Res 2014-58
RESOLUTION NO. 2014 - 58
A RESOLUTION ADOPTING THE 2015-2019 CAPITAL IMPROVEMENTS PROGRAM
WHEREAS, the preliminary 2015-2019 Capital Improvements Program was presented was
presented to the City Council for its consideration on June 16, 2014 and then again on August 18,
2014, and
WHEREAS, As a result of that review, it was concluded that the preliminary Capital Improvements
Program provides for an effective and orderly allocation of resources for the community’s needs,
and
NOW, THEREFORE, BE IT RESOLVED, by the City Council of the City of Fridley that the 2015-
2019 Capital Improvements Program as presented and discussed by the City Council on June 16,
2014 and then again on August 18, 2014, and as amended is hereby adopted.
TH
PASSED AND ADOPTED BY THE CITY COUNCIL OF THE CITY OF FRIDLEY THIS 25
DAY OF AUGUST 2014.
______________________________
SCOTT J. LUND - MAYOR
ATTEST:
________________________________
DEBRA A. SKOGEN - CITY CLERK
2015-2019
Capital Improvements Program
August 25, 2014
Final
2015-2019
Capital Improvements Program
Table of Contents
#§ ¯³¤±
I: Summary of Expenditures by Program Category & Method of Financin.................................... 2-1
II: Capital Equipment ......................................................................................................................... 2-2
III: Information Systems Internal Service Fund .................................................................................. 2-3
IV: Building Capital Improvements ..................................................................................................... 2-4
V: Parks Capital Improvement........................................................................................................... 2-5
VI: Streets Improvement Fund ........................................................................................................... 2-6
VII: Storm Water Fund ........................................................................................................................ 2-7
VIII: Water Utility Fund......................................................................................................................... 2-8
IX: Sewer Utility Fund ......................................................................................................................... 2-9
X: Liquor Fund ................................................................................................................................. 2-10
#§ ¯³¤±
Capital Equipment ..................................................................................................................... 3-1 to 3-20
Information Systems Internal Service Fund ................................................................................ 4-1 to 4-5
Building Capital Improvements ................................................................................................. 5-1 to 5-13
Parks Capital Improvement ......................................................................................................... 6-1 to 6-5
Streets Improvement Fund ......................................................................................................... 7-1 to 7-9
Storm Water Fund ....................................................................................................................... 8-1 to 8-8
Water Utility Fund ....................................................................................................................... 9-1 to 9-4
Sewer Utility Fund ................................................................................................................... 10-1 to 10-8
Liquor Fund .......................................................................................................................................... 11-1
1
Capital Improvements Program
The Capital Improvements Program (CIP) is a five-year plan to provide and
maintain public facilities for the citizens and businesses of Fridley, balanced
against the constraints of available resources
Funding Priority
Reinvestment for the replacement, maintenance or increased efficiency of
existing systems will have priority over the expansion of existing systems or the
provision of new facilities or services. Priority rankings include:
1.Assigned to projects that provide protection to health, safety, welfare
and/or property, or to meet legal mandates. Examples of such benefits
include providing for worker safety or preventing damage to facilities.
2.Assigned to projects that do not qualify for the highest rating, butprovide
efficiencies in operations or provide significant return. Examples of such
benefits include increases to operational efficiencies and leveraging of
outside funding sources.
3.Assigned to projects that do not meet the criteria for higher rating. While
these projects are necessary and recommended, they do not in and of
themselves provide immediate significant benefits, but rather provide
benefit over the long term.
This rating is assigned by staff, and is not necessarily reflective of overall
priorities and sequencing of CIP projects approved by the City Council. The
rating is provided to allow a quick reference categorizing the general need for the
project.
Planning Principles
The CIP will support achievement of the City’s long-term Strategic Goals.
The CP will be updated annually to reflect changing capital needs for new
construction and maintenance of the City’s substantial investments in
streets, utilities, parks, buildings and equipment.
Development of the CIP will be consistent with the annual operating
budget. Future operating costs associated with new capital improvements
will be projected and included in operating budget forecasts.
2
Table I
Capital Improvements Program
2015-2019
EXPENDITURES BY PROGRAM CATEGORY & METHOD OF FINANCING
20152016201720182019TOTALPercent
Expenditures
Program Category
Major Equipment$ 1,515,200$ 709,200$ 753,200$ 549,500$ 656,000$ 4,183,10012.8%
Technology Improvements 317,200 272,700 196,700 241,400 196,700 1,224,7003.7%
Municipal Buildings 3,746,000 2,224,000 581,000 221,000 211,000 6,983,00021.3%
Parks Improvements 320,000 120,000 145,000 180,000 250,000 1,015,0003.1%
Street Improvements 2,614,750 1,695,750 1,365,000 2,100,000 1,475,250 9,250,75028.3%
Storm Drainage Improvements 460,000 430,000 345,000 500,000 570,000 2,305,0007.0%
Water System Improvements 1,030,000 805,000 810,000 930,000 1,530,000 5,105,00015.6%
Sewer System Imp 415,000 315,000 405,000 410,000 285,000 1,830,0005.6%
Municipal Liquor Stores 425,000 400,000 - - - 825,0002.5%
Total Expenditures By Program$ 10,843,150$ 6,971,650$ 4,600,900$ 5,131,900$ 5,173,950$ 32,721,550100.0%
Method of Financing
Property Taxes$ 50,000$ 75,000$ 100,000$ 125,000$ 150,000$ 500,0001.4%
Local Government Aid 1,315,400 1,315,400 1,315,400 1,315,400 1,315,400 6,577,00018.5%
Municipal State Aid 686,800 686,800 686,800 686,800 686,800 3,434,0009.6%
Federal Highway Aid 970,000 150,000 - 600,000 - 1,720,0004.8%
Grants 3,050,000 2,200,000 50,000 175,000 - 5,475,00015.4%
User Fees (External & Internal) 2,380,000 2,025,000 1,660,000 1,965,000 2,535,000 10,565,00029.7%
Park Dedication Fees 5,000 5,000 5,000 5,000 5,000 25,0000.1%
Special Assessments 700,000 700,000 560,000 580,000 580,000 3,120,0008.8%
Interest on Investments 43,400 41,100 39,800 38,800 36,700 199,8000.6%
Auction Proceeds 30,000 30,000 30,000 30,000 30,000 150,0000.4%
Utility Improvement Bonds - - - 2,460,000 - 2,460,0006.9%
Transfers In (Liquor Proceeds) 250,000 250,000 250,000 250,000 250,000 1,250,0003.5%
Transfers In (Other Funds) 125,000 - - - - 125,0000.4%
Total Method of Financing$ 9,605,600$ 7,478,300$ 4,697,000$ 8,231,000$ 5,588,900$ 35,600,800100.0%
2 - 1
Table II
CIP 2015-2019
CAPITAL EQUIPMENT FUND
Funding Sources and Expenditure Projections
New or
Replacement ()
20152016201720182019Unfunded
Funding Sources
Local Government Aid$ 1,040,400$ 990,400$ 590,400$ 590,400$ 590,400
Equipment Certificate Proceeds - - - - -
Liquor Store Proceeds (Transfer) 175,000 175,000 175,000 175,000 175,000
Auction Proceeds 30,000 30,000 30,000 30,000 30,000
Total Funding Sources$ 1,245,400$ 1,195,400$ 795,400$ 795,400$ 795,400
Expenditures
Police
Police Squad / SUV / Pickup$ 175,000$ 178,500$ 183,000$ 187,000$ 191,000
Emergency Sirens 45,200 47,500 - - -
800 MHz Radio Replacement 78,700 78,700 - -
Fire
Fire Engine 550,000 - - - -
Rescue Truck(s) - - 85,000 - -
Rescue Boat 30,000 - - - -
Aerial Ladder Paint/Rehab - - - 80,000 -
40,000
Station AlertingNew - - - -
800 MHz Radio Replacement 61,500 61,500 61,500 -
-
SCBA Replacement - - - 250,000
Public Works - Parks Division
38,000
Mowers 20,000 34,000 26,000 -
Pickup Trucks 29,000 30,000 20,000 53,000 -
Dump Trucks with Plows 25,000 - - 39,000 -
97,000
Utility Vehicle for PlowingNew - - -
Utility Vehicles and Equipment 48,000 9,000 157,000 62,000 25,000
Public Works - Streets Division
Pickup Trucks 73,000 - - - -
Dump Trucks with Plows 165,000 - - - 170,000
Heavy Equipment 140,000 180,000 - - -
Paving Equipment - - - 3,000 20,000
Aerial Equipment 135,000 - - - -
Utility Vehicles and Equipment - 7,000 134,000 14,000 -
Public Works - Garage Division
Equipment - - - 8,000 -
Community Development
Pickup Trucks 22,000 - - - -
Mid-size Passenger Vehicle - - - 16,000 -
Total Expenditures$ 1,515,200$ 709,200$ 753,200$ 549,500$ 656,000
Surplus (deficiency) of funding sources
over (under) expenditures$ (269,800)$ 486,200$ 42,200$ 245,900$ 139,400
Estimated Beginning Fund Balance 323,465 53,665 539,865 582,065 827,965
Estimated Ending Fund Balance$ 53,665$ 539,865$ 582,065$ 827,965$ 967,365
2 - 2
Table III
CIP 2015-2019
INFORMATION SYSTEMS CAPITAL PROJECTS FUND
Funding Sources and Expenditure Projections
2015201620172018*2019*Unfunded
Funding Sources
Property Taxes$ 50,000$ 75,000$ 100,000$ 125,000$ 150,000
Local Government Aid - 50,000 50,000 50,000 50,000
Charges for Services 50,700 50,700 50,700 62,900 50,700
Interest on Investments 1,500 1,500 1,500 1,500 1,500
Transfers In 125,000 - - - -
Total Funding Sources$ 227,200$ 177,200$ 202,200$ 239,400$ 252,200
Expenditures
Software & Equipment Purchases/Upgrades*$ 40,000$ 27,000$ 45,000$ 41,000$ 41,000
Computer & Printer Replacement* 75,000 145,000 101,000 115,000 115,000
Microsoft SA Licenses (server CALs)* 20,000 - - - -
Switching Infrastructure Replacement* 75,000 - - - -
Firewall Replacements* 10,000 - - - -
Two Factor Authentication 40,700 40,700 40,700 75,400 40,700
Special Assessments 7,500 - - - -
Police Tablet Computers 39,000 - - - -
Image System Enhancements 10,000 10,000 10,000 10,000 -
Phone System Replacement - 50,000 - - -
Remodeling IT Costs - - - - - 80,000
Total Expenditures$ 317,200$ 272,700$ 196,700$ 241,400$ 196,700$ 80,000
Surplus (deficiency) of funding sources
over (under) expenditures$ (90,000)$ (95,500)$ 5,500$ (2,000)$ 55,500
Estimated Beginning Fund Balance 237,031 147,031 51,531 57,031 55,031
Estimated Ending Fund Balance$ 147,031$ 51,531$ 57,031$ 55,031$ 110,531
* - These items are grouped into one project sheet
The Information Systems Fund has traditionally only done a three-year plan due to the fast changing technology world. There will be projects
in the out years, but they have yet to be determined.
2 - 3
Table IV
CIP 2015-2019
Building Capital Improvements
Funding Sources and Expenditure Projections
20152016201720182019Unfunded
Funding Sources
Local Government Aid$ 250,000$ 250,000$ 550,000$ 550,000$ 550,000
Interest on Investments 500 500 500 500 500
Springbrook Nature Center (State & Foundation) 3,000,000 2,000,000 - - - 2,600,000
Total Funding Sources$ 3,250,500$ 2,250,500$ 550,500$ 550,500$ 550,500$ 2,600,000
Expenditures
Municipal Center
Municipal Center Roof Replacement
$ 210,000$ -$ -$ -$ -
Municipal Center Parking Ramp Repairs 150,000 - - - 50,000
Municipal Center HVAC Retrofit 25,000 25,000 25,000 50,000 30,000
Municipal Center Exterior Repairs 50,000 - - 100,000 100,000
Gun Range Backstop Retrofit - 35,000 - - -
Municipal Center Lower Level Remodel - 80,000 400,000 - -
Workstation Replacements/Repairs 20,000 20,000 20,000 20,000 20,000
Storage, Cabinets, Fixtures 6,000 6,000 6,000 6,000 6,000
Municipal Center Campus Renovation - - - - - 16,245,000
Public Works
Public Works Garage Paving Retrofit 25,000 - - - -
Public Works Garage Building Upgrades 60,000 - - 40,000 -
Public Works Garage HVAC Retrofit - 13,000 - - -
Public Works Garage Fueling Relocation/Retrofit 170,000 - - - -
Public Works Campus Renovation (phases 1-3) - - - - - 13,500,000
Community Center
Furniture & Fixtures 10,000 5,000 5,000 5,000 5,000
Fire Stations
Fire Station 2 & 3 Security Upgrades 20,000 - - - -
Fire Station 3 Building Repairs - - 25,000 - -
Floor Resurfacing - All Stations - 25,000 - - -
Fire Station 1 Kitchen Improvements - 15,000 - - -
Propane Fire Simulator - - 100,000 - -
Springbrook Nature Center
SPRING Project 3,000,000 2,000,000 - - - 2,600,000
Total Expenditures$ 3,746,000$ 2,224,000$ 581,000$ 221,000$ 211,000$ 32,345,000
Surplus (deficiency) of funding sources
over (under) expenditures$ (495,500)$ 26,500$ (30,500)$ 329,500$ 339,500
Estimated Beginning Fund Balance 766,786 271,286 297,786 267,286 596,786
Estimated Ending Fund Balance$ 271,286$ 297,786$ 267,286$ 596,786$ 936,286
2 - 4
Table V
CIP 2015-2019
PARKS CAPITAL IMPROVEMENT
Funding Sources and Expenditure Projections
20152016201720182019Unfunded
Funding Sources
Local Government Aid$ 25,000$ 25,000$ 125,000$ 125,000$ 125,000
Park Dedication Fees 5,000 5,000 5,000 5,000 5,000
Liquor Store Proceeds (Transfer) 75,000 75,000 75,000 75,000 75,000
Interest on Investments 15,000 15,000 15,000 15,000 15,000
Total Funding Sources$ 120,000$ 120,000$ 220,000$ 220,000$ 220,000
Expenditures
Court Surfacing/Overlays$ 30,000$ 30,000$ 30,000$ 30,000$ 30,000
Park Furnishings 10,000 10,000 10,000 10,000 10,000
Lighting Upgrades - - - - 20,000
Parking Lot Replacement - 50,000 - - 50,000
SNC Boardwalk Replacement 250,000 25,000 25,000 25,000
Playground Equipment Replacement 30,000 30,000 80,000 115,000 115,000
Total Expenditures$ 320,000$ 120,000$ 145,000$ 180,000$ 250,000
Surplus (deficiency) of funding sources
over (under) expenditures$ (200,000)$ -$ 75,000$ 40,000$ (30,000)
Estimated Beginning Fund Balance 1,667,903 1,467,903 1,467,903 1,542,903 1,582,903
Estimated Ending Fund Balance$ 1,467,903$ 1,467,903$ 1,542,903$ 1,582,903$ 1,552,903
2 - 5
Table VI
CIP 2015-2019
STREET IMPROVEMENT FUND
Funding Sources and Expenditure Projections
20152016201720182019Unfunded
Funding Sources
Municipal State Aid - State Aid Routes$ 317,400$ 317,400$ 317,400$ 317,400$ 317,400
Municipal State Aid - Local Routes 369,400 369,400 369,400 369,400 369,400
Federal Highway Aid 970,000 150,000 - 600,000 -
Special Assessments 700,000 700,000 560,000 580,000 580,000
Interest on Investments 26,400 24,100 22,800 21,800 19,700
Total Funding Sources$ 2,383,200$ 1,560,900$ 1,269,600$ 1,888,600$ 1,286,500
Expenditures
Street Rehabilitation Program$ 960,000$ 960,000$ 770,000$ 800,000$ 800,000
Street Sealing Program 265,000 265,000 275,000 275,000 280,000
Trail/Walk Upgrades 100,000 100,000 100,000 100,000 100,000
Street Lighting Upgrade/Retrofit 20,000 90,000 90,000 - -
Traffic Signal Maintenance/Retrofit 20,000 20,000 20,000 180,000 180,000
Capital Signage Replacements 15,000 - 15,000 15,000 15,000
Traffic Safety Improvement Projects 15,000 30,000 30,000 630,000 30,000
Main Street Pedestrian Bridge Project 1,150,000 150,000 - - -
Transfer to the General Fund (Staff Allocation) 69,750 80,750 65,000 100,000 70,250
Total Expenditures$ 2,614,750$ 1,695,750$ 1,365,000$ 2,100,000$ 1,475,250
Surplus (deficiency) of funding sources
over (under) expenditures$ (231,550) $ (134,850) $ (95,400) $ (211,400) $ (188,750)
Estimated Beginning Fund Balance 2,643,882 2,412,332 2,277,482 2,182,082 1,970,682
Estimated Ending Fund Balance$ 2,412,332$ 2,277,482$ 2,182,082$ 1,970,682$ 1,781,932
2 - 6
Table VII
CIP 2015-2019
STORM WATER FUND
Funding Sources and Expenditure Projections
20152016201720182019Unfunded
Funding Sources
Storm Water Utility Fees$ 1,044,124$ 1,065,007$ 1,086,307$ 1,108,034$ 1,130,194
Grants and Other Revenue 50,000 200,000 50,000 175,000 150,000
Interest on Investments 14,000 12,000 12,000 12,000 12,000
Total Funding Sources$ 1,108,124$ 1,277,007$ 1,148,307$ 1,295,034$ 1,292,194
Expenditures
Operating Expenses (less depreciation)$ 514,801$ 525,097$ 535,599$ 546,310$ 557,237
Debt Service 35,163 34,413 33,663 32,912 32,163
Subtotal Operating Expenditures$ 549,964$ 559,510$ 569,262$ 579,222$ 589,400
Capital Expenditures
Water Quality Testing$ 10,000$ 10,000$ -$ -$ 15,000
Pond Maintenance 25,000 25,000 25,000 25,000 25,000
Misc. Drainage Improvements - - - -
Storm Sewer Replacement/Reconstr/Lining 60,000 60,000 60,000 60,000 65,000
Storm Sewer System Upgrades 60,000 60,000 60,000 60,000 100,000
Watershed BMP Implementation 20,000 20,000 - - -
Mississippi WMO Water Quality Project 70,000 - - - -
CCWD WMO Water Quality Project - 70,000 70,000 -
Erosion Control Project TBD - - 25,000 25,000 25,000
Locke Lake Dam Maintenance 35,000 35,000 - - -
Moore Lake Subwatershed Flood Control Upgrades - - 55,000 - -
TMDL Water Quality Projects 180,000 220,000 50,000 50,000 150,000
Locke Lake Dredging (RCWD Cost Share) - - - - 20,000
Locke Lake Dam Upgrades - - - 35,000 -
Riverview Heights Flood Control Upgrades - - - 175,000 -
Capital Equipment - - - - 170,000
Subtotal Capital Expenditures$ 460,000$ 430,000$ 345,000$ 500,000$ 570,000
Total Expenditures$ 1,009,964$ 989,510$ 914,262$ 1,079,222$ 1,159,400
Surplus (deficiency) of funding sources
over (under) expenditures$ 98,160$ 287,497$ 234,045$ 215,812$ 132,794
Estimated Ending Cash Reserve$ 1,126,515$ 1,414,012$ 1,648,057$ 1,863,869$ 1,996,663
2 - 7
Table VIII
CIP 2015-2019
WATER UTILITY FUND
Funding Sources and Expenditure Projections
20152016201720182019Unfunded
Funding Sources
Water Sales$ 3,004,359$ 3,154,047$ 3,311,209$ 3,476,304$ 3,649,595
Interest on Investments 50,000 44,000 44,000 44,000 44,000
Bond Proceeds - - - 2,460,000 -
Antenna Lease Fees 35,000 35,000 35,000 35,000 35,000
Miscellaneous Income 140,600 140,600 140,600 140,600 140,600
Total Funding Sources$ 3,229,959$ 3,373,647$ 3,530,809$ 6,155,904$ 3,869,195
Expenditures
Non-Capital Expenditures
Operating Expenses (Less Depreciation)$ 1,996,450$ 2,036,379$ 2,077,107$ 2,118,649$ 2,161,022
Debt Service 1,089,498 1,094,699 1,088,930 1,092,086 1,309,011
Subtotal Non-capital Expenditures$ 3,085,948$ 3,131,078$ 3,166,037$ 3,210,735$ 3,470,033
Capital Expenditures
Distribution System Reconstruction$ 500,000$ 300,000$ 500,000$ 300,000$ 600,000
Well Updates (building repairs and pump recon) 90,000 90,000 90,000 90,000 100,000
Water Meter Replacement - AMR System 110,000 120,000 120,000 120,000 160,000 700,000
Commons Park Boiler Replacement 60,000 - - - -
Chemical Tank Replacement - 20,000 - - -
Water Plant Security Upgrades 40,000 - - - -
Dead End Line Elimination - Fireside & Central - - - 100,000 -
Fleet Vehicles 30,000 - - 35,000 35,000
Variable Frequency Drives 120,000 - - 35,000 35,000
Plant #3 Backwashing Control System Upgrade 60,000 - - - -
Chem Feed & Storage Sys Upgrade at Commons - 165,000 - - -
Commons Park Plant Filter Rehab/Media Replacement - - - - 600,000
Recondition 63rd Ave Booster Pumps - 40,000 - - -
Storage Building - - 100,000 250,000 -
Well 13 Analysis & Availability 20,000 20,000 - - -
Regulated Treatment Modifications - 50,000 - - -
Subtotal Capital Expenditures$ 1,030,000$ 805,000$ 810,000$ 930,000$ 1,530,000$ 700,000
Total Expenditures$ 4,115,948$ 3,936,078$ 3,976,037$ 4,140,735$ 5,000,033
Surplus (deficiency) of funding sources
over (under) expenditures$ (885,989)$ (562,431)$ (445,228)$ 2,015,169$ (1,130,838)
Estimated Beginning Cash Reserve 4,844,784 3,958,795 3,396,364 2,951,136 4,966,305
Estimated Ending Cash Reserve$ 3,958,795$ 3,396,364$ 2,951,136$ 4,966,305$ 3,835,467
2 - 8
Table IX
CIP 2015-2019
SEWER UTILITY FUND
Funding Sources and Expenditure Projections
20152016201720182019Unfunded
Funding Sources
Sewer Services$ 4,727,200$ 4,964,110$ 5,212,866$ 5,473,509$ 5,692,169
Interest on Investments 20,000 25,000 30,000 30,000 30,000
Miscellaneous Income 55,000 55,000 55,000 55,000 55,000
Total Funding Sources$ 4,802,200$ 5,044,110$ 5,297,866$ 5,558,509$ 5,777,169
Expenditures
Non-Capital Expenditures
Operating Expenses (Less Depreciation)$ 760,154$ 771,555$ 783,129$ 794,876$ 806,798
Sewer Service Charge 3,674,820 3,858,561 4,051,489 4,173,034 4,298,225
Debt Service 43,400 42,500 41,600 45,625 44,575
Subtotal Non-capital Expenditures$ 4,478,374$ 4,672,616$ 4,876,218$ 5,013,535$ 5,149,598
Capital Expenditures
Sanitary Sewer Collection System Recon$ 40,000 $ 80,000 $ 40,000 $ 45,000 $ 45,000
Sanitary Sewer Collection System Lining 310,000 215,000 315,000 220,000 220,000
Sanitary Sewer Force Main Recon - - - 90,000 -
Georgetown Lift Station Rehab - - - - -
62nd Street Lift Station Rehab - - - - -
Lift Station Rehabilitation 10,000 20,000 - 20,000 20,000
Submersible Portable Pump - - - - -
Large Diameter Interceptor Cleaning - - - - -
CCTV Camera System 55,000 - - - -
Fleet Vehicles - - 50,000 - -
Jet/Vac Combination Truck (split with Water) - - - - -
MCES Overflow Connection - - - - -
Replace/Recondition CCTV Trailer - - - 35,000 -
Subtotal Capital Expenditures$ 415,000$ 315,000$ 405,000$ 410,000$ 285,000
Total Expenditures$ 4,893,374$ 4,987,616$ 5,281,218$ 5,423,535$ 5,434,598
Surplus (deficiency) of funding sources
over (under) expenditures$ (91,174)$ 56,494 $ 16,648 $ 134,974$ 342,571
Estimated Beginning Cash Reserve 908,466 817,292 873,786 890,434 1,025,408
Estimated Ending Cash Reserve$ 817,292$ 873,786$ 890,434$ 1,025,408$ 1,367,979
2 - 9
Table X
CIP 2015-2019
LIQUOR FUND
Funding Sources and Expenditure Projections
20152016201720182019Unfunded
Funding Sources
Liquor Sales (3% Growth)$ 5,564,733$ 5,731,675$ 5,903,625$ 6,080,734$ 6,263,156
Interest on Investments - - - - -
Miscellaneous Income - - - - -
Total Funding Sources$ 5,564,733$ 5,731,675$ 5,903,625$ 6,080,734$ 6,263,156
Expenditures
Non-Capital Expenditures
Cost of Sales (25% Gross Profit Target)$ 4,173,549$ 4,298,756$ 4,427,719$ 4,560,550$ 4,697,367
Operating Expenses (Less Depreciation) 970,093 989,495 1,009,285 1,029,471 1,050,060
Transfers 250,000 250,000 250,000 250,000 250,000
Capital Outlay-Other
Subtotal Non-capital Expenditures$ 5,393,643$ 5,538,251$ 5,687,004$ 5,840,021$ 5,997,427
Capital Expenditures
Point of Sale System Upgrade$ 25,000 $ -$ -$ -$ -
Highway 65 Store Remodel/Feasibility 400,000 400,000 - - -
3rd Store Location - - - - - 900,000
Subtotal Capital Expenditures$ 425,000$ 400,000$ -$ -$ -$ 900,000
Total Expenditures$ 5,818,643$ 5,938,251$ 5,687,004$ 5,840,021$ 5,997,427
Surplus (deficiency) of funding sources
over (under) expenditures$ (253,910) $ (206,577) $ 216,621$ 240,712$ 265,729
Estimated Beginning Cash Reserve 172,497 (81,413) (287,990) (71,369) 169,343
Estimated Ending Cash Reserve$ (81,413)$ (287,990)$ (71,369)$ 169,343$ 435,072
2 - 10
Description:
Project Category:
Capital Equipment
This item provides for the replacement of a
Project Title:
Police Squad Car Replacement
portion of the Police Department squad car
fleet.
Total Estimated Cost:
$ 175,000 (2015)
Funding Priority:
1
Account Number:
410-0440-425-4540
Source of Project Funding20152016201720182019
Capital Equipment Funding$ 175,000$ 178,500$ 183,000$ 187,000$ 191,000
Justification:Relationship to General Plan and Other Projects:
Consistent with previous years, every year four vehicles This equipment replacement will allow the Police
out of the Police Department fleet (currently 29 Department to effectively patrol and respond to incidents
vehicles) will be replaced on a regular, systematic and emergenciesconsistent with their public safety
rotation in close consultation with the City Mechanic and responsibilities.
based on mileage, maintenance and safetyconcerns.
Replacements are typically made of primary patrol
service vehicles which are then transitioned to
secondary service within the fleet.
For 2015:
Replacing Units 345, 381 and 383 (all Chevrolet
Caprice sedans in primary patrol service) with three (3)
Ford Utility crossover vehicles at $44,000 each.
Replacing Unit 346 (Chevrolet Caprice sedan in primary
patrol service) with one (1) Chevrolet Caprice sedan at
$43,000 each.
Four vehicles currently used in secondary service at the
lowest condition rating will be offered to other
departments (Finance, Public Works, and Community
Development) based on condition; or, may be sold at
auction.
The Police Department fleet consists of:
12 marked squad cars assigned to primary patrol
service;
6 marked squadcars assigned to secondary service
for SRO, CSO, and Reserve Unit activities
10 unmarked cars assigned to secondary service
for Investigation, Pawn, Special Projects, and
command staff activities
1 All Terrain Vehicle
29 total vehicles in service
3-1
Description:
Project Category:
Capital Equipment
This item provides for the replacement of the
Project Title:
Outdoor Warning Siren Head
siren head component of the outdoor warning
Replacement
siren system.
Total Estimated Cost:
$ 92,700
Funding Priority:
1
Account Number:
410-0441-425-4540
Source of Project Funding20152016201720182019
Capital Equipment Funding$ 45,200$ 47,500$ 0$ 0$ 0
Justification:Relationship to General Plan and Other Projects:
The May 6, 1965 tornado outbreak that affected Fridley This equipment replacement will maintain the integrity of
was the first time in Twin Cities history that civil defense the emergency outdoor warning siren system consistent
sirens were used to warn of severe weather. Now days, with emergency management responsibilities.
outdoor warning sirens are primarily used to provide
warning of severe weather conditions and they are still
the most effective method to warn the population at
large in the shortest amount of time. The City currently
has eight outdoor warning sirens that were purchased
and installed in 1988. Each siren consists of two parts –
a controller and a siren head. The components have
now reached their end of life and over the past few
years there has been an increase in malfunctions and
maintenance costs. The Police Department has already
embarked ona plan for upgrading the outdoor warning
siren system so that the City does not experience any
failures to provide warning to the public because of
aged equipment. In 2014, the siren controllers will be
replaced at a total cost of $54,575. The siren head
replacement will complete the necessary upgrades.
3-2
Description:
Project Category:
Capital Equipment
This item provides for the replacement of 800
Project Title:
800 MHz Radio Replacement
MHz two-way radios for the Police and Fire
Departments.
Total Estimated Cost:
$ 424,017
Funding Priority:
Account Number:
410-0440-425-4540(Police)
410-0550-425-4540 (Fire)
Source of Project Funding20152016201720182019
Capital Equipment Funding
Police$ 82,200$ 78,700$ 78,700$ 0$ 0
Fire$ 0$ 61,500$ 61,500$ 61,500$ 0
Total$ 82,200$ 140,200$ 140,200$61,500$ 0
Justification:Relationship to General Plan and Other Projects:
Police Officers and Firefightersuse two-way radiosto This equipment replacement will allow the Police and
conduct business and serve the public. This includes Fire Departments to effectively communicate and
routine day-to-day activities such as traffic stops, coordinate resources consistent with their public safety
investigations, inspections and general administrative responsibilities.
duties as well as emergency activities involving
response to crimes-in-progress, medicals, fires, and
other disasters or incidents. Radio systems are a critical
component in the communication and coordination of
resources. The events of September 11, 2001 exposed
and reinforced the urgent need for public safety
agencies to adopt modern interoperable communication
systems. In 2004 public safety agencies in Anoka
County joined the Allied Radio Matrix for Emergency
Response (ARMER) 800 MHz radio system, a
communications network developed by the State of
Minnesota. The portable and mobile 800 MHz radios
obtained during implementation of that system have
now reached their end of life. The current radios are no
longer available for purchase and will no longer be
serviceable by 2018. Anoka County Central
Communications Radio Service has advisedagencies
to create a plan for purchasing new radios to ensure
theydo not experience any communication failures
because of aged equipment.
3-3
Description:
Project Category:
Capital Equipment
This item provides for the scheduled
Project Title:
Fire Department Engine
replacement of Fire Department Vehicles
Total Estimated Cost:
$550,000
Funding Priority:
1
Account Number:
Source of Project Funding20152016201720182019
Capital Equipment Funding$550,000$0$0$0$0
Justification:Scheduling and Project Status:
Engine 2 is one of three engines that service the This engine would be a twin to the engine purchased for
City. This engine is located in Station 2 on the east Station 3. All of the specifications have been writtenandIt
side of the City and will be over 20 years old at time is anticipated that a contract with Houston Galveston Area
of replacement. The Fire Department attempts to Consortium could be signed and the truck ready for
keep engines on a 20 year replacement cycle for the manufacture in the first quarter of 2015. Assuming the
purpose of maintaining a reliable piece of equipment, truck manufacturer’s schedule is open the truck could be
limiting repair cost and providing new technology that built before the end of the year 2015.
benefits the firefighters in the form of efficiency and
safety. The fire department also benefits from
Relationship to General Plan and Other Projects:
modern equipment by attracting perspective
firefighter applicants from Fridley and the
surrounding communities. The three fire enginescontribute to the city’s overall ability
The cost of the project includes replacement of most to provide fire protection and are necessary to maintain
equipment and hose on the vehicle ensuring that the City’s Insurance Services Organization(ISO) rating.
equipment is replaced periodically. ISO gives points for distribution of engines every 1.5
miles, for required equipment on the engine and for the
rate the pump can deliver water.
Effect on Annual Operations Costs:
The equipment will not change operation cost and the
equipment is anticipated to have a 20 year service life.
3-4
Description:
Project Category:
Capital Equipment
This item provides for the scheduled
Project Title:
Rescue Truck Replacement
replacement of a Fire Department Rescue
truck.
Total Estimated Cost:
$45,000
Funding Priority:
1
Account Number:
Source of Project Funding20152016201720182019
Capital Equipment Funding
$0$0$45,000 $0$0
Justification:Relationship to General Plan and Other Projects:
Rescue 1 is the primary rescue truck out of Station 1 Replacement is consistent with the Fire Department’s
and was purchased at cost of over $98,000 in 2008. vehicle replacement schedule.
The truck is used daily for routine transportation of the
duty crew, inspections and response to calls for
Effect on Annual Operations Costs:
service including medical calls. The vehiclehas high
mileage in a city environment and many hours of time
where it idles. The original concept of a larger truck The equipment will not change operation cost and the
that can carry lots of equipment for both fire and equipment is anticipated to have a 5 year service life.
rescue response has proven to be less desirable.
The Fire Department is requesting a SUV size vehicle
that will still keep equipment warm or cool, depending
on the season, will be easier to maneuver and get
better fuel consumption. The truck also retains some
value in 2017 if it were to be sold.
3-5
Description:
Project Category:
Capital Equipment
Project Title:This item provides for the scheduled
Replacement Fire Vehicle
replacement of a Fire Department Fire Chief’s
Total Estimated Cost:
Vehicle.
$40,000
Funding Priority:
1
Account Number:
Source of Project Funding20152016201720182019
Capital Equipment Funding
$0$0$40,000$0$0
Justification:Relationship to General Plan and Other Projects:
This purchase was originally in the replacement Replacement is consistent with the Fire Department’s
schedule for 2014 to replace a 2009 Chevrolet vehicle replacement schedule.
Impala. It was deferred to 2017 because the Impala
has low miles and is in good condition. By using a vehicle similar to police the mechanics have
knowledge of similar vehicles, emergency warning
The Fire Department is requesting that the sedan devices and access to parts.
style vehicle be replaced with a Ford utility crossover
vehicle consistent with the police patrol vehicles.
Effect on Annual Operations Costs:
Unlike the Impala, which has a trunk, the crossover
would have cabin space for consistent heating and
cooling of equipment, a larger cabin for work space, The equipment will not change operation cost and the
and room for storage of contaminated clothing equipment is anticipated to have a 8 year service life.
outside of the passenger seating area.
3-6
Description:
Project Category:
Capital Equipment
This is a new item that would accommodate a
Project Title:
Fire Department Boat
change in demand for services on the
Mississippi River.
Total Estimated Cost:
$30,000
Funding Priority:
1
Account Number:
Source of Project Funding20152016201720182019
Capital Equipment Funding
$30,000$0$00$$0
Justification:
The Fire Department is requesting a rigid hull, flat bottom
Originally this was a scheduled replacement of the boat to take over the mission on the river. A shallow draft
2000 inflatable boat which is used for Fire Department boat and engine are required because of the changing
emergency and routine operations and by Public river depth. The new boat would also be compatible with
Works for deployment and recovery of thin ice signs. Brooklyn Park’s boat for towing and linking to form a
larger operating platform. The inflatable boat will see
The request for a new boat comes with an apparentreduced service and be maintained for retention ponds,
shift in service on the Mississippi River. Calls for lakes and a second means of rescue or back up to the
rescues of people on the water have come at a slower new boat. For safety reasons it is our policy to operate
pace while rescue of stranded boaters and two boats on the river during a rescue.
deployment of containment boom for hazardous
Relationship to General Plan and Other Projects:
material has increased.
While the current boat was best utilized for rescues of Purchase of this boat is consistent with a plan for Coon
persons from the water and its portability to remote Rapids, Brooklyn Park and Fridley to provide a safe and
bodies of water, it is not constructed for towing and efficient response to both emergency and nonemergency
does not have the required horse power for towing missions on the Mississippi River.
boats and deploying containment boom. Firefighters
Effect on Annual Operations Costs:
have improvised in towing and created conditions that
are not safe.
The equipment will not change operation cost and the
equipment is anticipated to have a 20 year service life.
3-7
Description:
Project Category:
Capital Equipment
This item provides for the scheduled
Project Title:
Fire Department Aerial
refurbishment and improvements of Fire
Ladder Improvements
Department Vehicles
Total Estimated Cost:
$80,000
Funding Priority:
1
Account Number:
Source ofProject Funding20152016201720182019
Capital Equipment Funding$0$0$0$80,000$0
Justification:Relationship to General Plan and Other Projects:
Aerial 2 wasdelivered in 2006 and has an expected Refurbishment and improvements at a vehicles half life is
service life of 25 years. During the service life of the consistent with the Fire Department’s vehicle replacement
vehicle it is exposed to conditions that wear on the schedule.
exterior and interior portions of the vehicle and
changes in technology make available safer and
more efficient options for firefighting and emergency
work.
It is anticipated that at the vehicles half service life in
2018 there will be a need to repair exterior paint,
provide updated highway visibility in the form of
reflective markings and emergency lightingand
provide updated technology for fire and rescue
operations.
3-8
Description:
Project Category:
Capital Equipment
This purchase is a replacement and
Project Title:
Station Alerting System
improvement of the emergency call alerting
system for Fire Station 1.
Total Estimated Cost:
$40,000
Funding Priority:
1
Account Number:
410-0550-425-4560
Source of Project Funding20152016201720182019
Capital Equipment Funding
$40,000$0$0$0$0
Justification:Scheduling and Project Status:
Radio paging is the primary method of receiving Digital communication from Anoka County Central
emergency call information from Central Communication is expected to be available in November
Communications. The current alerting system has 2014. Station alerting equipment could be purchased
been cobbled together by firefighters and technicians early in the year 2015 and installed by a local low voltage
from Anoka County Central Communications over the contractor and or electrician. The system could be fully
past 25 plus years. operational within two months of delivery of the
The current station alerting system is a combination of equipment.
a radio pager, amplifier, speakers and a relay that
turns on the lights in three rooms. The radio speakers
Relationship to General Plan and Other Projects:
in each area cannot be adjusted independently,
making the audio difficult to hear in different areas of
the building. Speakers were acquired from the This project dependant on the Anoka County PSDS
renovation of one of the liquor stores and from Radio installation. The project is designed to improve employee
Shack and are of poor quality adding to the poor health and protect facilities.
performance. The current alerting system opens to its
Effect on Annual Operations Cost:
set audio level and turns on the lights regardless of
day or night operation.
The Anoka County Public Safety Data System will
This project has no anticipated effect on annual operating
provide a digital means of transmitting both audio and
cost.
digital (displayed) information to the fire stations. The
goal of a new system is to reduce the stress on
firefighters by producing a “ramped” audio alert and
lighting and with a computer generated voice
providing a calm clear voice. This system also has the
capability to be expanded in the future to shut off
appliances, close garage doors, and control the
vehicleexhaust system. The system could also
display dispatch information and count up or down
from the time of the call giving firefighters a visual
queue for how long to wait for staff coming from
home. In general, a new system would reduce stress,
improve communication and provide for better security
and safety.
3-9
Description:
Project Category:
Capital Equipment
Project Title:This item provides for the scheduled
Self Contained Breathing
replacement the Fire Department’s Self
Apparatus
Contained Breathing Apparatus.
Total Estimated Cost:
$250,000
Funding Priority:
1
Account Number:
Source of Project Funding20152016201720182019
Capital Equipment Funding
$0$0$0$0$250,000
Justification:Relationship to General Plan and Other Projects:
The Self Contained Breathing Apparatus (SCBA) is The replacement of SCBA cylinders is required by DOT in
the firefighter’s most important personal protection. the year 2019 and replacement of the SCBA technology is
Respiratory protection is used not only on fires but consistent with the Fire Departments practice of
also in environments were chemicals are present or replacement with the cylinders.
oxygen is absent.
The SCBA air cylinders are limited in life expectancy
Effect on Annual Operations Costs:
by the Department Of Transportation to 15 years. In
15 years the technology also changes significantly
enough that firefighter’s benefit from improvements in Annual cost of replacement parts and service may
safety and efficiency. increase with the purchase of new technology SCBA.
SCBA are required to be tested annually and advances in
technology will add to the complexity of the units to be
tested. It is also anticipated that advanced technology will
also increase the cost of repair and parts. SCBA while
new still experience very harsh conditions and physical
abuse in protecting firefighters which leads to
maintenance regardless of the age of the units
3-10
Project Category:
Capital Equipment
Description:
Project Title:
Zero-turn Mower
This equipment will replace one of our mowers
used for grass cutting by the Parks
Total Estimated Cost:
$16,000
Maintenance Division in City parks.
Funding Priority:
2
Account Number:
573-XXXX
Future UnitNumber:
XXXX
Replaces Unit Number:
515
Equipment Selection:
Public Works Parks
Maintenance Division
Payroll Logged to Project:
None
Source of Project Funding20152016201720182019
Capital EquipmentFunding$16,000
Justification:Relationship to General Plan and Other Projects:
This is one of our front-line mowersfor cutting grass in This equipment purchase will allow the Public Works
City parks.This mower is one of three zero-turn Department to continue providing its current level of
mowers in our fleet, which are used full-time from service.
April/May through September.
Scheduling and Project Status:Effect on Annual Operations Costs:
Purchase is planned for 2015.The proposed amount This equipment will not change our operations costs
includes trade-in of the replaced unit.supported by Public Works Department budgets.The
equipment is anticipated to have an 8-10 year service
life.
3-11
Project Category:
Capital EquipmentDescription:
Project Title:
New Front-Mount Mower
This equipment is for a new front-mount mower
used by the Parks Maintenance Division for
Total Estimated Cost:
$ 22,000
grass cutting in City parks.
Funding Priority:
2
Account Number:
573-XXXX
Future UnitNumber:
XXXX
Replaces Unit Number:
New
Equipment Selection:
Public Works Parks
Maintenance Division
Payroll Logged to Project:
None
Source of Project Funding20152016201720182019
Capital Equipment Funding$ 22,000
Justification:Relationship to General Plan and Other Projects:
Public Works has proposed one additional front-mount This equipment purchase will allow the City to enhance
mower to add to our existing mower. This equipment its level of service in City parks and rights-of-way turf
will enable Parks Maintenance to staff two full mowing maintenance. It will also allow for additional redundancy
crews to perform grass cutting in City parks. This unit during times of alternate equipment downtime.
would be used full-timefrom April/May through
September.
Scheduling and Project Status:Effect on Annual Operations Costs:
Purchase is planned for 2015.This equipment will add slightly to fuel and equipment
maintenance costs which are supported by Public Works
Note: The existing front-mount mower is shown in the
Department budgets. The equipment is anticipated to
photo above. The new mower will augment this
have a 10-12 year service life.
equipment
3-12
Project Category:
Capital Equipment
Description:
Project Title:
Crew Cab Pickup Truck
This equipment will replace our only crew cap
pickup used to transport large Parks
Total Estimated Cost:
$ 29,000
Maintenance crews and equipment.
Funding Priority:
2
Account Number:
573-XXXX
Future UnitNumber:
XXXX
Replaces Unit Number:
548
Equipment Selection:
Public Works Parks
Maintenance Division
Payroll Logged to Project:
None
Source of Project Funding20152016201720182019
Capital Equipment Funding$ 29,000
Justification:Relationship to General Plan and Other Projects:
This vehicle is used as transportation for our larger This equipment purchase will allow the Public Works
crews, and is used by Parks Maintenance trimming and Department to continue providing its current level of
turf management personnel. It is used full-time from service.
April/May through September, and is utilized as a
backup vehicle during low-useperiods.
Scheduling and Project Status:Effect on Annual Operations Costs:
Purchase is planned for 2015. The proposed amount This equipment will not change our operations costs
includes trade-in of the replaced unit.supported by Public Works Department budgets.The
equipment is anticipated to have a 20 year service life.
3-13
Project Category:
Capital Equipment
Description:
Project Title:
One-ton Truck with Utility Body
This equipment will replace the one-ton utility
truck used by the Parks Maintenance Division.
Total Estimated Cost:
$ 25,000
Funding Priority:
2
AccountNumber:
573-XXXX
Future UnitNumber:
XXXX
Replaces Unit Number:
564
Equipment Selection:
Public Works Parks
Maintenance Division
Payroll Logged to Project:
None
Source of Project Funding20152016201720182019
Capital Equipment Funding$ 25,000
Justification:Relationship to General Plan and Other Projects:
This utility truck is used year-round by the Parks This equipment purchase will allow the Public Works
Maintenance Division as a mobile tool platform for Department to continue providing its current level of
various mechanical repairs and construction work in our service.
parks.
Scheduling and Project Status:Effect on Annual Operations Costs:
Purchase is planned for 2015. The proposed amount This equipment will not change our operations costs
includes trade-in of the replaced unit.supported by Public Works Department budgets. The
equipment is anticipated to have a 15 year service life.
3-14
Project Category:
Capital Equipment
Description:
Project Title:
Sweeper Tractor with Wing
This equipment will replace one of our sweeper
tractors with wings used by the Parks
Total Estimated Cost:
$48,000
Maintenance Division in City parks.
Funding Priority:
2
Account Number:
573-XXXX
Future UnitNumber:
XXXX
Replaces Unit Number:
563
Equipment Selection:
Public Works Parks
Maintenance Division
Payroll Logged to Project:
None
Source of Project Funding20152016201720182019
Capital Equipment Funding$48,000
Justification:Relationship to General Plan and Other Projects:
This proposed replacement is for one of two units that This equipment purchase will allow the Public Works
Public Works uses this equipment for skating rink Department to continue providing its current level of
clearing, sweepingof trails and courts, aerating, service.
seeding, and tilling.This equipment is being used year-
round.
Scheduling and Project Status:Effect on Annual Operations Costs:
Purchase is planned for 2015. The proposed amount This equipment will not change our operations costs
includes trade-in of the replaced unit.supported by Public Works Department budgets.The
equipment is anticipated to have a 25 year service life.
3-15
Project Category:
Capital Equipment
Description:
Project Title:
One-ton Truckwith Dump Body
This equipment will replace one of the one-ton
dump trucks used by the Street Maintenance
Total Estimated Cost:
$46,000
Division.
Funding Priority:
2
Account Number:
573-XXXX
Future UnitNumber:
XXXX
Replaces Unit Number:
728
Equipment Selection:
Public Works Street
Maintenance Division
Payroll Logged to Project:
None
Source of Project Funding20152016201720182019
Capital Equipment Funding$46,000
Justification:Relationship to General Plan and Other Projects:
This dumptruck is used year-round by the StreetThis equipment purchase will allow the Public Works
Maintenance Division for plowing in the winter and Department to continue providing its current level of
hauling materials in the summer.service.
Scheduling and Project Status:Effect on Annual Operations Costs:
Purchase is planned for 2015. The proposed amount This equipment will not change our operations costs
includes trade-in of the replaced unit.supported by Public Works Department budgets.The
equipment is anticipated to have a 15 year service life.
3-16
Project Category:
Capital Equipment
Description:
Project Title:
4x4 Pickup Truck
This equipment will replace one of the pickup
trucksused by the Street Maintenance
Total Estimated Cost:
$ 27,000
Division.
Funding Priority:
2
Account Number:
573-XXXX
Future UnitNumber:
XXXX
Replaces Unit Number:
753
Equipment Selection:
Public Works Street
Maintenance Division
Payroll Logged to Project:
None
Source of Project Funding20152016201720182019
Capital Equipment Funding$ 27,000
Justification:Relationship to General Plan and Other Projects:
This pickup truck is used year-round by the Street This equipment purchase will allow the Public Works
Maintenance Division for transporting personnel and Department to continue providing its current level of
equipment in the winter and summer.service.
Scheduling and Project Status:Effect on Annual Operations Costs:
Purchase is planned for 2015. The proposed amount This equipment will not change our operations costs
includes trade-in of the replaced unit.supported by Public Works Department budgets.The
equipment is anticipated to have a 15 year service life.
3-17
Project Category:
Capital Equipment
Description:
Project Title:
Six-yard Dump Truck with Plow
This equipment will replace one of the large
dump trucks used by the Streets Division.
Total Estimated Cost:
$ 165,000
Funding Priority:
2
Account Number:
573-XXXX
Future UnitNumber:
XXXX
Replaces Unit Number:
755
Equipment Selection:
Public Works Street
Maintenance Division
Payroll Logged to Project:
None
Source ofProject Funding20152016201720182019
Capital Equipment Funding$ 165,000
Justification:Relationship to General Plan and Other Projects:
This dump truck is one of six large trucksused year-This equipment purchase will allow the Public Works
round by the Street Maintenance Division for plowing in Department to continue providing its current level of
the winter and hauling materials in the summer.service.
Scheduling and Project Status:Effect on Annual Operations Costs:
Purchase is planned for 2015. The proposed amount This equipment will not change our operations costs
includes trade-in of the replaced unit.supported by Public Works Department budgets.The
equipment is anticipated to have a 15 year service life.
3-18
Project Category:
Capital Equipment
Description:
Project Title:
Wheeled loader with wing
This equipment will replace one of the wheeled
loaders used year-round by the Streets
Total Estimated Cost:
$140,000
Division.
Funding Priority:
2
Account Number:
573-XXXX
Future UnitNumber:
XXXX
Replaces Unit Number:
774
Equipment Selection:
Public Works Street
Maintenance Division
Payroll Logged to Project:
None
Source of Project Funding20152016201720182019
Capital Equipment Funding$140,000
Justification:Relationship to General Plan and Other Projects:
This heavy equipmentis one of three loaders used This equipment purchase will allow the Public Works
year-round by the Street Maintenance Division for Department to continue providing its current level of
plowing in the winter, loading trucks,andmoving service.
constructionand fill materials year-round.
Scheduling and Project Status:Effect on Annual Operations Costs:
Purchase is planned for 2015. The proposed amount This equipment will not change our operations costs
includes trade-in of the replaced unit.supported by Public Works Department budgets.The
equipment is anticipated to have a 20 year service life.
3-19
Project Category:
Capital Equipment
Description:
Project Title:
Large aerial boom truck
This equipment will replace the large aerial
boom truck used by the Streets Division.
Total Estimated Cost:
$135,000
Funding Priority:
2
Account Number:
573-XXXX
Future UnitNumber:
XXXX
Replaces Unit Number:
793
Equipment Selection:
Public Works Street
Maintenance Division
Payroll Logged to Project:
None
Source of Project Funding20152016201720182019
Capital Equipment Funding$135,000
Justification:Relationship to General Plan and Other Projects:
This aerialtruck is the larger of two units used year-This equipment purchase will allow the Public Works
round by the Street Maintenance Division for tree Department to continue providing its current level of
trimming and removal, traffic signal and area lighting service.
repair, and building repair work.
Scheduling and Project Status:Effect on Annual Operations Costs:
Purchase is planned for 2015. The proposed amount This equipment will not change our operations costs
includes trade-in of the replaced unit.supported by Public Works Department budgets.The
equipment is anticipated to have a 20 year service life.
3-20
Description:
Project Category:
Technology Improvements
Funding for replacement of computers,
Project Title:
Technology Purchases/Upgrades
including desktops, laptops and servers, local
area network equipment, printers, peripheral
Total Estimated Cost:
$845,571
devices, telecommunication improvements,
and software over the next 5 years. Also
Funding Priority:
2
provides for the purchase of new equipment
and software that serves the city as a whole.
Account Number:
705-0000-415-XXXX
Finance Project Number:
705017
Source of Project Funding20152016201720182019
MIS Fund
$ 220,000$ 172,000$ 146,000$ 156,000$156,000
Justification:Relationship to General Plan and Other Projects:
Systematic maintenance and upgrading of computers, Budgeting and purchasing technology equipment and
network equipment, printers, peripheral devices, and software through the MIS Fund allows the city greater
software.flexibility to direct resources where they are most needed
rather than relying on individual department budgets.
Most PCs are on a five-year replacement cycle.
Effect on Annual Operations Costs:
Laptops are replaced every four years. Printers are
eligible for replacement every four yearsbut are only
replaced if there are significant problems with an Annual maintenance costs may increase as old
individual device.equipment is replaced or as new equipment is added.
These maintenance costs are a part of the general fund
Software is typically purchased at the same time as operating budget.
the PC it will be loaded on to, and is usually only
upgraded/replaced with that PC.
Network equipment, including servers and LAN/WAN
hardware, are eligible for replacement every four
years.
Scheduling and Project Status:
PCsand printersare purchased through the year after
consultation with the affected departments and users.
Network equipment is analyzed on a yearly basis to
determine if it is still meeting the needs of the city.
Some specific expenditures include:
2015: Network core switches ($75,000) and the city’s
firewalls ($10,000) are eligible for replacement.The
city must also renew its Microsoft user licenses in
2015.
4-1
Description:
Project Category:
Technology Improvements
Implement Advanced (Two-Factor)
Project Title:
Police 2-Factor Authentication
Authentication and secure VPN for all police
mobile units.
Total Estimated Cost:
$332,847 (includes prior years)
Funding Priority:
1
Account Number:
705-0000-415-XXXX
Finance Project Number:
705023
Source of Project Funding20152016201720182019
MIS Fund
$40,700$ 40,700$40,700$75,400$ 40,700
Justification:Relationship to General Plan and Other Projects:
Advanced authentication and encrypted This project will integrate with the implementation of
communications for all police mobile units is Police Tablet Computers to facilitate police data
mandated by the FBI and State of MN BCA as of communications.
2014. This requirement is satisfied through the
Effect on Annual Operations Costs:
implementation of a two-factor authentication system
requiring officers to both know a password and
possess an authentication token to access Criminal Fridley Police Department will be responsible for their of
Justice (CJIS) data.annual operating costs.
Scheduling and Project Status:
System implementation will be completed in 2014.
Fridley has partnered with the City of Blaine to spread
fixed costs over more users. Based on a four-year
lifetime, system hardware will likely require
replacement in 2018.
4-2
Description:
Project Category:
Technology Improvements
Upgrade the current Special Assessments
Project Title:
Upgrade of Special
database to SQLwith web interface
Assessments System
Total Estimated Cost:
$7,500
Funding Priority:
2
Account Number:
705-0000-415-XXXX
Finance Project Number:
705018
Source of Project Funding20152016201720182019
MIS Fund
$7,500$ 0$ 0$ 0$ 0
Justification:Relationship to General Plan and Other Projects:
The special assessment database is currently based Any upgrade to Special Assessments must wait until the
on Microsoft Access and has not been kept up to date features and technologies of the 2014-2015Financial
with the latest releases. This is causing some System Upgrade are finalized.
necessary procedures to beband aided in order to
Effect on Annual Operations Costs:
work.
None.
Scheduling and Project Status:
This project is expected to be completed by 3Q 2015.
However, any upgrade to Special Assessments must
wait until the features and technologies of the 2014-
2015Financial System Upgrade are finalized so that
the two systems interoperate and do not overlap.
4-3
Description:
Project Category:
Technology Improvements
Assign tablet PCs to each licensed police
Project Title:
Police Tablet PCs
officer and to the CSO and Reserve units to
replace laptop computers and other equipment
Total Estimated Cost:
$75,000(includes prior years)
in squad cars.
Funding Priority:
2
Account Number:
705-0000-415-XXXX
Finance Project Number:
705020
Source of Project Funding20152016201720182019
MIS Fund
$39,000$ 0$ 0$ 0$ 0
Justification:Relationship to General Plan and Other Projects:
The objective of this project is to put information Implements a cost effective solution that provides tools
access and management tools directly in the hands of for first responders to receive and act upon critical, officer
the officer, no matter where they are, by replacing the and community safety information while handling
MDTs mounted in the squad cars with tablet PCs that incidents; provides a means of efficiently collecting,
are assigned to individual officers. This will allow accessing and managing data; addresses CJIS security
officers to fill out forms, add drawings, add deficiencies.
photographs, send and receive information, store,
Effect on Annual Operations Costs:
search and review notes, and convert notes to
reports. Tablet PCs areportable, flexible, and can be
docked in the squad car or in the office.Assigned Annual operating costs to the City and Department are
tablet PCs would be carried by officers on traffic anticipated to be unaffected.Setup, training,
stops, during field contacts, at accident and crime maintenance and support will be covered under existing
scene investigations, providing instant access to contracts and/or with existing city staff.
critical information that may relate directly to the
officer’s safety as well as allowing on-scene data
query and recording capabilities. Tablet PCs can also
be used as both audio and visual recording devices,
replacing dedicated recorders and cameras. Use of
tablets would alsobring the Department into
conformity with CJIS security policies.
Schedulingand Project Status:
As requirements of the coming Public Safety Data
System become known (anticipated 20144Q) begin
implementation of tablet PCs for detectivesand
administrators in 2014. Complete implementation of
tablet PCs for patrol officers, CSO Unit, Reserve Unit,
and spares by end of 2015Q1.
4-4
Description:
Project Category:
Technology Improvements
Replacement of phone system and handsets
Project Title:
Phone System Replacement
originally purchased in 1999 andupgraded in
2009.
Total Estimated Cost:
$50,000
Funding Priority:
2
Account Number:
705-0000-415-XXXX
Finance Project Number:
Source of Project Funding20152016201720182019
MIS Fund
$0$50,000$ 0$0$ 0
Justification:Relationship to General Plan and Other Projects:
The current phone system and handsets wereThis project will leverage the upgrade of the city’s
originally purchased in 1999. The system was network switching infrastructure scheduled for 2015.
upgraded in 2009to extend its life an additional 5-7
Effect on AnnualOperations Costs:
years and will need replacement.When the city
decides to replace its phone system, IP phone
providers connected to the Anoka County fiber If the city chooses to purchase its own phone system,
network would be a possibility, though new handsets operating costs would be similar to existing costs. If the
would still have to be purchased. The city could also city, instead, chooses to utilize a VoIP vendor, the initial
investigate cost sharing with another on the fiber project costs would be lower, but operating costs would
network.rise accordingly based on the number of phones
supported.
Scheduling and Project Status:
Implementation will be completed in 2016.
4-5
Description:
Project Category:
BuildingsCIP
This item funds the second phase of
Project Title:
Municipal Center Roof
replacement of the existing roof for the Fridley
Replacement
Municipal Center Building.
Total Estimated Cost:
$ 220,000(including 2014 costs)
Funding Priority:
1
Account Number:
573-XXXX
Finance ProjectNumber:
XXXX
Reimbursements:
Possible Power Grant through Xcel Energy
Design and Inspection:
Consultant and Engineering Division Staff
Payroll Logged to Project:
Public Works Department Engineering Division
Source of Project Funding20152016201720182019
Capital ImprovementFund
$ 210,000
Justification:Relationship to General Plan and Other Projects:
The existing HDPEmembrane roof over the Fire The project provides a needed second phase of
Department is 20+ years old and requires seasonal replacement of the Municipal Center roof. The first
repair to minimize damage from leaks. A similar phase was completed in 2012.
membrane roof was replaced in 2012 over the
Effect on Annual Operations Costs:
remaining Fridley Municipal Center with a TPO roof.
This project is needed to maintain building integrity and This project will provide a modest decrease in annual
avoid damage to building contents.operating costs in Municipal Center Operations through
energy savings and lower repair requirements. The
Scheduling and Project Status:
project will be administered and coordinated by the
Engineering Division.
Design will be completed in 2014, with construction
ensuing in 2015.
5-1
Description:
Project Category:
BuildingsCIP
This item funds a major repair of the parking
Project Title:
Municipal Center Parking Ramp
ramp at the Fridley Municipal Center Building.
Repairs
Total Estimated Cost:
$ 339,000(including prior costs)
Funding Priority:
1
Account Number:
573-XXXX
Finance ProjectNumber:
XXXX
Reimbursements:
None
Design and Inspection:
Consultant and Engineering Division Staff
Payroll Logged to Project:
Public Works Department Engineering Division
Source of Project Funding20152016201720182019
Capital ImprovementFund
$150,000
Justification:Relationship to General Plan and Other Projects:
The existing post-tensioned parking ramp structure at The project provides a needed second phase of repair
the Fridley Municipal Center, constructed in the 1980s, on the Municipal Center parking ramp to maintain its
requires structural repairs to maintain its use in the continued utility.
years to come. Elements at the south and east walls
and east beam have experienced corrosion and
concrete stresses due to water intrusion.
Use of the structure is shared with Fairview through an
agreement with the Fridley HRA.
Scheduling and Project Status:Effect on Annual Operations Costs:
The testing and inspection work wascompletedin 2013. Upon project completion, annual inspections will be
Design and construction is being initiated in 2014.needed to evaluate cost-effective future maintenance.
The project will be administered and coordinated by the
Engineering Division, and supported through
reconstruction of surface elements by the Street
Division.
5-2
Description:
Project Category:
BuildingsCIP
This item funds a phase of a multi-year HVAC
Project Title:
Municipal Center HVAC Retrofit
retrofit at the Fridley Municipal Center.
Total Estimated Cost:
$155,000(over five years)
Funding Priority:
2
Account Number:
573-XXXX
Finance ProjectNumber:
XXXX
Reimbursements:
None
Design and Inspection:
Engineering Staff
Payroll Logged to Project:
Public Works Department Engineering Division
Source of Project Funding20152016201720182019
Capital ImprovementFund
$ 25,000$ 25,000$ 25,000$ 50,000$ 30,000
(final)
Justification:Relationship to General Plan and Other Projects:
This project consists of multi-year replacement or retrofit In 2015, the sixthof ten phases of HVAC retrofit is
of rooftop HVAC unitsat the Municipal Center. There proposed.
are 16 units that serve to heat and cool the building
Effect on Annual Operations Costs:
housing stafffrom all City Departments. These are over
20 years old, andare becoming inefficient and
maintenance-intensive. The proposed budget includes The project is anticipated to provide an annual savings
$25,000 in 2015for this work.of approximately $2,500 in reduced power
consumption and maintenance. The project will be
Scheduling and Project Status:
administered and coordinated by the Engineering
Division.
This is the fifthyear of replacements under this program.
The 2018project includes addition of controls to operate
the units installed in 2015 through 2018. Completion of
this project is anticipated in 2018, with one additional
year to provide retrofits and repairs to other central
HVAC systems.
5-3
Description:
Project Category:
BuildingsCIP
This item funds repairs needed on the exterior
Project Title:
Municipal Center Exterior Repairs
of the Municipal Center to address water
intrusion and aging.
Total Estimated Cost:
$250,000(over five years)
Funding Priority:
2
Account Number:
573-XXXX
Finance ProjectNumber:
XXXX
Reimbursements:
None
Design and Inspection:
Contracted, Coordination with Various Departments
Payroll Logged to Project:
Public Works Department Engineering Division
Source of Project Funding20152016201720182019
Capital ImprovementFund
$ 50,000$ 100,000$ 100,000
Justification:Relationship to General Plan and Other Projects:
This project consists ofneededrepairs to theFridley This project is stand alone, and will allow current
Municipal Center to address structural and drainage service levels of the Municipal Center to be maintained.
repairs to extend the service life of the building.
Scheduling and Project Status:Effect on Annual Operations Costs:
This project will address the most necessary repair work This project will not have an effect on operations costs,
in 2015, and will be continued in 2018-19.but would reduce potential for future costs through
repairs.
5-4
Description:
Project Category:
BuildingsCIP
This item funds replacement / retrofit of
Project Title:
Municipal Center Cubicle
cubicles serving staff located at the Fridley
Replacements/Repairs
Municipal Center from all Departments.
Total Estimated Cost:
$ 100,000
Funding Priority:
3
AccountNumber:
573-XXXX
Finance ProjectNumber:
XXXX
Reimbursements:
None
Design and Inspection:
Engineering Staff, Coordination with Various Departments
Payroll Logged to Project:
Public Works Department Engineering Division
Source of Project Funding20152016201720182019
Capital ImprovementFund
$ 20,000$ 20,000$ 20,000$ 20,000$ 20,000
Justification:Relationship to GeneralPlan and Other Projects:
This project consists of replacement or retrofit of This project is proposed to be coordinated with
cubicles at the Fridley Municipal Center.More efficient Municipal Center Work Station Replacements/Repairs.
and functional work components are available to replace
Effect on Annual Operations Costs:
the existing cubicles. The existing cubicle fabrics are
worn and trap moisture and particulates. Replacing
fabric alone approaches the cost of replacement with There will be a slight reduction in repair costs and
slightly used components that are known to be available increase in efficiencies anticipated through this project.
currently.
The project will be administered and coordinated by the
Scheduling and Project Status:
Engineering Division.
2014 is proposed as the first year of a five year project.
A shorter timeframe for replacement may be considered
if substantial savings would result.
5-5
Description:
Project Category:
BuildingsCIP
This item funds replacement of work station
Project Title:
Municipal Center Work Station
fixturesserving staff located at the Fridley
Replacements/Repairs
Municipal Center from all Departments.
Total Estimated Cost:
$30,000
Funding Priority:
3
Account Number:
573-XXXX
Finance ProjectNumber:
XXXX
Reimbursements:
None
Design and Inspection:
Engineering Staff, Coordination with Various Departments
Payroll Logged to Project:
Public Works Department Engineering Division
Source of Project Funding20152016201720182019
Capital ImprovementFund
$ 6,000$ 6,000$ 6,000$ 6,000$ 6,000
Justification:Relationship to General Plan and Other Projects:
This project consists of replacement ofwork station This project is proposed to be coordinated with
fixturesat the Fridley Municipal Center.More efficient Municipal Center Cubicle Replacements/Repairs.
and functional work components are available to replace
Effect on Annual Operations Costs:
existing office chairs, desks, and storage.The project is
planned to be accompanied by in-house work station
analysis and definition of storage needs in coordination There will be a slight reduction in repair costs and
with proposed cubicle replacements/retrofits.increase in efficiencies anticipated through this project.
Scheduling and Project Status:
The project will be administered and coordinated by the
Engineering Division.
2014 is proposed as the first year of a five year project.
A shorter timeframe for replacement may be considered
if substantial savings would result.
5-6
Description:
Project Category:
BuildingsCIP
This item funds replacement of storage,
Project Title:
Municipal Center Storage,
cabinets, and fixtures serving staff located at
Cabinets, and Fixtures
the Fridley Municipal Center from all
Departments.
Total Estimated Cost:
$ 30,000
Funding Priority:
3
Account Number:
573-XXXX
Finance ProjectNumber:
XXXX
Reimbursements:
Possible rebates through Xcel Energy and CenterPoint Energy
Design and Inspection:
Engineering Staff, Coordination with Various Departments
Payroll Logged to Project:
Public Works Department Engineering, Streets, and Parks Division
Source of Project Funding20152016201720182019
Capital ImprovementFund
$ 6,000$ 6,000$ 6,000$ 6,000$ 6,000
Justification:Relationship to General Plan and Other Projects:
This project consists of replacement of storage cabinets, This project is stand-alone.
appliances, and fixtures in common areas of the Fridley
Effect on Annual Operations Costs:
Municipal Center. Most of these elements are over 25
years old and some have been identified are inefficient
or in need of repair.There will be a slight reduction in repair costs and
increase in efficiencies anticipated through this project.
Scheduling and Project Status:
The project will be administered and coordinated by the
2014 is proposed as the first year of a five year project. Engineering Division. The Streets and Parks Divisions
have skilled carpenters that can support the project
with construction and installation.
5-7
Description:
Project Category:
BuildingsCIP
This project fundsreplacement of the parking
Project Title:
Public Works Garage Pavement
lot pavement exfiltration systemat the Fridley
Retrofit
Public Works Garage.
Total Estimated Cost:
$ 25,000
Funding Priority:
2
Account Number:
573-XXXX
Finance ProjectNumber:
XXXX
Reimbursements:
None
Design and Inspection:
Engineering Staff
Payroll Logged to Project:
Public Works Department Engineering, Streets, and Parks Division
Source of Project Funding20152016201720182019
Capital ImprovementFund
$ 25,000
Justification:Relationship to General Plan and Other Projects:
This project consists of replacing the existing pavement This project will be coordinated with conceptual plans
infiltration systemat the Fridley Public Works Garage, forPublic Works Garage upgrades.
and installation of a second gate. The current system is
not functioning.
Scheduling and Project Status:Effect on Annual Operations Costs:
This project is proposed to be initiated and completed in There will be a reduction in maintenance repair costs
2015.through this project.
The project will be administered and coordinated by the
Engineering Division. The Streets and Parks Divisions
have skilled will support the project with construction
and installation.
5-8
Description:
Project Category:
BuildingsCIP
This project fundsrepairs to office and
Project Title:
Public Works Garage Building
outbuildings at the Fridley Public Works
Upgrades
Garage.
Total Estimated Cost:
$60,000
Funding Priority:
2
Account Number:
573-XXXX
Finance ProjectNumber:
XXXX
Reimbursements:
None
Design and Inspection:
Engineering Staff
Payroll Logged to Project:
Public Works Department Engineering, Streets, and Parks Division
Source of Project Funding20152016201720182019
Capital ImprovementFund
$60,000
Justification:Relationship to General Plan and Other Projects:
This project consists of repairs to office buildings This project will be coordinated with conceptual plans
including flooring replacements, and to outbuildings, for Public Works Garage upgrades. Buildings that are
including surfacing, structural, roofing, and not identified for potential near-term replacement would
doors/windows.beincluded.
Scheduling and Project Status:Effect on Annual Operations Costs:
This project is proposed to be initiated and completed in There will be a reduction in maintenance repair costs
2015.through this project.
The project will be administered and coordinated by the
Engineering Division. The Streets and Parks Divisions
have skilled will support the project with construction
and installation.
5-9
Description:
Project Category:
BuildingsCIP
This project fundsreplacement a the fueling
Project Title:
Public Works Garage Roof
system the Fridley Municipal Garage.
Repairs
Total Estimated Cost:
$ 170,000
Funding Priority:
1
Account Number:
573-XXXX
Finance ProjectNumber:
XXXX
Reimbursements:
None
Design and Inspection:
Engineering Staff
Payroll Logged to Project:
Public Works Department Engineering Division
Source of Project Funding20152016201720182019
Capital ImprovementFund
$ 170,000
Justification:Relationship to General Plan and Other Projects:
The existing fueling system at the Fridley Municipal This project will be coordinated with conceptual plans
Garage is in need of replacement. While underground for Public Works Garage upgrades. The fueling system
fuel tanks are in serviceable condition, the fuel pumps, would be located in accordance with these conceptual
pump island, and associated monitoring control and plans.
software systems are failing.This system provides
vehicle fueling at reduced costs to all City fleet vehicles.
Scheduling and Project Status:Effect on Annual Operations Costs:
Design and construction is proposed to be completed in This project will reduce current regular repair costs
2015.required to keep the system operable. The project will
be administered and coordinated by the Engineering
Division.
5-10
Description:
Project Category:
Buildings
This project fundsreplacement of indoor and
Project Title:
Fridley Community Center
outdoor fixtures and furnishings at the Fridley
Furnishings and Fixtures
Community Center.
Total Estimated Cost:
$25,000(over 4 years)
Funding Priority:
3
Account Number:
573-XXXX
Finance ProjectNumber:
XXXX
Reimbursements:
None
Design and Inspection:
Recreation Department
Payroll Logged to Project:
Recreation Department
Source of Project Funding20152016201720182019
Capital ImprovementFund
$ 10,000$ 5,000$ 5,000$ 5,000
Justification:Relationship to General Plan and Other Projects:
This multi-year project consists of replacement of indoor This project is stand-alone.
and outdoor fixtures and furnishings at the Fridley
Community Center. Non-serviceable pieces will be
selected for replacement.
Scheduling and Project Status:Effect on Annual Operations Costs:
2014 was the firstyear of a five year project. There will be a slight reduction in repair costs
anticipated through this project.
The project will be administered and coordinated by the
Recreation Department.
5-11
Description:
Project Category:
Buildings
This project fundssecurity upgrades atFire
Project Title:
Fire Station 2 SecurityUpgrades
Station 2.
Total Estimated Cost:
$ 20,000
Funding Priority:
2
Account Number:
573-XXXX
Finance ProjectNumber:
XXXX
Reimbursements:
None
Design and Inspection:
FireDepartment
Payroll Logged to Project:
Fire Department
Source of Project Funding20152016201720182019
Capital ImprovementFund
$20,000
Justification:Relationship to General Plan and Other Projects:
This project consists of security upgradesat Fire Station This project is stand alone, and will improve security of
2. this building.
Scheduling and Project Status:Effect on Annual Operations Costs:
This project is proposed to be designed and completed The project is anticipated to have minimal impact on
in 2015.annual operations costs, and reduces the potential for
unanticipated damage expenses.
5-12
Project Category:
Parks CIP
Description:
Project Title:
SpringbrookNature Center
This project is to design, construct, equip and
Interpretive Building
furnish an addition and remodel of the
Springbrook Nature Center Interpretive
Total Estimated Cost:
$ 5,000,000
Building. The project will be paid for with a
$5M grant from the State of Minnesota.
Funding Priority:
2
Account Number:
408-0007-455-XXXX
Finance Project Number:
Reimbursements:
Parks Reserve Fund
Design and Inspection:
Recreation Department and Public Works Parks Maintenance Division
Payroll Logged to Project:
Public Works Parks Maintenance Division
Source of Project Funding20152016201720182019
State of Minnesota Capital $ 3,000,000$ 2,000,000$ 0$ 0$ 0
Investment
Justification:Relationship to General Plan and Other Projects:
This project consists of renovating the existing 5,800 This is a new project to make necessary improvements
square foot Springbrook Nature Center interpretive and additions to the Springbrook Nature Center.
building and constructing a 8000 square foot addition.
Effect on Annual Operations Costs:
The facility will have new and expanded
teaching/classroom spaces; new and expanded exhibit
spaces; and an inspirational gathering space to This project will increase operating costs for the
accommodate up to 250 for weddings, retreats, Springbrook Nature Center. Additional program and
lectures, and large program events. The facility will use rental revenues will offset the increase in costs.
active and passive “green technology” for energy
savings and public exhibit. The facility plans to have
extensive views into nature and wildlife.
Scheduling and Project Status:
Design of the project will start in mid-2014 and continue
into early 2015. It is expected that construction will
begin in 2015 and be completed in 2016.
5-13
Project Category:
Parks CIP
Description:
Project Title:
Court Surfacing and Overlays
This project involves resurfacing of tennis and
basketball courts.
Total Estimated Cost:
$150,000
Funding Priority:
2
Account Number:
408-0007-455-XXXX
Finance ProjectNumber:
Reimbursements:
ParksReserve Fundand/or USTA funds
Design and Inspection:
Recreation Department and Public Works Parks Maintenance Division
Payroll Logged to Project:
Public Works Parks Maintenance Division
Source of Project Funding20152016201720182019
Parks Reserve Funding$ 30,000$ 30,000$ 30,000$ 30,000$ 30,000
Justification:Relationship to General Plan and Other Projects:
Court resurfacing is needed on the City's basketball and This project is stand-alone.
tennis courts with a color coating material. Color coating
Effect on Annual Operations Costs:
material needs to be reapplied every 3-4 years in order
to keep the courts in acceptable playing condition.
This project maintains operating costs at a consistent
Scheduling and Project Status:
level.
Courts to be color coated are determined annually by
the Park Maintenance Supervisor and the Parks and
Recreation Director. Tennis court resurfacing is
included. Also, some courts will require asphalt overlays
or replacement of the asphalt surface
6-1
Project Category:
Parks CIP
Description:
Project Title:
Park Furnishings
This project consists of selective replacement
ofpicnic tables, park benches, signs, fences,
Total Estimated Cost:
$ 50,000
and other fixtures throughout the City park
system.
Funding Priority:
2
Account Number:
408-0007-455-XXXX
Finance ProjectNumber:
Reimbursements:
Parks Reserve Fund
Design and Inspection:
Recreation Department and Public Works Parks Maintenance Division
Payroll Logged to Project:
Public Works Parks Maintenance Division
Source of Project Funding20152016201720182019
Parks Reserve Funding$ 10,000$ 10,000$ 10,000$ 10,000$ 10,000
Justification:Relationship to General Plan and Other Projects:
This project consists of selective replacement ofpicnic This project is stand-alone.
tables, park benches, signs, fences,and other fixtures
Effect on Annual Operations Costs:
throughout City parks to maintain the quality and safety
of City parks.
This project maintains operating costs at a consistent
Scheduling and Project Status:
level.
Fixture replacementsare determined annually by the
Park Maintenance Supervisor and the Parks and
Recreation Directorbased on regular equipment
inspections.
6-2
Project Category:
Parks CIP
Description:
Project Title:
Parking Lot Resurfacing
This project is for the resurfacing of parking lot
surfaces at Moore Lake Park.
Total Estimated Cost:
$ 100,000
Funding Priority:
1
Account Number:
408-0007-455-XXXX
Finance ProjectNumber:
Engineering Project Number:
Reimbursements:
Parks Reserve Fund
Design and Inspection:
Recreation Department and Public Works Parks Maintenance Division
Payroll Loggedto Project:
Recreation Department and Public Works Parks Maintenance Division
Source of Project Funding20152016201720182019
Parks Reserve Funding$ 0$ 50,000$ 0$ 0$ 50,000
Justification:Relationship to General Plan and Other Projects:
Parking lot surfaces at Moore Lake Park are in need of
repair or replacement.
Effect on Annual Operations Costs:
Scheduling and Project Status:
This project maintains operating costs at a consistent
Installation of the first phase is to be completed in 2016; level.
this second and final phase would be completed in
2019.
6-3
Project Category:
Parks CIP
Description:
Project Title:
SNC Boardwalk Replacement
This project constitutes work torepair and
replace trails, bridges andboardwalksat
Total Estimated Cost:
$450,000
Springbrook Nature Center.
Funding Priority:
2
Account Number:
408-0007-455-XXXX
Finance ProjectNumber:
Engineering Project Number:
Reimbursements:
Parks Reserve Fund
Design and Inspection:
RecreationDepartment and Public Works Parks Maintenance Division
Payroll Logged to Project:
Recreation Department and Public Works Parks Maintenance Division
Source of Project Funding20152016201720182019
Parks Reserve Funding$ 250,000$ 25,000$25,000$ 25,000$25,000
Justification:Relationship to General Plan and Other Projects:
This project includes replacement the existing trails, The 2015project completes the replacement of the 800
bridges, and boardwalksat the Springbrook Nature foot floating boardwalk segments.
Center. There are repairs and replacement needed to
Effect on Annual Operations Costs:
bring the boardwalks into safe condition.
Scheduling and Project Status:
This project will reduce maintenance costs needed to
repair existing trails, bridges and boardwalks.
Construction will be completed over a five year period.
6-4
Project Category:
Parks CIP
Description:
Project Title:
Playground Equipment
This project includes the replacement
Replacement
installation of children’s playground equipment
in the neighborhood parks.
Total Estimated Cost:
$360,000
Funding Priority:
1
Account Number:
408-0007-455-XXXX
Finance ProjectNumber:
Engineering Project Number:
Reimbursements:
Parks Reserve Fund
Design and Inspection:
Recreation Department and Public Works Parks Maintenance Division
Payroll Logged to Project:
Recreation Department and Public Works Parks Maintenance Division
Source of Project Funding20152016201720182019
Parks Reserve Funding$30,000$30,000$80,000$115,000$115,000
Justification:Relationship to General Plan and Other Projects:
Playground equipment in the neighborhood parks will The 2015project adds playground equipment to
need some upgrading and replacement to keep the neighborhood parks as determined by the Parks and
parks attractive and as a useful recreation outlet for pre-Recreation Director and the Parks Maintenance Division
schooland elementary age children.Supervisor.
Scheduling and Project Status:Effect on Annual Operations Costs:
Installation of the first equipmentin 2014;to be followed This project maintains operating costs at a consistent
by annual installations through 2019 and beyond.level.
6-5
Description:
Project Category:
StreetsCIP
This project involves the reclamation of various
Project Title:
Street Rehabilitation Project
street segments and minor repairs to utilities
ST2015-01
on various streets in the Summit Manor
th
neighborhood, along with 69Avenue east of
Total Estimated Cost:
$960,000
Central Avenue.
Funding Priority:
1
Account Number:
573-XXXX
Finance ProjectNumber:
XXXX
Reimbursements:
Municipal State Aid
Design and Inspection:
Engineering Staff
Payroll Logged to Project:
Public Works Department EngineeringDivision
Source of Project Funding20152016201720182019
Municipal State Aid$960,000
*Special Assessments estimated at $700,000 to reimbursement to the Street Reserve Fund as collected.
Justification:Relationship to General Plan and Other Projects:
This project is included in the City’s long-range This project is consistent with the street pavement
pavement management plan.Bi-annual road ratings preservation program.
have identified candidate segments based on condition.
Other considerations include age, coordination with Sewer, storm sewer, and watersystem surveyswill need
other projects, and upgrades needed.to be completed prior to plan development to determine
the extent of repairs needed on the city’s utility systems.
These costs are approximated in the above estimates.
This project will be coordinated with CenterPoint Energy
and other private utilities in regard to replacement of
their aging systems.
Scheduling and Project Status:Effect on Annual Operations Costs:
This project is presently scheduled for 2015This project will reduceoperating costsrelating to street
construction.Preliminary design, workshop, and and utility maintenancein the project area.
assessment hearingis planned to occur upon
preliminary CIP approvalin 2014.
7-1
Project Category:
StreetsCIP
Description:
Project Title:
Street Sealing Program,Project
This project involves street sealingto extend
ST2015-10 (Chip Sealing)
pavement service life. Chip sealing is included
in Area 6, which is bounded generally by I-694,
Total Estimated Cost:
$235,000
University Avenue, Mississippi Street, and
Trunk Highway 65.
Funding Priority:
2
Account Number:
573-XXXX
Finance ProjectNumber:
XXXX
Reimbursements:
Street Reserve Fund
Design and Inspection:
Engineering Staff, Consultant through JPA
Payroll Logged to Project:
Public Works Department Engineering
and Street Divisions
Source of Project Funding20152016201720182019
Street Reserve Funding$235,000
Justification:Relationship to GeneralPlan and Other Projects:
This project includes chip sealing of City streets on an This work is coordinated with resurfacing plans to avoid
eight-year rotation for pavement preservation purposes. sealing streets that are scheduled for reconstruction in
The project for 2014 includes Area 5, bounded the near term.
generally by I-694, University Avenue, Mississippi
Street, and the Mississippi River.
Scheduling and Project Status:Effect on Annual Operations Costs:
This project ispresently scheduled forbidding and This project reducesoperating costs relating to
construction in2014. The project is bid out as part of a maintaining pavement in this area over the long-term.
nine-city JPA project administered by the City of Coon
Rapids. Bids are requested in February of each
construction year for the work.
7-2
Project Category:
StreetsCIP
Description:
Project Title:
Street Sealing Program, Project
This project involves routing and sealing of
ST2015-10 (Crack Sealing)
cracks to extend pavement service life.
Rubberized crack sealing will be performed in
Total Estimated Cost:
$30,000
Area 6, which is bounded generally by I-694,
University Avenue, Mississippi Street, and
Funding Priority:
2
Trunk Highway 65.
Account Number:
573-XXXX
Finance ProjectNumber:
XXXX
Reimbursements:
Street Reserve Fund
Design and Inspection:
Engineering Staff, Consultant through JPA
Payroll Logged to Project:
Public Works Department Engineering
and StreetDivisions
Source of Project Funding20152016201720182019
Street Reserve Funding$30,000
Justification:Relationship to General Plan and Other Projects:
This project includes crack sealing of City streets in This work is performed on streets that are to be chip
order to prolong the life of newer pavement. With the sealed.
limitations on staff time and large mileage of street
rehabilitation projects in recent years, staff is unable to
keep up with all crack sealing.
Scheduling and Project Status:Effect on Annual Operations Costs:
This project is presently scheduled for bidding and This project reducesoperating costs relating to
construction in 2015. The project is bid out as part of a maintaining pavement in this area over the long-term.
nine-city JPA project administered by the City of Coon
Rapids. Bids are requested in February of each
construction year for the work.
7-3
Description:
Project Category:
Streets CIP
This project involves resurfacing and minor
Project Title:
Trail/Walk Upgrades
connectivity improvements for the City’s walk
and trail systems.
Total Estimated Cost:
$ 500,000 (over 5 years)
Funding Priority:
2
Account Number:
573-XXXX
Finance ProjectNumber:
XXXX
Reimbursements:
Street Reserve Fund
Design and Inspection:
Engineering Staff
Payroll Logged to Project:
Public Works Streets Maintenance Division
Source of Project Funding20152016201720182019
Street Reserve Funding$ 100,000$ 100,000$ 100,000$ 100,000$ 100,000
Justification:Relationship to General Plan and Other Projects:
Trail and walkresurfacing is needed on the City's trail This project is stand-alone, and restoration will maintain
and walk systemin order to keep preserve the condition current service levels. Service levels will be improved
of these systems. In addition, connections will be made where system connections are made.
where most cost-effective.Upgrades to current use
standards, including ADA will be made where
applicable.
Scheduling and Project Status:Effect on Annual Operations Costs:
Trails and walksto be color coated are determined This project maintains operating costs at a consistent
annually by the StreetMaintenance Supervisor and the level. Minor improvements to connectivity increase
Public WorksDirector. Also, some trailswill require maintenance slightly, but these costs are offset by more
asphalt overlays or replacement of the asphalt surface.efficient maintenance.
7-4
Project Category:
Streets CIP
Description:
Project Title:
Street Lighting Upgrades/
This project involves replacement and
Retrofit
upgrades to the City’s decorative lighting
systems.
Total Estimated Cost:
$ 200,000 (over 3 years)
Funding Priority:
2
Account Number:
573-XXXX
Finance ProjectNumber:
XXXX
Reimbursements:
Street Reserve Fund
Design and Inspection:
Consultant and Engineering Staff
Payroll Logged to Project:
Public Works Engineering Division
Source of Project Funding20152016201720182019
Street Reserve Funding$ 20,000$ 90,000$ 90,000
Justification:Relationship to General Plan and Other Projects:
Decorative lighting systems, particularly on Mississippi This project is stand-alone, and the project will maintain
Street, are beyond their useful life and have become current service levels.
extremely maintenance intensive. Long-term energy
savings can be obtained through retrofit of these
systems.
Scheduling and Project Status:Effect on Annual Operations Costs:
Analysis for cost-effective retrofits and design will be This project will reduce annual operation costs of
completed in 2015, with construction in the two maintenance and energy for these street lighting
subsequent years. Special assessments within systems.
benefiting districts will be considered to augment
funding of this project.
7-5
Project Category:
Streets CIP
Description:
Project Title:
Traffic Signal Maintenance/
This project involves replacement and
Retrofits
upgrades to traffic signals in the City of Fridley.
Total Estimated Cost:
$ 420,000 (over 5 years)
Funding Priority:
2
Account Number:
573-XXXX
Finance ProjectNumber:
XXXX
Reimbursements:
Street Reserve Fund
Design and Inspection:
Engineering Staff, Anoka County Highway Department, MNDOT
Payroll Logged to Project:
Public Works Engineering Division
Source of Project Funding20152016201720182019
Street Reserve Funding$ 20,000$ 20,000$ 20,000$ 180,000$ 180,000
Justification:Relationship to General Plan and Other Projects:
Traffic signal systems require maintenance of coatings This project is stand-alone, and the project will maintain
to extend their service lift. The City of Fridley is current service levels.
generally required to maintain these coatings. This item
includes anticipated traffic signal replacement projects
in 2018 and 2019, which are cost shared with Anoka
County and/or MNDOT.
Scheduling and Project Status:Effect on Annual Operations Costs:
Signal repainting at 3-4 traffic signal intersections per This project will reduce long-term costs by extending the
year is contemplated, along with signal replacements in service life of traffic signal systems.
2018 and 2019.
7-6
Project Category:
Streets CIP
Description:
Project Title:
Capital Signage Replacements
This project involves replacement of roadway
signage, including those located on state and
Total Estimated Cost:
$ 60,000 (over 5 years)
county highways.
Funding Priority:
3
Account Number:
573-XXXX
Finance ProjectNumber:
XXXX
Reimbursements:
Street Reserve Fund
Design and Inspection:
Engineering Staff
Payroll Logged to Project:
Public Works Engineering Division
Source of Project Funding20152016201720182019
Street Reserve Funding$ 15,000$ 15,000$ 15,000$ 15,000
Justification:Relationship to General Plan and Other Projects:
While the City of Fridley’s traffic signage system has This project is stand-alone, and restoration will maintain
recently been retrofit, guide and neighborhood signage current service levels. Service levels will be improved
is in need of replacement. Guide signage includes where neighborhood sign upgrades are made.
destination signage on state and county roads (typically
large brown signs). The City is responsible for
replacement of these signs. In addition, an initiative to
retrofit neighborhood signs is included in 2015.
Scheduling and Project Status:Effect on Annual Operations Costs:
Signs to be replacedare determined annually by the This project maintains operating costs at a consistent
StreetMaintenance Supervisor and the Public Workslevel. Minor improvements in efficiency will result from
Director. removal of some redundant signage.
7-7
Project Category:
Streets CIP
Description:
Project Title:
Traffic Safety Improvement
This item involves improvements to traffic
Projects
safety in cooperation with county and state
agencies.
Total Estimated Cost:
$ 735,000 (over 5 years)
Funding Priority:
3
Account Number:
573-XXXX
Finance ProjectNumber:
XXXX
Reimbursements:
Federal Highway Aid and Street Reserve Fund
Design and Inspection:
Engineering Staff
Payroll Logged to Project:
Public Works Engineering Division
Source of Project Funding20152016201720182019
Federal Highway Aid$ 600,000
Street Reserve Funding$ 15,000$ 30,000$ 30,000$ 30,000$ 30,000
Justification:Relationship to General Plan and Other Projects:
The City will be initiating both minor annual traffic safety This project is stand-alone, and restoration will maintain
improvements, and will seek funding for larger safety current service levels. Service and safety levels will be
improvement projects to be specified in the coming year improved where upgrades are made.
by staff in conjunction with Anoka County and MNDOT.
Scheduling and Project Status:Effect on Annual Operations Costs:
Projectsare determined annually by the Public Safety This project maintains operating costs at a consistent
Director and the Public Works Director. Staff will be level.
working with Anoka County and MNDOT to identify
major improvements that are eligible for federal funding
through HSIP and other programs.
7-8
Project Category:
Streets CIP
Description:
Project Title:
Main Street Pedestrian Bridge
This project involves construction of a shared
Project ST2015-21
rdth
use path from 43Avenue to 57Avenue
along the west side of Main Street (Anoka CR
Total Estimated Cost:
$ 1,470,000 (over 3 years
102). This will include a trail bridge spanning
including 2014 expenditures)
Interstate 694.
Funding Priority:
1
Account Number:
573-XXXX
Finance ProjectNumber:
XXXX
Reimbursements:
Federal Highway Aid and Street Reserve Fund
Design and Inspection:
Consultant and Engineering Staff
Payroll Logged to Project:
Public Works Department Engineering Division
Source of Project Funding20152016201720182019
Federal Highway Aid$970,000$ 150,000
Street Reserve Funding$ 180,000
Justification:Relationship to General Plan and Other Projects:
This project will provide an accessible crossing of I-694 The project meets goals of the City’s Comprehensive
th
for pedestrians and bicyclists between 7Street and the Plan and is consistent with the City’s Transit Oriented
Mississippi River Regional Trail. While these users District Plan.
cross the bridge at Main Street, this Anoka County
bridge does not accommodate pedestrians and cyclists.
Scheduling and Project Status:Effect on Annual Operations Costs:
This project is presently scheduled in the 2016This project will add future maintenance obligations to
Statewide Transportation Investment Plan (STIP). The the City of Fridley.
City will be requesting advancing of this funding to
coordinate with the 2015 street resurfacing project.
Design work is being initiated in 2014.
7-9
Project Category:
Storm WaterCIP
Description:
Project Title:
Water Quality Testing
This project involves collection and analysis of
water quality samples from surface water and
Total Estimated Cost:
$25,000(over 5 years)
storm water discharges.
Funding Priority:
3
Account Number:
603-XXXX
Finance ProjectNumber:
XXXX
Reimbursements:
None
Design and Inspection:
Engineering Staff
Payroll Logged to Project:
Public Works Department Engineeringand Sewer Divisions
Source of Project Funding20152016201720182019
Storm Water Utility Fund$ 10,000$ 10,000$ 5,000
Justification:Relationship to General Plan and Other Projects:
This project is to provide baseline data that is currently This project is needed to advance planning activities for
not under collection by watershed organizations in future projects. It is important to plan for data collection
Fridley on surface waterand storm water discharges in over at least two seasons due to annual fluctuations in
association with a newly issued MS4 permit.conditions.The City may partner with its watershed
organizations in conducting sampling.
Scheduling and Project Status:Effect on Annual Operations Costs:
The project will begin in 2014, and baseline data would This project will not impact operations costs.
be collected by 2016.Additional follow-up data is
intended to be collected beginning in 2019.
8-1
Project Category:
Storm Water CIP
Description:
Project Title:
Pond Maintenance
This project includes maintenance on City
storm sewer ponds.
Total Estimated Cost:
$ 125,000 (over 5 years)
Funding Priority:
2
Account Number:
603-XXXX
Finance ProjectNumber:
XXXX
Reimbursements:
None
Design and Inspection:
Engineering Staff
Payroll Logged to Project:
Public Works Department Engineering and Sewer Divisions
Source of Project Funding20152016201720182019
Storm Water Utility Fund$ 25,000$ 25,000$ 25,000$ 25,000$25,000
Justification:Relationship to General Plan and Other Projects:
This work is needed annually to provide maintenance This project is stand-alone, and allows for effective
and repairs needed to the existing storm sewer pond performance of the City’s stormwater management
systems.systems. This work is also mandated under the City’s
storm sewer permit.
Scheduling and Project Status:Effect on Annual Operations Costs:
This work is conducted annually and specific repairs will This project will maintain existing operation costs at
be identified by staff annually. current levels.
8-2
Project Category:
Storm Water CIP
Description:
Project Title:
Storm Sewer Replacement /
This project includes repairs to storm sewer
Reconstruction / Lining
conveyance system in conjunction with annual
street rehabilitation projects.
Total Estimated Cost:
$ 305,000 (over 5 years)
Funding Priority:
2
Account Number:
603-XXXX
Finance ProjectNumber:
XXXX
Reimbursements:
None
Design and Inspection:
Engineering Staff
Payroll Logged to Project:
Public Works Department Engineering and Sewer Divisions
Source of Project Funding20152016201720182019
Storm Water Utility Fund$ 60,000$ 60,000$ 60,000$ 60,000$ 65,000
Justification:Relationship to General Plan and Other Projects:
This work is needed annually to provide maintenance 2015 work will center on improvements along the
and repairs needed to the existing storm sewer Summit Manor neighborhood in conjunction with the
collection system.annual street rehabilitation project. The project will allow
continuation of existing service levels.
Scheduling and Project Status:Effect on Annual Operations Costs:
This work is conducted annually and specific repairs will This project will reduce operating costs relating to
be identified by staff annually. preserving failures in the storm sewer collection system.
8-3
Project Category:
Storm Water CIP
Description:
Project Title:
Storm Sewer System Upgrades
This project includes upgrades and repairs to
storm sewer conveyance system Citywide.
Total Estimated Cost:
$340,000(over 5 years)
Funding Priority:
2
Account Number:
603-XXXX
Finance ProjectNumber:
XXXX
Reimbursements:
None
Design and Inspection:
Engineering Staff
Payroll Logged to Project:
Public Works Department Engineering and Sewer Divisions
Source of Project Funding20152016201720182019
Storm Water Utility Fund$ 60,000$ 60,000$ 60,000$ 60,000$100,000
Justification:Relationship to General Plan and Other Projects:
This work is needed annually to mitigate flood prone The project allows the City to address problem areas in
areas and to maintain the integrity of the overall a timely fashion, particularly when other project work
conveyance system and other infrastructure. A detailed needs a coordinated improvement.
work plan is typically identified through surveys
conducted for outfall inspections, other rehabilitation
projects, or as problem areas arise or are identified.
The project will ensure resources are available to
address immediate concerns or failures in a timely
fashion, and to mitigate future issues.
Scheduling and Project Status:Effect on Annual Operations Costs:
This work is conducted annually and specific repairs will This project will reduce operating costs relating to
be identified by staff annually. 2015 work will center on preserving existing infrastructure and mitigation of future
improvements along the Stoneybrook conveyance flood damage.
system.
8-4
Project Category:
Storm Water CIP
Description:
Project Title:
Watershed BMP
This project includes water quality
Implementation
improvements through application of Best
Management Practices (BMPs) for stormwater.
Total Estimated Cost:
$40,000
Funding Priority:
1
Account Number:
603-XXXX
Finance ProjectNumber:
XXXX
Reimbursements:
None
Design and Inspection:
Engineering Staff
Payroll Logged to Project:
Public Works Department Engineering and Sewer Divisions
Source of Project Funding20152016201720182019
Storm Water Utility Fund$ 20,000$ 20,000
Justification:Relationship to General Plan and Other Projects:
This project will apply stormwater BMPscitywide on a The project is scheduled in this subwatershed in 2015to
targeted basis. Installation of raingardens, water quality coincide with the street rehabilitation project in this area.
structures, and biofilters are the types of projects
funded.
Scheduling and Project Status:Effect on Annual Operations Costs:
This project can be used to leverage additional support This project will provide minor reductions inoperating
for BMP projects from our watershed organizations, costs relating to sediment control.
property owners, and other sources. In 2015, the
project work will focus on the Summit Manor and
Plymouth neighborhoods.
8-5
Project Category:
Storm Water CIP
Description:
Project Title:
Mississippi WMO
This project includes a stormwater pond
Water Quality Project
expansion serving MWMO watershed, and
improving stormwater quality.
Total Estimated Cost:
$70,000
Funding Priority:
1
Account Number:
603-XXXX
Finance ProjectNumber:
XXXX
Reimbursements:
None
Design and Inspection:
Engineering Staffsupported by Anoka Conservation District and Mississippi
Watershed Management Organization
Payroll Logged to Project:
Public Works Department Engineering and Sewer Divisions
Source of Project Funding20152016201720182019
Storm Water Utility Fund$70,000
Justification:Relationship to General Plan and Other Projects:
This project would expand water quality treatment The project will be coordinated with the 2015 Main
capacity in the MWMO along Main Street south of I-694.Street Trail and Street Rehabilitation projects.
This project will provide measurable improvements to
outflowsto the Mississippi River.
Scheduling and Project Status:Effect on Annual Operations Costs:
MWMO and the City of Fridley are working on This project will provide ameasurablereduction in
identifyingthe project at this time. Staff anticipates sediment loading to the City’s storm sewer system and
funding participation of the MWMOfor enhancements to Mississippi River.
water quality.
8-6
Project Category:
Storm Water CIP
Description:
Project Title:
Locke Lake Dam Maintenance
This project includes installation of monitoring
and controlequipment at Locke Lake Dam.
Total Estimated Cost:
$ 35,000
Funding Priority:
1
Account Number:
603-XXXX
Finance ProjectNumber:
XXXX
Reimbursements:
None
Design and Inspection:
Engineering Staffsupported by Rice Creek Watershed District
Payroll Logged to Project:
Public Works Department Engineering and Sewer Divisions
Source of Project Funding20152016201720182019
Storm Water Utility Fund$ 35,000
Justification:Relationship to General Plan and Other Projects:
This project would provide funding for telemetry This project is stand-alone, and will enable improved
monitoring equipment at Locke Lake Dam. If RCWD level of service through monitoring and control of Locke
participation can be enlisted, the project may include Lake elevations.
control upgrades as well.
Scheduling and Project Status:Effect on Annual Operations Costs:
RCWD and the City of Fridley are working on identifying This project will reduce staff time in monitoring and
the project at this time. operating the Locke Lake Dam.
8-7
Project Category:
Storm Water CIP
Description:
Project Title:
TMDL Water Quality Projects
This project includes addressing water quality
TMDL requirements mandated by MPCA.
Total Estimated Cost:
$ 650,000(over 5 years)
Funding Priority:
1
Account Number:
603-XXXX
Finance ProjectNumber:
XXXX
Reimbursements:
None
Design and Inspection:
Engineering Staffsupported by Watershed District(s)
Payroll Logged to Project:
Public Works Department Engineering and Sewer Divisions
Source of Project Funding20152016201720182019
Storm Water Utility Fund$ 180,000$ 220,000$ 50,000$ 50,000$ 150,000
Justification:Relationship to General Plan and Other Projects:
This series of project is intended on achieving total The 2015 project is stand-alone, and should have a
maximum daily load (TMDL) requirements mandated by long-term impact on the water quality of Moore Lake.
the Minnesota Pollution Control Agency through the
City’s stormwater permit.
Scheduling and Project Status:Effect on Annual Operations Costs:
The initial project in 2015 will focus on phosphorus This project will increase staff time via maintenance of
reduction in the Moore Lake subwatershed.water quality improvements implemented. It does,
however, address a mandated outcome.
8-8
Project Category:
WaterCIP
Description:
Project Title:
Distribution System
This project involves reconstruction,
Reconstruction
rehabilitation, and interconnection of the
existing water distribution system.
Total Estimated Cost:
$2,200,000(over 5 years)
Funding Priority:
1
Account Number:
601-XXXX
Finance ProjectNumber:
XXXX
Reimbursements:
None
Design and Inspection:
Engineering Staff
Payroll Logged to Project:
Public Works Department Engineeringand WaterDivisions
Source of Project Funding20152016201720182019
Water Utility Fund$ 500,000 $ 300,000 $ 500,000 $ 300,000 $600,000
Justification:Relationship to General Plan and Other Projects:
This project is to provide preservation and redundancy The project is part of a an effort by the City of Fridley to
of the water distribution system. Annual funding is upgrade 50% of its water distribution system by the time
targeted to extend the life of existing infrastructure.it reaches 100 years of age.
The proposed 2015project repair mains in the 2015
street project area, along with a possible segment of 20”
transmission main repair from Commons Water
Treatment Plant to Tower 2 on Highway 65.
Scheduling and Project Status:Effect on Annual Operations Costs:
The 2015project will be in design in the fall of 2014..This project will reduceoperations costsby providing
new mains that are subject to reduced breakage
9-1
Project Category:
Water CIP
Description:
Project Title:
Well Updates
This project involves reconstruction,
rehabilitation, and interconnection of the
Total Estimated Cost:
$460,000(over 5 years)
existing water distribution system.
Funding Priority:
1
Account Number:
601-XXXX
Finance ProjectNumber:
XXXX
Reimbursements:
None
Design and Inspection:
Engineering Staff
Payroll Logged to Project:
Public Works Department Engineering and Water Divisions
Source of Project Funding20152016201720182019
Water Utility Fund$90,000 $90,000 $90,000 $90,000 $100,000
Justification:Relationship to General Plan and Other Projects:
The projectconsists of removing and inspecting the This is a project programmed annually.
column pipe, shafts, pumps, andmotors, and repairing
these components as required. The project includes
updatesand repairsto well house buildings as well.
This annual projectensures that theCity water system
continues to have a constant water supply with a
minimum amountof repairs.
Scheduling and Project Status:Effect on Annual Operations Costs:
The annual work will be completed in the year This project keeps excessive operations costs limited
budgeted.through reduction in need for emergency repairs. It also
provides upgrades to buildings that are needed to keep
equipment in good operating condition.
9-2
Project Category:
Water CIP
Description:
Project Title:
Water Meter Replacement
The project includes installation of water
meters with upgrades to anautomatic meter
Total Estimated Cost:
$ 630,000(over 5 years)
reading system.
Funding Priority:
1
Account Number:
601-XXXX
Finance ProjectNumber:
XXXX
Reimbursements:
None
Design and Inspection:
None
Payroll Logged to Project:
Finance Department and Public Works Department Engineering and Water
Divisions
Source of Project Funding20152016201720182019
Water Utility Fund$110,000 $120,000 $120,000 $120,000 $160,000
Justification:Relationship to General Plan and Other Projects:
The City’s residential water meters are typically beyond This is a project programmed annuallyand would reach
their expected life span for accurate reading. The City completion in 2022.A fixed antenna is planned to be
has also relied on voluntary meter reading for installed in 2019 for data collection of areas that have
residential properties, which adds dataentry and been installed to date.
coordination time to collect readings. The project
includes installation of water meters Citywide in a multi-
year project with upgrades to anautomatic meter
reading system.City staff coordinates and performs
installations of approximately 500 meters annually.
Scheduling and Project Status:Effect on Annual Operations Costs:
2015will be the fifthyear of AMR installations in This project provides for accurate and timely water
residential properties under this program.billing and collection, and reduces staff time in meter
reading collection, data entry, and collection of readings.
9-3
Project Category:
Water CIP
Description:
Project Title:
Boiler Replacement
The item is for addition of replacement of the
main boiler at Commons Water Treatment
Total Estimated Cost:
$60,000
Plant.
Funding Priority:
2
Account Number:
601-XXXX
Finance ProjectNumber:
None
Reimbursements:
None
Design and Inspection:
Engineering Staff
Payroll Logged to Project:
Public Works Department Engineering and Water Divisions
Source of Project Funding20152016201720182019
Water Utility Fund$60,000
Justification:Relationship to General Plan and Other Projects:
The existing boiler is original with the plant, and is in This project is stand alone, and will enable us to
need of replacement to avoid repair costs and provide maintain current service levels.
energy efficiency.
Scheduling and Project Status:Effect on Annual Operations Costs:
Equipment is planned to be purchased and installed in The project is anticipated to reduce annual operating
2015under this item.costs through reduction in utilities.
9-4
Project Category:
Water CIP
Description:
Project Title:
Water Plant Security Upgrades
The item is for security upgrades at Water
Plant facilities.
Total Estimated Cost:
$ 40,000
Funding Priority:
2
Account Number:
601-XXXX
Finance ProjectNumber:
None
Reimbursements:
None
Design and Inspection:
Engineering Staff
Payroll Logged to Project:
Public Works Department Engineering and Water Divisions
Source of Project Funding20152016201720182019
Water Utility Fund$40,000
Justification:Relationship to General Plan and Other Projects:
This project is for physical security upgrades and This project is stand alone, and will enable us to
equipment to reduce vulnerability of our water system. maintain current service levels.
Specific measures are intentionally not detailed in this
document.
Scheduling and Project Status:Effect on Annual Operations Costs:
Equipment is planned to be purchased and installed in The project is anticipated to reduce the potential for
2015 under this item.unanticipated expenses throughincreased security of
facilities.
9-5
Project Category:
Water CIP
Description:
Project Title:
Fleet Vehicle Replacements
The item is for replacement of Water Division
fleet vehicles.
Total Estimated Cost:
$ 100,000 (over 5 years)
Funding Priority:
2
Account Number:
601-XXXX
Finance ProjectNumber:
None
Reimbursements:
None
Design and Inspection:
None
Payroll Logged to Project:
None
Source of Project Funding20152016201720182019
Water Utility Fund$30,000$35,000$35,000
Justification:Relationship to General Plan and Other Projects:
This item is for replacement of vehicles/equipment used This project is stand alone, and will enable us to
by the Water Division.maintain current service levels.
Scheduling and Project Status:Effect on Annual Operations Costs:
Truck replacements are planned for 2015, 2018, and The project will have no impact on annual operations
2019.costs..
9-6
Project Category:
Water CIP
Description:
Project Title:
Variable Frequency Drives
The item is for replacement of pump Variable
Frequency Drive motors in the Water Division.
Total Estimated Cost:
$ 190,000 (over 5 years)
Funding Priority:
2
Account Number:
601-XXXX
Finance ProjectNumber:
None
Reimbursements:
None
Design and Inspection:
Public Works Department Engineering and Water Divisions
Payroll Logged to Project:
Public Works Department Engineering and Water Divisions
Source of Project Funding20152016201720182019
Water Utility Fund$120,000$35,000$35,000
Justification:Relationship to General Plan and Other Projects:
This item is for replacement of Variable Frequency This project is stand alone, and will enable us to
Drive (VFD) pump motors and equipment for Water maintain current service levels.
Division treatment plant and transmission systems.
Scheduling and Project Status:Effect on Annual Operations Costs:
VFD replacements are planned for 2015, 2018, and The project will improve performance and provide power
rd
2019. Those at 63Booster Station and Treatment savings through increased motor efficiency. There is
Plant 3 are proposed for 2015potential for efficiency rebates through Xcel Energy to
assist with funding these projects.
9-7
Project Category:
Water CIP
Description:
Project Title:
Well 13 Analysis and Availability
The item is for testing and analysis of Well13
to determine whether its capacity will be
Total Estimated Cost:
$ 40,000 (over 2 years)
available to the City of Fridley in the future.
Funding Priority:
2
Account Number:
601-XXXX
Finance ProjectNumber:
None
Reimbursements:
None
Design and Inspection:
Public Works Department Engineering Division
Payroll Logged to Project:
Public Works Department Engineering and Water Divisions
Source of Project Funding20152016201720182019
Water Utility Fund$20,000$20,000
Justification:Relationship to General Plan and Other Projects:
This item includes testing and analysis of the City of This project is stand alone, and will enable us to
Fridley Well 13 to determine whether this source of determine future service levels.
water will be available with reasonable assurance that
water quality will be satisfactory.
Scheduling and Project Status:Effect on Annual Operations Costs:
The project is being planned in 2014, and may go The project will have no impact on operations costs,
forward depending on participating of the Minnesota although it may have long-term value in determination of
Department of Health and Minnesota Pollution Control the most effective method to provide for future source
Agency.water needs.
9-8
Project Category:
Sewer CIP
Description:
Project Title:
Sanitary Sewer Collection
This project involves repairs of theexisting
SystemReconstruction
sanitary sewercollectionsystem.
Total Estimated Cost:
$250,000(over 5 years)
Funding Priority:
1
Account Number:
602-XXXX
Finance ProjectNumber:
XXXX
Reimbursements:
None
Design and Inspection:
Engineering Staff
Payroll Logged to Project:
Public Works Department Engineeringand SewerDivisions
Source of Project Funding20152016201720182019
SewerUtility Fund$40,000 $80,000 $40,000 $45,000$45,000
Justification:Relationship to General Plan and Other Projects:
This project is to provide preservation of the existing The proposed 2015project will includerepairs in
sanitary sewer collection system. Annual funding is coordination with the pavement rehabilitation work in the
targeted to extend the life of existing infrastructure.Summit Manor neighborhood.
Scheduling and Project Status:Effect on Annual Operations Costs:
The 2015project will be surveyed in 2014and This project will reduceoperations costsby providing
incorporated into the street rehabilitation project.replacement and repair of sanitary sewer infrastructure.
10-1
Project Category:
Sewer CIP
Description:
Project Title:
Sanitary Sewer Collection
This project involves liningof the existing
System Reconstruction
sanitary sewer collectionsystem.
Total Estimated Cost:
$1,280,000(over 5 years)
Funding Priority:
1
Account Number:
602-XXXX
Finance ProjectNumber:
XXXX
Reimbursements:
None
Design and Inspection:
Engineering Staff
Payroll Logged to Project:
Public Works Department Engineering and SewerDivisions
Source of Project Funding20152016201720182019
Sewer Utility Fund$310,000 $215,000 $315,000 $220,000 $220,000
Justification:Relationship to General Plan and Other Projects:
The projectconsists of relining of clay and concrete The project is part of a an effort by the City of Fridley to
sanitary sewer collection piping to prolong its useful life.upgrade 50% of its sanitary sewer collection system by
the time it reaches 100 years of age.
The 2015project is proposed to include lining of large-
diameter gravity sewers in the BNSF Northtown Rail
Yardand along East River Road.
Scheduling and Project Status:Effect on Annual Operations Costs:
The work will be completed in 2015.This project keeps excessive operations costs limited
through reduction in need for emergency repairsand
potential failures.
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Project Category:
Sewer CIP
Description:
Project Title:
Sanitary Sewer Lift Station
This project involves rehabilitation of sanitary
Rehabilitation
sewer lift stations on a regular and ongoing
basis.
Total Estimated Cost:
$70,000(over 5 years)
Funding Priority:
2
Account Number:
602-XXXX
Finance ProjectNumber:
XXXX
Reimbursements:
None
Design and Inspection:
Engineering Staff
Payroll Logged to Project:
Public Works Department Engineering and Sewer Divisions
Source of Project Funding20152016201720182019
Sewer Utility Fund$10,000 $20,000 $20,000 $20,000
Justification:Relationship to General Plan and Other Projects:
The projectconsists of replacement and repairs to The project is part of an effort by the City of Fridley to
sanitary lift station components to avoid failures that can avoid costly emergency repairs and provide for long-
lead to sewer backups. term service life of its sanitary sewer infrastructure.The
City is nearing completion of its first round of
rehabilitation on its 13 lift stations.
Scheduling and Project Status:Effect on Annual Operations Costs:
Work on the RiverwoodLift Station will be completed in This project keeps excessive operations costs limited
2015.through reduction in need for emergency repairs and
potential failures.
10-3
Project Category:
Sewer CIP
Description:
Project Title:
CCTV Camera System
This project involves rehabilitation to the Sewer
Division’s Closed-Circuit Televising equipment.
Total Estimated Cost:
$55,000
Funding Priority:
2
Account Number:
602-XXXX
Finance ProjectNumber:
XXXX
Reimbursements:
None
Design and Inspection:
None
Payroll Logged to Project:
Public Works Department Sewer Divisions
Source of Project Funding20152016201720182019
Sewer Utility Fund$55,000
Justification:Relationship to General Plan and Other Projects:
The projectconsists of upgrades to the Sewer Division’s This project is stand-alone, and will improve our level of
mobile camera trailer and software upgrades that will service through enhanced software technology. Digital
enable full GIS compatibility.recordkeeping of pipe conditions will be interfaced with
the City’s GIS asset management system.
Scheduling and Project Status:Effect on Annual Operations Costs:
The project would be completed in 2015.This project would potentially reduce operations costs
through minimizing staff timeneeded toaccess
important system condition records.
10-4
Project Category:
Liquor Store Operations
Description:
Project Title:
Highway 65 Liquor Store
This project fundsremodeling of the Highway
Remodel
65 Liquor Store.
Total Estimated Cost:
$ 800,000 (over 3 years
including 2014)
Funding Priority:
2
Account Number:
573-XXXX
Finance ProjectNumber:
XXXX
Reimbursements:
Possible rebates through Xcel Energy and CenterPoint Energy
Design and Inspection:
Consultant
Payroll Logged to Project:
Finance Department
Source of Project Funding20152016201720182019
Capital ImprovementFund
$400,000$400,000
Justification:Relationship to General Plan and Other Projects:
The Highway 65 Liquor Storeis in need of major This project is stand-alone.
maintenance and updating. The interior has not been
Effect on Annual Operations Costs:
upgraded in three decades. Exterior elements are also
in need of repair and replacement. The store is dated
well beyond what is customary for other retail stores in There will be a significantreduction in repair costs
the area, which affects its ability to compete with other anticipated through this project.There are also
upgraded establishments. The store is also not anticipated revenue increases through improvements
compliant with ADA.of this retail space.
This project consists of design and construction to The project will be administered and coordinated by the
remodel the store. The work would include repair of FinanceDepartment.
building elements and retrofit of the entire interior of the
facility.Equipment would be replaced and upgraded for
energy efficiency.
Scheduling and Project Status:
This project funds design in 2014, and construction in
2015-16.
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