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ORD 2530 ORDINANCE NO. aS ) 0 AN ORDINANCE amending the Capital Facilities Plan by revising the Capital Projects Lists. WHEREAS, the City of Camas has heretofore adopted a Capital Facilities Plan pursuant to RCW 36 .70A.070, and WHEREAS, RCW 36 .70A. 130 establishes procedures for the amendment of the Capital Facilities Plan, and WHEREAS, the City desires to update the Capital Facilities Plan by revising the proposed locations and capacities of new capital facilities, and WHEREAS, on August 19, 2008, the Planning Commission conducted a public hearing to consider the proposed amendments to the Capital Facilities Plan, and WHEREAS, on December 1, 20085 the City Council held a public hearing to consider the proposed revisions to the Capital Facilities Plan, and WHEREAS, the Council has reviewed and considered that document entitled "Amended Capital Projects Lists, December 2008 " and desires to amend the Capital Facilities Plan to include said document, NOW, THEREFORE, the Council of the City of Camas do ordain as follows : Section I The Capital Facilities Plan is hereby amended to include the "Amended Capital Projects Lists, December 2008 ", which document is attached hereto and by this reference incorporated herein. Section 11 A copy of the City of Camas Capital Facilities Plan shall be maintained in the Council file on these proceedings; and copies of said Capital Facilities Plan shall be made available for public inspection at the Public Works Department. Section III This Ordinance shall take force and be in effect five days from and after its publication according to law. PASSED by the Council and APPROVED by the Mayor this day of December, 2008 . SIGNED 71 — Z` 7� Mayor ATTEST: /'0- Clerk APPROVED as to form: �A City Attorney Proposed Alterations to the Capital Facilities Plan List Project Item Year TMe Project Descri tp ion Alteration Reason 1 2008 Fire Replace Fire Station 41 Year Change Remodel in ' 09 postpones replacement timeline to ' 14- '20 2 2009 Fire Fire Station 41 Remodel Addition To prolong the need to replace the existing station 3 2009 Sewer NW 38"i Force Main west of Parker Addition Per Pre-Annexation Development Agreement 4 2009 Sewer Bybee Curves Pump Station Addition Per Pre-Annexation Development Agreement 5 2009 Water Pac Rim By - 38th Intertie Addition Provide ample flow for commercial/industrial users 6 2010 Street SR- 14 Access Improvements Title Change More appropriate title for City TIF funds to fit State Design 7 2012 Sewer Parker Pump Station Replacement Title Change Clarify Project Intent 8 2014- Street Hood Street Project Deletion Project is listed twice on the CFP List 9 2014- Street NE 43`a- SR-500 to E. City Limits Addition New UGA Improvement Street not added in ' 07 Update 10 2014- Street SE 151h/Nourse-CHS to 283rd Av Addition New UGA Improvement Street not added in ' 07 Update 11 2014- Street NE Ingle — Goodwin to City Limits Addition New UGA Improvement Street not added in ' 07 Update 12 2014- mice/Fire Lacamas Lake Boat House Addition Camas will have full Police/Fire/Ems jurisdiction 13 2014- Police Work Crew Building Addition Current trailer does not provide ample restroom & shelter 14 2014- Fire Replace Fire Station 41 Year Change Remodel in ' 09 postpones replacement timeline to ' 14- '20 New All Street Pavement Management Program Title Change Broader Terminology from "Overlay Program ' CITY LIMITS . j`I --- URBAN GROWTH BOUNDARY 4 WATER PROJECT L SEINER PROJECT STREET PROJECT A STREET PROJECT [E3I IT SEWER PROJECT �7Li • FIRE PROJECT r -i �` - �7 �' I � POLICE PROJECT f ' .444 Ith I - / � lF1L % J WWI J L- Wrr s,--T "tu gr Im HEI TZ may r di Mkq Z PA S / 7 J '' � L - .. mm I m1w=W Ic wwCONT RfW wmila 1 - ✓� <R. JAIIII!�Aff prowp 11 /24/08 CITY OF CAMAS N PROPOSED CFP LIST ALTERATIONS AUGUST 13 , 2008 1 inch equals 3,500 feet Capital Facilities Plan 11/14/07 2008 Fundinq Sources Year - 2008 General/ Equipment Emergency Storm Partnerships/ Water/Sewer s Total Project Street Fund Rental Rescue Fund Drainage Bonds Loan Grants Developer Capital REST impact Feeslee 7o'f51`FundS Dept. w STREET/STORM Zlili% R. Facilities PAVEMENT MGMT PROGRAM $ 3007000 300,000 SHARED PATH/BIKE/PED IMPROVE 150,000 150,000 ( } FISHER BASIN STORM STUDY 200,000 200,000 t 4 2tltl DOD =. LEAD­BETTER DESIGN 170,000 50,000 120,000 MARYLANDST. 125,000 125,000 NE 3RD AVE. SIDEWALK 250,000 200,000 50,000 ; 25Ob0 SUBTOTAL $ 73195,000 $ fyi sl it, 9StDD0, Dept. a WATER/SEWERIUTILITIES r tF Facilities '' SR-4 JONES BOULDER ASSESSMENT $ 100,000 SR-12 WELL 13 (WELL 4 GWI) 1 ,000,000 TibDD bDb SR-11 WATER RIGHT PURCHASE 165,000 z4Q5 DUd SR-9 WASHOUGAL RESOURCE DEV 500,000 �, C & 5QbibAO D-5 8" MAIN ON 8TH FOR FIRE FLOW 509000 - ter 'rs� gp DDD D-9 OSTENSON CANYON MAIN 900,000 T y, D-10 FIRE FLOW ON SIERRA ST 50,000 S-1 WEST PRUNE HILL RES ACQUISITK 500,000 F fir` SOD0 T-7 WASHOUGAL RIVER TRANS CROSE 2,500,000 {" ' -~# ,SDD`tltlb MISC WATER MAIN REPLACEMENT 400,000 C-1 :6 CONSERVATION PROGRAM 507000u rt1S�OkD, O WATER FACILITY PLAN UPDATE 150,000 BOULDER CREEK FISH SCREEN PROJ 50,000 LOWER PRUNE HILL PUMP #4 250,000 r 29Da0`b STIEGEWALK SOURCE PURCHASE 200,000 CROWN RD BS 675,000 CROWN MAIN LINE INSTALLATION 118002000 I `u6000�(ji ' BIOSOLIDS LAND APPLICATION 1007000r LACAMAS CREEK LAND ACQUISITION 250,000 JOY TO MAIN STATION DESIGN 150,000 f s: STP ROTARY SCREEN REPLACE 150,000 r f i� b-Q,QD SEWER MAIN REPLACE (NW 6th, at. al.) 1 ,400,000 '( AD011{1R"" SANITARY PS UPGRADES 200,000 Jb0bb'- STEP TANK PUMPING 1502000 OSTENSON CANYON RD SWR MAIN 300,000 SEWER FACILITY PLAN UPDATE 100,000 STP UPGRADE START 107000,000 ell {,n SUBTOTAL - $ 22,1401000ell c -k2,fbyFrj Dept. - GENERAL GOVT. - visV%4- On- Equipment .Equipment PHONE SYSTEM & TECHNOLOGY 3135 INFRASTRUCTURE 247,000 $ 24'�sArtlD ' SUBTOTAL $ 247,000 $ Is%''`' 2d7DD0 el i Dept. - SANITATION yg3aa � r - 1'F 9 E ul ment k _AUTOMATED REFUSE TRUCK $ 260,000 $*f[ a'12SD,DISD-„ SUBTOTAL $ 250,000 $ ='L50600 : 10 Capital Facilities Plan 11 /14/07 2008 Dept. - FIRE/EMERGENCY Equipment REPLACEMENT AMBULANCE $ 150,000 150,000 i x.. ikD`1�tly{S�' REPLACEMENT PUMPER TRUCK 3507000 3507000 W", .,' 850 Q00, EQUIPMENT, NEW PUMPER 50,000 50,000 r; 1 50th' -° Facil t es ._ h ' ..LrF>rv�-.;. .,; ..., '. '+ , ov®ditG:C 2b20 Idr _ar., La?,. � ,arn�,U3.-. t y , � .�, . s ...�: .a,�s:i,;1r .. � ,...x+....� x .v.. ... < , n x SUBTOTAL $ 5507000 t Dept. - PARKS it a ''zl' tr Facilities 5 ASH CREEK PARKDESIGN $ 200,000 I 7L 2Q,Oyt�T .d GRASS VALLEY PARK EXPANSIONyi.,. r f DESIGN 60,000 GOOT PARK BATHROOM REPLACE 90,000 PRUNE HILL SPORTS PARK, PH. III 350,000 WSHGL RIVER TRAIL CROSS T4 1 ,900,000 t '184.0 O011 LACAMAS LAKE OS CORRIDOR 9607000 960,000 est 96¢ 0¢q: OPEN SPACE ACQUISITION 2503000 SUBTOTAL $ 33810,000 Y F � i If S Dept. LIBRARY Egui ment 1t s } . - RADIO FREQUENCY ID TAGS, PH. II $ 120,000 SUBTOTAL $ 720,000 $ .y Ct i29ttl00;1 mv S ._ GRAND TOTAL $ 28,3121000 2007000 150,000 200,000 1 ,210,000 - 700,000 245,000 $ ? :!283.12,000i' 11 Capital Facilities Plan 11/14107 2009 Funding Sources Year - 2009 General/ Emergency Storm Partnership: Water/Sewer I IT Total Pro'ect Street Fund Rescue Fund Drainage Bonds Loan Grants Developer Capital REST Impact Fees `1`otal?'•••KdHtlsa, Dept. - STREET/STORM v 1 �XgVkx ) Facilities NW BRADY 16 TO 25TH DESIGN/ROW $ 330,000 165,000 165,000 $ ! sx330d0�1? PAVEMENT MGMT PROGRAM 300,000 300,000 t3QiY(7Q0 SHARED PATH/BIKE/PED IMPROVE 100,000 100,000 £ QQ OOQ FISHER B. WETLAND BANK/STORM500,000 500,000 3 5�p100b; STORM UTILITY NPDES 1209000 120,000 �3 'I7r0DQQ NW LEADBETTER IMPROVEMENT 1 ,900,000 1 ,900,000 Z. � i, a'1�9Q(} I70ff Equipment STORM WATER MTCE EQUIPMENT 65,000 65,000 SUBTOTAL $ 31315,000 ,3"-,f'451040 L � � Dept. - WATERISEWERIUTILITIES Facilities SR-8 WEST CAMAS WELLS -$ 900,000SR-1 I r a H-{ OIOOiiJ 300000 D-6 1211 LIPURCHASETER RIGHT NE FOR AIRPORT FIRE FLOW 458,000 b M 5%,%w T000T all : D-7 BOOSTER STATION ON COUCH FIRE IF 53,800 as r T-2 SUCTION SIDE MAIN ON LAKE RD 1 ,260,000 ` 1G.011 0'OOQ'; T-3 ADDITIONAL PUMP ON LACAMAS BS 65,000 X s sh6 Q 0 T-6 00 FOREST HOME BOOSTER UPGRADE 100,000 �' �" k � " MISC. WATER MAIN REPLACEMENT 75,000 ' C-1 :6 CONSERVATION PROGRAM 5050 000 Sptb"' ",- WIN •= E'tv� :'F `l; ' : ' 04 : u0� "`- ^' ' - ,- LamtcADFF, L .?'§ .. ' a's.,,l, �,,r ..+ , ggl&@ ` 6Lprx �"=a78C`!„`' ;.'A..vl vx ys,. r, s- „ , 5 ,_F 2k'x v`'rPrr '0$FF CJ. r�w , . . A CS , ' . ,. ` ., �. ' , -1. f , . . k . . . rs . /11. 1 '1 x., i ` rw S6b Ods 1 Y a �Mp11141=6163- , 1, . ,, e . ��^L �pn . >;. "� ss 7, s•�x � ADD.?:k,Y;,sK��a �+. :,^a .�- mss � ,��� �' ,a ',.. h� ,._ � �,"��?�.- .. . ���.lb'(a. :::. a� ` 1+ 1' ss,: . ; ^'xr . .Q :.+£. r ,r . . 6� �: �� 0 "F `,T ` `,'u� STP UPGRADE START 7,000,000 ANNUAL PS UPGRADES 2003000 SEWER--MAIN 11400,000 � 4t1�1i0Qp1; LACAMAS CREEK PS UPGRADE 11500,000 £ `d, l50fi UQ0f JOY TO MAIN STATION CONSTRUCTION 13000,000 BIOSOLIDS LAND APPLICATION 150,000 STEP TANK PUMPNG 150,000 G&O NUEA SANITARY (total 18,300,000) 10 11830,000 SUBTOTAL $ 190311 ,800 De t. - GENERAL GOVT. Equipment TECHNOLOGY UPGRADES $ 75,000 $ SUBTOTAL $ 75,000 IAs, SRs9 ,� t v SRI Dept, - PARKS £ k Facilities ASH CREEK PARK, PH. 1 $ 1 ,500,000 h$a'a ,tOtk.QOTI„;, BE !5FE NTON PARK TRAIL HEAD 200,000 c `2000115 ; GRASS VALLEY PARK EXPANSION 2003000 L' �s r`f,40,00,Ot PARKS LAND PURCHASE 650,000 0 X650 Tom+ TRAILS & TRAILHEAD ACQUISITION/CONS 250,000 Irl s' s250000,£,. OPEN SPACE ACQUISITION 250,000 12 Capital Facilities Plan 11/14/07 2009 Dept. - PARKS cont FALLEN LEAF OS/PARK ACQUISITION 4,000,000 15 , tunA000 OOd ' DRAINAGE IMPROVEMENTS PLAY FIELDS 75,000 r = 75'000" SUBTOTAL $ 7,125,000 $ Zy12OQ0 j I 1 Dept. - FIRE DEPARTMENT Facilities t t P < t� 000 ..�-t , . ...c: . s..,...:a,�. . k... t a.,,... AN- DESIGN DESIGN FIRE STATION 400,000 1n '' :40tl O4 ' sAWI,, r Equipment 5 REFURBISH AMBULANCE 125000$ Facilies PURCHASE STATION SITE NORTH-LAKE 1 ,000,000 SUBTOTAL $Dept. - LIBRARY Facilities LIBRARY PARKING $ 2001000 Equipment GATES COMPUTER EQUIPMENT REPLAC75,000 SUBTOTAL $ 75,000 71tliC0555��' 90U0Y0ttl0000�tl0000 " $` U :275V00" GRAND TOTAL $ 31 ,676,800 1 100,000 1 6851000 - - 165,000 I 715,000 7 ,900,000 $ ,418Z6;806�' 13 Capital Facilities Plan 11/14/07 2010 Year - 2010 Generall Equipment Emergency Storni ParinersM1 ps/ Water/Sewer " } rTotaiProectStreet Fund Rental RescueFund Draina a Bonds Loan Gants Unvelo er Ca ital REST Im a tF t ia1F ddDa t - STREETISTORMFacliitles NWBRADV 16 TO25THIMPROVEMENT 400000 400,000 400,000PAVEMENT MGMT PROGRAM 300,000SHARED PATHBIKEIPED IMPROVE 100000lee e— FISHER WETLAND BANKISTORMSTORM UTILITY NPDES 120000 ell =TI GNa cE Lr L sw. kv .,r_ ' rve . t a t oaD ' EIle ll4 Wpment a}vMN DUMPTRUCK 127,500 1277500 '�215tX9 SUBTOTAL $ 37017,500 r r a Dept. - WATER/SEWERIUTILITIES FacilitiesBlue YI7jbi D-8 8" MAIN ON KLICKITAT FIRE FLOW $ 62,000 0-11 12 ' MAIN ON 38TH ]]5,000 7yM16, S-2 WEST PRUNE HILL RES. 21500,000 S3 WEST PRUNE HILL 12" TRANS. LINE 3507000 MISC. WATER MAIN REPLACEMENT 75,000 x}LTr'�15 � C-1:6 CONSERVATION PROGRAM 50,000 le UGA RESERVOIR 1 ,000,000 t 130714 . UGA MAIN LINE 3,000000 t � -D '404 UGA PRV 112,000 STEP BYPASS LINE, PH. 1 1,5000000 ,dbO bt}b' WEST CAMAS FORCE MAINSOUTH PH 1 ,000,000 ' J. � s v4 ' , k .- COLLECTION SYSTEM UPGRADES: 215E L"r5{ „ 1561}k(COd` FRANKLIN, EVERETT 1 ,500,000 PUMP STATION UPGRADES 250,000 04 `^atib6b4O. BIOSOLIDS LAND APPLICATION last year175,000) s ? j#5 b06t STP UPGRADECLOSE-Dl1T (10%) 1],000,000 ] �� � STEP TANK PUMPING 1501000 I h14 ' G&O NUEA SANITARY (total 16,300,00D) 109 1 ,830,000 tt bad 00D : SUBTOTAL $ J1,J29,000 -$+ NINE aIm t� � Det. - GENERALGOVT. el All 96.,. n}3 } r Equipment it;'ptiTh ? TECHNOLOGY UPGRADES 75,000 L D SUBTOTAL $ ]5000 } Dept - PARKSme ltveer� a F t Facilities r Ik I CROWN PARK MASTER PLAN $ 90,000Iell 1"bOD, ZONE SPORTS PARK IMPROVEMENTS 21500,000 . �2SOD1�44a OSTENSON CANYON PARK, PH. 1 1,500,000 PARKS LANDS PURCHASE 650,000 TRAILS & TRAILIIEADACQUISITION/CON 250,000 OPEN SPACE ACQUISITION 260,000 iel5,5, w5 55t$! MAJOR CAPITAL MAINTENANCE 60,000 SD.bdff SUBTOTAL $ 52909000 ,�5e€9n bb45 � 1 i } Det - FIREIEMERGENCY 'i I Fk Y. Facilities "'v £ FIRE STATION CONSTRUCTION $ 3,600,000 . MlP q44 E ui men( rytlt }� '" tT M1 d NEWAMBULANCE 150,000 y-` BbbD SUBTOTAL $ 31750000 56' 1 i " JY bbq' TX1V'n` I ' ? 0¢ t - LIBRARY r Equipment RADIO FREQUENCY ID TAGS, PH 11 $ 120,000 1500000 t$ Lx 1;iDtl80` SUBTOTAL $ 110,000 k$ 'i ym'emc GRAND TOTAL $ 43,591500 800,000 12],500 150,000 620,000 - - - 400,600 - 400,000 6]0000 $` ' 43`39'[ 500:'- Page 14 Capital Facilities Plan 11/14/07 2011 Fundin Sources Year - 2011 General/ Egmpment Emergency Storm Partnerships/ Water/Sewer E > 'I Total Pro ect Street Fund Rental Rescue Fund Draina a Bonds Loan Grants Develo er Ca ital REET Im act Fees Tatal funds De L - STRE7&T RM Facilities PAVEMENT ROGRAM $ 300,000NW 38TH EAEST DESIGN 1 ,310,000 SHARED PA /PED IMPROVE 100,000 100,000 s 14d dd0 ; FISHER B. WETLAND BANK/STORM 500,000 5007000 1"#�5Q( ya00s STORM UTILITY NPDES 250,000 250,000 ty, y, 250000= NW 23RD IMPROVEMENTS 240,000 120,000 120,000c, t' 24AIM 0 Q00 Equipment 90,000 TO90,000 SUBTOTAL $ 2,780,000 $ ` Zr750000! a� Dept. - WATER/SEWER/UTILITIES Facilities D-15 12' MAIN LAKE TO 38TH $ 815,000ddOi TSI TRANSMSN MAIN EVERETT SOUTH 1 ,1305000 3i13d ) ,40' MISC WATER MAIN REPLACEMENT 75,000 1; s C-1 :6 CONSERVATION PROGRAM 50,000 3,000,000 UGA MAIN LINE �' 'IISy11Qd0'. PRV 1127000 STEP BYPASS LINE, PH. II SR-14? 17700,000 k'179�1vbQ TRANSMISSION TRUNK (WEST) TO MAIN STATION 1 ,500,000 COLLECTION SYSTEM UPGRADES 27000,000 k'200Q 016(x . PUMP STATION UPGRADES 250,000 STEP TANK PUMPING 175,000 G&O NUEA SANITARY (total 18,300,000) 11 178307000 ,.,3 d8000O . $ 12,637 SUBTOTAL ,000 $ +i2637k0001 Dept. - GENERAL GOVT. {' r E of ment '/,5 Qtltn TECHNOLOGY UPGRADES 75,0004si yru 7$ 000 SUBTOTAL $ 75,000 s 6tE .,j E Dept - PARKS a } t,ran Facilities FALLEN LEAF SPORTS COMPLEX $ 2405000 LOUIS BLOCH PARK LIGHTING UPGRD 150,000 SU-11 TRAILHEAD PURCHASE 2507000 n t( ,R 2gg00g,tO.00 PARKS LANDS PURCHASE 650,000 TRAILS & TRAILHEAD ACQUISITION/CO 250,000 OPEN SPACE ACQUISITION 2509000 11250.t7dQk MAJOR CAPITAL MAINTENANCE 50,000 T $ <118"40000:' SUBTOTAL $ 10840,000 Dept. - LIBRARY Equi ment GATES COMPUTER EQUIPMENT REPL $ 75,000 SUBTOTAL $ 75,000 GRAND TOTAL $ 17,417,000 1 5207000 1 900000 1 750,000 I - - 430,000 - 1 ,000,000 $="':1741700 `! Page 15 Capital Facilities Plan 11/14/67 2012 Fundinq Sources Year 2012 General/ Equipment Emergency Storm Partnerships/ Water/SewerVily Vi Total Pro ect Street Fund Rental Rescue Fund Drama a Bonds Loan Grants Developer Capitol REET Im act Fees , ]:Otaf�Urldey Dept. - STREETISTORM Facilities - ' ` PAVEMENT MGMT PROGRAM $ 300,000 300,000 FACRIM/PARKER SIGNAL 200,000 200000 SHARED PATH/BIKE/PED IMPROVE 100,000 100,000 FISHER B. WETLAND BANK/STORM 100,000 100,000 fin i O(?{Y,LOb1 STORM UTILITY NPDES 250,000 250,000 . 1500(70, NW LARKSPUR ST LAKE T060TH 528,100 528,100IIIII ,, 5ptaP , NW ASTOR/11TH FOREST HOME RD TO4 '- MCI 11828,100 1 ,828,100 rs� y't �'LZl 106, SUBTOTAL $ 3% ,300,200 3`804200 : VIA lFlN sg V12111 Dept. WAITER/SEWER/UTILITIES p Facilities T-5 TRANSMSN MAIN EVERETT NORTH $ 1 ,130,000 $ L I'{ 13010(k'. MISC. WATER MAIN REPLACEMENT $ 75,000 C-1 :6 CONSERVATION PROGRAM 507000 �.L 00Q01 UGA MAIN LINE 31000,000 UGA PRV 112,000 STEP BYPASS LINE, PH. II (SR-149) 250,000 COLLECTION SYSTEM UPGRADES 2000000 lr y2 T". PUMP STATION UPGRADES 300 000 ,. +3 %1's l .. . . `; a s a ,u, t ra- t a u fi 12=11, > � ski ME 4T' ab6 Il , T .lTEEL1 ANG '?ONOY � .Lw ,k sx , , r a , ; Lrz 306 L4A STEP TANK PUMPING 175,000V1. IN 3drn . G&O NUEA SANITARY (total 18,300,000) 1 1 ,830,000 '1936164 SUBTOTAL $ 103422,000 FIRM Dept. - GENERAL GOVT. Equipment l TECHNOLOGY UPGRADES 75,000 SUBTOTAL $ 75,000 Dept X34 r �2L ut P r 1n Facilities .Yi,l3°� 'g ; FIRE STATION NORTH - LAKE $ 41750,000 tt Equipments AMBULANCE RE-CHASSIS 100,000 150,000 I w ( .I0000 : FIRE ENGINE NORTH - LAKE 5005000 100,000 `(A6004 SUBTOTAL $ 5,350,000 =' 1000fU0#{p ruri 1i Dept. - PARKS 'JL'y`�i Py i� u f r Facilities PARKS LANDS PURCHASE $ 650,000 TRAILS & TRAILHEAD ACQUISITION/CO 250,000 j { e-2Q'006` OPEN SPACE ACQUISITION 250,000 MAJOR CAPITAL MAINTENANCE 50,000 SUBTOTAL $ 1,200,000 $ht'I 11200ig00.� k -, 16 Capital Facilities Plan 11/14/07 2012 Dept, m LIB NRY `h Equipment CARPET, PAINT $ 507000 ; �- $ UPHOLSTERED FURNITURE REPL 50,00050,tl,Ob MINOR REMODELING 250,000 '"!F ti25'D dDO'�. SUBTOTAL $ 350,000 $ 4-} 156 5011.. GRANDTOTAIL $ 20,703,200 400,000 - 250,000 350,000 - 2,356,200 - - 200000 .£20'353200c 17 Capital Facilities Plan 11114/07 2013 Fundin Sources Year 2013 General/ Equipment Emergency Storm Partnerships/ Water/Sewer -; E Total Project Street Fund Rental Rescue Fund Drainage Bonds Loan Grants Developer Ca ital BEET Impact Fe TataIFGrVds:. Dept. - STREET/STORM Facilities TIF STUDY UPDATE $ 807000 80,000 $ � 80 `00- PAVEMENT MGMT PROGRAM 300,000 300,000 �r' ' '31rdD0 ' NW 38TH WEST ROW 600,000 400,000 200,000 +. f2)110Q0^, SHARED PATH/BIKE/PED IMPROVE 50,000 50,000 fg p, 0g07 FISHER B. WETLAND BANK/STORM 100,000 100,000 'r.J kdi700v, STORM UTILITY NPDES 250,000 2502000 Az, '25($r0 0i SUBTOTAL $ 1 ,380,000ii '1r3 p000` NIK Dept. - WATER/SEWER/UTILITIES Facilities ( MISC. WATER MAIN REPLACEMENT $ 75,000 . ( 9 bR0 , C-1 :6 CONSERVATION PROGRAM 50,000 UGA MAIN LINE 37000,000 t`'-: i' t00y900 : UGA PRV 112,00a lad" 'f,1 ' 4006 UGA BOOSTER STATION 400,000 - Y'' ,,,. 00JOOQ;. COLLECTION SYSTEM UPGRADES 21500,000 2(5bt1160d; WWTFPLAN UPDATE 400,000 -; X00 q00 PUMP STATION UPGRADES 250,000 X11 15 25p140Q STEP TANK PUMPING 175,000 1 x 1;7' 7.747 000 G&O NUEA SANITARY (total 18,300,00U) 1 1 ,830,000 , ` , 3d-p60:t SUBTOTAL $ 8,792,000 Y52if00t 1 Wall Dept. - GENERAL GOVT. �t r75 t , Equipment TECHNOLOGY UPGRADES 75,000 7 06h�. SUBTOTAL $ 75,000 0¢ d S px Dept. • PARKS ;�� ��r ' � Facilities EAST HILLSIDE PARK $ 600,000 r a ri50 OIS11+ $ u PARKS LANDS PURCHASE 650,000 TRAILS & TRAILHEAD ACQUISITION/CO 250,000 r4 x;{i506Q6.ti OPEN SPACE ACQUISITION 250,000 tq h4 50.4009, MAJOR CAPITAL MAINTENANCE 50,000 * 1` '5b,000 SUBTOTAL $ 1,800,000 *�, 4nyG$4$f,44Q4 44 GRAND TOTAL $ 120479000 350,000 - - 350,000 - - 400,000 280000 §E ?P121„4'7' o- Page 18 Capital Facilities Plan 11/14/07 2014-2020 Funding Sources Year - 2014.2020 Generali Equlpement Emergency Storm Partnersh'ps/ Sandary Fund Water/Sewer `- .� r; Total Pro ect Street Fund Rental Rescue Fund Dra na a Bonds Loan Grants Develo er Ca ital capital REET Im act Fees To1aF Filrttls ::'. O t STREETISTORM is . �-kA 11% 4 Facilities -'G £.51 - 3 Cta �: ..+✓ . !' ._' - S 3 , �. ,L:� . BIB T :�s 4t .'�;v�asas . 0 rrvsldt I , s.: .., .as �.. z .. d a ,.L+: , ..._ .,vt� r' a 5 `` =, 40 16TH/H0OD/18TH IMPROVEMENT 2,0003000 600,000 7 ,4000001, }, .2All09,040(1 NW 18TH/PANNE WHITMAN TO PAC RIM 3,000,000 3,000,000 s 3/004,400 ':. % NW 38TH EAST ROW 400,000 400,000 49Q10 : NW 38TH AVE. ASTOR TO SIERRA 21713,000 247,000 2,486000 - 7'{ ..... NW 43RD/ASTOR SIERRA TO 38TH 2,894,500 2,894,500 `" 894 $94 SHARED PATH/BIKE/PED IMPROVE 700,000 700,000 x �` 704-➢➢4 PAVEMENT MGMT PROGRAM 2100000 2100000 'i u '1 dB Odd . N W 38TH BYBEE TO ASTOR % 10 000 000 _ 1 1 500 000 r� 500 000 1044{9400 N[<- 3 "Atl.$. 1EAuTtlrll"Y' 1[vl�'Fva " D r� ai , ¢ .. -1 .§# '; .�, . . Is s r*sf ' s r r .. a95440 , a. r7 1 � 3 . s ;- , ,R, ..., M � t . . s' -' '.r . y1 . f ` _ . ., sr -�, 1 c r 7:1^ ,ter` ¢ r al . 1 -1 'f ,'Y. 7+xIa -AiS6R,S+. :,. y'..;,.,r3iE :4r . r"-k �, k , sur rN,1s.(,.. ' =i�.. sxlb➢O.d40$r .. 3 s, .., ,It�G. ", ;tl'}.I.dl4tt - ; t�u dCl�i. s'. , ;s) i- .ai."7' � rrr€'"„` .T`:v; sr ^`' F. a±» ,�.�,7. Sb➢br .0ars� vY-,,.,.cH.-eulr3,.&' : 5�*ds , . ..G4,T .t ? .t I";35q�UQ"d➢4 , IMPACT FEE STUDY UPDATE 80,000 80 000 i; y f3:1 §OiQ➢0:` AREA WIDE SIGNAL STUDY 100,000 6TH/IVY TURN LANE 400,000 400000 ,` y '' 440�,009.:, eTH/7TH TURN LANE 400,000 400000 FIs ; .,5 -40�'Of�O 6TH/DIVISION TURN LANE 400,000 400000 l ; bOQ04d - FISHER B. BANK/STORM 700,000 700,000 irE ';F T04Udd;. STORM UTILITY NPDES 11750,000 11750,000 " ix 69 b0i NW FRIBERG/STRUNK IMPROVEMENT 21589,500 2,589,500 s kt y, ,5 N DWYER CREEK MP: STREET 21750,000 2,750,000 tKASQ OU N OWNER CREEK MP: STREET B 4,450,000 _ 4,450,000 ' �>r!7: 9d`O ISObx NW PAYNE ST LAKE TO CAMAS 1 ,990,900 1 ,990,900 f 9949Q0";, NW GOODWIN SIGNAL 267,000 267,000 ,�� 4�- ' d ➢,410.:, NW FRIBERG SIGNAL 267,000 267,000 r�,.R, ti ir`� l000:, NW LAKE RD SIGNAL 267,000 267,000 P, "q' 27, 004' NW 38TH/SE 20TH BYBEE TO 192ND 319507000 1 ,253,000 2,697000 `37 ,60 �54y094`.. NW 6TH & NORWOOD SIGNAL IMPROVE 200,000 200,000 3% NW NW MCINTOSH 11TH TO BRADY 4,700,000 4,100,000 , i4yA 11104,A. PA NW 18TH WHITMAN TO BRADY IMPR 1 ,634,000 323,000 1 ,311 000 NE 18TH ST 192ND TO GOODWIN 91340,000 TBD TBD TBD T 3 �140'f X NEGOODWIN RD 18TH 70232ND 20,530,000 TBD TBD TBD � j1110 „q,�F NE 28TH ST 232ND TO 242ND 6,8907000 - TBD TBD TBD ,A11 NW CAMAS MEADOWS DR 18TH TO 13TH 2,5402000A TBD TBD TBD yyr,;�!TE X2,5'11111� NW CAMAS MEADOWS OR 13TH TO LAKE 5,790,000 TBD TBD TBD 1110 S Q [580,. NE 232ND AVE 28TH 7018TH 4,880,000 TBD TBD TBD {"}y -48g4004',E-W COLLECT SE 15TH TO �'. TBO TBD BE 3RD ST REALIGNMENT CROWN/0231r 101800,000 TBD TBD TBD a` +Lrtiy iTa8904c, SE CROWN RD SE 23RD ST TO NE 3RD A 10,0407000 TED TBD TBD sys 1� $08g9440 _ b TRAFFIC CONTROL - TRAFFIC SIGNALS & 4 ROUNDABOUTS 11980,000 TBD TBD TBD .s98Q ➢ Q. �RVFF,%.ry AAA E ui ment C k SWEEPER 165,000 1657000 " 165090 DUMP TRUCK 127,500 127,500 f '�S 12'504„ BACKHOE 90,000 90,000 ;. B idQM TRACTOR W/ROADSIDE MOWER 85,000 85,000 SUBTOTAL $ 1347350,400 { Q 3594081'., Dept. - WATER/SEWER Fac%ices Page 19 Capital Facilities Plan 11/14/07 2014-2020 Year 2014-2020 General/ Equipement Emergency Storm Partnershps/ Santary Fund Water/Sewer Total Pr¢'ect Street Fund Rental Rescue Fund Drainage Bands Loan Grants DevelO a Ca itai Ca nal FEET Im act Fees Total FUn6s= ,'. MISC. WATER MAIN REPLACEMENT $ 75,0003t C-1 :6 CONSERVATION PROGRAM 50,000 De t. - WATER/SEWER cont. si I-" I WATER FACILITY PLAN UPDATE 150,000 STIEGERWALD SOURCE DEVELOPMENT 1 ,000,000 vi¢ Lla - 11 btld,dDb:. UGA RESERVOIR 1 ,600,000 �M AAA s "001}06 UGA MAIN LINE 3,000,0003DQ015DD, AA G&O NUEA SANITARY total 1813007000 50 9,750,000 ` x" ;1$D*tlb, STP UPGRADE: EQUIPMENT REPLACE 5,000,000 t00.000r STP UPGRADE: COLLECTION SYSTEM 103000,000t s1b 00000➢' STP UPGRADE: PUMP STATION 5,000,000 ibOd STP UPGRADE: DEMO G.P. _ " �' ` CONNECTIONS RELAY ADAMS UPSIZE 12000,000 _%F00DI000 - SUBTOTAL $ 36,025,000 $ 3C tl230Q0 ; Dept - GENERAL GOVT. F'.. E ui ment TECHNOLOGY UPGRADES 500,000 A A500 e' SUBTOTAL $ 500,000 t5 b5s00 Dp,4 D¢ t. - SANITATION '=' 3 Equipment SMALL REFUSE TRUCK $ 725,000Y i'`�15V66 AUTOMATED REFUSE TRUCK 2707000 MIf 270Q60; 6 x 395 gDIXx; SUBTOTAL S 395000A De t - POLICEIL Facilities na PARKING LOT E%PANSION $ 100 000 $ 100 000 $ 1Dtl 6 Odf AeA II :.;W b ' - ,`>>:,'x ,� ,r,„ .,„I."n ..., a` . . ; f4sz i, ,�oD ,. r,`�s, -� . or ; ; ?i; ' ,; 11 " - s'y1rs9ti8D ':. i � $ . ! / � 5oiaDp„. " +n " i. 3 Y' I <-`'Arr '�` -z " _.s t n. '- ate''-"�'. _ i ':,rs: 11Al .- 111` .. . .. 9,i16tl, : >; r k ° �. 5qD 6 'iVIF.;.°"d d .D �,i3,�v> ., '' SUBTOTAL $ 550,000 �, k Dept. - LIBRARY Equipment AAA a 's REPLACE INTEGRATED LIBRARY SYS. $ 150,000 150,000 $ x• )S0.tbyt REPLACE FURNISHINGS 75,000 75,000 }� Y5OD6 SUBTOTAL $ 225,000 b £ MR Y Dept, FIRE/EMERGENCY xL, it .0 A Facilities x*' 4 "4. 5 1 `h`i i 9e `h� k, nE §' S i ,it,-.f' )' �. ftp A " WE �, t>1s ,a� d-DO d .?X= 5 ,'.sa�.. ?. ' ?;. .,:: o�se. m� Dt _�4-` . '..a+ ~-+�,.:. . "a`'a .., xn` ' .s1az; ? ;. ... ..... . . ..3:,..us.`,S�x=x' . .:. 411D,nA4 -�s -. rt`Dufi' D Equipment AMBULANCE RE-CHASSIS 2014 $ 100,000 100,000 Y 5 )0(S'OOO"• AMBULANCE RE-CHASSIS 2076 100,000 700,000 4 17s1p' tl6', AMBULANCE RE-CHASSIS 2018) 1007000 100,000 s C' 314���1 AMBULANCE PURCHASE 2020 150,000 150,000 IAIi'i 7 b Q SUBTOTAL $ 450,000 ' �4,,480ib00 X t Dept. - PARKS Facilities 11 " COMMUNITY CENTER $ 30000,000 $ S,ODOOtDDi Page 20 Capital Facilities Plan 11/14/07 2014.2020 Year - 2014.2020 General/ Equipement Emergency Storm Partnersh ps/ San6ary Fund Water/Sewer Total Pro ect Street Fund Rental Rescue Fund Drama a Bonds Loan Grants Develo er Ca ital Capital REET Im act Fees Total FUtltt9..`,i PARKS LANDS PURCHASE 41550,000 TRAILS & TRAILHEAD ACQUISITION/CON 117fi 3 00 OPEN SPACE ACQUISITION 11750,000 # tTtYiOq( x.. Dept. - PARKS cont. PARKS DEVELOPMENT 510001000 MAJOR CAPITAL MAINTENANCE 350,000 SUBTOTAL $ 43,400,000 #28OOyd00 .. "f n 4 Dept. - LIBRARY a � i Equipment f DESIGN/BUILD NORTH SIDE LIBRARY REMODEL/EXPAND MAIN LIBRARY 51000,000 EQUIPMENT TBD 300,000 - " MRR 3I�0.Sl60;-. SUBTOTAL $ 91600,000 $ 605404; GRAND TOTAL $ 225,695400 3,025,000 917,500 2,450,000 - - 37,048,900 - 4,550,000 17,754000 >$' ,'2T$ 895'411�`. Page 21 Capital Facilities Plan 11/14/07 2021 -2027 Funding Sources Year - 2021 .2027 GeneraV Emergency Storm Partnerships WateriSewer P2,100,000 Street Fund Rescue Fund Drainape Bonds Loan Grants Developer Ca iwl REET Impact Fes . +h'btB[� Dept. - STREET/STORM P,i, Z' 't«` SHARED PATH/BIKE/PED IMPROVE 00 3502000 7 q t,. �a1tdDQ; PAVEMENT MGMT PROGRAM 000 2,100,000 �`stitl2-1�d 9�0 DALLAS/3RD TURN LANES 000 500000IMPACT FEE STUDY UPDATE000BRADY/16TH SIGNAL TURN LANES000 TBOiBD TBDFISHER B. WETLAND BANK/STORM ,000700,000STORM UTILITY NPDES 000 1 ,750,000SR-141NTERCHANGEIWIDENING W SLOUGH 7045TH ST ,000 60,000,000 20,000,000 1 ,800000NE 232ND AVE/9TH ST I BTHTO 242ND00 TBD TBD TBD 16 'vyl jbdU' N E 242ND AVE 26TH T 114TH 71880,000 TBD To TBD 4j '1-CEP 005`. NEW E-W ARTERIAL 242ND TO 23RD/CROWN RD 40,630,000 TBD TBD TBD dp $3411G04 NE EVERETT ST LAKE TO SE 4TH ST 11 ,500,000 TBD TBD TBD itN,� rv1,.}'tSi}fS'{KIIS" NE EVERETT RD SE 4TH TO NE 3RD ST 1 ,210,000 TBD TBD TBD .,+ T27,r909s TRAFFIC CONTROL - TRAFFIC SIGNALS & ROUNDABOUTS 11980,000 TBD TBD TBD SUBTOTAL $ 161,590,000 $) 1515944 4 . Oe t. • WATER/SEWER -` 'iw y� �l"S, � �' h Facilities ` lY . MISC. WATER MAIN REPLACEMENT 75,000 C-1 :6 CONSERVATION PROGRAM 50,000 t E WATER FACILITY PLAN UPDATE 150,000 t } 1$504b4 UGA MAIN LINE 31000,000 `� SStl,bbR WASTEWATER FACILITY PLAN UPDATE 500,000 , k`W' �.,SDDyQ't5 TREATMENT PLAN EXPANSION (newpint) 30,00010001 99USD9 COLLECTION SYSTEM UPGRADES 12,000,000 zih65/6 SUBTOTAL Dept. - GENERAL GOVT M Equipment s '3: TECHNOLOGY UPGRADES 500,000 SUBTOTAL § 500,000 E- r$44 QQb : Dept • POLICEcyY BUILDING REMODEL/EXPANSION $ 11500,000 $`" i 1549900 , SUBTOTAL $ 13500,000 I {i' s 4543 (009 MII Dept. - FIRE/EMERGENCY AMBULANCE PURCHASE (2022) $ 150,000 150,000 '1^G t5A`IDg4,.. REPLACEMENT LADDER TRUCK (2023) 500,000 5000000 REPLACEMENT PUMPER TRUCK (2023) 400,000 41 S50t1 �,400900': SUBTOTAL $ 1 ,050,000 �y4 b500�b Dept. , PARKS Facilities PARKS LANDS PURCHASE $ 4,550,000 $'- s'�. d $5004t� .. TRAILS & TRA ILHEADACQUISITION/CON 1 ,750,000 `+ X14 759404' OPEN SPACE ACQUISITION 17750,000 f�1. 75glgtl�D PARKS DEVELOPMENT 55000,000 p :399,0,b9p MAJOR CAPITAL MAINTENANCE 350,000 r 0$ SUBTOTAL $ 131400,000 $ y 13 #44040:1 J GRAND TOTAL $223 815 0001 3,350,000 150,000 1 60,000,000 20,000,000 - 2,350000 $223,H15p00. 22