101 980000 $0 $190,000 $190,000 12201 980000 $639,000 $0 $639,000 13501 980000 $0 $38,000 $38,000 $639,000 $228,000 $867,000 Location: As part of the Pavement Rehabilitation Program, portions of Marguerite Avenue from Fifth Street to San Joaquin Hills Road, and Hospital Road from Superior Avenue to Placentia Avenue will be rehabilitated. The existing pavement will be coldmilled and overlaid with rubberized asphalt oncrete. Deteriorated concrete improvements at isolated locations will also be reconstructed. Plans and specifications are currently being prepared by a consultant. Construction is performed by a private contractor. Marguerite Avenue / Hospital Road Pavement Rehabilitation FUNDING SOURCE 23 TOTAL Contributions (19R02) Marguerite Avenue from Fifth Street to San Joaquin Hills Road; and Hospital Road from Superior Avenue to Placentia Avenue Proposed Expenses: Measure M Fair Share Gas Tax Category: Streets and Drainage Project No.:19D12 Project Manager: Mark Vukojevic, 949-644-3319 Description: 2018-2019 Design/Environmental/Permits $250,000 Right-of-Way/Acquisition $0 Construction $0 Other $0 Total $250,000 ORG OBJECT REBUDGET $BUDGET $TOTAL 01201926 980000 $0 $250,000 $250,000 $0 $250,000 $250,000 Location: 24 TOTAL General Fund Marine Avenue, Balboa Island Proposed Expenses: This studies and plans for potential drainage improvements on Balboa Island, on and adjacent to Marine Avenue, in conjunction with the Marine Avenue Reconstruction Project. Marine Avenue Drainage System Improvements FUNDING SOURCE Category: Streets and Drainage Project No.:17R13 Project Manager: Peter Tauscher, 949-644-3316 Description: 2018-2019 Design/Environmental/Permits $250,000 Right-of-Way/Acquisition $0 Construction $0 Other $0 Total $250,000 ORG OBJECT REBUDGET $BUDGET $TOTAL 01201927 980000 $154,000 $96,000 $250,000 $154,000 $96,000 $250,000 Location: Proposed Expenses: This involves concept development, design and permitting of the complete reconstruction of Marine Avenue on Balboa Island from Bay Front North to Bay Front South, as requested by Balboa Island residents. Public Works is working with a Balboa Island designated Marine Avenue working group and will perform outreach to residents to determine the final scope. Construction is envisioned to begin in January 2020 or January 2021. Design is performed by a consultant. Construction is performed by a private contractor. Marine Avenue Reconstruction FUNDING SOURCE General Fund 25 TOTAL Marine Avenue between Bay Front South and Bay Front North Category: Streets and Drainage Project No.:16L02 Project Manager: Patrick Arciniega, 949-644-3347 Description: 2018-2019 Design/Environmental/Permits $75,000 Right-of-Way/Acquisition $0 Construction $400,000 Other $0 Total $475,000 ORG OBJECT REBUDGET $BUDGET $TOTAL 01201927 980000 $0 $16,000 $16,000 53601 980000 $459,000 $0 $459,000 $459,000 $16,000 $475,000 Location: Proposed Expenses: This project removes and replaces turf medians with more water friendly landscaping. Irrigation systems and controllers may be upgraded with weather based smart controllers and water efficient spray heads. The next segment of medians to be done are on Jamboree Road. Design is performed by a consultant. Construction is performed by a private contractor. Median Landscape Turf Replacement FUNDING SOURCE General Fund 26 TOTAL Neighborhood Enhancement Jamboree Road from University Drive / Eastbluff Drive to San Joaquin Hills Road and Jamboree Road from San Joaquin Hills Road to Santa Barbara Drive Category: Streets and Drainage Project:18R25 Project Manager: Patrick Arciniega, 949-644-33 Description: 2018-2019 Design/Environmental/Permits $200,000 Right-of-Way/Acquisition $0 Construction $0 Other $0 Total $200,000 ORG OBJECT REBUDGET $BUDGET $TOTAL 12101 980000 $100,000 $100,000 $200,000 $100,000 $100,000 $200,000 Location: Proposed Expenses: This removes and reconstructs concrete pavement on Ocean Bouelvard, from Goldenrod Avenue to Carnation Avenue, and on Carnation Avenue to Seaview Avenue in Corona del Mar. New landscaping may be included to aesthetically enhance the wide segment of Ocean Boulevard. The project may include a sidewalk on the south side of Ocean Boulevard from Dahlia Avenue to Fernleaf Avenue. Design is performed by a consultant. Construction is performed by a private contractor. Ocean Boulevard Concrete Pavement Reconstruction FUNDING SOURCE 27 TOTAL Gas Tax Ocean Boulevard - Goldenrod Avenue to Carnation Avenue and Carnation Avenue to Seaview Avenue Category: Streets and Drainage Project No.:15R19 Project Manager: Patrick Arciniega, 949-644-3347 Description: 2018-2019 Design/Environmental/Permits $216,462 Right-of-Way/Acquisition $0 Construction $0 Other $0 Total $216,462 ORG OBJECT REBUDGET $BUDGET $TOTAL 12101 980000 $31,462 $185,000 $216,462 $31,462 $185,000 $216,462 Location: Intersection of Old Newport Boulevard and West Coast Highway 28 TOTAL Gas Tax Proposed Expenses: As part of the City's Bicycle Master Plan, this project widens the westbound side of West Coast Highway at Old Newport Boulevard to accommodate a third through lane under Newport Boulevard, a right turn pocket, a bike lane and a sidewalk. Additional right-of-way from Caltrans is required. Staff is seeking grant funding for right-of-way and construction to be performed in a future year. Old Newport Boulevard / West Coast Highway Modifications FUNDING SOURCE Category: Streets and Drainage Project No.:15R20 Project Manager: Fong Tse, 949-644-3321 Description: 2018-2019 Design/Environmental/Permits $0 Right-of-Way/Acquisition $0 Construction $0 Other $638,795 Total $638,795 ORG OBJECT REBUDGET $BUDGET $TOTAL 01201927 980000 $243,655 $0 $243,655 13501 980000 $395,140 $0 $395,140 $638,795 $0 $638,795 Location: Park Avenue connecting Balboa Island and Little Balboa Island Proposed Expenses: This replaces the Little Balboa Island Bridge. Work was substantially completed in July 2017. Funding is provided by a grant from the Federal Highway Administration administered by Caltrans. Park Avenue Bridge Replacement FUNDING SOURCE 29 TOTAL General Fund Contributions Category: Streets and Drainage Project No.:19R01 Project Manager: Andy Tran, 949-644-3315 Description: 2018-2019 Design/Environmental/Permits $0 Right-of-Way/Acquisition $0 Construction $0 Other $30,000 Total $30,000 ORG OBJECT REBUDGET $BUDGET $TOTAL 01201927 980000 $0 $30,000 $30,000 $0 $30,000 $30,000 Location: Citywide Proposed Expenses: This effort assesses current conditions and identifies future pavement rehabilitation needs within the City's pavement network by conducting an inventory and analyses of pavement condition. A Pavement Condition Index (PCI) is assigned to every street upon completion of condition assessment. Arterial streets are inspected every two years and local streets are inspected every four years. This work will be performed by a consultant. The Pavement Management Plan Update is required by OCTA to receive local transportation funds. Pavement Management Plan Update FUNDING SOURCE 30 TOTAL General Fund Category: Streets and Drainage Project No.:19R04 Project Manager: Ben Davis, 949-644-3317 Description: 2018-2019 Design/Environmental/Permits $0 Right-of-Way/Acquisition $0 Construction $989,600 Other $0 Total $989,600 ORG OBJECT REBUDGET $BUDGET $TOTAL 01201927 980000 $129,600 $0 $129,600 01201927 980000 $0 $860,000 $860,000 $129,600 $860,000 $989,600 Location: Proposed Expenses: The Slurry Seal Program is a pavement surface treatment system to extend roadway life, add aesthetic value to pavement surfaces, correct minor deficiencies, and prevent early deterioration. The current project involves slurry sealing and seal coating residential streets, trails, and parking lots in the Eastbluff and Santa Ana Heights communities and the airport area as part of a 7-year cycle. Plans and specifications are prepared by staff. Construction is performed by a private contractor. Slurry Seal Program FUNDING SOURCE 31 TOTAL General Fund (18R04) General Fund (19R04) Eastbluff and Santa Ana Heights communities and airport area Category: Streets and Drainage Project No.:19D02 Project Manager: Peter Tauscher, 949-644-3316 Description: 2018-2019 Design/Environmental/Permits $50,000 Right-of-Way/Acquisition $0 Construction $501,909 Other $0 Total $551,909 ORG OBJECT REBUDGET $BUDGET $TOTAL 01201926 980000 $151,909 $0 $151,909 01201926 980000 $0 $400,000 $400,000 $151,909 $400,000 $551,909 Location: Citywide 32 TOTAL General Fund (18D02) General Fund (19D02) Proposed Expenses: The City owns and maintains an extensive storm drainage system. Recent video inspections identified several areas that need repair or rehabilitation. This project funds repair and rehabilitation of various storm drains throughout the City. This is a multi-year program. Storm Drain System Repair / Rehabilitation FUNDING SOURCE Category: Streets and Drainage Project No.:19R03 Project Manager: Andy Tran, 949-644-3315 Description: 2018-2019 Design/Environmental/Permits $0 Right-of-Way/Acquisition $0 Construction $500,000 Other $0 Total $500,000 ORG OBJECT REBUDGET $BUDGET $TOTAL 12101 980000 $0 $500,000 $500,000 $0 $500,000 $500,000 Location: 33 TOTAL Citywide Proposed Expenses: This provides isolated asphalt concrete pavement repairs on arterials and residential streets throughout the city. Plans and specifications are prepared by staff. Construction is performed by a private contractor. Street Pavement Repair Program FUNDING SOURCE Gas Tax Category: Streets and Drainage Project No.:19V02 Project Manager: Peter Tauscher, 949-644-3316 Description: 2018-2019 Design/Environmental/Permits $0 Right-of-Way/Acquisition $0 Construction $818,886 Other $100,000 Total $918,886 ORG OBJECT REBUDGET $BUDGET $TOTAL 01201927 980000 $618,886 $0 $618,886 12101 980000 $0 $300,000 $300,000 $618,886 $300,000 $918,886 Location: Citywide Proposed Expenses: This rehabilitates old circuits and replaces streetlight bulbs, conduits, wires, pull boxes and service cabinets where needed. Existing lights are replaced with energy efficient LED lamp fixtures. Globe tops are the next set of light replacements that are anticipated. Streetlight Rehabilitation Program FUNDING SOURCE 34 TOTAL General Fund (17V02) Gas Tax (19V02) Category: Streets and Drainage Project No.:19D03 Project Manager: Peter Tauscher, 949-644-3316 Description: 2018-2019 Design/Environmental/Permits $50,000 Right-of-Way/Acquisition $0 Construction $450,000 Other $0 Total $500,000 ORG OBJECT REBUDGET $BUDGET $TOTAL 10001 980000 $0 $500,000 $500,000 $0 $500,000 $500,000 Location: Citywide Proposed Expenses: This replaces deteriorated tide gates located throughout the harbor area with new tidal valves. Historically, the City operates an inventory of conventional tide gates in various conditions. Some have surpassed their service lives and require extra maintenance to operate, and Public Works typically assembles a project every two years. Tide Valve Replacement Program FUNDING SOURCE 35 TOTAL Tidelands Maintenance Category: Streets and Drainage Project No.:18L11 Project Manager: Alfred Castanon, 949-644-3314 Description: 2018-2019 Design/Environmental/Permits $200,000 Right-of-Way/Acquisition $0 Construction $1,148,000 Other $0 Total $1,348,000 ORG OBJECT REBUDGET $BUDGET $TOTAL 01201927 980000 $348,000 $0 $348,000 53601 980000 $0 $1,000,000 $1,000,000 $348,000 $1,000,000 $1,348,000 Location: West Coast Highway between Santa Ana River and Newport Boulevard Proposed Expenses: This installs new and enhanced water friendly landscaping and irrigation system in the medians along West Coast Highway between the Santa Ana River and Newport Boulevard and the intersection of West Coast Highway and Balboa Boulevard / Superior Avenue. A construction and maintenance agreement from Caltrans is required. Design is complete. Construction is performed in sections to minimize traffic impacts. This second phase is anticipated to be from east of Prospect Street to Superior Avenue. West Coast Highway Median Landscaping FUNDING SOURCE 36 Neighborhood Enhancement TOTAL General Fund Transportation Pg Project Fund Title Est. Rebudget New Budget Total 37 18T03 012 Balboa Peninsula Crosswalks Improvements $67,130 $0 $67,130 37 19T11 012 Balboa Peninsula Crosswalks Improvements $0 $250,000 $250,000 38 17T13 123 Balboa Peninsula Summer Trolley $579,210 $60,850 $640,060 38 19T13 535 Balboa Peninsula Summer Trolley $0 $69,600 $69,600 39 17T12 121 Coast Hwy Traffic Signal Synchronization $453,300 $100,000 $553,300 40 19T12 012 Dover Shores Traffic Study $0 $100,000 $100,000 41 18T11 012 Ocean Front Bike Safety Improvements $50,000 $25,000 $75,000 42 19T03 012 Traffic, Signage, Striping and Marking $0 $350,000 $350,000 43 18T01 012 Traffic Signal Rehabilitation Program $124,627 $0 $124,627 43 19T01 121 Traffic Signal Rehabilitation Program $0 $750,000 $750,000 44 18T02 012 Traffic Management and Modernization $77,435 $0 $77,435 Total Transportation $1,351,702 $1,705,450 $3,057,152 Category: Transportation Project No.:19T11 Project Manager: Brad Sommers, 949-644-3326 Description: 2018-2019 Design/Environmental/Permits $40,000 Right-of-Way/Acquisition $0 Construction $277,130 Other $0 Total $317,130 ORG OBJECT REBUDGET $BUDGET $TOTAL 01201927 980000 $67,130 $0 $67,130 01201927 980000 $0 $250,000 $250,000 $67,130 $250,000 $317,130 Location: 37 TOTAL General Fund (18T03) General Fund (19T11) Balboa Peninsula Proposed Expenses: This designs and implements various street and bicycle signage, crosswalk enhancements, striping and pavement markings, and other minor crosswalk and street improvements on Balboa Peninsula. Design is performed by a consultant. Construction is performed by a private contractor. This is the second phase of the project. Balboa Peninsula Crosswalks Improvements FUNDING SOURCE Category: Transportation Project:17T13, 19T13 Project Manager: Michael Sinacori, 949-644-3342 Description: 2018-2019 Design/Environmental/Permits $0 Right-of-Way/Acquisition $0 Construction $0 Other $709,660 Total $709,660 ORG OBJECT REBUDGET $BUDGET $TOTAL 1230053 980000 $537,950 $10,450 $548,400 53501 980000 $41,260 $50,400 $91,660 53501 980000 $0 $69,600 $69,600 $579,210 $130,450 $709,660 Location: Proposed Expenses: The Balboa Peninsula Summer Trolley is a free shuttle service travelling Newport Boulevard to Balboa Village and back. Orange County Transportation Authority approved a grant in 2017 for a seven year service through Summer 2023. The City's match requirement is budgeted annually. The City contracts with a private operator to provide 28-passenger shuttles for this service. Balboa Peninsula Summer Trolley FUNDING SOURCE 38 Balboa Village Parking Mgmt (19T13) TOTAL Measure M Competitive (17T13) Balboa Village Parking Mgmt (17T13) Balboa Peninsula Category: Transportation Project No.:17T12 Project Manager: Brad Sommers, 949-644-3326 Description: 2018-2019 Design/Environmental/Permits $0 Right-of-Way/Acquisition $0 Construction $553,300 Other $0 Total $553,300 ORG OBJECT REBUDGET $BUDGET $TOTAL 12101 980000 $453,300 $100,000 $553,300 $453,300 $100,000 $553,300 Location: 39 TOTAL Gas Tax Coast Highway (SR-1) within the City of Newport Beach, from the westerly city limit with Huntington Beach to the easterly city limit with Laguna Beach Proposed Expenses: This upgrades traffic signal control hardware at 13 City of Newport Beach and 14 Caltrans intersections, extends and closes gaps in the City's Fiber Optic communication network, installs three CCTV cameras, and updates traffic signal timing and coordination plans. This enhances traffic signal coordination and reduces travel time delay along a number of intersections on Coast Highway. Majority funding is provided by the Orange County Transportation Authority (OCTA) Regional Traffic Signal Synchronization Program (RTSSP) as part of Measure M2. Construction is performed by a private contractor. Coast Highway Traffic Signal Synchronization FUNDING SOURCE Category: Transportation Project No.:19T12 Project Manager: Tony Brine, 949-644-3329 Description: 2018-2019 Design/Environmental/Permits $0 Right-of-Way/Acquisition $0 Construction $0 Other $100,000 Total $100,000 ORG OBJECT REBUDGET $BUDGET $TOTAL 01201927 980000 $0 $100,000 $100,000 $0 $100,000 $100,000 Location: Proposed Expenses: This funds the preparation of a neighborhood traffic study in the Dover Shores and Mariners areas to address resident inquiries and concerns about speed and cut-through traffic. Dover Shores Traffic Study FUNDING SOURCE 40 TOTAL General Fund Dover Shores and Mariners neighborhoods Category: Transportation Project No.:18T11 Project Manager: Brad Sommers, 949-644-3326 Description: 2018-2019 Design/Environmental/Permits $75,000 Right-of-Way/Acquisition $0 Construction $0 Other $0 Total $75,000 ORG OBJECT REBUDGET $BUDGET $TOTAL 01201938 980000 $50,000 $25,000 $75,000 $50,000 $25,000 $75,000 Location: Ocean Front Boardwalk Proposed Expenses: This researches, designs and possibly funds Ocean Front improvements and path enhancements for various users, including improvements at E Street. Ocean Front Bike Safety Improvements FUNDING SOURCE 41 TOTAL Oceanfront Encroachment Category: Transportation Project No.:19T03 Project Manager: Brad Sommers, 949-644-3326 Description: 2018-2019 Design/Environmental/Permits $0 Right-of-Way/Acquisition $0 Construction $250,000 Other $100,000 Total $350,000 ORG OBJECT REBUDGET $BUDGET $TOTAL 01201927 980000 $0 $350,000 $350,000 $0 $350,000 $350,000 Location: Citywide Proposed Expenses: This annual program consists of various roadway sign and striping improvements throughout the City. Traffic Signage, Striping and Marking FUNDING SOURCE 42 TOTAL General Fund Category: Transportation Project No.:19T01 Project Manager: Eric Loke, 949-644-3336 Description: 2018-2019 Design/Environmental/Permits $0 Right-of-Way/Acquisition $0 Construction $874,627 Other $0 Total $874,627 ORG OBJECT REBUDGET $BUDGET $TOTAL 01201927 980000 $124,627 $0 $124,627 12101 980000 $0 $750,000 $750,000 $124,627 $750,000 $874,627 Location: Citywide 43 TOTAL General Fund (18T01) Gas Tax (19T01) Proposed Expenses: This annual program consists of rehabilitation and maintenance of existing traffic signal equipment throughout the City. Work may include replacement of hardware including control equipment, signal poles, cabinets, and re-wiring traffic signals. Three traffic signals are envisioned for this project. Traffic Signal Rehabilitation Program FUNDING SOURCE Category: Transportation Project No.:18T02 Project Manager: Tony Brine, 949-644-3329 Description: 2018-2019 Design/Environmental/Permits $0 Right-of-Way/Acquisition $0 Construction $77,435 Other $0 Total $77,435 ORG OBJECT REBUDGET $BUDGET $TOTAL 01201927 980000 $77,435 $0 $77,435 $77,435 $0 $77,435 Location: Citywide 44 TOTAL General Fund Proposed Expenses: This program funds potential Intelligent Transportation Systems (ITS) projects including adaptive signal timing, electronic speed feedback signs, dynamic message signs, and/or flashing beacons. Also, funding may be used for neighborhood traffic management studies to address resident traffic concerns. Traffic Management and Modernization FUNDING SOURCE Parks, Harbors and Beaches Pg Project Fund Title - Parks Est. Rebudget New Budget Total 45 19P11 562 Grant Howald Park Rehabilitation $0 $250,000 $250,000 46 19P13 012 Jasmine Creek Maintenance Rd Reconstruction $0 $200,000 $200,000 47 15T09 012 Lower Sunset View Park Concept / Overcrossings $157,803 $0 $157,803 47 15T09 123 Lower Sunset View Park Concept / Overcrossings $0 $2,349,600 $2,349,600 47 15T09 140 Lower Sunset View Park Concept / Overcrossings $0 $200,000 $200,000 47 15T09 562 Lower Sunset View Park Concept / Overcrossings $150,000 $3,000,400 $3,150,400 48 17P15 012 Newport Elementary School Playfield Maintenance $92,464 $0 $92,464 49 16P12 141 Park Walls and Staircases Rehabilitation $177,406 $0 $177,406 49 19P12 012 Park Walls and Staircases Rehabilitation $0 $500,000 $500,000 50 18P01 141 Playground Refurbishment Program $37,170 $0 $37,170 50 19P01 012 Playground Refurbishment Program $0 $300,000 $300,000 51 15P18 561 Sunset Ridge Park Access $86,689 $0 $86,689 52 19P14 012 West Newport Park Rehabilitation $0 $100,000 $100,000 Subtotal $701,532 $6,900,000 $7,601,532 Pg Project Fund Title - Harbors and Beaches Est. Rebudget New Budget Total 53 18H11 135 Abandoned / Surrendered Watercraft Abatement $125,000 $0 $125,000 53 18H11 160 Abandoned / Surrendered Watercraft Abatement $100,000 $0 $100,000 54 16H11 100 American Legion Bulkhead $1,000,000 $0 $1,000,000 55 19H11 101 Balboa Island and 10th St Swim Platforms $0 $60,000 $60,000 56 19H04 012 Beach and Bay Sand Management $0 $500,000 $500,000 57 18H12 100 Bilge Pumpout Dock / Oil Collection Centers $200,000 $0 $200,000 58 19H12 100 Eelgrass Survey - Harborwide RGP $0 $75,000 $75,000 59 16H12 101 Grand Canal Dredging $863,000 $0 $863,000 60 18H13 100 Harbor Bulkhead and Seawalls Repairs $150,000 $0 $150,000 60 19H08 100 Harbor Bulkhead and Seawalls Repairs $0 $500,000 $500,000 61 18H09 100 Harbor Maintenance / Minor Improvements $150,000 $0 $150,000 62 19H02 101 Harbor Piers Rehabilitation $0 $300,000 $300,000 63 19H13 101 Harbor Port Plan $0 $300,000 $300,000 64 18H07 100 Harborwide Dredging / Planning $0 $350,000 $350,000 65 16H14 100 Newport Pier Platform and Piles $1,306,100 $0 $1,306,100 66 17H03 100 Ocean Piers Inspection and Maintenance $235,387 $0 $235,387 Subtotal $4,129,487 $2,085,000 $6,214,487 Total Parks, Harbors and Beaches $4,831,019 $8,985,000 $13,816,019 Category: Parks, Harbors and Beaches Project:19P11 Project Manager: Kathryne Cho, 949-644-3014 Description: 2018-2019 Design/Environmental/Permits $250,000 Right-of-Way/Acquisition $0 Construction $0 Other $0 Total $250,000 ORG OBJECT REBUDGET $BUDGET $TOTAL 56201 980000 $0 $250,000 $250,000 $0 $250,000 $250,000 Location: Proposed Expenses: Renovation of Grant Howald Park may include upgrades to the fence reconfiguration, landscaping, sidewalk installation, retaining wall replacement, synthetic turf installation and replacement of old park equipment. The scope will be reviewed by the Parks Beaches and Recreation Commission and the community. Design is performed by a consultant. Construction is budgeted in a future fiscal year. Grant Howald Park Rehabilitation FUNDING SOURCE 45 TOTAL FFP: Parks/Community Ctrs 3000 Fifth Avenue, Corona del Mar Category: Parks, Harbors and Beaches Project:19P13 Project Manager: Ben Davis, 949-644-3317 Description: 2018-2019 Design/Environmental/Permits $25,000 Right-of-Way/Acquisition $0 Construction $175,000 Other $0 Total $200,000 ORG OBJECT REBUDGET $BUDGET $TOTAL 01201929 980000 $0 $200,000 $200,000 $0 $200,000 $200,000 Location: 46 TOTAL General Fund Jasmine Creek, between Fifth Avenue, at Community Youth Center, and Harbor View Drive Proposed Expenses: This repairs the Jasmine Creek maintenance road next to Community Youth Center. The road will be assessed to determine which portions will be slurry sealed and which will require complete reconstruction. Jasmine Creek Maintenance Road Reconstruction FUNDING SOURCE Category: Parks, Harbors and Beaches Project No.:15T09 Project Manager: Andy Tran, 949-644-3315 Description: 2018-2019 Design/Environmental/Permits $450,000 Right-of-Way/Acquisition $0 Construction $5,357,803 Other $50,000 Total $5,857,803 ORG OBJECT REBUDGET $BUDGET $TOTAL 01201927 980000 $157,803 $0 $157,803 1230053 980000 $0 $2,349,600 $2,349,600 14001 980000 $0 $200,000 $200,000 56201 980000 $150,000 $3,000,400 $3,150,400 $307,803 $5,550,000 $5,857,803 Location: Intersection of Coast Highway and Superior Avenue 47 TOTAL Measure M Competitive FFP: Park/Community Ctrs. Proposed Expenses: This multi-year project involves conceptual plan development and approval, then final design, environmental clearance, permitting and construction of two pedestrian overcrossings at the intersection of Superior Avenue and West Coast Highway. Other potential project features include a parking structure and a recreational area. City staff was successful in securing Measure M grant funds to construct the pedestrian overcrossing at Superior Avenue. Design is performed by a consultant. Construction is performed by a private contractor. Lower Sunset View Park Concept / Overcrossings FUNDING SOURCE Transportation & Circulation General Fund Category: Parks, Harbors and Beaches Project No.:17P15 Project Manager: Michael Sinacori, 949-644-3342 Description: 2018-2019 Design/Environmental/Permits $0 Right-of-Way/Acquisition $0 Construction $92,464 Other $0 Total $92,464 ORG OBJECT REBUDGET $BUDGET $TOTAL 01201939 980000 $92,464 $0 $92,464 $92,464 $0 $92,464 Location: 1327 Balboa Blvd 48 TOTAL General Fund Proposed Expenses: This joint project with the Newport Mesa Unified School District improves the playfield at Newport Elementary for functionality and aesthetic purposes. When school is not in session, the field is used by the public as a park. Construction is scheduled to minimize disruption during the school year. Newport Elementary School Playfield Maintenance FUNDING SOURCE Category: Parks, Harbors and Beaches Project No.:19P12 Project Manager: Patrick Arciniega, 949-644-3347 Description: 2018-2019 Design/Environmental/Permits $75,000 Right-of-Way/Acquisition $0 Construction $602,406 Other $0 Total $677,406 ORG OBJECT REBUDGET $BUDGET $TOTAL 01201929 980000 $0 $500,000 $500,000 14101 980000 $177,406 $0 $177,406 $177,406 $500,000 $677,406 Location: Citywide 49 TOTAL General Fund (19P12) Building Excise Tax (16P12) Proposed Expenses: This addresses aged or damaged walls, retaining walls and staircases at several parks throughout the City. Many walls and stairs were originally constructed with timber. Reconstruction materials may include concrete. Possible locations include Bayview Park, Irvine Terrace Park and others. Design is prepared by a consultant. Construction is performed by a private contractor. Park Walls and Staircases Rehabilitation FUNDING SOURCE Category: Parks, Harbors and Beaches Project:19P01 Project Manager: Kathryne Cho, 949-644-3014 Description: 2018-2019 Design/Environmental/Permits $50,000 Right-of-Way/Acquisition $0 Construction $287,170 Other $0 Total $337,170 ORG OBJECT REBUDGET $BUDGET $TOTAL 01201929 980000 $0 $300,000 $300,000 14101 980000 $37,170 $0 $37,170 $37,170 $300,000 $337,170 Location: 50 TOTAL General Fund (19P01) Building Excise Tax (18P01) Citywide Proposed Expenses: This replaces existing, worn playground surfacing materials with new poured-in-place resilient rubber surfacing. The project also replaces older playground equipment. Construction is performed by a private contractor. Playground Refurbishment Program FUNDING SOURCE Category: Parks, Harbors and Beaches Project No.:15P18 Project Manager: Andy Tran, 949-644-3315 Description: 2018-2019 Design/Environmental/Permits $0 Right-of-Way/Acquisition $0 Construction $0 Other $86,689 Total $86,689 ORG OBJECT REBUDGET $BUDGET $TOTAL 56101 980000 $86,689 $0 $86,689 $86,689 $0 $86,689 Location: Sunset Ridge Park 51 TOTAL FFP: Sunset Ridge Park Proposed Expenses: Expanded vehicle and/or pedestrian access to Sunset Ridge Park will be explored. Sunset Ridge Park Access FUNDING SOURCE Category: Parks, Harbors and Beaches Project:19P14 Project Manager: Michael Sinacori, 949-644-3342 Description: 2018-2019 Design/Environmental/Permits $0 Right-of-Way/Acquisition $0 Construction $0 Other $100,000 Total $100,000 ORG OBJECT REBUDGET $BUDGET $TOTAL 01201929 980000 $0 $100,000 $100,000 $0 $100,000 $100,000 Location: Proposed Expenses: This replaces original Lexan plastic walls along West Newport Park and Coast Highway, in addition to other needed maintenance and repair items. West Newport Park Rehabilitation FUNDING SOURCE 52 TOTAL General Fund West Newport City Limit to Prospect Street Category: Parks, Harbors and Beaches Project No.:18H11 Project Manager: Chris Miller, 949-644-3043 Description: 2018-2019 Design/Environmental/Permits $0 Right-of-Way/Acquisition $0 Construction $0 Other $225,000 Total $225,000 ORG OBJECT REBUDGET $BUDGET $TOTAL 13501 980000 $125,000 $0 $125,000 16001 980000 $100,000 $0 $100,000 $225,000 $0 $225,000 Location: Harborwide Proposed Expenses: This funds the removal of abandoned or surrendered nuisance vessels from the waters of Newport Harbor. Abandoned / Surrendered Watercraft Abatement FUNDING SOURCE 53 TOTAL Contributions Environmental Liability Category: Parks, Harbors and Beaches Project No.:16H11 Project Manager: Chris Miller, 949-644-3043 Description: 2018-2019 Design/Environmental/Permits $150,000 Right-of-Way/Acquisition $0 Construction $850,000 Other $0 Total $1,000,000 ORG OBJECT REBUDGET $BUDGET $TOTAL 10001 980000 $1,000,000 $0 $1,000,000 $1,000,000 $0 $1,000,000 Location: West Balboa Boulevard at 15th Street Proposed Expenses: This funds an engineering analysis of the seawall, which is needed to develop plans and permits through regulatory agencies. The City owns the property at 215 15th Street. The buildings and marina are leased to the American Legion. As part of the Rhine Channel/American Legion dredging project in 2011, the City agreed to study the feasibility of repairing or replacing existing vertical bulkheads near the American Legion facility. Construction should follow after further discussions and agreements with the American Legion. American Legion Bulkhead FUNDING SOURCE 54 TOTAL Tidelands Maintenance Category: Parks, Harbors and Beaches Project:19H11 Project Manager: Chris Miller, 949-644-3043 Description: 2018-2019 Design/Environmental/Permits $0 Right-of-Way/Acquisition $0 Construction $60,000 Other $0 Total $60,000 ORG OBJECT REBUDGET $BUDGET $TOTAL 10101 980000 $0 $60,000 $60,000 $0 $60,000 $60,000 Location: Proposed Expenses: This provides for the rehabilitation of a floating swim platform located off a small beach adjacent to 10th Street on Balboa Peninsula and the reinstallation of a platform off of Ruby Avenue and North Bay Front on Balboa Island. Balboa Island and 10th Street Swim Platforms FUNDING SOURCE 55 TOTAL Tidelands Capital North side of Balboa Island off Ruby Avenue, and off 10th Street and W. Bay Avenue on Balboa Peninsula Category: Parks, Harbors and Beaches Project No.:19H04 Project Manager: Michael Sinacori, 949-644-3342 Description: 2018-2019 Design/Environmental/Permits $0 Right-of-Way/Acquisition $0 Construction $0 Other $500,000 Total $500,000 ORG OBJECT REBUDGET $BUDGET $TOTAL 01201938 980000 $0 $500,000 $500,000 $0 $500,000 $500,000 Location: 56 TOTAL Oceanfront Encroachment Various bay fronts and beaches Proposed Expenses: This program consists of normal sand and sediment maintenance operations throughout the harbor's bay beaches, ocean beaches and street ends. Beach and Bay Sand Management FUNDING SOURCE Category: Parks, Harbors and Beaches Project:18H12 Project Manager: Chris Miller, 949-644-3043 Description: 2018-2019 Design/Environmental/Permits $50,000 Right-of-Way/Acquisition $0 Construction $150,000 Other $0 Total $200,000 ORG OBJECT REBUDGET $BUDGET $TOTAL 10001 980000 $200,000 $0 $200,000 $200,000 $0 $200,000 Location: Proposed Expenses: This includes the design, permitting and construction of one or two bilge pumpout stations in the harbor for public use. Possible locations are at 15th Street and the Balboa Yacht Basin. In addtion, enhancements to the harbor's existing oil collection centers will be studied and implemented, if needed. A bilge pumpout station is necessary to help maintain the harbor’s water quality as well as to discourage boaters from using the sewage pumpout facilities to pumpout their bilges. Bilge Pumpout Dock / Oil Collection Centers FUNDING SOURCE 57 TOTAL Tidelands Maintenance Newport Harbor Category: Parks, Harbors and Beaches Project No.:19H12 Project Manager: Chris Miller, 949-644-3043 Description: 2018-2019 Design/Environmental/Permits $0 Right-of-Way/Acquisition $0 Construction $0 Other $75,000 Total $75,000 ORG OBJECT REBUDGET $BUDGET $TOTAL 10001 980000 $0 $75,000 $75,000 $0 $75,000 $75,000 Location: Newport Harbor Proposed Expenses: This surveys eelgrass along the lower harbor shoreline, as well as performs basic water quality analyses (light, salinity, temperature, dissolved oxygen). The project helps the City maintain accurate data on eelgrass distribution and quantity per the requirements of the Newport Beach Specific Eelgrass Plan and Regional General Permit (RGP). Eelgrass Survey - Harborwide RGP FUNDING SOURCE 58 TOTAL Tidelands Maintenance Category: Parks, Harbors and Beaches Project No.:16H12 Project Manager: Chris Miller, 949-644-3043 Description: 2018-2019 Design/Environmental/Permits $0 Right-of-Way/Acquisition $0 Construction $863,000 Other $0 Total $863,000 ORG OBJECT REBUDGET $BUDGET $TOTAL 10101 980000 $863,000 $0 $863,000 $863,000 $0 $863,000 Location: Grand Canal, between Balboa Island and Little Balboa Island 59 TOTAL Tidelands Capital Proposed Expenses: This designs, permits and provides construction for the continued dredging of the middle and north side of Grand Canal, following the completion of Park Avenue Bridge. This multi-year dredging project deepens the channel and improves navigation. Phase 1 was completed early 2017. Grand Canal Dredging FUNDING SOURCE Category: Parks, Harbors and Beaches Project:19H08 Project Manager: Peter Tauscher, 949-644-3316 Description: 2018-2019 Design/Environmental/Permits $100,000 Right-of-Way/Acquisition $0 Construction $550,000 Other $0 Total $650,000 ORG OBJECT REBUDGET $BUDGET $TOTAL 10001 980000 $150,000 $0 $150,000 10001 980000 $0 $500,000 $500,000 $150,000 $500,000 $650,000 Location: Proposed Expenses: This looks at the repair of various city bulkheads and seawalls around the harbor. Work may include increasing the seawall height or full wall replacement at select City street ends and boat yards, where flooding occurs during high tides and storm events. Design and construction will be performed by outside consultants and contractors. Harbor Bulkheads and Seawalls Repairs FUNDING SOURCE 60 TOTAL Tidelands Maintenance (18H13) Tidelands Maintenance (19H08) Balboa Island, Balboa Peninsula Category: Parks, Harbors and Beaches Project:18H09 Project Manager: Chris Miller, 949-644-3043 Description: 2018-2019 Design/Environmental/Permits $0 Right-of-Way/Acquisition $0 Construction $150,000 Other $0 Total $150,000 ORG OBJECT REBUDGET $BUDGET $TOTAL 10001 980000 $150,000 $0 $150,000 $150,000 $0 $150,000 Location: Proposed Expenses: This provides funding for harbor related maintenance at City owned marinas, such as the Balboa Yacht Basin, as well as other public piers, facilities and waterways. Typical projects include electrical repairs and / or upgrades, dock repairs, navigational marker replacement or maintenance, general harbor maintenance and other miscellaneous improvements. Harbor Maintenance / Minor Improvements FUNDING SOURCE 61 TOTAL Tidelands Maintenance Harborwide Category: Parks, Harbors and Beaches Project:19H02 Project Manager: Peter Tauscher, 949-644-3316 Description: 2018-2019 Design/Environmental/Permits $30,000 Right-of-Way/Acquisition $0 Construction $250,000 Other $20,000 Total $300,000 ORG OBJECT REBUDGET $BUDGET $TOTAL 10101 980000 $0 $300,000 $300,000 $0 $300,000 $300,000 Location: Proposed Expenses: This provides for the maintenance and repair of public piers located within the harbor. A consultant may prepare an inspection report that focuses on the condition of harbor piers to form the basis of the construction work. Staff prepares construction project plans and specifications based on the report recommendations. Harbor pier projects are assembled on an every other year basis, rotating with projects on ocean piers. M Street, Fernando Street, Opal Avenue and 15th Street piers are being considered for this year's project. Harbor Piers Rehabilitation FUNDING SOURCE 62 TOTAL Tidelands Capital Newport Harbor Category: Parks, Harbors and Beaches Project:19H13 Project Manager: David Webb, 949-644-3330 Description: 2018-2019 Design/Environmental/Permits $300,000 Right-of-Way/Acquisition $0 Construction $0 Other $0 Total $300,000 ORG OBJECT REBUDGET $BUDGET $TOTAL 10101 980000 $0 $300,000 $300,000 $0 $300,000 $300,000 Location: 63 TOTAL Tidelands Capital Harborwide Proposed Expenses: This focuses on the development and permitting necessary to complete a Harbor Port Plan through the California Coastal Commission. Harbor Port Plan FUNDING SOURCE Category: Parks, Harbors and Beaches Project No.:18H07 Project Manager: Chris Miller, 949-644-3043 Description: 2018-2019 Design/Environmental/Permits $250,000 Right-of-Way/Acquisition $0 Construction $0 Other $100,000 Total $350,000 ORG OBJECT REBUDGET $BUDGET $TOTAL 10001 980000 $0 $350,000 $350,000 $0 $350,000 $350,000 Location: Newport Harbor 64 TOTAL Tidelands Maintenance Proposed Expenses: This provides for the preliminary planning, design, development, testing and permitting for future dredging of Newport Harbor. Harborwide Dredging / Planning FUNDING SOURCE Category: Parks, Harbors and Beaches Project No.:16H14 Project Manager: Fong Tse, 949-644-3321 Description: 2017-2018 Design/Environmental/Permits $250,000 Right-of-Way/Acquisition $0 Construction $1,056,100 Other $0 Total $1,306,100 ORG OBJECT REBUDGET $BUDGET $TOTAL 10001 980000 $1,306,100 $0 $1,306,100 $1,306,100 $0 $1,306,100 Location: Newport Pier 65 TOTAL Proposed Expenses: This demolishes the existing restaurant building, replaces the center pier pilings and installs a new pier deck under the building site on Newport Pier. Also, this removes and replaces water and sewer lines, not including fire service lines, under the pier. A consultant prepares construction contract documents. A marine contractor constructs the improvements. Newport Pier Platform and Piles FUNDING SOURCE Tidelands Maintenance Category: Parks, Harbors and Beaches Project No.:17H03 Project Manager: Fong Tse, 949-644-3321 Description: 2018-2019 Design/Environmental/Permits $0 Right-of-Way/Acquisition $0 Construction $85,387 Other $150,000 Total $235,387 ORG OBJECT REBUDGET $BUDGET $TOTAL 10001 980000 $235,387 $0 $235,387 $235,387 $0 $235,387 Location: Newport Pier and Balboa Pier Proposed Expenses: This project provides for the bi-annual inspection and maintenance of the Newport Pier and Balboa Pier. A consultant will prepare an inspection report that focuses on the condition of both piers and to form the basis of the construction work. Staff prepares construction project plans and specifications based on the report recommendations. Needed maintenance work may include crack sealing stringers and piles and replacing missing or broken timber members, corroded straps, and other identified deficiencies. Ocean Piers Inspection and Maintenance FUNDING SOURCE 66 TOTAL Tidelands Maintenance Water Quality and Environmental Pg Project Fund Title Est. Rebudget New Budget Total 67 16X11 100 Arches Storm Drain Dry Weather Diversion $32,214 $50,000 $82,214 67 16X11 138 Arches Storm Drain Dry Weather Diversion $819,500 $0 $819,500 68 15X11 012 Bayview Heights Drainage / Runoff Treatment $5,800 $0 $5,800 68 15X11 100 Bayview Heights Drainage / Runoff Treatment $3,845 $0 $3,845 68 15X11 123 Bayview Heights Drainage / Runoff Treatment $275,077 $0 $275,077 69 17X11 012 Big Canyon Golf Course Pond Treatment $20,000 $0 $20,000 70 15X14 012 Little Corona Infiltration Gallery $35,000 $0 $35,000 70 15X14 123 Little Corona Infiltration Gallery $225,000 $0 $225,000 70 15X14 138 Little Corona Infiltration Gallery $6,400 $0 $6,400 71 17X12 012 Newport Bay Water Wheel $0 $8,000 $8,000 72 18X02 100 TMDL Compliance / Water Quality Improvements $200,494 $50,000 $250,494 Total Water Quality and Environmental $1,623,330 $108,000 $1,731,330 Category: Water Quality and Environmental Project No.:16X11 Project Manager: John Kappeler, 949-644-3218 Description: 2018-2019 Design/Environmental/Permits $100,000 Right-of-Way/Acquisition $0 Construction $801,714 Other $0 Total $901,714 ORG OBJECT REBUDGET $BUDGET $TOTAL 10001 980000 $32,214 $50,000 $82,214 13801 980000 $819,500 $0 $819,500 $851,714 $50,000 $901,714 Location: Newport Boulevard north of Coast Highway This diverts dry weather flows from two subwatersheds near Newport Boulevard at Coast Highway to the sanitary sewer system. Arches drain outlet is the endpoint for two large storm drains that collect and deliver runoff from neighboring areas to Newport Harbor. The west storm drain collects runoff from Hoag Hospital and areas upstream and the east storm drain runs along Old Newport Boulevard and into Costa Mesa upstream of 15th Street. Grant funding for this project is from the State Water Resources Control Board (SWRCB) under its Clean Beaches Initiative. Design is prepared by a consultant. Construction is performed by a private contractor. Arches Storm Drain Dry Weather Diversion FUNDING SOURCE Tidelands Maintenance 67 Contributions TOTAL Proposed Expenses: Category: Water Quality and Environmental Project No.:15X11 Project Manager: John Kappeler, 949-644-3218 Description: 2018-2019 Design/Environmental/Permits $0 Right-of-Way/Acquisition $0 Construction $269,842 Other $14,880 Total $284,722 ORG OBJECT REBUDGET $BUDGET $TOTAL 01201928 980000 $5,800 $0 $5,800 10001 980000 $3,845 $0 $3,845 1230052 980000 $275,077 $0 $275,077 $284,722 $0 $284,722 Location: Headlands area of Upper Bay downstream of Mesa Drive 68 Measure M Competitive TOTAL General Fund Tidelands Maintenance Proposed Expenses: This restores a drainage reach subject to erosion and creates a retention basis at the end of the reach to benefit environmental water quality in the Back Bay. The Measure M Tier 2 competitive grant awarded for this project by Orange County Transportation Authority requires a match by the City. Private contributions were provided by the County of Orange and two property owners. Design is prepared by a consultant. Construction is performed by a private contractor. Bayview Heights Drainage and Runoff Treatment FUNDING SOURCE Category: Water Quality and Environmental Project No.:17X11 Project Manager: Bob Stein, 949-644-3322 Description: 2016-2017 Design/Environmental/Permits $0 Right-of-Way/Acquisition $0 Construction $20,000 Other $0 Total $20,000 ORG OBJECT REBUDGET $BUDGET $TOTAL 01201928 980000 $20,000 $0 $20,000 $20,000 $0 $20,000 Location: 1 Big Canyon Drive 69 TOTAL General Fund Proposed Expenses: As a part of the City's selenium mitigation program in Big Canyon, a circulation improvement device in Lake 3 of the Big Canyon Golf Course is under review. The device can inhibit conversion of selenate to selenite, a toxic form of selenium. Big Canyon Golf Course Pond Treatment FUNDING SOURCE Category: Water Quality and Environmental Project No.:15X14 Project Manager: John Kappeler, 949-644-3218 Description: 2018-2019 Design/Environmental/Permits $0 Right-of-Way/Acquisition $0 Construction $266,400 Other $0 Total $266,400 ORG OBJECT REBUDGET $BUDGET $TOTAL 01201926 980000 $35,000 $0 $35,000 1230052 980000 $225,000 $0 $225,000 13801 980000 $6,400 $0 $6,400 $266,400 $0 $266,400 Location: Little Corona Beach Proposed Expenses: This installs a system to redirect dry weather flows from Buck Creek into an infiltration gallery located under or within the beach sand. A substantial portion of this work is funded by a grant from Orange County Transportation Authority. Design is prepared by a consultant. Construction is performed by a private contractor. Little Corona Infiltration Gallery FUNDING SOURCE 70 Environmental Contributions TOTAL General Fund Measure M Competitive Category: Water Quality and Environmental Project No.:17X12 Project Manager: John Kappeler, 949-644-3218 Description: 2018-2019 Design/Environmental/Permits $8,000 Right-of-Way/Acquisition $0 Construction $0 Other $0 Total $8,000 ORG OBJECT REBUDGET $BUDGET $TOTAL 01201928 980000 $0 $8,000 $8,000 $0 $8,000 $8,000 Location: Upper Newport Bay near Jamboree Road Bridge 71 TOTAL General Fund Proposed Expenses: A water wheel trash-collecting vessel is proposed and supported by the City's Water Quality & Coastal Tidelands Committee to capture garbage flowing down San Diego Creek from inland Orange County into Newport Bay. The wheel funnels incoming debris into an onboard holding bin to be emptied periodically. Newport Bay Water Wheel FUNDING SOURCE Category: Water Quality and Environmental Project No.:18X02 Project Manager: Bob Stein, 949-644-3322 Description: 2018-2019 Design/Environmental/Permits $25,000 Right-of-Way/Acquisition $0 Construction $200,494 Other $25,000 Total $250,494 ORG OBJECT REBUDGET $BUDGET $TOTAL 10001 980000 $200,494 $50,000 $250,494 $200,494 $50,000 $250,494 Location: Citywide Proposed Expenses: Various water quality improvements, studies, projects and monitoring may need to be performed as part of the City's efforts and compliance with the state National Pollution Discharge Elimination System and Total Maximum Daily Load program requirements. TMDL Compliance / Water Quality Improvements FUNDING SOURCE 72 TOTAL Tidelands Maintenance Water Pg Project Fund Title Est. Rebudget New Budget Total 73 19W12 701 Advanced Metering Infrastructure $0 $3,300,000 $3,300,000 74 19W13 702 Alta Vista Regulating Station Relocation $0 $100,000 $100,000 75 19W11 702 Balboa Island Water Main Replacement $0 $2,500,000 $2,500,000 76 16W12 702 Bay / Channel Crossings Main Replacement $455,100 $450,000 $905,100 77 16W13 701 Big Canyon Reservoir Flow Metering / Treatment $181,611 $0 $181,611 78 18W11 701 Big Canyon Reservoir Site Paving $150,000 $0 $150,000 79 19R09 701 Grade Adjustments - Water Valves $0 $50,000 $50,000 80 19W14 702 Hillsborough Pump Station Rehabilitation $0 $100,000 $100,000 81 16W14 702 Lido Village Water Main Replacement $153,982 $0 $153,982 82 19W15 702 Spyglass Hill Reservoir Mixing System $0 $100,000 $100,000 83 18W12 702 Transmission Mains Valve Replacements $100,000 $900,000 $1,000,000 84 18W13 702 Utilities Back Up Generators $100,000 $50,000 $150,000 85 18W14 702 Utilities Yard Spill Control Valve / Tipping Floor $170,000 $0 $170,000 86 17W02 701 Water Master Plan Update $32,691 $0 $32,691 87 19W05 702 Water System Rehabilitation $0 $250,000 $250,000 88 19W04 702 Water Well Rehabilitation $0 $500,000 $500,000 Total Water $1,343,384 $8,300,000 $9,643,384 Category: Water Project No.:19W12 Project Manager: Steffen Catron, 949-718-3402 Description: 2018-2019 Design/Environmental/Permits $0 Right-of-Way/Acquisition $0 Construction $0 Other $3,300,000 Total $3,300,000 ORG OBJECT REBUDGET $BUDGET $TOTAL 70101 980000 $0 $3,300,000 $3,300,000 $0 $3,300,000 $3,300,000 Location: Citywide Proposed Expenses: This multi-year project replaces approximately 26,700 water meters in the City with automated meters that collect data without the need for manual meter reading. This infrastructure upgrade to the City's water meters is expected to provide better data on water consumption and use. The first year performs a trial period using a certain number of meters. Advanced Metering Infrastructure FUNDING SOURCE 73 TOTAL Water Enterprise Category: Water Project No.:19W13 Project Manager: Michael Sinacori, 949-644-3342 Description: 2018-2019 Design/Environmental/Permits $100,000 Right-of-Way/Acquisition $0 Construction $0 Other $0 Total $100,000 ORG OBJECT REBUDGET $BUDGET $TOTAL 70201932 980000 $0 $100,000 $100,000 $0 $100,000 $100,000 Location: Proposed Expenses: This relocates a regulating station located on Jamboree Road in the median close to Ford Road. The current location gets flooded by irrigation and needs to be moved to an improved location closer to the area it serves and away from high traffic. The relocation will lower maintenance costs and improve access for operations. Alta Vista Regulating Station Relocation FUNDING SOURCE 74 TOTAL Water Capital NMP Middle of southbound Jamboree Road at Alder Place (between 921 and 927 Alder Place) Category: Water Project No.:19W11 Project Manager: Alfred Castanon, 949-644-3314 Description: 2018-2019 Design/Environmental/Permits $0 Right-of-Way/Acquisition $0 Construction $2,500,000 Other $0 Total $2,500,000 ORG OBJECT REBUDGET $BUDGET $TOTAL 70201931 980000 $0 $2,500,000 $2,500,000 $0 $2,500,000 $2,500,000 Location: Balboa Island Proposed Expenses: This project replaces deteriorated distribution and transmission mains on Balboa Island pursuant to the Water Master Plan. The work for this phase focuses on the replacement of existing cast iron water transmission mains on Park Avenue, Alleys No. 402B and 402A. The existing transmission main on Alleys No. 402B and 402A will be replaced with a new main to be located on Onyx Avenue. Plans and specifications are prepared by city staff and construction is performed by a private contractor. Balboa Island Water Main Replacement FUNDING SOURCE 75 TOTAL Water Capital Distrib./Piping Category: Water Project No.:16W12 Project Manager: Ben Davis, 949-644-3317 Description: 2018-2019 Design/Environmental/Permits $905,100 Right-of-Way/Acquisition $0 Construction $0 Other $0 Total $905,100 ORG OBJECT REBUDGET $BUDGET $TOTAL 70201931 980000 $455,100 $450,000 $905,100 $455,100 $450,000 $905,100 Location: Various pipelines under Newport Bay 76 TOTAL Water Capital Distrib./Piping Proposed Expenses: This involves permitting, environmental clearance and final design for replacement water mains crossing under the Newport Bay as identified in the Water Master Plan. Several of these existing pipelines are relatively old and have reached their design life. Plans and specifications are prepared by a consultant. These critical lines serve several island communities, such as Balboa Island. Bay / Channel Crossings Main Replacement FUNDING SOURCE Category: Water Project No.:16W13 Project Manager: Ben Davis, 949-644-3317 Description: 2018-2019 Design/Environmental/Permits $0 Right-of-Way/Acquisition $0 Construction $181,611 Other $0 Total $181,611 ORG OBJECT REBUDGET $BUDGET $TOTAL 70101 980000 $181,611 $0 $181,611 $181,611 $0 $181,611 Location: Big Canyon Reservoir 77 TOTAL Water Enterprise Proposed Expenses: This project constructs a flow metering vault over the existing 30 inch outlet transmission main from Big Canyon Reservoir (BCR). This project also involves the installation of mixing devices to improve water treatment from BCR and the ability to monitor disinfection levels of the City's drinking water supply. Big Canyon Reservoir Flow Metering / Treatment FUNDING SOURCE Category: Water Project No.:18W11 Project Manager: Ben Davis, 949-644-3317 Description: 2018-2019 Design/Environmental/Permits $0 Right-of-Way/Acquisition $0 Construction $150,000 Other $0 Total $150,000 ORG OBJECT REBUDGET $BUDGET $TOTAL 70101 980000 $150,000 $0 $150,000 $150,000 $0 $150,000 Location: Big Canyon Reservoir 78 TOTAL Water Enterprise Proposed Expenses: This paves an area for storage and improves accessibility to equipment and materials at Big Canyon Reservoir. This site is primarly used for water storage and treatment and also stores large pipes and equipment needed to make repairs and improvements on the east side of the City. Currently, this material is stored in dirt areas making it difficult to retrieve in wet conditions. Big Canyon Reservoir Site Paving FUNDING SOURCE Category: Water Project No.:19R09 Project Manager: Michael Sinacori, 949-644-3342 Description: 2018-2019 Design/Environmental/Permits $0 Right-of-Way/Acquisition $0 Construction $50,000 Other $0 Total $50,000 ORG OBJECT REBUDGET $BUDGET $TOTAL 70101 980000 $0 $50,000 $50,000 $0 $50,000 $50,000 Location: Citywide 79 TOTAL Water Enterprise Proposed Expenses: This improves access covers on existing vaults and raises water valve boxes to grade. Priority is given to work related to street resurfacing and reconstruction. This project may include a separate contract to raise numerous existing valve boxes that are buried or paved over and to replace vault lids throughout the water system. Grade Adjustments - Water Valves FUNDING SOURCE Category: Water Project No.:19W14 Project Manager: Michael Sinacori, 949-644-3342 Description: 2018-2019 Design/Environmental/Permits $20,000 Right-of-Way/Acquisition $0 Construction $80,000 Other $0 Total $100,000 ORG OBJECT REBUDGET $BUDGET $TOTAL 70201933 980000 $0 $100,000 $100,000 $0 $100,000 $100,000 Location: Corner of Hillsborough and Spyglass Hill Road (across from 27 Hillsborough) Proposed Expenses: This replaces the pump and motor and installs a variable frequency drive to increase efficiency at the Hillsborough pump station. This station operates at high pressures in order to pump water to the highest elevations in the City. Hillsborough Pump Station Rehabilitation FUNDING SOURCE 80 TOTAL Water Pumping & Ops Category: Water Project No.:16W14 Project Manager: Alfred Castanon, 949-644-3314 Description: 2018-2019 Design/Environmental/Permits $0 Right-of-Way/Acquisition $0 Construction $153,982 Other $0 Total $153,982 ORG OBJECT REBUDGET $BUDGET $TOTAL 70201931 980000 $153,982 $0 $153,982 $153,982 $0 $153,982 Location: Newport Boulevard from Channel Bridge to 19th Street 81 TOTAL Water Capital Distrib./Piping Proposed Expenses: This project removes and replaces older cast iron water mains identified in the Water Master Plan in and around the old City Hall site. Plans and specifications were prepared by a consultant. Construction began in mid - 2017 with most funding encumbered by contract. This funding is for remaining expenses such as construction contingency, utilities connections and incidentals. Lido Village Water Main Replacement FUNDING SOURCE Category: Water Project No.:19W15 Project Manager: Ben Davis, 949-644-3317 Description: 2018-2019 Design/Environmental/Permits $0 Right-of-Way/Acquisition $0 Construction $0 Other $100,000 Total $0 ORG OBJECT REBUDGET $BUDGET $TOTAL 70201932 980000 $0 $100,000 $100,000 $0 $100,000 $100,000 Location: 21 Muir Beach Circle (underneath Spyglass Hill Reservoir Park) 82 TOTAL Water Capital NMP Proposed Expenses: This installs a mixing device in the reservoir to improve circulation at the below ground Spyglass Hill Reservoir. This reservoir is located underneath Spyglass Hill Reservoir Park and holds approximately 1.5 million gallons of water. Spyglass Hill Reservoir Mixing System FUNDING SOURCE Category: Water Project No.:18W12 Project Manager: Alfred Castanon, 949-644-3314 Description: 2018-2019 Design/Environmental/Permits $100,000 Right-of-Way/Acquisition $0 Construction $900,000 Other $0 Total $1,000,000 ORG OBJECT REBUDGET $BUDGET $TOTAL 70201931 980000 $100,000 $900,000 $1,000,000 $100,000 $900,000 $1,000,000 Location: Citywide 83 TOTAL Water Capital Distrib./Piping Proposed Expenses: This project replaces large water transmission valves. The City has thousands of water line valves used to isolate sections for maintenance and operations. Many of the valves are small in nature and can be replaced during the normal course of business. Most of the large valves were installed with the pipeline years ago and are due to be replaced. Transmission Mains Valve Replacements FUNDING SOURCE Category: Water Project No.:18W13 Project Manager: Michael Sinacori, 949-644-3342 Description: 2018-2019 Design/Environmental/Permits $150,000 Right-of-Way/Acquisition $0 Construction $0 Other $0 Total $150,000 ORG OBJECT REBUDGET $BUDGET $TOTAL 70201932 980000 $100,000 $50,000 $150,000 $100,000 $50,000 $150,000 Location: 949 W. 16th Street Proposed Expenses: This provides the design and feasibility of back up generators at the City's utilities yard and offsite water pumping stations. The 16th Street Reservoir and Pump Station provides 75 percent of the City’s water supply from four City owned wells in Fountain Valley. Backup systems are in place to provide water to the City, however, an emergency generator allows the City to continue using well supplies. Design is performed by a private consultant. Utilities Back Up Generators FUNDING SOURCE 84 TOTAL Water Capital NMP Utilities Yard Category: Water Project No.:18W14 Project Manager: Michael Sinacori, 949-644-3342 Description: 2018-2019 Design/Environmental/Permits $0 Right-of-Way/Acquisition $0 Construction $170,000 Other $0 Total $170,000 ORG OBJECT REBUDGET $BUDGET $TOTAL 70201932 980000 $170,000 $0 $170,000 $170,000 $0 $170,000 Location: 949 W. 16th Street 85 TOTAL Water Capital NMP Proposed Expenses: This constructs an off loading area with containment area to capture any chemicals from leaving the water treatment site in West Newport in the event of a spill. The 16th Street Reservoir and Treatment Plant receives regular deliveries of bulk chemical delivered by large semi-trucks used to treat the drinking water. To date, operators installed a temporary containment solution. Concrete work was completed in early 2018 for the tipping floor. Utilities Yard Spill Control Valve / Tipping Floor FUNDING SOURCE Category: Water Project No.:17W02 Project Manager: Michael Sinacori, 949-644-3342 Description: 2018-2019 Design/Environmental/Permits $0 Right-of-Way/Acquisition $0 Construction $0 Other $32,691 Total $32,691 ORG OBJECT REBUDGET $BUDGET $TOTAL 70101 980000 $32,691 $0 $32,691 $32,691 $0 $32,691 Location: Not applicable 86 TOTAL Water Enterprise Proposed Expenses: This project provides funding for a comprehensive Water Master Plan Update. The study assesses current and future needs within the City's water delivery system and lays out a planned approach for future projects and funding options. The last Master Plan update was completed in 2009. Water Master Plan Update FUNDING SOURCE Category: Water Project No.:19W05 Project Manager: Michael Sinacori, 949-644-3342 Description: 2018-2019 Design/Environmental/Permits $50,000 Right-of-Way/Acquisition $0 Construction $200,000 Other $0 Total $250,000 ORG OBJECT REBUDGET $BUDGET $TOTAL 70201932 980000 $0 $250,000 $250,000 $0 $250,000 $250,000 Location: Citywide 87 TOTAL Water Capital Distr./Piping NMP Proposed Expenses: This investigates and constructs various City water infrastructure elements (pipelines and valves) that need rehabilitation and/or replacement. Plans are prepared by staff or a consultant. Construction is performed by a private contractor. Water System Rehabilitation FUNDING SOURCE Category: Water Project No.:19W04 Project Manager: Ben Davis, 949-644-3317 Description: 2018-2019 Design/Environmental/Permits $100,000 Right-of-Way/Acquisition $0 Construction $400,000 Other $0 Total $500,000 ORG OBJECT REBUDGET $BUDGET $TOTAL 70201933 980000 $0 $500,000 $500,000 $0 $500,000 $500,000 Location: Tamura Elementary School (17340 Santa Suzanne St, Fountain Valley) Proposed Expenses: This rehabilitates Tamura Deep Well. This water well is one of four wells that supply water to the City's distribution system. To maintain production and efficiency, water wells need to be rehabilitated regularly. Plans and specifications are prepared by a consultant. Construction is performed by a private contractor. Water Well Rehabilitation FUNDING SOURCE 88 TOTAL Water Pumping & Ops Wastewater Pg Project Fund Title Est. Rebudget New Budget Total 89 18R09 711 Grade Adjustments - Sewer Manhole Covers $100,000 $0 $100,000 89 19R09 711 Grade Adjustments - Sewer Manhole Covers $0 $50,000 $50,000 90 18S04 712 Sewer Lift Station Improvements $150,000 $850,000 $1,000,000 91 18S03 712 Sewer Main Lining and Repairs $50,000 $450,000 $500,000 Total Wastewater $300,000 $1,350,000 $1,650,000 Category: Wastewater Project No.:19R09 Project Manager: Michael Sinacori, 949-644-3342 Description: 2018-2019 Design/Environmental/Permits $0 Right-of-Way/Acquisition $0 Construction $150,000 Other $0 Total $150,000 ORG OBJECT REBUDGET $BUDGET $TOTAL 71101 980000 $100,000 $0 $100,000 71101 980000 $0 $50,000 $50,000 $100,000 $50,000 $150,000 Location: Citywide Proposed Expenses: This improves access covers on existing vaults and raises sewer manholes to grade. Priority is given to work performed related to street resurfacing and reconstruction. This project may include a separate contract to raise numerous existing manholes that are buried or paved over and to replace and/or add sewer manholes in the system. Grade Adjustments - Sewer Manhole Covers FUNDING SOURCE 89 TOTAL Wastewater Enterprise (18R09) Wastewater Enterprise (19R09) Category: Wastewater Project No.:18S04 Project Manager: Patrick Arciniega, 949-644-3347 Description: 2018-2019 Design/Environmental/Permits $150,000 Right-of-Way/Acquisition $0 Construction $850,000 Other $0 Total $1,000,000 ORG OBJECT REBUDGET $BUDGET $TOTAL 71201 980000 $150,000 $850,000 $1,000,000 $150,000 $850,000 $1,000,000 Location: Ford Road 90 TOTAL Wastewater Capital Proposed Expenses: This improves Ford Road sewer lift station. The City owns 21 sewer lift stations that move wastewater from the community to the Orange County Sanitation District in Fountain Valley. As part of the Wastewater Master Plan, these stations are reconstructed or rebuilt as needed with new pumps and equipment to provide a safe and efficient means to move wasterwater. An alternative may be explored to abandon this station and divert flows to the Irvine Ranch Water District and save costs. Plans and specifications are done by a consultant and construction is done by an outside contractor. Sewer Lift Station Improvements FUNDING SOURCE Category: Wastewater Project No.:18S03 Project Manager: Alfred Castanon, 949-644-3314 Description: 2018-2019 Design/Environmental/Permits $50,000 Right-of-Way/Acquisition $0 Construction $450,000 Other $0 Total $500,000 ORG OBJECT REBUDGET $BUDGET $TOTAL 71201 980000 $50,000 $450,000 $500,000 $50,000 $450,000 $500,000 Location: Citywide 91 TOTAL Wastewater Capital Proposed Expenses: This repairs sewer and other priority projects identified in the Wastewater Master Plan. Sewer line areas discovered to be damaged, deteriorated or problematic are packaged into projects so that repairs can be made. Sewer Main Lining and Repairs FUNDING SOURCE Miscellaneous Pg Project Fund Title Est. Rebudget New Budget Total 92 16M15 012 Affordable Housing $480,547 $0 $480,547 93 19M11 012 Aircraft Sound Monitoring Station $0 $40,000 $40,000 94 17A01 536 Assessment District Payment for City Parcels $308,400 $0 $308,400 94 17A11 650 Assessment District Payment for City Parcels $150,000 $0 $150,000 95 15M12 012 Balboa Island Enhancements $140,000 $0 $140,000 96 19M12 535 Balboa Village Enhanced Maintenance $0 $50,000 $50,000 97 16M11 535 Balboa Village Façade Improvement Program $78,000 $0 $78,000 98 16M12 535 Balboa Village Wayfinding Improvements $200,000 $0 $200,000 99 18M11 160 City Yard Refuse Transfer Station Improvements $125,000 $0 $125,000 100 19M03 012 SCE Rule 20A Credit Purchase $0 $150,000 $150,000 101 19M13 101 Sea Level Rise Study $0 $67,000 $67,000 102 17M12 012 Slope Erosion Control / Enhancements $100,000 $0 $100,000 103 111 660 UUD AD (Newport / 23rd / Ocean Front W / 31st)$0 $3,426,186 $3,426,186 104 116 659 UUD AD (Channel / 44th / Balboa Bl / 38th)$0 $1,925,000 $1,925,000 105 116B 661 UUD AD (River / 47th / Balboa Bl / 45th)$0 $970,000 $970,000 106 117 658 UUD AD (Carnation / Begonia / Acacia)$0 $4,640,550 $4,640,550 Total Miscellaneous $1,581,947 $11,268,736 $12,850,683 Category: Miscellaneous Project No.:16M15 Project Manager: Jaime Murillo, 949-644-3209 Description: 2018-2019 Design/Environmental/Permits $0 Right-of-Way/Acquisition $0 Construction $0 Other $480,547 Total $480,547 ORG OBJECT REBUDGET $BUDGET $TOTAL 01201928 980000 $480,547 $0 $480,547 $480,547 $0 $480,547 Location: Various locations Proposed Expenses: The City has an agreement with Habitat for Humanity Orange County to provide a home repair program for lower income seniors. Staff estimates approximately 30 repair projects will be completed. This is administered by the Community Development Department. Affordable Housing FUNDING SOURCE 92 TOTAL General Fund Category: Facilities Project No.:19M11 Project Manager: Mark Vukojevic, 949-644-3319 Description: 2018-2019 Design/Environmental/Permits $0 Right-of-Way/Acquisition $0 Construction $0 Other $40,000 Total $40,000 ORG OBJECT REBUDGET $BUDGET $TOTAL 01201928 980000 $0 $40,000 $40,000 $0 $40,000 $40,000 Location: to be determined Proposed Expenses: Sound monitoring is proposed near significant aircraft flight paths. Environmental sound monitoring allows data to be collected to understand and assess sound climate in the vicinity of sound sources. Continuous monitoring at certain locations can be helpful to identify patterns in the sound climate such as unusual peaks or gradual increases in sound levels over time. Aircraft Sound Monitoring Station FUNDING SOURCE 93 TOTAL General Fund Category: Miscellaneous Project No.:17A11 Project Manager: Michael Sinacori, 949-644-3342 Description: 2018-2019 Design/Environmental/Permits $0 Right-of-Way/Acquisition $0 Construction $0 Other $458,400 Total $458,400 ORG OBJECT REBUDGET $BUDGET $TOTAL 53601 980000 $308,400 $0 $308,400 65002 980000 $150,000 $0 $150,000 $458,400 $0 $458,400 Location: Not applicable Proposed Expenses: Two approved assessment districts include city parcels within district boundaries. Assessment District No. 116 was approved on January 12, 2016 and includes costs for Channel Park ($294,670 - Paid). Assessment District No. 117 was approved on November 24, 2015 and includes costs for Old School ($45,062) and Begonia Park ($272,932). Funding is also provided to cover engineering and administration of general nature or not funded by approved districts. Assessment District Payment for City Parcels FUNDING SOURCE 94 TOTAL Neighborhood Enhance. (17A11) General Fund - AD (17A01) Category: Miscellaneous Project No.:15M12 Project Manager: Mark Vukojevic, 949-644-3319 Description: 2018-2019 Design/Environmental/Permits $0 Right-of-Way/Acquisition $0 Construction $0 Other $140,000 Total $140,000 ORG OBJECT REBUDGET $BUDGET $TOTAL 01201928 980000 $140,000 $0 $140,000 $140,000 $0 $140,000 Location: Balboa Island Proposed Expenses: This project designs and constructs minor landscape and streetscape improvements and amenities on Balboa Island. Balboa Island Enhancements FUNDING SOURCE 95 TOTAL General Fund Balboa Island,1921 Category: Miscellaneous Project No.:19M12 Project Manager: Michael Sinacori, 949-644-3342 Description: 2018-2019 Design/Environmental/Permits $0 Right-of-Way/Acquisition $0 Construction $0 Other $50,000 Total $50,000 ORG OBJECT REBUDGET $BUDGET $TOTAL 53501 980000 $0 $50,000 $50,000 $0 $50,000 $50,000 Location: Balboa Village and Balboa Boulevard Proposed Expenses: This provides some enhanced maintenance such as additional cleaning, facility refreshment, brush removal and steam cleaning services in Balboa Village. Balboa Village Enhanced Maintenance FUNDING SOURCE 96 TOTAL Balboa Village Parking Mgmt Category: Miscellaneous Project No.:16M11 Project Manager: Ben Zbeda, 949-644-3210 Description: 2018-2019 Design/Environmental/Permits $0 Right-of-Way/Acquisition $0 Construction $0 Other $78,000 Total $78,000 ORG OBJECT REBUDGET $BUDGET $TOTAL 53501 980000 $78,000 $0 $78,000 $78,000 $0 $78,000 Location: Balboa Village and Balboa Boulevard 97 TOTAL Balboa Village Parking Mgmt Proposed Expenses: The program's aim is to promote property owners' investment in the rehabilitation of their buildings by offering financial grants to make exterior building improvements. The Balboa Village Facade Improvement Program was created to partner with private property owners to rehabilitate commercial structures in Balboa Village and along Balboa Boulevard and is administered by Community Development Department staff. Balboa Village Façade Improvement Program FUNDING SOURCE Category: Miscellaneous Project No.:16M12 Project Manager: Tony Brine, 949-644-3329 Description: 2018-2019 Design/Environmental/Permits $70,000 Right-of-Way/Acquisition $0 Construction $130,000 Other $0 Total $200,000 ORG OBJECT REBUDGET $BUDGET $TOTAL 53501 980000 $200,000 $0 $200,000 $200,000 $0 $200,000 Location: Proposed Expenses: This provides for a new wayfinding program (including a couple of possible kiosks) in the public rights of way to assist residents, commuters and visitors find destinations and attractions in Balboa Village. The project aims to integrate navigational and communication tools to direct people to key places such as parking facilities, retail centers, bicycle and pedestrian access routes and other amenities and also to improve movement for pedestrians, cyclists and motorists. The scope of work will be determined by the Balboa Village Advisory Committee. Balboa Village Wayfinding Improvements FUNDING SOURCE 98 TOTAL Balboa Village Parking Mgmt Balboa Boulevard between Adams Street and Palm Street Category: Miscellaneous Project:18M11 Project Manager: Ben Davis, 949-644-3317 Description: 2018-2019 Design/Environmental/Permits $0 Right-of-Way/Acquisition $0 Construction $125,000 Other $0 Total $125,000 ORG OBJECT REBUDGET $BUDGET $TOTAL 16001 980000 $125,000 $0 $125,000 $125,000 $0 $125,000 Location: 99 TOTAL Environmental Liability 592 Superior Avenue Proposed Expenses: This removes deteriorated asphalt paving on the entrance ramp for the City's transfer station located at the Corporation Yard. Asphalt will be replaced by concrete, providing a longer pavement life and ability to stand up to daily use by heavy refuse trucks. City Yard Refuse Transfer Station Improvements FUNDING SOURCE Category: Miscellaneous Project No.:19M03 Project Manager: Michael Sinacori, 949-644-3342 Description: 2018-2019 Design/Environmental/Permits $0 Right-of-Way/Acquisition $0 Construction $0 Other $150,000 Total $150,000 ORG OBJECT REBUDGET $BUDGET $TOTAL 01201928 980000 $0 $150,000 $150,000 $0 $150,000 $150,000 Location: 100 TOTAL General Fund N/A Proposed Expenses: The California Public Utilities Commission sets Rule 20 policies and procedures for the conversion of overhead utility facilities to underground. Under Rule 20, underground utility projects may be financed by utility rate money, combined rate funds and local tax proceeds, depending on whether the project is classified under the Rule 20A, Rule 20B, or Rule 20C provision. The City previously purchased other agencies' unused Rule 20A allocations following negotiations and Council approval of MOUs. These additional credits are saved for the next 20A project which is located on Balboa Boulevard. SCE Rule 20A Credit Purchase FUNDING SOURCE Category: Miscellaneous Project:19M13 Project Manager: Seimone Jurjis, 949-644-3282 Description: 2018-2019 Design/Environmental/Permits $0 Right-of-Way/Acquisition $0 Construction $0 Other $67,000 Total $67,000 ORG OBJECT REBUDGET $BUDGET $TOTAL 10101 980000 $0 $67,000 $67,000 $0 $67,000 $67,000 Location: 101 TOTAL Tidelands Capital NA Proposed Expenses: A sea level rise vulnerability assessment is proposed for the City's entire coastal zone to inform a future Local Coastal Program Update. The California Coastal Commission provides recommendations on how to address sea level rise as it pertains to the Coastal Act and various coastal cities' Local Coastal Programs. Sea Level Rise Study FUNDING SOURCE Category: Miscellaneous Project No.:17M12 Project Manager: Michael Sinacori, 949-644-3342 Description: 2018-2019 Design/Environmental/Permits $100,000 Right-of-Way/Acquisition $0 Construction $0 Other $0 Total $100,000 ORG OBJECT REBUDGET $BUDGET $TOTAL 01201928 980000 $100,000 $0 $100,000 $100,000 $0 $100,000 Location: Avon Street, Bayside Drive, Santa Ana Avenue and other locations Proposed Expenses: This designs and constructs improvements to slope areas identified as high maintenance or subject to erosion. Slope Erosion Control and Enhancements FUNDING SOURCE 102 TOTAL General Fund Category: Miscellaneous Project No.:66002 Project Manager: Michael Sinacori, 949-644-3342 Description: 2018-2019 Engineering & Construction $2,837,886 Incidental Expenses $340,300 Financial Costs $248,000 Total $3,426,186 ORG OBJECT REBUDGET $BUDGET $TOTAL 66002 941001 $0 $1,420,000 $1,420,000 66002 941002 $0 $729,970 $729,970 66002 941029 $0 $268,000 $268,000 66002 941004 $0 $250,886 $250,886 66002 various $0 $757,330 $757,330 $0 $3,426,186 $3,426,186 Location: Newport Blvd, 23rd St, Ocean Front W, and 31st St 103 TOTAL Construction - Contingency Design, Financing & Other Costs Proposed Expenses: Construction - Phone AD 111 is generally bounded by Newport Boulevard, 23rd Street, Ocean Front West, and 31st Street. This Assessment District (AD) provides the means to remove overhead utilities and replace them with underground facilities for power, telephone and cable facilities to enhance neighborhood aesthetics, safety and reliability. This assessment district was formed at the request of local property owners through a multi-step, legal process and is financed by the property owners within the designated boundary map. Utilities Undergrounding AD 111 FUNDING SOURCE Construction - Cable Construction - Electric Category: Miscellaneous Project No.:65902 Project Manager: Michael Sinacori, 949-644-3342 Description: 2018-2019 Engineering & Construction $1,563,100 Incidental Expenses $222,900 Financial Costs $139,000 Total $1,925,000 ORG OBJECT REBUDGET $BUDGET $TOTAL 65902 941001 $0 $765,000 $765,000 65902 941002 $0 $394,267 $394,267 65902 941029 $0 $155,000 $155,000 65902 941004 $0 $142,100 $142,100 65902 various $0 $468,633 $468,633 $0 $1,925,000 $1,925,000 Location: Channel Rd east of River Ave, 38th St, Balboa Blvd, and 44th St 104 TOTAL Construction - Contingency Design, Financing & Other Costs Proposed Expenses: Construction - Phone AD 116 is generally bounded by Channel Road east of River Avenue, 38th Street, Balboa Boulevard, and 44th Street. This Assessment District (AD) provides the means to remove overhead utilities and replace them with underground facilities for power, telephone and cable facilities to enhance neighborhood aesthetics, safety and reliability. This assessment district was formed at the request of local property owners through a multi-step, legal process and is financed by the property owners within the designated boundary map. Utilities Undergrounding AD 116 FUNDING SOURCE Construction - Cable Construction - Electric Category: Miscellaneous Project No.:66102 Project Manager: Michael Sinacori, 949-644-3342 Description: 2018-2019 Engineering & Construction $711,000 Incidental Expenses $188,700 Financial Costs $70,300 Total $970,000 ORG OBJECT REBUDGET $BUDGET $TOTAL 66102 941001 $0 $327,100 $327,100 66102 941002 $0 $190,440 $190,440 66102 941029 $0 $95,000 $95,000 66102 941004 $0 $65,000 $65,000 66102 various $0 $292,460 $292,460 $0 $970,000 $970,000 Location: River Ave, Balboa Blvd, Neptune Ave, 47th St, 45th St, and Channel Rd AD 116B is generally bounded by Balboa Boulevard, Neptune Avenue, 47th Street, 45th Street, and Channel Road. This Assessment District (AD) provides the means to remove overhead utilities and replace them with underground facilities for power, telephone and cable facilities to enhance neighborhood aesthetics, safety and reliability. This assessment district was formed at the request of local property owners through a multi-step, legal process and is financed by the property owners within the designated boundary map. Utilities Undergrounding AD 116B FUNDING SOURCE Construction - Cable Construction - Electric 105 TOTAL Construction - Contingency Design, Financing & Other Costs Proposed Expenses: Construction - Phone Category: Miscellaneous Project No.:65802 Project Manager: Michael Sinacori, 949-644-3342 Description: 2018-2019 Engineering & Construction $3,852,050 Incidental Expenses $452,500 Financial Costs $336,000 Total $4,640,550 ORG OBJECT REBUDGET $BUDGET $TOTAL 65802 941001 $0 $2,280,000 $2,280,000 65802 941002 $0 $769,864 $769,864 65802 941029 $0 $152,000 $152,000 65802 941004 $0 $350,186 $350,186 65802 various $0 $1,088,500 $1,088,500 $0 $4,640,550 $4,640,550 Location: Bayside Dr, Avocado Ave, Acacia Ave, E. Coast Hwy, Carnation Ave AD 117 is generally bounded by Bayside Drive, Acacia Avenue, Avocado Avenue, East Coast Highway and Carnation Avenue. This Assessment District (AD) provides the means to remove overhead utilities and replace them with underground facilities for power, telephone and cable facilities to enhance neighborhood aesthetics, safety and reliability. This assessment district was formed at the request of local property owners through a multi-step, legal process and is financed by the property owners within the designated boundary map. Utilities Undergrounding AD 117 FUNDING SOURCE Construction - Cable Construction - Electric 106 TOTAL Construction - Contingency Design, Financing & Other Costs Proposed Expenses: Construction - Phone Summary-1 Project Fund Summary Fund Org 012 General Fund - CIP Rebudget Budget Total 01201925 Facilities $490,000 $635,000 $1,125,000 01201926 Drainage $186,909 $850,000 $1,036,909 01201927 Streets $3,242,327 $2,685,000 $5,927,327 01201928 Miscellaneous $746,347 $198,000 $944,347 01201929 Parks $0 $1,100,000 $1,100,000 Total General Fund - CIP $4,665,583 $5,468,000 $10,133,583 012 Oceanfront Encroachment Rebudget Budget Total 01201938 Oceanfront Encroachment - Misc $50,000 $525,000 $575,000 01201939 Oceanfront Encroachment - Parks $92,464 $0 $92,464 Total Oceanfront Encroachment $142,464 $525,000 $667,464 Tide and Submerged Lands Rebudget Budget Total 100 10001 Tide and Submerged Lands - Maintenance $3,278,195 $1,592,000 $4,870,195 101 10101 Tide and Submerged Lands - Capital $863,000 $660,000 $1,523,000 Total Tide and Submerged Lands $4,141,195 $2,252,000 $6,393,195 121 Gas Tax Rebudget Budget Total 12101 Gas Tax $2,340,318 $3,759,600 $6,099,918 Total Gas Tax $2,340,318 $3,759,600 $6,099,918 Measure M Rebudget Budget Total 122 12201 Measure M Fair Share $3,095,281 $1,164,000 $4,259,281 123 1230052 Measure M Competitive - Water Quality $499,922 $0 $499,922 123 1230053 Measure M Competitive - Transportation $537,950 $2,360,050 $2,898,000 Total Measure M $4,133,153 $3,524,050 $7,657,203 FY 2018-2019 Adopted Budget Summary-2 Fund Org FY 2018-2019 Adopted Budget 126 SB 1 - Road Maintenance Repair Act Rebudget Budget Total 12601 RMRA $481,310 $1,419,120 $1,900,430 Total RMRA $481,310 $1,419,120 $1,900,430 Contributions Rebudget Budget Total 135 13501 Contributions $520,140 $294,000 $814,140 138 13801 Environmental Contributions $825,900 $0 $825,900 Total Contributions $1,346,040 $294,000 $1,640,040 140 Transportation and Circulation Rebudget Budget Total 14001 Transportation and Circulation $0 $200,000 $200,000 Total Transportation and Circulation $0 $200,000 $200,000 141 Building Excise Tax Rebudget Budget Total 14101 Building Excise Tax $214,576 $31,000 $245,576 Total Building Excise Tax $214,576 $31,000 $245,576 160 Environmental Liability Rebudget Budget Total 16001 Environmental Liability $225,000 $500,000 $725,000 Total Environmental Liability $225,000 $500,000 $725,000 Major Facilities Financing Plan Rebudget Budget Total 531 53101 Junior Guards $0 $50,000 $50,000 532 53201 Fire Stations $7,863,154 $2,208,000 $10,071,154 532 55101 Marina Park $0 $75,000 $75,000 532 56101 Sunset Ridge Park $86,689 $0 $86,689 562 56201 Parks and Community Centers $150,000 $3,300,400 $3,450,400 572 57201 Master Facilities Plan $150,000 $0 $150,000 Total Major Facilities Financing Plan $8,249,843 $5,633,400 $13,883,243 535 Balboa Village Parking Management District Rebudget Budget Total 53501 Balboa Village Parking Mgmt District $616,185 $420,000 $1,036,185 Total Balboa Village Parking Management District $616,185 $420,000 $1,036,185 Summary-3 Fund Org FY 2018-2019 Adopted Budget 536 Neighborhood Enhancement Rebudget Budget Total 53601 Neighborhood Enhancement $1,115,400 $1,000,000 $2,115,400 Total Neighborhood Enhancement $1,115,400 $1,000,000 $2,115,400 571 Facilities Maintenance Rebudget Budget Total 57101 Facilities Maintenance $1,153,099 $1,000,000 $2,153,099 Total Facilities Maintenance $1,153,099 $1,000,000 $2,153,099 701 Water Enterprise Rebudget Budget Total 70101 Water Enterprise $182,691 $3,350,000 $3,532,691 Total Water Enterprise $182,691 $3,350,000 $3,532,691 702 Water Capital Rebudget Budget Total 70201931 Distribution and Piping $709,082 $3,850,000 $4,559,082 70201932 NMP Distribution and Piping $451,611 $670,000 $1,121,611 70201933 NMP Pumping and Operations $0 $600,000 $600,000 Total Water Capital $1,160,693 $5,120,000 $6,280,693 711 Wastewater Enterprise Rebudget Budget Total 71101 Wastewater Enterprise $100,000 $50,000 $150,000 Total Wastewater Enterprise $100,000 $50,000 $150,000 712 Wastewater Capital Rebudget Budget Total 71201 Wastewater Capital $200,000 $1,300,000 $1,500,000 Total Wastewater Capital $200,000 $1,300,000 $1,500,000 752 Equipment Fund Rebudget Budget Total 75201 Equipment Fund $140,000 $0 $140,000 Total Equipment Fund $140,000 $0 $140,000 Subtotal for All CIP Projects $30,607,550 $35,846,170 $66,453,720 Summary-4 Fund Org FY 2018-2019 Adopted Budget 650 UUD AD Improvement Funds Rebudget Budget Total 65002 General Prelim Engineering / Administration $150,000 $0 $150,000 66002 AD 111 Newport / 23rd / Ocean Front W / 31st $0 $3,426,186 $3,426,186 65902 AD 116 Channel / 44th / Balboa Bl / 38th $0 $1,925,000 $1,925,00066102AD 116B River / 47th / Balboa Bl / 45th $0 $970,000 $970,00065802AD 117 Carnation / Begonia / Acacia $0 $4,640,550 $4,640,550Total UUD AD Improvement Funds $150,000 $10,961,736 $11,111,736 Total for All Funds $30,757,550 $46,807,906 $77,565,456 Funding-1 Project Listing by Funding Source Pg Project 01201925 Facilities Category Expensed*Encumbered**Est. Rebudget New Budget Total Notes 3 19F02 Facilities Maintenance Master Plan Program Facilities -$ -$ $0 $275,000 $275,000 10 17F12 Police Facility Remodel Facilities 87,970$ 496,800$ $490,000 $360,000 $850,000Subtotal$490,000 $635,000 $1,125,000 Pg Project 01201926 Drainage Category Expensed*Encumbered**Est. Rebudget New Budget Total 13 19D11 Balboa Island Drainage Master Plan St/Dr -$ -$ $0 $200,000 $200,000 70 15X14 Little Corona Infiltration Gallery WQ/Env -$ -$ $35,000 $0 $35,000 24 19D12 Marine Ave Drainage System Improvements St/Dr 19,537$ -$ $0 $250,000 $250,000 32 18D02 Storm Drain System Repair / Rehabilitation St/Dr 81,188$ 635,840$ $151,909 $0 $151,909 32 19D02 Storm Drain System Repair / Rehabilitation St/Dr -$ -$ $0 $400,000 $400,000 Subtotal $186,909 $850,000 $1,036,909 Pg Project 01201927 Streets Category Expensed*Encumbered**Est. Rebudget New Budget Total 11 15R18 Alleys Reconstruction St/Dr 3,460,011$ 330,114$ $222,635 $0 $222,635 37 18T03 Balboa Peninsula Crosswalks Improvements Transp 410,028$ 2,043$ $67,130 $0 $67,130 37 19T11 Balboa Peninsula Crosswalks Improvements Transp -$ -$ $0 $250,000 $250,000 15 16R12 Bayside Dr Rehabilitation St/Dr 14,546$ -$ $335,450 $0 $335,450 18 18R06 Concrete Replacement Program St/Dr 619,499$ 51,695$ $90,000 $0 $90,000 18 19R06 Concrete Replacement Program St/Dr -$ -$ $0 $700,000 $700,000 40 19T12 Dover Shores Traffic Study Transp -$ -$ $0 $100,000 $100,000 20 17R21 Irvine Ave Pavement Rehabilitation St/Dr 578$ -$ $760,000 $0 $760,000 21 15L01 Landscape Enhancement Program St/Dr 471,920$ 7,738$ $49,862 $0 $49,862 21 19L01 Landscape Enhancement Program St/Dr -$ -$ $200,000 $283,000 $483,000 47 15T09 Lower Sunset View Park / Overcrossings Transp 92,645$ 49,223$ $157,803 $0 $157,803 25 17R13 Marine Ave Reconstruction St/Dr 95,351$ 234$ $154,000 $96,000 $250,000 26 16L02 Median Landscape Turf Replacement St/Dr -$ -$ $0 $16,000 $16,000 28 15R19 Old Newport / PCH Modifications St/Dr 93,893$ -$ $11,244 $0 $11,244 29 15R20 Park Ave Bridge Replacement St/Dr 57,045$ -$ $243,655 $0 $243,655 30 19R01 Pavement Management Plan Update St/Dr -$ -$ $0 $30,000 $30,000 31 18R04 Slurry Seal Program St/Dr 8,518$ 770,400$ $129,600 $0 $129,600 31 19R04 Slurry Seal Program St/Dr -$ -$ $0 $860,000 $860,000 34 17V02 Streetlight Replacement St/Dr 136,245$ 14,870$ $618,886 $0 $618,886 42 19T03 Traffic, Signage, Striping and Marking Transp -$ -$ $0 $350,000 $350,000 43 18T01 Traffic Signal Rehabilitation Program Transp 15,990$ 359,684$ $124,627 $0 $124,627 44 18T02 Transportation Management / Modernization Transp 57,759$ 152,627$ $77,435 $0 $77,435 Subtotal $3,242,327 $2,685,000 $5,927,327 GENERAL FUND Funding-2 Pg Project 01201928 Miscellaneous Category Expensed*Encumbered**Est. Rebudget New Budget Total Notes 92 16M15 Affordable Housing Misc 141,169$ -$ $480,547 $0 $480,547 93 19M11 Aircraft Sound Monitoring Station Misc -$ -$ $0 $40,000 $40,000 95 15M12 Balboa Island Enhancements Misc 68,550$ 1,850$ $140,000 $0 $140,000 68 15X11 Bayview Heights Drainage / Runoff Treatment WQ/Env 44,162$ -$ $5,800 $0 $5,800 69 17X11 Big Canyon Golf Course Pond Treatment WQ/Env -$ -$ $20,000 $0 $20,000 71 17X12 Newport Bay Water Wheel WQ/Env -$ -$ $0 $8,000 $8,000 100 19M03 SCE Rule 20A Credit Purchase Misc -$ -$ $0 $150,000 $150,000 102 17M12 Slope Erosion Control / Enhancements Misc -$ -$ $100,000 $0 $100,000 Subtotal $746,347 $198,000 $944,347 Pg Project 01201929 Parks Category Expensed*Encumbered**Est. Rebudget New Budget Total 46 19P13 Jasmine Creek Maintenance Rd Reconstruction PHB -$ -$ $0 $200,000 $200,000 49 19P12 Park Walls and Staircases Rehabilitation PHB -$ -$ $0 $500,000 $500,000 50 19P01 Playground Refurbishment Program PHB -$ -$ $0 $300,000 $300,000 52 19P14 West Newport Park Rehabilitation PHB -$ -$ $0 $100,000 $100,000Subtotal$0 $1,100,000 $1,100,000 Total General Fund $4,665,583 $5,468,000 $10,133,583 Pg Project 01201938 Oceanfront Encroachment Misc Category Expensed*Encumbered**Est. Rebudget New Budget Total 56 19H04 Beach and Bay Sand Management PHB -$ -$ $0 $500,000 $500,000 41 18T11 Ocean Front Bike Safety Improvements Transp -$ -$ $50,000 $25,000 $75,000Subtotal$50,000 $525,000 $575,000 Pg Project 01201939 Oceanfront Encroachment Parks Category Expensed*Encumbered**Est. Rebudget New Budget Total 48 17P15 Newport Elementary Playfield PHB 238,536$ 61,650$ $92,464 $0 $92,464Subtotal$92,464 $0 $92,464 Total Oceanfront Encroachment $142,464 $525,000 $667,464 Pg Project 10001 Tide and Submerged Lands - Maint Category Expensed*Encumbered**Est. Rebudget New Budget Total 54 16H11 American Legion Bulkhead PHB -$ -$ $1,000,000 $0 $1,000,000 67 16X11 Arches Storm Drain Dry Weather Diversion WQ/Env 148,650$ 89,136$ $32,214 $50,000 $82,214 68 15X11 Bayview Heights Drainage / Runoff Treatment WQ/Env 17,741$ 8,179$ $4,000 $0 $4,000 57 18H12 Bilge Pumpout Dock / Oil Collection Centers PHB -$ -$ $200,000 $0 $200,000 58 19H12 Eelgrass Survey - Harborwide RGP PHB -$ -$ $0 $75,000 $75,000 60 18H13 Harbor Bulkhead / Seawalls Repairs PHB -$ -$ $150,000 $0 $150,000 60 19H08 Harbor Bulkhead / Seawalls Repairs PHB -$ -$ $0 $500,000 $500,000 61 18H09 Harbor Maintenance / Minor Improvements PHB -$ -$ $150,000 $0 $150,000 OCEANFRONT ENCROACHMENT TIDE AND SUBMERGED LANDS Funding-3 Pg Project 10001 Tide and Submerged Lands - Maint Category Expensed*Encumbered**Est. Rebudget New Budget Total Notes 64 18H07 Harborwide Dredging / Planning PHB 48,309$ 171,386$ $0 $350,000 $350,000 65 16H14 Newport Pier Platform and Piles PHB 102,032$ 11,868$ $1,306,100 $0 $1,306,100 66 17H03 Ocean Piers Maintenance PHB 416,767$ 940,692$ $235,387 $0 $235,387 101 19M13 Sea Level Rise Study Misc -$ -$ $0 $67,000 $67,000 35 19D03 Tide Valve Replacement Program St/Dr -$ -$ $0 $500,000 $500,000 72 18X02 TMDL Compliance / Water Quality Improvements WQ/Env 79,230$ 40,276$ $200,494 $50,000 $250,494Subtotal$3,278,195 $1,592,000 $4,870,195 Pg Project 10101 Tide and Submerged Lands - Capital Category Expensed*Encumbered**Est. Rebudget New Budget Total 55 19H11 Balboa Island / 10th St Swim Platforms PHB -$ -$ $0 $60,000 $60,000 59 16H12 Grand Canal Dredging PHB 382,087$ -$ $863,000 $0 $863,000 62 19H02 Harbor Piers Rehabilitation PHB -$ -$ $0 $300,000 $300,000 63 19H13 Harbor Port Plan PHB -$ -$ $0 $300,000 $300,000Subtotal$863,000 $660,000 $1,523,000 Total Tide and Submerged Lands $4,141,195 $2,252,000 $6,393,195 Pg Project 12101 Gas Tax Category Expensed*Encumbered**Est. Rebudget New Budget Total 15 16R12 Bayside Dr Rehabilitation St/Dr -$ -$ $900,000 $0 $900,000 17 19R22 Bonita Canyon Dr Pavement Rehabilitation St/Dr -$ -$ $0 $300,000 $300,000 39 17T12 Coast Hwy Traffic Signal Synchronization Transp 96,665$ -$ $453,300 $100,000 $553,300 19 18R21 Concrete Street Pavement Reconstruction St/Dr -$ -$ $825,000 $275,000 $1,100,000 20 17R21 Irvine Ave Pavement Rehabilitation St/Dr 175,748$ 22,440$ $41,800 $928,200 $970,000 23 18R24 Marguerite Ave / Hospital Rd Pavement Rehab St/Dr -$ 9,985$ $0 $190,000 $190,000 27 18R25 Ocean Blvd Concrete Pavement Reconstruction St/Dr -$ -$ $100,000 $100,000 $200,000 28 15R19 Old Newport Blvd / W Coast Hwy Modifications St/Dr 18,782$ 6,417$ $20,218 $185,000 $205,218 16 19R21 Bison Ave / SJH Rd Pavement Rehabilitation St/Dr -$ -$ $0 $131,400 $131,400 33 19R03 Street Pavement Repair Program St/Dr -$ -$ $0 $500,000 $500,000 34 19V02 Streetlight Rehabilitation Program St/Dr -$ -$ $0 $300,000 $300,000 43 19T01 Traffic Signal Rehabilitation Program Transp -$ -$ $0 $750,000 $750,000 Subtotal $2,340,318 $3,759,600 $6,099,918 Total Gas Tax $2,340,318 $3,759,600 $6,099,918 GAS TAX Funding-4 Pg Project 12201 Measure M Fair Share Category Expensed*Encumbered**Est. Rebudget New Budget Total Notes 15 16R12 Bayside Dr Rehabilitation St/Dr 220,493$ 132,258$ $1,397,250 $0 $1,397,250 16 19R21 Bison Ave / SJH Rd Pavement Rehabilitation St/Dr -$ -$ $0 $1,164,000 $1,164,000 22 18R23 MacArthur Blvd / University Dr Pavement Rehab St/Dr 75,120$ 166,848$ $1,300,000 $0 $1,300,000 23 18R24 Marguerite Ave / Hospital Rd Pavement Rehab St/Dr 69,419$ 8,557$ $398,031 $0 $398,031Subtotal$3,095,281 $1,164,000 $4,259,281 Pg Project 1230052 Measure M Comp Water Quality Category Expensed*Encumbered**Est. Rebudget New Budget Total 68 15X11 Bayview Heights Drainage / Runoff Treatment WQ/Env 78$ -$ $274,922 $0 $274,922 70 15X14 Little Corona Infiltration Gallery WQ/Env 25,000$ -$ $225,000 $0 $225,000Subtotal$499,922 $0 $499,922 Pg Project 1230053 Measure M Comp Transportation Category Expensed*Encumbered**Est. Rebudget New Budget Total 38 17T13 Balboa Peninsula Summer Trolley Transp 175,258$ -$ $537,950 $10,450 $548,400 47 15T09 Lower Sunset View Park Concept / Overcrossings PHB -$ -$ $0 $2,349,600 $2,349,600 Subtotal $537,950 $2,360,050 $2,898,000 Total Measure M $4,133,153 $3,524,050 $7,657,203 Pg Project 12601 RMRA Category Expensed*Encumbered**Est. Rebudget New Budget Total 22 18R23 MacArthur Blvd / University Dr Pavement Rehab St/Dr -$ -$ $481,310 $4,520 $485,830 16 19R21 Bison Ave / SJH Rd Pavement Rehabilitation St/Dr -$ -$ $0 $1,414,600 $1,414,600Subtotal$481,310 $1,419,120 $1,900,430 Total RMRA $481,310 $1,419,120 $1,900,430 Pg Project 13501 Contributions Category Expensed*Encumbered**Est. Rebudget New Budget Total 53 18H11 Abandoned / Surrendered Watercraft Abatement PHB -$ -$ $125,000 $0 $125,000 16 19R02 Bison Ave / SJH Rd Pavement Rehabilitation St/Dr -$ -$ $0 $90,000 $90,000 17 19R02 Bonita Canyon Dr Pavement Rehabilitation St/Dr -$ -$ $0 $46,000 $46,000 1 19F11 Central Library Lecture Hall Facilities -$ -$ $0 $20,000 $20,000 7 19F13 Junior Lifeguards Building Facilities -$ -$ $0 $20,000 $20,000 22 19R02 MacArthur Blvd / University Dr Pavement Rehab St/Dr -$ -$ $0 $80,000 $80,000 23 19R02 Marguerite Ave / Hospital Rd Pavement Rehab St/Dr -$ -$ $0 $38,000 $38,000 29 15R20 Park Ave Bridge Replacement St/Dr 8,118,560$ 37,307$ $395,140 $0 $395,140Subtotal$520,140 $294,000 $814,140 SB1 - Road Maintenance and Rehabilitation Account (RMRA) CONTRIBUTIONS MEASURE M Funding-5 Pg Project 13801 Environmental Contributions Category Expensed*Encumbered**Est. Rebudget New Budget Total Notes 67 16X11 Arches Storm Drain Dry Weather Diversion WQ/Env 20,000$ -$ $819,500 $0 $819,500 70 15X14 Little Corona Infiltration Gallery WQ/Env 2,019$ 4,408$ $6,400 $0 $6,400 Subtotal $825,900 $0 $825,900 Total Contributions $1,346,040 $294,000 $1,640,040 Pg Project 14001 Transportation and Circulation Category Expensed*Encumbered**Est. Rebudget New Budget Total 47 15T09 Lower Sunset View Park Concept / Overcrossings PHB -$ -$ $0 $200,000 $200,000Subtotal$0 $200,000 $200,000 Total Transportation and Circulation $0 $200,000 $200,000 Pg Project 14101 Building Excise Tax Category Expensed*Encumbered**Est. Rebudget New Budget Total 6 17F11 Fire Station Remodels Facilities -$ -$ $0 $31,000 $31,000 49 16P12 Park Walls and Staircases PHB 307,842$ 85,327$ $177,406 $0 $177,406 50 18P01 Playground Refurbishment Program PHB 253,461$ -$ $37,170 $0 $37,170Subtotal$214,576 $31,000 $245,576 Total Building Excise Tax $214,576 $31,000 $245,576 Pg Project 16001 Environmental Liability Category Expensed*Encumbered**Est. Rebudget New Budget Total 53 18H11 Abandoned / Surrendered Watercraft Abatement PHB -$ -$ $100,000 $0 $100,000 99 18M11 City Yard Refuse Transfer Station Improvements Misc -$ -$ $125,000 $0 $125,000 10 19F12 Police Facility Remodel Facilities -$ -$ $0 $500,000 $500,000Subtotal$225,000 $500,000 $725,000 Total Environmental Liability $225,000 $500,000 $725,000 Pg Project 53101 Junior Guards Category Expensed*Encumbered**Est. Rebudget New Budget Total 7 19F13 Junior Lifeguards Building Facilities -$ -$ $0 $50,000 $50,000Subtotal$0 $50,000 $50,000 Pg Project 53201 Fire Stations Category Expensed*Encumbered**Est. Rebudget New Budget Total 4 15F13 Fire Station No. 2 Replacement - Lido Facilities 4,085,898$ 492,484$ $6,899,185 $2,208,000 $9,107,185 5 15F12 Fire Station No. 5 / Library Replc - Corona del Mar Facilities 1,644,107$ 6,228,460$ $963,969 $0 $963,969Subtotal$7,863,154 $2,208,000 $10,071,154 TRANSPORTATION AND CIRCULATION BUILDING EXCISE TAX ENVIRONMENTAL LIABILITY MAJOR FACILITIES FINANCING PLAN Funding-6 Pg Project 55101 Marina Park Category Expensed*Encumbered**Est. Rebudget New Budget Total Notes 8 19F14 Marina Park Office Modifications Facilities -$ -$ $0 $75,000 $75,000Subtotal$0 $75,000 $75,000 Pg Project 56101 Sunset Ridge Park Category Expensed*Encumbered**Est. Rebudget New Budget Total 51 15P18 Sunset Ridge Park Access PHB -$ 23,042$ $86,689 $0 $86,689Subtotal$86,689 $0 $86,689 Pg Project 56201 Parks and Community Centers Category Expensed*Encumbered**Est. Rebudget New Budget Total 1 19F11 Central Library Lecture Hall Facilities 8,835$ -$ $0 $50,000 $50,000 45 19P11 Grant Howald Park Rehabilitation PHB -$ -$ $0 $250,000 $250,000 47 15T09 Lower Sunset View Park Concept / Overcrossings PHB 89,055$ 52,813$ $150,000 $3,000,400 $3,150,400Subtotal$150,000 $3,300,400 $3,450,400 Pg Project 57201 Facilities Strategic Planning Category Expensed*Encumbered**Est. Rebudget New Budget Total 9 15F01 Master Facilities Plan Strategic Planning Facilities -$ -$ $150,000 $0 $150,000Subtotal$150,000 $0 $150,000 Total Major Facilities Financing Plan $8,249,843 $5,633,400 $13,883,243 Pg Project 53501 Balboa Village Parking Mgmt District Category Expensed*Encumbered**Est. Rebudget New Budget Total 12 19R11 Balboa Boulevard Median Improvements St/Dr -$ -$ $0 $250,000 $250,000 38 17T13 Balboa Peninsula Summer Trolley Transp 270$ 858,877$ $41,260 $50,400 $91,660 38 19T13 Balboa Peninsula Summer Trolley Transp -$ -$ $0 $69,600 $69,600 96 19M12 Balboa Village Enhanced Maintenance Misc -$ -$ $0 $50,000 $50,000 97 16M11 Balboa Village Façade Program Misc 143,406$ -$ $78,000 $0 $78,000 14 17R11 Balboa Village Streetscape Improvements St/Dr 5,089$ 52,986$ $296,925 $0 $296,925 98 16M12 Balboa Village Wayfinding Improvements Misc 81,000$ -$ $200,000 $0 $200,000Subtotal$616,185 $420,000 $1,036,185 Total Balboa Village Parking Mgmt District $616,185 $420,000 $1,036,185 Pg Project 53601 Neighborhood Enhancement Category Expensed*Encumbered**Est. Rebudget New Budget Total 94 17A11 Assessment District Payment for City Parcels Misc 371,124$ -$ $308,400 $0 $308,400 26 16L02 Median Landscape Turf Replacement St/Dr 541,593$ 32,300$ $459,000 $0 $459,000 36 18L11 West Coast Hwy Median Landscaping St/Dr 59,682$ 340,318$ $348,000 $1,000,000 $1,348,000Subtotal$1,115,400 $1,000,000 $2,115,400 Total Neighborhood Enhancement $1,115,400 $1,000,000 $2,115,400 BALBOA VILLAGE PARKING MANAGEMENT DISTRICT NEIGHBORHOOD ENHANCEMENT Funding-7 Notes Pg Project 57101 Facilities Maintenance Category Expensed*Encumbered**Est. Rebudget New Budget Total 3 18F02 Facilities Maintenance Master Plan Program Facilities 399,966$ 315,188$ $966,200 $0 $966,200 3 19F02 Facilities Maintenance Master Plan Program Facilities -$ -$ $0 $1,000,000 $1,000,000 6 17F11 Fire Station Remodels Facilities 79,876$ 41,775$ $186,899 $0 $186,899Subtotal$1,153,099 $1,000,000 $2,153,099 Total Facilities Maintenance $1,153,099 $1,000,000 $2,153,099 Pg Project 70101 Water Enterprise Category Expensed*Encumbered**Est. Rebudget New Budget Total 73 19W12 Advanced Metering Infrastructure Water -$ -$ $0 $3,300,000 $3,300,000 78 18W11 Big Canyon Reservoir Site Paving Water -$ -$ $150,000 $0 $150,000 79 19R09 Grade Adjustments - Water Valves Water -$ -$ $0 $50,000 $50,000 86 17W02 Water Master Plan Upate Water 284,415$ 87,894$ $32,691 $0 $32,691 Subtotal $182,691 $3,350,000 $3,532,691 Pg Project 70201931 Distrib / Piping Master Plan Category Expensed*Encumbered**Est. Rebudget New Budget Total 75 19W11 Balboa Island Water Main Replacement Water -$ -$ $0 $2,500,000 $2,500,000 76 16W12 Bay / Channel Crossings Main Replacement Water 56,035$ 188,880$ $455,100 $450,000 $905,100 81 16W14 Lido Village Water Main Replacement Water 1,938,791$ 1,241,248$ $153,982 $0 $153,982 83 18W12 Transmission Valve Replacements Water -$ -$ $100,000 $900,000 $1,000,000 Subtotal $709,082 $3,850,000 $4,559,082 Pg Project 70201932 Distrib / Piping - Non Master Plan Category Expensed*Encumbered**Est. Rebudget New Budget Total 74 19W13 Alta Vista Regulating Station Relocation Water -$ -$ $0 $100,000 $100,000 77 16W13 Big Canyon Reservoir Flow Metering / Treatment Water 793,241$ 31,377$ $181,611 $0 $181,611 20 17R21 Irvine Ave Pavement Rehabilitation St/Dr -$ -$ $0 $170,000 $170,000 82 19W15 Spyglass Hill Reservoir Mixing System Water -$ -$ $0 $100,000 $100,000 84 18W13 Utilities Back Up Generator Water -$ -$ $100,000 $50,000 $150,000 85 18W14 Utilities Yard Spill Control Valve / Tipping Floor Water -$ -$ $170,000 $0 $170,000 87 19W05 Water System Rehabilitation Water -$ -$ $0 $250,000 $250,000 Subtotal $451,611 $670,000 $1,121,611 FACILITIES MAINTENANCE WATER FUND Funding-8 Pg Project 70201933 Pumping and Operations NMP Category Expensed*Encumbered**Est. Rebudget New Budget Total Notes 80 19W14 Hillsborough Pump Station Rehabilitation Water -$ -$ $0 $100,000 $100,000 88 19W04 Water Well Rehabilitation Water -$ -$ $0 $500,000 $500,000 Subtotal $0 $600,000 $600,000 Total Water Fund $1,343,384 $8,470,000 $9,813,384 Pg Project 71101 Wastewater Enterprise Category Expensed*Encumbered**Est. Rebudget New Budget Total 89 18R09 Grade Adjustments: Sewer Manhole Covers Wstwtr -$ -$ $100,000 $0 $100,000 89 19R09 Grade Adjustments: Sewer Manhole Covers Wstwtr -$ -$ $0 $50,000 $50,000 Subtotal $100,000 $50,000 $150,000 Pg Project 71201 Wastewater Capital Category Rebudget Budget Total 90 18S04 Sewer Lift Station Improvements Wstwtr -$ -$ $150,000 $850,000 $1,000,000 91 18S03 Sewer Main Lining and Repairs Wstwtr -$ -$ $50,000 $450,000 $500,000 Subtotal $200,000 $1,300,000 $1,500,000 Total Wastewater Fund $300,000 $1,350,000 $1,650,000 Pg Project 75201 Equipment Fund Category Expensed*Encumbered**Est. Rebudget New Budget Total 2 18F11 City Fuel Management System Facilities -$ -$ $140,000 $0 $140,000Subtotal$140,000 $0 $140,000 Total Equipment Fund $140,000 $0 $140,000 Subtotal for All CIP Funds $30,607,550 $35,846,170 $66,453,720 Carryover Encumbrances 14,657,494$ *Expensed from Inception through June 30, 2018 **Encumbered as of June 30, 2018 EQUIPMENT FUND WASTEWATER FUND Funding-9 Pg Project Assessment District Costs - General Category Expensed*Encumbered**Est. Rebudget New Budget Total Notes 94 65002 Prelim Engineering / Administration Misc -$ -$ $150,000 $0 $150,000 Subtotal $150,000 $0 $150,000 Pg Project UUD AD 111 Category Expensed*Encumbered**Est. Rebudget New Budget Total 103 66002 Engineering and Construction Misc -$ -$ $0 $2,837,886 $2,837,886 103 66002 Incidental Expenses Misc -$ -$ $0 $340,300 $340,300 103 66002 Financial Costs Misc -$ -$ $0 $248,000 $248,000 Subtotal $0 $3,426,186 $3,426,186 Pg Project UUD AD 116 Category Expensed*Encumbered**Est. Rebudget New Budget Total 104 65902 Engineering and Construction Misc -$ -$ $0 $1,563,100 $1,563,100 104 65902 Incidental Expenses Misc -$ -$ $0 $222,900 $222,900 104 65902 Financial Costs Misc -$ -$ $0 $139,000 $139,000 Subtotal $0 $1,925,000 $1,925,000 Pg Project UUD AD 116B Category Expensed*Encumbered**Est. Rebudget New Budget Total 105 66002 Engineering and Construction Misc -$ -$ $0 $711,000 $711,000 105 66002 Incidental Expenses Misc -$ -$ $0 $188,700 $188,700 105 66002 Financial Costs Misc -$ -$ $0 $70,300 $70,300 Subtotal $0 $970,000 $970,000 Pg Project UUD AD 117 Category Expensed*Encumbered**Est. Rebudget New Budget Total 106 65802 Engineering and Construction Misc -$ -$ $0 $3,852,050 $3,852,050 106 65802 Incidental Expenses Misc -$ -$ $0 $452,500 $452,500 106 65802 Financial Costs Misc -$ -$ $0 $336,000 $336,000 Subtotal $0 $4,640,550 $4,640,550 Subtotal for UUD AD Funds $150,000 $10,961,736 $11,111,736 TOTAL for All Funds $30,757,550 $46,807,906 $77,565,456 UTILITIES UNDERGROUND ASSESSMENT DISTRICTS - IMPROVEMENT FUNDS UTILITIES UNDERGROUND ASSESSMENT DISTRICTS - GENERAL FUND Project Listing by Category Facilities Pg Project Title Expensed*Encumbered**Est. Rebudget New Budget Total Notes 1 19F11 Central Library Lecture Hall $8,835 $0 $0 $70,000 $70,000 2 18F11 City Fuel Management System $0 $0 $140,000 $0 $140,000 3 18F02 Facilities Maintenance Master Plan Program $72,474 $461,243 $966,200 $0 $966,200 3 19F02 Facilities Maintenance Master Plan Program $0 $1,275,000 $1,275,000 4 15F13 Fire Station No. 2 Replacement - Lido $4,020,119 $511,216 $6,899,185 $2,208,000 $9,107,185 5 15F12 Fire Station No. 5 / Library Replc - Corona del Mar $505,250 $7,286,220 $963,969 $0 $963,969 6 17F11 Fire Station Remodels $15,447 $97,548 $186,899 $31,000 $217,899 7 19F13 Junior Lifeguards Building $9,718 $0 $0 $70,000 $70,000 8 19F14 Marina Park Office Modifications $0 $0 $0 $75,000 $75,000 9 15F01 Master Facilities Plan Strategic Planning $0 $0 $150,000 $0 $150,000 10 17F12 Police Facility Remodel $87,577 $496,800 $490,000 $360,000 $850,000 10 19F12 Police Facility Remodel $0 $0 $0 $500,000 $500,000Total Facilities $9,796,253 $4,589,000 $14,385,253 Streets and Drainage Pg Project Title Expensed*Encumbered**Est. Rebudget New Budget Total 11 15R18 Alleys Reconstruction $0 $0 $222,635 $0 $222,635 12 19R11 Balboa Blvd Median Improvements $0 $0 $0 $250,000 $250,000 13 19D11 Balboa Island Drainage Master Plan $0 $0 $0 $200,000 $200,000 14 17R11 Balboa Village Streetscape Improvements $0 $54,193 $296,925 $0 $296,925 15 16R12 Bayside Dr Rehabilitation $193,777 $173,519 $2,632,700 $0 $2,632,700 16 19R02 Bison Ave / SJH Rd Pavement Rehabilitation $0 $0 $0 $2,800,000 $2,800,000 17 19R02 Bonita Canyon Dr Pavement Rehabilitation $0 $0 $0 $346,000 $346,000 18 18R06 Concrete Replacement Program $87,363 $634,000 $90,000 $0 $90,000 18 19R06 Concrete Replacement Program $0 $0 $0 $700,000 $700,000 19 18R21 Concrete Street Pavement Reconstruction $0 $0 $825,000 $275,000 $1,100,000 20 17R21 Irvine Ave Pavement Rehabilitation $84,868 $113,320 $801,800 $1,098,200 $1,900,000 21 15L01 Landscape Enhancement Program $0 $0 $49,862 $0 $49,862 21 19L01 Landscape Enhancement Program $0 $0 $200,000 $283,000 $483,000 22 19R02 MacArthur Blvd / University Dr Pavement Rehab $0 $0 $1,781,310 $84,520 $1,865,830 23 19R02 Marguerite Ave / Hospital Rd Pavement Rehabilitation $89,320 $3,259 $398,031 $228,000 $626,031 24 19D12 Marine Ave Drainage System Improvements $0 $250,000 $250,000 25 17R13 Marine Ave Reconstruction $66,811 $28,774 $154,000 $96,000 $250,000 26 16L02 Median Landscape Turf Replacement $519,819 $21,773 $459,000 $16,000 $475,000 27 18R25 Ocean Blvd Concrete Pavement Reconstruction $0 $0 $100,000 $100,000 $200,000 Category-1 Streets and Drainage Pg Project Title Expensed*Encumbered**Est. Rebudget New Budget Total Notes 28 15R19 Old Newport Blvd / W Coast Hwy Modifications $165,249 $38,447 $31,462 $185,000 $216,462 29 15R20 Park Ave Bridge Replacement $0 $0 $638,795 $0 $638,795 30 19R01 Pavement Management Plan Update $0 $0 $0 $30,000 $30,000 31 18R04 Slurry Seal Program $0 $0 $129,600 $0 $129,600 31 19R04 Slurry Seal Program $0 $0 $0 $860,000 $860,000 32 18D02 Storm Drain System Repair / Rehabilitation $0 $0 $151,909 $0 $151,909 32 19D02 Storm Drain System Repair / Rehabilitation $0 $0 $0 $400,000 $400,000 33 19R03 Street Pavement Repair Program $0 $0 $0 $500,000 $500,000 34 17V02 Streetlight Rehabilitation Program $0 $0 $618,886 $0 $618,886 34 19V02 Streetlight Rehabilitation Program $0 $0 $0 $300,000 $300,000 35 19D03 Tide Valve Replacement Program $0 $0 $0 $500,000 $500,000 36 18L11 West Coast Hwy Median Landscaping $39,080 $7,400 $348,000 $1,000,000 $1,348,000 Total Streets and Drainage $9,929,915 $10,501,720 $20,431,635 Transportation Pg Project Title Expensed*Encumbered**Est. Rebudget New Budget Total 37 18T03 Balboa Peninsula Crosswalks Improvements $0 $0 $67,130 $0 $67,130 37 19T11 Balboa Peninsula Crosswalks Improvements $0 $0 $0 $250,000 $250,000 38 17T13 Balboa Peninsula Summer Trolley $225,795 $10,449 $579,210 $60,850 $640,060 38 19T13 Balboa Peninsula Summer Trolley $0 $0 $0 $69,600 $69,600 39 17T12 Coast Highway Traffic Signal Synchronization $96,665 $0 $453,300 $100,000 $553,300 40 19T12 Dover Shores Traffic Study $0 $0 $0 $100,000 $100,000 41 18T11 Ocean Front Bike Safety Improvements $0 $0 $50,000 $25,000 $75,000 42 19T03 Traffic Signage, Striping and Marking $0 $0 $0 $350,000 $350,000 43 18T01 Traffic Signal Rehabilitation Program $11,011 $360,000 $124,627 $0 $124,627 43 19T01 Traffic Signal Rehabilitation Program $0 $0 $0 $750,000 $750,000 44 18T02 Transportation Management / Modernization $0 $0 $77,435 $0 $77,435 Total Transportation $1,351,702 $1,705,450 $3,057,152 Category-2 Parks, Harbors and Beaches Pg Project Title - Parks Expensed*Encumbered**Est. Rebudget New Budget Total Notes 45 19P11 Grant Howald Park Rehabilitation $0 $0 $0 $250,000 $250,000 46 19P13 Jasmine Creek Maintenance Rd Reconstruction $0 $0 $0 $200,000 $200,000 47 15T09 Lower Sunset View Park Concept / Overcrossings $89,055 $52,813 $307,803 $5,550,000 $5,857,803 48 17P15 Newport Elementary School Playfield Maintenance $0 $0 $92,464 $0 $92,464 49 16P12 Park Walls and Staircases Rehabilitation $0 $0 $177,406 $0 $177,406 49 19P12 Park Walls and Staircases Rehabilitation $0 $0 $0 $500,000 $500,000 50 18P01 Playground Refurbishment Program $0 $0 $37,170 $0 $37,170 50 19P01 Playground Refurbishment Program $0 $0 $0 $300,000 $300,000 51 15P18 Sunset Ridge Park Access $0 $0 $86,689 $0 $86,689 52 19P14 West Newport Park Rehabilitation $0 $0 $0 $100,000 $100,000 Subtotal $701,532 $6,900,000 $7,601,532 Pg Project Title - Harbors and Beaches Expensed*Encumbered**Est. Rebudget New Budget Total 53 18H11 Abandoned / Surrendered Watercraft Abatement $0 $0 $225,000 $0 $225,000 54 16H11 American Legion Bulkhead $0 $0 $1,000,000 $0 $1,000,000 55 19H11 Balboa Island / 10th Street Swim Platforms $0 $0 $0 $60,000 $60,000 56 19H04 Beach and Bay Sand Management $0 $0 $0 $500,000 $500,000 57 18H12 Bilge Pumpout Dock / Oil Collection Centers $0 $0 $200,000 $0 $200,000 58 19H12 Eelgrass Survey - Harborwide (RGP) $0 $0 $0 $75,000 $75,000 59 16H12 Grand Canal Dredging $381,667 $0 $863,000 $0 $863,000 60 18H13 Harbor Bulkhead / Seawalls Repairs $0 $0 $150,000 $0 $150,000 60 19H08 Harbor Bulkhead / Seawalls Repairs $0 $0 $0 $500,000 $500,000 61 18H09 Harbor Maintenance / Minor Improvements $0 $0 $150,000 $0 $150,000 62 19H02 Harbor Piers Rehabilitation $0 $0 $0 $300,000 $300,000 63 19H13 Harbor Port Plan $0 $0 $0 $300,000 $300,000 64 18H07 Harborwide Dredging / Planning $41,447 $380,553 $0 $350,000 $350,000 65 16H14 Newport Pier Platform and Piles $102,032 $11,868 $1,306,100 $0 $1,306,100 66 17H03 Ocean Piers Maintenance $0 $0 $235,387 $0 $235,387 Subtotal $4,129,487 $2,085,000 $6,214,487 Total Parks, Harbors and Beaches $4,831,019 $8,985,000 $13,816,019 Category-3 Water Quality and Environmental Pg Project Title Expensed*Encumbered**Est. Rebudget New Budget Total Notes 67 16X11 Arches Storm Drain Dry Weather Diversion $120,391 $129,395 $851,714 $50,000 $901,714 68 15X11 Bayview Heights Drainage / Runoff Treatment $169,108 $9,225 $284,722 $0 $284,722 69 17X11 Big Canyon Golf Course Pond Treatment $0 $0 $20,000 $0 $20,000 70 15X14 Little Corona Infiltration Gallery $42,964 $1,573 $266,400 $0 $266,400 71 17X12 Newport Bay Water Wheel $12,000 $0 $0 $8,000 $8,000 72 18X02 TMDL Compliance / Water Quality Improvements $21,000 $2,293 $200,494 $50,000 $250,494Total Water Quality and Environmental $1,623,330 $108,000 $1,731,330 Water Pg Project Title Expensed*Encumbered**Est. Rebudget New Budget Total 73 19W12 Advanced Metering Infrastructure $0 $0 $0 $3,300,000 $3,300,000 74 19W13 Alta Vista Regulating Station Relocation $0 $0 $0 $100,000 $100,000 75 19W11 Balboa Island Water Main Replacement $0 $0 $0 $2,500,000 $2,500,000 76 16W12 Bay / Channel Crossings Water Main Replacement $10,135 $234,780 $455,100 $450,000 $905,100 77 16W13 Big Canyon Reservoir Flow Metering / Treatment $0 $0 $181,611 $0 $181,611 78 18W11 Big Canyon Reservoir Site Paving $0 $0 $150,000 $0 $150,000 79 19R09 Grade Adjustments - Water Valves $0 $0 $0 $50,000 $50,000 80 19W14 Hillsborough Pump Station Rehabilitation $0 $0 $0 $100,000 $100,000 81 16W14 Lido Village Water Main Replacement $0 $0 $153,982 $0 $153,982 82 19W15 Spyglass Hill Reservoir Mixing System $0 $0 $0 $100,000 $100,000 83 18W12 Transmission Mains Valve Replacements $0 $0 $100,000 $900,000 $1,000,000 84 18W13 Utilities Back Up Generators $0 $0 $100,000 $50,000 $150,000 85 18W14 Utilities Yard Spill Control Valve / Tipping Floor $100,000 $0 $170,000 $0 $170,000 86 17W02 Water Master Plan Update $0 $0 $32,691 $0 $32,691 87 19W05 Water System Rehabilitation $0 $0 $0 $250,000 $250,000 88 19W04 Water Well Rehabilitation $0 $0 $0 $500,000 $500,000 Total Water $1,343,384 $8,300,000 $9,643,384 Wastewater Pg Project Title Expensed*Encumbered**Est. Rebudget New Budget Total 89 18R09 Grade Adjustments - Sewer Manhole Covers $15,498 $0 $100,000 $0 $100,000 89 19R09 Grade Adjustments - Sewer Manhole Covers $0 $0 $0 $50,000 $50,000 90 18S04 Sewer Lift Station Improvements $0 $0 $150,000 $850,000 $1,000,000 91 18S03 Sewer Main Lining and Repairs $0 $0 $50,000 $450,000 $500,000 Total Wastewater $300,000 $1,350,000 $1,650,000 Category-4 Miscellaneous Pg Project Title Expensed*Encumbered**Est. Rebudget New Budget Total Notes 92 16M15 Affordable Housing $119,453 $0 $480,547 $0 $480,547 93 19M11 Aircraft Sound Monitoring Station $0 $0 $0 $40,000 $40,000 94 17A01 Assessment District Engineering and Administration $0 $0 $150,000 $0 $150,000 94 17A11 Assessment District Payment for City Parcels $371,124 $0 $308,400 $0 $308,400 95 15M12 Balboa Island Enhancements $59,065 $0 $140,000 $0 $140,000 96 19M12 Balboa Village Enhanced Maintenance $0 $0 $0 $50,000 $50,000 97 16M11 Balboa Village Façade Improvement Program $145,867 $0 $78,000 $0 $78,000 98 16M12 Balboa Village Wayfinding Improvements $81,000 $0 $200,000 $0 $200,000 99 18M11 City Yard Refuse Transfer Station Improvements $0 $0 $125,000 $0 $125,000 100 19M03 SCE Rule 20A Credit Purchase $0 $0 $0 $150,000 $150,000 101 19M13 Sea Level Rise Study $0 $0 $0 $67,000 $67,000 102 17M12 Slope Erosion Control / Enhancements $0 $0 $100,000 $0 $100,000 103 66002 UUD AD 111 (Newport / 23rd / Ocean Front W / 31st)$0 $0 $0 $3,426,186 $3,426,186 104 65902 UUD AD 116 (Channel / 44th / Balboa Bl / 38th)$0 $0 $0 $1,925,000 $1,925,000 105 66102 UUD AD 116B (River / 47th / Balboa Bl / 45th)$0 $0 $0 $970,000 $970,000 106 65802 UUD AD 117 (Carnation / Begonia / Acacia)$0 $0 $0 $4,640,550 $4,640,550Total Miscellaneous $1,581,947 $11,268,736 $12,850,683 *Expensed from July 1, 2015 through June 30, 2018 **Encumbered as of June 30, 2018 Total for All Categories $30,757,550 $46,807,906 $77,565,456 Category-5 CIP 5 Year Look Ahead 1 July 2018 Source Master Plan Documents Bicycle Master Plan BMP Pavement Management Program PMP Facilities Maintenance Plan FMMP Sewer Master Plan SMP General Plan & Circulation Element GP/Cir Street Light Master Plan StLight Facilities Financing Plan MFFP Traffic Signal Modernization & Rehab Plan TSM Master Plan of Drainage MPD Water Master Plan WMP Not Applicable na Watershed Plan WP Harbor and Beaches Capital Plan HBCP FACILITIES Source FY 2018-19 FY 2019-20 FY 2020-21 FY 2021-22 FY 2022-23 Total Central Library Lecture Hall MFFP 70,000$ TBD TBD -$ -$ 70,000$ City Fuel Management System na 140,000$ -$ -$ -$ -$ 140,000$ Facilities Maintenance Master Plan Program FMMP 2,241,200$ 1,500,000$ 1,500,000$ 1,500,000$ 1,500,000$ 8,241,200$ Fire Station No. 1 / Library Replc. (Peninsula)MFFP -$ 532,200$ -$ 4,766,100$ -$ 5,298,300$ Fire Station No. 2 Replacement (Lido)MFFP 9,107,185$ -$ -$ -$ -$ 9,107,185$ Fire Station No. 3 Design (Newport Center)MFFP -$ -$ 1,000,000$ -$ 1,000,000$ Fire Station No. 5 / Library Replacement (CdM) MFFP 963,969$ -$ -$ -$ -$ 963,969$ Fire Station Remodels FMMP 217,899$ -$ -$ -$ -$ 217,899$ Girls & Boys Club at Eastbluff Park Design MFFP -$ 678,500$ -$ TBD 6,810,870$ 7,489,370$ Marina Park Office Modifications na 75,000$ -$ -$ -$ -$ 75,000$ Master Facilities Plan Strategic Planning MFFP 150,000$ -$ -$ -$ -$ 150,000$ Junior Lifeguards Building tbd 70,000$ TBD TBD -$ -$ 70,000$ Police Facility Remodel na 850,000$ -$ -$ -$ -$ 850,000$ Police Facility Remodel (Shooting Range)na 500,000$ -$ -$ -$ -$ 500,000$ Total Facilities 14,385,253$ 2,710,700$ 1,500,000$ 7,266,100$ 8,310,870$ 34,172,923$ City of Newport Beach Capital Improvement Program Five Year Look Ahead FY 2018-19 through FY 2022-23 The following is a summary of proposed and estimated capital expenditures for the next five years. It does not show project allocations approved in previous Capital Improvement Program budgets, however, carryovers are shown in the first year of the plan. The five-year look ahead is a combination of needs analysis, project planning, timing and anticipated financing. Typically, projects are financed on a pay-as-you-go basis from available balances of various funding sources. Supporting master plan documents are notated in the column marked Source. Also, the five-year look ahead is a planning tool for discussion purposes, is subject to change and does not represent funding commitments. Cost estimates are presented at current value / current dollars and are not escalated for inflation. CIP 5 Year Look Ahead 2 July 2018 STREETS / DRAINAGE Source FY 2018-19 FY 2019-20 FY 2020-21 FY 2021-22 FY 2022-23 Total Alleys Reconstruction PMP 222,635$ 400,000$ 400,000$ 400,000$ 400,000$ 1,822,635$ Asphalt Pavement Rehabilitation PMP -$ 5,855,000$ 6,574,000$ 4,755,000$ 3,520,000$ 20,704,000$ Pavement Rehab - Bayside Drive PMP 2,632,700$ -$ -$ -$ -$ 2,632,700$ Pavement Rehab - Bison Ave / San Joaquin Hills Rd PMP 2,800,000$ -$ -$ -$ -$ 2,800,000$ Pavement Rehab - Bonita Canyon Drive PMP 346,000$ 1,877,000$ -$ -$ -$ 2,223,000$ Pavement Rehab - Irvine Ave 16th/Dover, Santiago PMP 1,900,000$ -$ -$ -$ -$ 1,900,000$ Pavement Rehab - MacArthur Blvd / University Dr PMP 1,624,861$ -$ -$ -$ -$ 1,624,861$ Pavement Rehab - Marguerite Ave / Hospital Rd PMP 867,000$ -$ -$ -$ -$ 867,000$ Balboa Boulevard Median Improvements na 250,000$ -$ -$ -$ -$ 250,000$ Balboa Island Drainage Master Plan MPD 200,000$ -$ 600,000$ 600,000$ 600,000$ 2,000,000$ Balboa Village Streetscape Improvements na 296,925$ -$ 1,500,000$ -$ 140,000$ 1,936,925$ Concrete Replacement Program - Neighborhood PMP 790,000$ 700,000$ 700,000$ 700,000$ 700,000$ 3,590,000$ Concrete Pavement Reconstruction Program PMP -$ 2,118,000$ -$ 2,651,000$ 2,027,000$ 6,796,000$ Concrete Pavement Reconstruction - Central Balboa Pen.PMP 1,100,000$ -$ -$ -$ -$ 1,100,000$ Concrete Pavement Reconstruction - CdM Ocean Blvd PMP 200,000$ 1,500,000$ -$ -$ -$ 1,700,000$ Concrete Reconstruction - Marine Ave PMP 250,000$ 4,000,000$ -$ -$ -$ 4,250,000$ Landscape Enhancement Program na 532,862$ 300,000$ 300,000$ -$ -$ 1,132,862$ Marine Ave Drainage System Improvements MPD 250,000$ 2,000,000$ -$ -$ -$ 2,250,000$ Median Landscape Turf Replacement na 475,000$ -$ -$ -$ -$ 475,000$ Old Newport Blvd / West Coast Hwy Modifications PMP 216,462$ TBD TBD -$ -$ 216,462$ Park Avenue Bridge Replacement na 638,795$ -$ -$ -$ -$ 638,795$ Pavement Management Plan Update PMP 30,000$ -$ 50,000$ -$ 50,000$ 130,000$ Slurry Seal - Neighborhood PMP 989,600$ 720,000$ 614,000$ 650,000$ 610,000$ 3,583,600$ Storm Drain and Water Quality Improvements MPD 551,909$ 500,000$ 200,000$ 200,000$ 200,000$ 1,651,909$ Street Pavement Repair Program na 500,000$ 500,000$ 500,000$ 500,000$ 500,000$ 2,500,000$ Streetlight Master Plan and Projects StLight 918,886$ 800,000$ -$ 600,000$ -$ 2,318,886$ Tide Valve Replacement Program HCP 500,000$ -$ 200,000$ -$ 200,000$ 900,000$ West Coast Highway Median Landscaping na 1,348,000$ 1,000,000$ 1,000,000$ -$ -$ 3,348,000$ Total Streets and Drainage 20,431,635$ 22,270,000$ 12,638,000$ 11,056,000$ 8,947,000$ 75,342,635$ TRANSPORTATION Source FY 2018-19 FY 2019-20 FY 2020-21 FY 2021-22 FY 2022-23 Total Balboa Peninsula Crosswalks na 317,130$ -$ -$ -$ -$ 317,130$ Balboa Peninsula Summer Trolley na 709,660$ 150,000$ 150,000$ 150,000$ 150,000$ 1,309,660$ Coast Hwy Traffic Signal Synchronization na 553,300$ -$ -$ -$ -$ 553,300$ Dover Shores Traffic Study na 100,000$ 200,000$ -$ -$ -$ 300,000$ Ocean Front Bike Safety Improvements na 75,000$ -$ -$ -$ -$ 75,000$ Traffic Signage, Striping and Marking na 350,000$ 350,000$ 300,000$ 300,000$ 300,000$ 1,600,000$ Traffic Signal Rehabilitation Program na 874,627$ 600,000$ 600,000$ 600,000$ 600,000$ 3,274,627$ Transportation Management / Modernization na 77,435$ -$ -$ -$ -$ 77,435$ Total Transportation 3,057,152$ 1,300,000$ 1,050,000$ 1,050,000$ 1,050,000$ 7,507,152$ CIP 5 Year Look Ahead 3 July 2018 PARKS, HARBORS AND BEACHES Source FY 2018-19 FY 2019-20 FY 2020-21 FY 2021-22 FY 2022-23 Total Parks Grant Howald Park Rehabilitation MFFP 250,000$ -$ 5,941,121$ -$ -$ 6,191,121$ Jasmine Creek Maintenance Rd Reconstruction na 200,000$ -$ -$ -$ -$ 200,000$ Lower Sunset View Park Concept / Overcrossings MFFP 5,857,803$ -$ 5,280,000$ -$ -$ 11,137,803$ Newport Elementary School Playfield Maintenance na 92,464$ -$ -$ -$ -$ 92,464$ Park Walls and Staircases Rehabilitation na 677,406$ 500,000$ -$ -$ -$ 1,177,406$ Playground Refurbishment Program na 337,170$ 300,000$ 300,000$ 300,000$ 300,000$ 1,537,170$ Sunset Ridge Park Access na 86,689$ -$ -$ -$ -$ 86,689$ West Newport Park Rehabilitation na 100,000$ 200,000$ -$ -$ -$ 300,000$ Subtotal 7,601,532$ 1,000,000$ 11,521,121$ 300,000$ 300,000$ 20,722,653$ Harbors and Beaches Abandoned / Surrendered Watercraft Abatement na 225,000$ 75,000$ 75,000$ 75,000$ 75,000$ 525,000$ Balboa Island / 10th Street Swim Platforms HBCP 60,000$ -$ -$ -$ -$ 60,000$ Balboa Yacht Basin Slips - Replace HBCP -$ -$ -$ 600,000$ TBD 600,000$ Eelgrass Survey - Harborwide (RGP)HBCP 75,000$ -$ 75,000$ -$ 75,000$ 225,000$ Beach and Bay Sand Management HBCP 500,000$ -$ 300,000$ -$ 300,000$ 1,100,000$ Bilge Pumpout Dock / Vessel Sewage Pumpout Facilities HBCP 200,000$ -$ -$ -$ 141,400$ 341,400$ Bulkheads / Seawalls HBCP -$ -$ -$ 1,111,540$ -$ 1,111,540$ American Legion Bulkhead HBCP 1,000,000$ -$ -$ -$ -$ 1,000,000$ Harbor Bulkheads / Seawalls Repairs HBCP 650,000$ 100,000$ 900,000$ -$ 3,000,000$ 4,650,000$ Dredging - BYB HBCP -$ -$ -$ 250,000$ TBD 250,000$ Dredging - Grand Canal HBCP 863,000$ -$ -$ -$ -$ 863,000$ Dredging - Harborwide HBCP 350,000$ 250,000$ -$ -$ -$ 600,000$ Dredging - Lower Bay HBCP -$ -$ 500,000$ 3,100,000$ TBD 3,600,000$ Dredging - Newport Island Channels HBCP -$ -$ -$ 830,000$ -$ 830,000$ Harbor Maintenance / Minor Improvements HBCP 150,000$ 100,000$ 100,000$ 100,000$ 100,000$ 550,000$ Harbor Piers Rehabilitation na 300,000$ 100,000$ 400,000$ 200,000$ -$ 1,000,000$ Harbor Port Plan HBCP 300,000$ -$ 238,445$ -$ -$ 538,445$ Newport Harbor Dredging Permit RGP54 / Testing HBCP -$ -$ -$ 350,000$ -$ 350,000$ Newport Pier Building Platform and Piles na 1,306,100$ -$ -$ -$ -$ 1,306,100$ Ocean Piers Inspection and Maintenance na 235,387$ 500,000$ -$ 500,000$ -$ 1,235,387$ Subtotal 6,214,487$ 1,125,000$ 2,588,445$ 7,116,540$ 3,691,400$ 20,735,872$ Total Parks, Harbors and Beaches 13,816,019$ 2,125,000$ 14,109,566$ 7,416,540$ 3,991,400$ 41,458,525$ CIP 5 Year Look Ahead 4 July 2018 WATER QUALITY / ENVIRONMENTAL Source FY 2018-19 FY 2019-20 FY 2020-21 FY 2021-22 FY 2022-23 Total Arches Storm Drain Dry Weather Diversion HCP 901,714$ -$ -$ -$ -$ 901,714$ Bayview Heights Drainage / Runoff Treatment WP 284,722$ -$ -$ -$ -$ 284,722$ Big Canyon Golf Course Pond Treatment na 20,000$ -$ -$ -$ -$ 20,000$ Little Corona Infiltration Gallery WP 266,400$ -$ -$ -$ -$ 266,400$ Newport Bay Water Wheel WP 8,000$ -$ TBD -$ -$ 8,000$ TMDL Compliance / Water Quality Improvements HCP 250,494$ 100,000$ 100,000$ 100,000$ 100,000$ 650,494$ Watershed Management Projects WP -$ -$ -$ -$ -$ -$ Total Water Quality and Environmental 1,731,330$ 100,000$ 100,000$ 100,000$ 100,000$ 2,131,330$ WATER Source FY 2018-19 FY 2019-20 FY 2020-21 FY 2021-22 FY 2022-23 Total Advanced Metering Infrastructure na 3,300,000$ 3,000,000$ 3,000,000$ -$ -$ 9,300,000$ Alta Vista Regulating Station Relocation na 100,000$ 800,000$ -$ -$ -$ 900,000$ Balboa Island Main Replacement WMP 2,500,000$ -$ -$ -$ -$ 2,500,000$ Bay / Channel Crossings Water Main Replacement WMP 905,100$ 3,500,000$ 3,500,000$ -$ 3,500,000$ 11,405,100$ Big Canyon Reservoir Flow Metering / Treatment na 181,611$ -$ -$ -$ -$ 181,611$ Big Canyon Reservoir Site Paving na 150,000$ -$ -$ -$ -$ 150,000$ Grade Adjustments - Water Valves na 50,000$ 50,000$ 50,000$ 50,000$ 50,000$ 250,000$ Hillsborough Pump Station Rehabilitation na 100,000$ 800,000$ -$ -$ -$ 900,000$ Lido Village Water Main Replacement WMP 153,982$ -$ -$ -$ -$ 153,982$ Spyglass Hill Reservoir Station Rehabilitation na 100,000$ -$ 1,500,000$ -$ -$ 1,600,000$ Transmission Main Valves Replacement WMP 1,000,000$ -$ 250,000$ 750,000$ -$ 2,000,000$ Utilities Back Up Generators na 150,000$ -$ -$ -$ -$ 150,000$ Utilities Yard Spill Control Valve / Tipping Floor na 170,000$ -$ -$ -$ -$ 170,000$ Water Master Plan Update na 32,691$ -$ -$ -$ -$ 32,691$ Water Main Master Plan Program WMP -$ -$ -$ 3,000,000$ -$ 3,000,000$ Water System Rehabilitation na 250,000$ 250,000$ 250,000$ 250,000$ 250,000$ 1,250,000$ Water Well Rehabilitation na 500,000$ -$ -$ 750,000$ -$ 1,250,000$ Total Water 9,643,384$ 8,400,000$ 8,550,000$ 4,800,000$ 3,800,000$ 35,193,384$ WASTEWATER Source FY 2018-19 FY 2019-20 FY 2020-21 FY 2021-22 FY 2022-23 Total Grade Adjustments - Sewer Manhole Covers na 150,000$ 50,000$ 50,000$ 50,000$ 50,000$ 350,000$ Sewer Lift Station Improvements SMP 1,000,000$ 150,000$ 850,000$ 150,000$ 150,000$ 2,300,000$ Sewer Main Lining and Repairs SMP 500,000$ 500,000$ 500,000$ 1,000,000$ 500,000$ 3,000,000$ Total Wastewater 1,650,000$ 700,000$ 1,400,000$ 1,200,000$ 700,000$ 5,650,000$ CIP 5 Year Look Ahead 5 July 2018 MISCELLANEOUS Source FY 2018-19 FY 2019-20 FY 2020-21 FY 2021-22 FY 2022-23 Total Affordable Housing na 480,547$ -$ -$ -$ -$ 480,547$ Aircraft Sound Monitoring Station na 40,000$ -$ -$ -$ -$ 40,000$ Assessment District Payment City Parcels na 458,400$ -$ -$ -$ -$ 458,400$ Balboa Island Enhancements na 140,000$ -$ -$ -$ -$ 140,000$ Balboa Village Enhanced Maintenance na 50,000$ 20,000$ -$ -$ -$ 70,000$ Balboa Village Façade Improvement Program na 78,000$ -$ -$ -$ -$ 78,000$ Balboa Village Wayfinding Improvements na 200,000$ -$ -$ -$ -$ 200,000$ City Yard Refuse Transfer Station Improvements na 125,000$ -$ -$ -$ -$ 125,000$ Oil Well Field Maintenance - City na -$ -$ TBD TBD -$ -$ SCE Rule 20A Credit Purchase na 150,000$ -$ -$ -$ -$ 150,000$ Sea Level Rise Study na 67,000$ -$ -$ -$ -$ 67,000$ Slope Erosion Control / Enhancements na 100,000$ -$ TBD -$ -$ 100,000$ Utilities Undergrounding AD 111 na 3,426,186$ -$ -$ -$ -$ 3,426,186$ Utilities Undergrounding AD 116 na 1,925,000$ -$ -$ -$ -$ 1,925,000$ Utilities Undergrounding AD 116B na 970,000$ -$ -$ -$ -$ 970,000$ Utilities Undergrounding AD 117 na 4,640,550$ -$ -$ -$ -$ 4,640,550$ Total Miscellaneous 12,850,683$ 20,000$ -$ -$ -$ 12,870,683$ Total for All Categories 77,565,456$ 37,625,700$ 39,347,566$ 32,888,640$ 26,899,270$ 214,326,632$ CIP 5 Year Look Ahead 6 July 2018 Summary of CIP Five Year Look Ahead FY 2018-19 FY 2019-20 FY 2020-21 FY 2021-22 FY 2022-23 Total Facilities 14,385,253$ 2,710,700$ 1,500,000$ 7,266,100$ 8,310,870$ 34,172,923$ Streets and Drainage 20,431,635$ 22,270,000$ 12,638,000$ 11,056,000$ 8,947,000$ 75,342,635$ Transportation 3,057,152$ 1,300,000$ 1,050,000$ 1,050,000$ 1,050,000$ 7,507,152$ Parks, Harbors and Beaches 13,816,019$ 2,125,000$ 14,109,566$ 7,416,540$ 3,991,400$ 41,458,525$ Water Quality and Environmental 1,731,330$ 100,000$ 100,000$ 100,000$ 100,000$ 2,131,330$ Water 9,643,384$ 8,400,000$ 8,550,000$ 4,800,000$ 3,800,000$ 35,193,384$ Wastewater 1,650,000$ 700,000$ 1,400,000$ 1,200,000$ 700,000$ 5,650,000$ Miscellaneous 12,850,683$ 20,000$ -$ -$ -$ 12,870,683$ 77,565,456$ 37,625,700$ 39,347,566$ 32,888,640$ 26,899,270$ 214,326,632$ Estimated Projected Funding Sources FY 2018-19 FY 2019-20 FY 2020-21 FY 2021-22 FY 2022-23 Total General Fund*5,468,000$ 5,000,000$ 5,000,000$ 5,000,000$ 5,000,000$ 25,468,000$ Neighborhood Enhancement 1,000,000$ -$ -$ -$ -$ 1,000,000$ Major Facilities Financing Plan 5,633,400$ 1,210,700$ 11,221,121$ 5,766,100$ 6,810,870$ 30,642,191$ Facilities Maintenance Master Plan 1,000,000$ 1,500,000$ 1,500,000$ 1,500,000$ 1,500,000$ 7,000,000$ Tidelands Capital 660,000$ (275,000)$ 1,188,445$ 5,716,540$ 2,191,400$ 9,481,385$ Tidelands Maintenance 1,592,000$ 1,500,000$ 1,500,000$ 1,500,000$ 1,500,000$ 7,592,000$ Contributions and Grants 2,654,050$ -$ -$ -$ -$ 2,654,050$ Gas Tax 3,759,600$ 1,500,000$ 1,500,000$ 1,500,000$ 1,500,000$ 9,759,600$ SB 1 RMRA 1,419,120$ 1,500,000$ 1,500,000$ 1,500,000$ 1,500,000$ 7,419,120$ Measure M Fair Share 1,164,000$ 1,800,000$ 1,800,000$ 1,800,000$ 1,800,000$ 8,364,000$ Transportation / Circulation 200,000$ 250,000$ 250,000$ 100,000$ 100,000$ 900,000$ Water Fund 8,470,000$ 8,400,000$ 8,550,000$ 4,800,000$ 3,800,000$ 34,020,000$ Wastewater Fund 1,350,000$ 700,000$ 1,400,000$ 1,200,000$ 700,000$ 5,350,000$ Carryovers 30,757,550$ -$ -$ -$ -$ 30,757,550$ Other**1,476,000$ -$ -$ -$ -$ 1,476,000$ UUD AD Improvement Funds 10,961,736$ -$ -$ -$ -$ 10,961,736$ to be determined / unfunded 14,540,000$ 3,938,000$ 2,506,000$ 497,000$ 21,481,000$ Important note: *Includes funding from Asset Forfeiture Fund for Police Facility Improvements and Capital Surplus GF Funds **Oceanfront Encroachment, Building Excise Tax, Environmental Liability, Equipment Fund, Balboa Village Parking The five-year look ahead is a planning tool for discussion purposes, does not represent funding commitments, and is subject to change. Cost estimates are presented at current value / current dollars and are not escalated for inflation. Capital Improvement Program Five Year Look Ahead FY 2018-19 through FY 2022-23 City of Newport Beach List of Appendices Appendix A Alphabetical Index Appendix B Assessment Districts Appendix C Notes Projects Underway: Carryover Encumbrances Appendix A Alpha-1 Alphabetical Index Appendix A Project Page A Abandoned / Surrendered Watercraft Abatement 53 Advanced Metering Infrastructure 73 Affordable Housing 92 Aircraft Sound Monitoring Station 93 Alleys Reconstruction 11 Alta Vista Regulating Station Relocation 74 American Legion Bulkhead 54 Arches Storm Drain Dry Weather Diversion 67 Assessment District Payment for City Parcels 94 B Balboa Blvd Median Improvements 12 Balboa Island / 10th Street Swim Platforms 55 Balboa Island Drainage Master Plan 13 Balboa Island Enhancements 95 Balboa Island Water Main Replacement 75 Balboa Peninsula Crosswalks Improvements 37 Balboa Peninsula Summer Trolley 38 Balboa Village Enhanced Maintenance 96 Balboa Village Façade Improvement Program 97 Balboa Village Streetscape Improvements 14 Balboa Village Wayfinding Improvements 98 Bay / Channel Crossings Water Main Replacement 76 Bayside Dr Rehabilitation 15 Bayview Heights Drainage / Runoff Treatment 68 Beach and Bay Sand Management 56 Big Canyon Golf Course Pond Treatment 69 Big Canyon Reservoir Flow Metering / Treatment 77 Big Canyon Reservoir Site Paving 78 Bilge Pumpout Dock / Oil Collection Centers 57 Bison Ave / SJH Rd Pavement Rehabilitation 16 Bonita Canyon Dr Pavement Rehabilitation 17 C Central Library Lecture Hall 1 City Fuel Management System 2 City Yard Refuse Transfer Station Improvements 99 Coast Highway Traffic Signal Synchronization 39 Concrete Replacement Program 18 Concrete Street Pavement Reconstruction 19 D Dover Shores Traffic Study 40 Appendix A Alpha-2 Project Page E Eelgrass Survey - Harborwide RGP 58 F Facilities Maintenance Master Plan Program 3 Fire Station No. 2 Replacement - Lido 4 Fire Station No. 5 / Library Replacement - Corona del Mar 5 Fire Station Remodels 6 G Grade Adjustments - Sewer Manhole Covers 89 Grade Adjustments - Water Valves 79 Grand Canal Dredging 59 Grant Howald Park Rehabilitation 45 H Harbor Bulkhead / Seawalls Repairs 60 Harbor Maintenance / Minor Improvements 61 Harbor Piers Rehabilitation 62 Harbor Port Plan 63 Harborwide Dredging / Planning 64 Hillsborough Pump Station Rehabilitation 80 I Irvine Ave Pavement Rehabilitation 20 J Jasmine Creek Maintenance Rd Reconstruction 46 Junior Lifeguards Building 7 L Landscape Enhancement Program 21 Lido Village Water Main Replacement 81 Little Corona Infiltration Gallery 70 Lower Sunset View Park Concept / Overcrossings 47 M MacArthur Blvd / University Dr Pavement Rehab 22 Marguerite Ave / Hospital Rd Pavement Rehab 23 Marina Park Office Modifications 8 Marine Ave Drainage System Improvements 24 Marine Ave Reconstruction 25 Master Facilities Plan Strategic Planning 9 Median Landscape Turf Replacement 26 N Newport Bay Water Wheel 71 Newport Elementary School Playfield Maintenance 48 Newport Pier Platform and Piles 65 O Ocean Blvd Concrete Pavement Reconstruction 27 Ocean Front Bike Safety Improvements 41 Ocean Piers Maintenance 66 Old Newport Blvd / W Coast Hwy Modifications 28 P Park Ave Bridge Replacement 29 Park Walls and Staircases Rehabilitation 49 Pavement Management Plan Update 30 Playground Refurbishment Program 50 Police Facility Remodel 10 Appendix A Alpha-3 Project Page S SCE Rule 20A Credit Purchase 100 Sea Level Rise Study 101 Sewer Lift Station Improvements 90 Sewer Main Lining and Repairs 91 Slope Erosion Control / Enhancements 102 Slurry Seal Program 31 Spyglass Hill Reservoir Mixing System 82 Storm Drain System Repair / Rehabilitation 32 Street Pavement Repair Program 33 Streetlight Rehabilitation Program 34 Sunset Ridge Park Access 51 T Tide Valve Replacement Program 35 TMDL Compliance / Water Quality Improvements 72 Traffic Signage, Striping and Marking 42 Traffic Signal Rehabilitation Program 43 Transmission Mains Valve Replacements 83 Transportation Management / Modernization 44 U Utilities Back Up Generators 84 Utilities Yard Spill Control Valve / Tipping Floor 85 UUD AD 111 (Newport / 23rd / Ocean Front W / 31st)103 UUD AD 116 (Channel / 44th / Balboa Bl / 38th)104 UUD AD 116B (River / 47th / Balboa Bl / 45th)105 UUD AD 117 (Carnation / Begonia / Acacia)106 W Water Master Plan Update 86 Water System Rehabilitation 87 Water Well Rehabilitation 88 West Coast Hwy Median Landscaping 36 West Newport Park Rehabilitation 52 Appendix B Assessment Districts Appendix B Rule 20A Rule 20B Rule 20C AD Fund Location Rule Formation Approved Construct Start Construct End Pole / Wire Removal Value 111 660 Newport Blvd / 23rd St / Ocean Front W / 31st St B 1/12/2016 Fall 2019 Summer 2020 Fall 2020 $3,426,186 116 659 Channel Rd / Ave / 44th St / Balboa Blvd / 38th St B 1/12/2016 Fall 2019 Summer 2020 Fall 2020 $1,925,000 116b 661 River Ave / 44th St / Balboa Blvd / 38th St B 1/12/2016 Fall 2019 Summer 2020 Fall 2020 $970,000 117 658 Carnation Ave / Begonia Ave / Acacia Ave B 11/24/2015 Summer 2018 Spring 2019 Fall 2019 $4,640,550 Total Value:$10,961,736 Rule 20B allows property owners to elect to form an underground utility assessment district when Rule 20A does not apply. For more information on Utility Undergrounding Assessment Districts, visit www.newportbeachca.gov/publicworks Utilities Undergrounding is the process of placing all overhead utilities (electric, telephone, and cable TV wires) and electrical facilities such as transformers underground. Most underground utility assessment districts are formed at the request of the local property owners through a multi-step, multi-year process. Property owners interested in forming an assessment district for utilities undergrounding can request the City to administer the formation process. There are three ways property owners can underground existing overhead utilities: Rule 20A projects are typically public projects where the applicant is a city or other municipality. The project uses earmarked funds set aside by the utility company for such purposes and must meet certain criteria, such as: unusually heavy concentration of overhead facilities; heavily traveled area; qualifies as an arterial or major collector road in the general plan; within or passing through a civic, recreational, or scenic area. Rule 20C enables property owners to privately fund undergrounding overhead facilities if neither of the above rules apply. Approved Assessment Districts Appendix C Appendix C Project Funding Title Balance of Encumbrances as of 6/30/2018 $14,657,494 18R11 CDBG ADA Improvements $59,130 18R03 Gas Tax Arterial Highway Pavement Repairs $115,052 15H11 Tidelands Balboa Island Seawall Coping $222,086 16W11 Water Balboa Island Water Main Replacement $315,608 15X11 Env. Contributions Bayview Heights Runoff $1,046 17H04 Gen Fund Beach and Bay Sand Management $37,600 16W13 Water Big Canyon Reservoir Flow Metering $43,475 18R06 Water Concrete Replacement $5,000 18F13 Water Corporation Yards Painting $1,245 18F13 Sewer Corporation Yards Painting $1,250 15F02 FMMP Facilities Maintenance $20,756 17F02 FMMP Facilities Maintenance $2,751 16F11 FFP: Fire Stations Fire Station 6 - Mariners Apparatus Bay $70,041 15R09 Water Grade Adjustments $9,335 17R09 Water Grade Adjustments $2,088 17R09 Sewer Grade Adjustments $5,874 15L01 Gen Fund Landscape Enhancements $7,738 16W14 Contributions Lido Village Water Main $4,579 16W14 Sewer Lido Village Water Main $77,108 15T06 Gen Fund Mariners Mile Study $3,973 15T06 Neighborhood Enhnc Mariners Mile Study $37,128 17P15 Tidelands Newport Elementary School Playfield $9,375 17P15 Contributions Newport Elementary School Playfield $23,343 15R20 Water Park Ave Bridge Replacement $2,500 17T03 Gen Fund Traffic Signage, Striping, Marking $41,325 18T03 Gen Fund Traffic Signage, Striping, Marking $2,043 15R15 Gen Fund West Coast Highway Landscaping $22,020 18L11 Gen Fund West Coast Highway Landscaping $201,535 Additional Public Works Projects in Progress $16,002,498 The annual Capital Improvements Program budget includes new appropriations and estimated unencumbered carryover funds. Encumbrances for ongoing projects can be found under the Project Listing by Funding Source tab. Additional projects have active contracts with encumbered funding to be spent in the near term. Balances for such carryover encumbrances are listed here. Projects Underway: Carryover Encumbrances See Project Listing by Funding tab for detailed carryover encumbrances Notes Notes Notes 100 CIVIC CENTER DRIVE NEWPORT BEACH, CA 92660  (949) 644-3330 WWW.NEWPORTBEACHCA.GOV