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2017-2021 Capital Investment ProgramCapital Investment Program 2017 - 2021 September 2016 2017-2021 Capital InvestmentProgram Table of Contents Tables Summary of Expenditures by Program Category & Method of Financing ................................................ 1 Fund Summaries Capital Equipment ..................................................................................................................... 2 Information Systems Internal Service Fund .............................................................................. 3 Building Capital Improvements ................................................................................................. 4 Parks Capital Improvement ....................................................................................................... 5 Streets Improvement Fund ....................................................................................................... 6 Water Utility Fund ..................................................................................................................... 7 Sewer Utility Fund ..................................................................................................................... 8 Storm Water Utility Fund .......................................................................................................... 9 Liquor Fund .............................................................................................................................. 10 Supplemental: Municipal Center Remodel (Information Only) ...................................................................... 11 Detail Project Pages Capital Equipment & Technology Police ................................................................................................................................. 12-15 Fire ..................................................................................................................................... 15-25 Public Works ...................................................................................................................... 26-55 Technology ........................................................................................................................ 56-66 Building & Capital Improvements Fire ..................................................................................................................................... 67-68 Municipal Buildings ........................................................................................................... 69-70 Parks .................................................................................................................................. 71-76 Streets ................................................................................................................................ 77-98 Enterprise Funds Water Utility Fund ............................................................................................................ 99-110 Sewer Utility Fund .......................................................................................................... 111-117 Storm Water Utility Fund ............................................................................................... 118-128 Liquor Fund ..................................................................................................................... 129-130 Table I Capital Investment Program 2017-2021 EXPENDITURES BY PROGRAM CATEGORY & METHOD OF FINANCING 20172018201920202021TOTALPercent Expenditures Program Category Major Equipment$705,800$787,500$858,640$1,313,000$346,000$4,010,9406.2% Technology Improvements249,200304,700156,000156,000156,0001,021,9001.6% Municipal Buildings48,782,0005,000---48,787,00075.7% Parks Improvements249,000164,000214,000197,000197,0001,021,0001.6% Street Improvements1,389,4002,107,8001,633,2002,973,4001,467,9009,571,70014.9% Total Expenditures By Program$51,375,400$3,369,000$2,861,840$4,639,400$2,166,900$ 64,412,540100.0% Method of Financing Property Taxes$50,000$50,000$75,000$75,000$75,000$375,0000.5% Local Government Aid593,300800,000800,000800,000800,0004,893,3006.9% Municipal State Aid686,800686,800686,800686,800892,8404,326,8406.1% Federal Highway Aid-500,000-1,500,000-2,150,0003.0% User Fees (External & Internal)40,70040,700---2,692,2593.8% Park Dedication Fees5,0005,0005,0005,0005,00030,0000.0% Special Assessments560,000580,000580,000580,000580,0003,480,0004.9% Interest on Investments39,10037,80034,50031,00029,000215,4000.3% Auction Proceeds30,00030,00030,00030,00030,000180,0000.3% Capital Improvement Plan Bonds50,000,000----50,000,00070.9% Equipment Certificates----500,000500,0000.7% Transfers In (Liquor Proceeds)250,000250,000250,000250,000250,0001,500,0002.1% Transfers In (Other Funds)-----200,0000.3% Total Method of Financing$52,254,900$2,980,300$2,461,300$3,957,800$3,161,840$ 70,542,799100.0% Expenditures - Enterprise Program Category Storm Drainage Improvements320,000525,000425,000500,000225,0001,995,00018.6% Water System Improvements1,705,0001,955,000950,000845,000730,0006,185,00057.7% Sewer System Imp615,000385,000565,000665,000-2,230,00020.8% Municipal Liquor Stores125,000100,00044,00044,000-313,0002.9% Total Expenditures By Program$2,765,000$2,965,000$1,984,000$2,054,000$955,000$ 10,723,000100.0% Method of Financing - Enterprise Grants80,00050,00030,00040,000-200,0001.9% Utility Improvement Bonds-2,905,000---2,905,00027.1% User Fees (External & Internal)2,685,00010,0001,954,0002,014,000955,0007,618,00071.0% Total Method of Financing$2,765,000$2,965,000$1,984,000$2,054,000$955,000$ 10,723,000100.0% 1 Table II CIP 2017-2021 CAPITAL EQUIPMENT FUND Funding Sources and Expenditure Projections New (*) or Replacement () 410201620172018201920202021 Funding Sources Property Taxes$-$-$-$-$-$- Local Government Aid$925,000$368,300$525,000$525,000$525,000$525,000 Equipment Certificate Proceeds----500,000 Liquor Store Proceeds (Transfer)175,000175,000175,000175,000175,000175,000 Interest on Investments7,5007,5007,5007,5007,5007,500 Auction Proceeds30,00030,00030,00030,00030,00030,000 Total Funding Sources$1,137,500$580,800$737,500$737,500$1,237,500$737,500 Expenditures Police Police Squad / SUV / Pickup$188,000$188,000$184,000$223,640$206,000$212,000 Non-lethal Force Equipment40,600 Squad camera DVR rplcmt42,000 Outdoor Warning Sirens47,500 800 MHz Radio Replacement78,70078,700 Fire Fire Engine650,000 Rescue Truck(s)94,00075,000 Aerial Ladder Paint/Rehab80,000 Personal Protective Equipment45,00045,000 Floor scrubber12,000 800 MHz Radio Replacement61,50061,50061,500 SCBA Replacement250,000 Digital fire attack simulator30,000 Thermal Imagers90,000 Public Works - Parks Division Mowers10,000-26,00067,000 Pickup Trucks30,00030,00053,00020,000 Dump Trucks with Plows-39,000 Utility Vehicle for Plowing99,000 Utility Vehicles and Equipment14,000-63,000150,00010,00044,000 Public Works - Streets Division Pickup Trucks42,000 Dump Trucks with Plows170,000170,000 Heavy Equipment130,000 Paving Equipment3,00020,00060,000 Utility Vehicles and Equipment-146,000 Total Expenditures$429,700$705,800$787,500$858,640$1,313,000$346,000 Surplus (deficiency) of funding sources over (under) expenditures$707,800$(125,000)$(50,000)$(121,140)$(75,500)$391,500 Estimated Beginning Fund Balance418,873802,536677,536627,536506,396430,896 Projects Carried Forward from Prior Years(324,137)---- Estimated Ending Fund Balance$802,536$677,536$627,536$506,396$430,896$822,396 2 Table III CIP 2017-2021 INFORMATION TECHNOLOGY PROJECTS FUND Funding Sources and Expenditure Projections 409201620172018201920202021 Funding Sources Property Taxes$50,000$50,000$50,000$75,000$75,000$75,000 Local Government Aid150,00086,000150,000150,000150,000150,000 Charges for Services50,70040,70040,700 Interest on Investments1,5001,5001,5001,5001,5001,500 Transfers In (approved 8/22/16)200,000----- Total Funding Sources$452,200$178,200$242,200$226,500$226,500$226,500 Expenditures Technology Purchases/Upgrades$34,500$146,000$226,000$156,000$156,000$156,000 Computer & Printer Replacement115,000 Agenda Management9,000 Police VPN5,000 Mobile Permitworks6,500 Paperless Accounts Payable Pilot10,000 Citizen Request Tracking1,000 Mobile Device Management System8,000 2-Factor Authentication (no project sheet)40,70040,70040,700 Mobile Assessing Technology2,000 Applicant Tracking System9,000 Image System Enhancements10,00010,00010,000 Accelerated Laserfiche Implementation30,000 Facilities Registration System15,000 Code Enforcement System40,600 $156,000 Total Expenditures$255,800$249,200$304,700$156,000$156,000 Surplus (deficiency) of funding sources over (under) expenditures$196,400$(71,000)$(62,500)$70,500$70,500$70,500 Estimated Beginning Fund Balance203,590399,990328,990266,490336,990407,490 Projects Carried Forward from Prior Years---- Estimated Ending Fund Balance$399,990$328,990$266,490$336,990$407,490$477,990 Carry Forward Projects- $- The Information Systems Fund has traditionally only done a three-year plan due to the fast changing technology world. There will be projects in the out years, but they have yet to be determined. 3 Table IV CIP 2017-2021 Building Capital Improvements Funding Sources and Expenditure Projections 405201620172018201920202021 Funding Sources Local Government Aid$ -$ -$ -$ -$ -$ - Interest on Investments Capital Improvement Plan Bonds* 50,000,000 Transfer In (Council approved 8/22/16) 500,000 - - - Total Funding Sources$ 500,000$ 50,000,000$ -$ -$ - Expenditures Municipal Center Civic Campus Architectural Design, Construction* 1,250,000 48,750,000 Storage, Cabinets, Fixtures 6,000 Public Works Community Center Furniture & Fixtures 5,000 5,000 5,000 Fire Stations Fire Station 2 & 3 Building Repairs 27,000 Floor Resurfacing - All Stations 25,000 Total Expenditures$1,286,000$ 48,782,000$ 5,000$ -$ -$ - Surplus (deficiency) of funding sources over (under) expenditures$ (786,000)$ 1,218,000$ (5,000)$ -$ -$ - Estimated Beginning Fund Balance 1,449,445 638,811 1,856,811 1,851,811 1,851,811 1,851,811 Projects Carried Forward from Prior Years (24,634) Estimated Ending Fund Balance$ 638,811$ 1,856,811$ 1,851,811$1,851,811$1,851,811$1,851,811 Carry Forward Projects Community Center Furniture & Fixtures 4,634 Fire Station 2 Site Upgrades 20,000 $ 24,634 * - These items represent new civic complex 4 Table V CIP 2017-2021 PARKS CAPITAL IMPROVEMENT Funding Sources and Expenditure Projections 407201620172018201920202021 Funding Sources Local Government Aid$25,000$139,000$125,000$125,000$125,000$125,000 Park Dedication Fees5,0005,0005,0005,0005,0005,000 Liquor Store Proceeds (Transfer)75,00075,00075,00075,00075,00075,000 Interest on Investments15,00015,00015,00015,00015,00015,000 State Bond Funds2,000,000----- Total Funding Sources$2,120,000$234,000$220,000$220,000$220,000$220,000 Expenditures Court Surfacing/Overlays$30,000$32,000$32,000$32,000$35,000$35,000 Park Furnishings10,00012,00012,00012,00012,00012,000 Parking Lot Replacement125,00090,000-50,000-- Commons Park Irrigation System------ SNC Boardwalk Replacement25,0005,0005,0005,000-- Security Cameras in Parks30,00030,000---- Playground Equipment Replacement30,00080,000115,000115,000150,000150,000 SPRING Progect/Springbrook Nature Center2,000,000----- Total Expenditures$2,250,000$249,000$164,000$214,000$197,000$197,000 Surplus (deficiency) of funding sources over (under) expenditures$(130,000)$(15,000)$56,000$6,000$23,000$23,000 Estimated Beginning Fund Balance1,680,9601,387,2601,372,2601,428,2601,434,2601,457,260 Projects Carried Forward from Prior Years(163,700)----- Estimated Ending Fund Balance$1,387,260$1,372,260$1,428,260$1,434,260$1,457,260$1,480,260 Carry Forward Projects SNC Boardwalk Replacement1,384 Security Cameras in Parks50,000 Court Surfacing/Overlays64,880 Park Furnishings17,436 Playground Equipment30,000 $163,700 5 Table VI CIP 2017-2021 STREET IMPROVEMENT FUND Funding Sources and Expenditure Projections 406201620172018201920202021 Funding Sources Municipal State Aid - State Aid Routes$ 317,400$ 317,400$ 317,400$ 317,400$ 317,400$ 412,620 Municipal State Aid - Local Routes 369,400 369,400 369,400 369,400 369,400 480,220 Federal Highway Funds 150,000 - 500,000 - 1,500,000 - Special Assessments 600,000 560,000 580,000 580,000 580,000 580,000 Interest on Investments 20,000 15,100 13,800 10,500 7,000 5,000 Total Funding Sources$ 1,456,800$ 1,261,900$ 1,780,600$ 1,277,300$ 2,773,800$ 1,477,840 Expenditures Street Rehabilitation Program$ 800,000$ 770,000$ 850,000$ 910,000$ 750,000$ 930,000 Street Sealing Program (Chip Sealing) 235,000 235,000 250,000 265,000 275,000 275,000 Street Sealing Program (Crack Sealing) 35,000 35,000 35,000 35,000 38,000 42,500 Trail/Walk Upgrades 100,000 100,000 100,000 100,000 100,000 100,000 West Moore Lake Ped & Bike Improvements - - 560,000 - - - Street Lighting Upgrade/Retrofit 90,000 90,000 - - - - Traffic Signal Maintenance/Retrofit 20,000 20,000 180,000 180,000 20,000 20,000 Capital Signage Replacements - 15,000 15,000 15,000 - - Traffic Safety Improvement Projects 30,000 30,000 30,000 30,000 1,720,000 30,000 Main Street Pedestrian Bridge Project 150,000 - - - - - Transfer to the General Fund (Staff Allocation) 94,400 94,400 87,800 98,200 70,400 70,400 Total Expenditures$ 1,554,400$ 1,389,400$ 2,107,800$ 1,633,200$ 2,973,400$ 1,467,900 Surplus (deficiency) of funding sources over (under) expenditures$ (97,600)$ (127,500)$ (327,200)$ (355,900)$ (199,600)$ 9,940 Estimated Beginning Fund Balance 2,537,188 1,505,831 1,378,331 1,051,131 695,231 495,631 Projects Carried Forward from Prior Years (933,757) Estimated Ending Fund Balance$ 1,505,831$ 1,378,331$ 1,051,131$ 695,231$ 495,631$ 505,571 Carry Forward Projects Street Rehab (2015) 500,661 Street Lighting Upgrade/Retrofit 20,000 Traffic Safety Improvement Projects 15,000 Capital Signage Replacements 15,000 Trail/Walk Upgrades 294,203 Traffic Signal Maintenance/Retrofit 70,000 69th Avenue Railroad Crossing 245,500 Federal Highway Funds (1,120,000) Main Street Pedestrian Bridge Project 1,444,054 933,757 6 Table VII CIP 2017-2021 WATER UTILITY FUND Funding Sources and Expenditure Projections 201620172018201920202021 Funding Sources Water Sales$ 3,288,400$ 3,635,400$ 3,962,586$ 4,165,382$ 4,401,755$ 4,610,576 Interest on Investments32,40020,30013,63722,20920,88823,579 Bond Proceeds4,315,000-2,905,000--- Antenna Lease Fees Miscellaneous Income Total Funding Sources$ 7,635,800$ 3,655,700$ 6,881,223$ 4,187,591$ 4,422,643$ 4,634,155 Expenditures Non-Capital Expenditures Operating Expenses (Less Depreciation)$ 1,777,447$ 1,905,267$ 2,174,362$ 2,217,849$ 2,284,384$ 2,352,915 Debt Service714,6991,121,6751,017,1511,284,0261,049,9001,054,975 Subtotal Non-capital Expenditures$ 2,492,146$ 3,026,942$ 3,191,513$ 3,501,875$ 3,334,284$ 3,407,890 Capital Expenditures Fleet Vehicles-35,00060,000-40,000 Distribution System Reconstruction*$ 500,000$ 500,000$ 300,000$ 400,000$ 500,000$ 500,000 Hydrant Repairs20,00020,00020,00020,00020,00020,000 Well Updates*180,00040,000190,000-200,000160,000 Water Meter Replacement - AMR System*600,000720,00010,00010,00010,00010,000 Well House Building Repairs40,00020,00040,00020,00040,00040,000 Distribution System Interconnection*---500,000- Variable Frequency Drives35,000-35,000-35,000 Chem Feed & Storage Sys Upgrade at Commons*165,000---- Treatment Plant Retrofits*-370,000500,000-- Transmission System Reconstruction*--800,000-- Well 13 Analysis & Availability20,000---- Subtotal Capital Expenditures$ 1,560,000$ 1,705,000$ 1,955,000$ 950,000$ 845,000$ 730,000 Total Expenditures$ 4,052,146$ 4,731,942$ 5,146,513$ 4,451,875$ 4,179,284$ 4,137,890 Surplus (deficiency) of funding sources over (under) expenditures$ 3,583,654$ (1,076,242)$ 1,734,710$ (264,284)$ 243,359$ 496,265 Estimated Beginning Cash Reserve1,720,0053,803,6592,727,4174,462,1274,197,8434,197,843 Projects Carried Forward from Prior Years(1,500,000) Estimated Ending Cash Reserve$ 3,803,659$ 2,727,417$ 4,462,127$ 4,197,843$ 4,441,202$ 4,694,108 Carry Forward Projects Locke Park Plant Filters Media Replacement* 275,000 Locke Park Backwashing & Control System Update* 1,225,000 $ 1,500,000 * - These projects are funded with bond proceeds 7 Table VIII CIP 2017-2021 SEWER UTILITY FUND Funding Sources and Expenditure Projections 201620172018201920202021 Funding Sources Sewer Services$4,928,095$5,263,212$5,631,637$5,913,219$6,208,880$6,519,324 Interest on Investments8,42414,79730,00030,00030,00030,000 Total Funding Sources$4,936,519$5,278,009$5,661,637$5,943,219$6,238,880$6,549,324 Expenditures Non-Capital Expenditures Operating Expenses (Less Depreciation)$681,275$694,901$708,828$723,005$737,465$ 752,214 Sewer Service Charge3,938,3284,131,0264,337,5774,467,7054,601,7364,739,788 Debt Service42,50041,60045,62544,57546,50045,500 Transfers------ MCES Refund------ Capital Outlay-Other Subtotal Non-capital Expenditures$4,662,103$4,867,527$5,092,030$5,235,284$5,385,700$ 5,537,502 Capital Expenditures Fleet Vehicles-55,000--35,000- Sanitary Sewer Collection System Recon$80,000$40,000$85,000$45,000$50,000$50,000 Sanitary Sewer Collection System Lining-520,000-520,000-$520,000 Sanitary Sewer Force Main Recon--90,000--$95,000 Lift Station Rehabilitation20,000-210,000--- Subtotal Capital Expenditures$100,000$615,000$385,000$565,000$85,000$665,000 Total Expenditures$4,762,103$5,482,527$5,477,030$5,800,284$5,470,700$ 6,202,502 Surplus (deficiency) of funding sources over (under) expenditures$174,416$(204,518)$184,607$142,935$768,179$ 346,822 Estimated Beginning Cash Reserve1,284,0261,083,442878,9241,063,5311,063,5311,206,465 Projects Carried Forward from Prior Years(375,000) Estimated Ending Cash Reserve$1,083,442$878,924$1,063,531$1,206,465$1,831,710$1,553,287 8 Table VIIII CIP 2017-2021 STORM WATER FUND Funding Sources and Expenditure Projections 201620172018201920202021 Funding Sources Storm Water Utility Fees$ 1,226,880$ 1,248,000$ 1,272,960$ 1,298,419$ 1,324,388$ 1,364,119 Grants and Other Revenue 70,000 80,000 50,000 30,000 40,000 - Interest on Investments 12,000 12,000 12,000 12,000 12,000 12,000 Total Funding Sources$ 1,308,880$ 1,340,000$ 1,334,960$ 1,340,419$ 1,376,388$ 1,376,119 Expenditures Operating Expenses (less depreciation)$ 557,534$ 540,820$ 551,700$ 562,734$ 573,989$ 585,468 Debt Service 34,400 33,663 32,912 32,163 31,413 35,588 Subtotal Operating Expenditures$ 591,934$ 574,483$ 584,612$ 594,897$ 605,402$ 621,056 Capital Expenditures Water Quality Testing$ 10,000$ -$ -$ 5,000$ 5,000$ 10,000 Pond Maintenance 25,000 25,000 25,000 25,000 30,000 30,000 Storm Sewer Replacement/Reconstr/Lining 60,000 60,000 60,000 65,000 65,000 65,000 Storm Sewer System Upgrades 60,000 60,000 60,000 100,000 100,000 100,000 Watershed BMP Implementation 20,000 20,000 20,000 20,000 20,000 20,000 Watershed District Water Quality Projects 70,000 50,000 100,000 60,000 80,000 - Sediment Removal Projects 90,000 - - - 100,000 - Moore Lake Subwatershed Flood Control Upgrade - 55,000 - - - - TMDL Water Quality Projects 220,000 50,000 50,000 150,000 100,000 - Locke Lake Dam Upgrades - - 35,000 - - - Riverview Heights Flood Control Upgrades - - 175,000 - - - Capital Equipment 190,000 - - - - - Subtotal Capital Expenditures$ 745,000$ 320,000$ 525,000$ 425,000$ 500,000$ 225,000 Total Expenditures$ 1,336,934$ 894,483$ 1,109,612$ 1,019,897$ 1,105,402$ 846,056 Surplus (deficiency) of funding sources over (under) expenditures$ (28,054)$ 445,517$ 225,348$ 320,522$ 270,986$ 530,063 Estimated Beginning Cash Reserve 1,963,161 1,665,107 2,110,624 2,335,972 2,656,494 2,927,480 Projects Carried Forward from Prior Years (270,000) Estimated Ending Cash Reserve$ 1,665,107$ 2,110,624$ 2,335,972$ 2,656,494$ 2,927,480$ 3,457,543 Cash Reserve Target - 5% accumulated depreciation & 3 mos. WC Percent target achieved Carry Forward Projects Watershed District Water Quality Projects70,000 Locke Lake Dam Upgrades20,000 TMDL Water Quality Projects180,000 $ 270,000 9 Table X CIP 2017-2021 LIQUOR FUND Funding Sources and Expenditure Projections 201620172018201920202021Unfunded Funding Sources Liquor Sales (3% Growth)$ 5,696,900$ 5,981,700$ 6,280,800$ 6,594,800$ 6,924,500$ 7,270,700 Interest on Investments - - - - - - Miscellaneous Income - - - - - - Capital Notes 200,000 Total Funding Sources$ 5,896,900$ 5,981,700$ 6,280,800$ 6,594,800$ 6,924,500$ 7,270,700 Expenditures Non-Capital Expenditures Cost of Sales (24% Gross Profit Target)$ 4,278,900$ 4,546,100$ 4,773,400$ 5,012,000$ 5,262,600$ 5,525,700 Operating Expenses (Less Depreciation) 1,197,600 1,221,600 1,246,000 1,270,900 1,296,300 1,322,200 Transfers 250,000 250,000 250,000 250,000 250,000 250,000 Capital Outlay-Other Subtotal Non-capital Expenditures$ 5,726,500$ 6,017,700$ 6,269,400$ 6,532,900$ 6,808,900$ 7,097,900 Capital Expenditures Breakroom Addition to Fridley Market$ -$ 25,000$ -$ -$ -$ - Highway 65 Store Remodel/Feasibility 155,859100,000 100,000 44,000 - - 3rd Store Location - - - - - - 900,000 Subtotal Capital Expenditures$ 155,859$ 125,000$ 100,000$ 44,000$ -$ -$ 900,000 Total Expenditures$ 5,882,359$ 6,142,700$ 6,369,400$ 6,576,900$ 6,808,900$ 7,097,900 Surplus (deficiency) of funding sources over (under) expenditures$ 14,541$ (161,000)$ (88,600)$ 17,900$ 115,600$ 172,800 Estimated Beginning Cash Reserve 137,754 152,295 (8,705) (97,305) (79,405) 36,195 Projects Carried Forward from Prior Years - - - - - - - Estimated Ending Cash Reserve$ 152,295$ (8,705)$ (97,305)$ (79,405)$ 36,195$ 208,995 10 Table XI CIP 2017-2021 Municipal Center Remodel (Information Only) Funding Sources and Expenditure Projections 20172018201920202021 Funding Sources Capital Improvement Bonds*-30,703,000-- Total Funding Sources$-$30,703,000$-$- Expenditures Municipal Center (Fund 405) Municipal Center Storage, Cabinets and Fixtures$6,000$7,000 Municipal Center HVAC Retrofit*-176,000--- Municipal Center Electrical/Mechanical Repair*-2,711,000--- Municipal Center Exterior Repairs*-270,000--- Gun Range Backstop Retrofit*-130,000--- Municipal Center Lower Level Remodel*-647,000--- Informational Workstation Replacements/Repairs*-90,000--- Municipal Center Campus Renovation*-17,470,000--- Public Works (Fund 405) Only Public Works Storage Yard & Drainage Retrofits*-115,000--- Public Works Campus Renovation (phases 1-2)*-8,643,000--- Fire (Fund 405) Fire Station 1 Kitchen Improvements*-17,000--- Technology (Fund 409) - Core Switching Replacement*-141,000-- Phone System Replacement*-169,000--- EOC Smartboard*-34,000--- Remodeling IT Costs*-90,000--- ---- Total Expenditures$6,000$30,710,000$-$-$- Estimated Ending Fund Balance$(6,000)$(13,000)$(13,000)$(13,000)$(13,000) * - These items represent needs in current facility in the event a new campus is not constructed in 2017. Note: Construction increase cost projection incorporated for deferred items. 11 Description: Project Category: Project Title: Total Estimated Cost: Funding Priority: 2016 Account Number: Project Code: Source of Project Funding20172018201920202021 Justification: Relationship to General Plan and Other Projects: 12 Description: Project Category: Project Title: Total Estimated Cost: Funding Priority: Account Number: Project Number: Reimbursements: Design and Inspection: Payroll Logged to Project: Source of Project Funding20172018201920202021 Justification: Scheduling and Project Status: Relationship to General Plan and Other Projects: Effect on Annual Operations Costs: 13 Project Category: Description: Project Title: Total Estimated Cost: Funding Priority: Account Number: Project Number: Reimbursements: Design and Inspection: Payroll Logged to Project: Source of Project Funding20172018201920202021 Justification:Relationship to General Plan and Other Projects: Effect on Annual Operations Costs: Scheduling and Project Status: 14 Description: Project Category: Project Title: Total Estimated Cost: Funding Priority: Account Number: 2017 Project Code: 2018 Project Code: Source of Project Funding20172018201920202021 Total$ 140,200$61,500 Justification: Relationship to General Plan and Other Projects: 15 Description: Project Category: Project Title: Total Estimated Cost: Funding Priority: Account Number: 2017 Project Code: Source of Project Funding20172018201920212021 Justification:Relationship to General Plan and Other Projects: Effect on Annual Operations Costs: 16 Description: Project Category: Project Title: Total Estimated Cost: Funding Priority: Account Number: 2017 Project Code: Source of Project Funding20172018201920202021 Justification:Relationship to General Plan and Other Projects: Effect on Annual Operations Costs: 17 Description: Project Category: Project Title: Total Estimated Cost: Funding Priority: Account Number: 2017 Project Code: Source of Project Funding20172018201920202021 Justification:Relationship to General Plan and Other Projects: Effect on Annual Operations Costs: 18 Description: Project Category: Project Title: Total Estimated Cost: Funding Priority: Account Number: 2018 Project Code: Source of Project Funding20172018201920202021 Justification:Relationship to General Plan and Other Projects: Effect on Annual Operations Costs: 19 Description: Project Category: Project Title: Total Estimated Cost: Funding Priority: Account Number: 2018 Project Code: Source of Project Funding20172018201920202021 Justification:Relationship to General Plan and Other Projects: NOTE: 20 Project Category: Fire ERP Description: Project Title: Fire Personal Protective Equipment Personal Protective Equipment Replacement Program Total Estimated Cost: $90,000 Funding Priority: 1 Account Number: 410-2510-703100 Project Number: 410-18-26 Reimbursements: Design and Inspection: Payroll Logged to Project: Source of Project Funding20172018201920202021 Capital Equipment Fund$45,000$45,000 Justification:Relationship to General Plan and Other Projects: MN OSHA recently began enforcement and the NFPA TheFire Department currently replaces personal 1851 Standard for Personal Protective Equipment protective equipment on a 10 year cycle in accordance (clothing) under 29 CFR Part 1910.132 “General Duty with the NFPA Standard. Clause” that requires replacement of all personal protective equipment every 10 years regardless of Effect on Annual Operations Costs: condition. Under the current replacement program the Fire Department has replaced all of the equipment with the exception of helmets and boots on a 10 year cycle. If all three of the recommendations are met, the annual One third of the boots and helmets will need to be cost for Personal Protective Equipment would increase replacedin order to be compliantwith the standard.by over $10,000 after five years. A new style of hood is being manufactured with a vapor barrier similar to the coats and pants. The Fire Department is anticipating OSHA will require the hoods to prevent skin absorption of toxic vapors from fires in an effort to reduce the risk of cancer. The Fire Department is recommending purchase of the new hoods regardless of the requirement. A new style hood presently cost about $100 more than the current hood ($42). Because of the risk of cancer, the Fire Department is expecting a best practice for response to structure fires toinclude rinsing, bagging, transporting and washing all Personal Protective Equipment exposed to fire products. This practice will require a second set of Personal Protective Equipment for each firefighter at a cost of over $2,000 per firefighter and will need to be replaced on a 10 year schedule. 21 Project Category: Fire ERP Description: Project Title: Fire Department Floor Scrubber This is a request for replacement of the current floor scrubber for cleaning the apparatus floors. Total Estimated Cost: $12,000 Funding Priority: 3 Account Number: 410-2510-703100 Project Number: 410-18-27 Reimbursements: Design and Inspection: Payroll Logged to Project: Source of Project Funding2017 2018 2019 2020 2021 Capital Equipment Fund $12,000 Justification: Relationship to General Plan and Other Projects: The floor scrubber currently used for Station 1 was a A walk behind scrubber is currently used at least hand me down from Public Works. It is a walk behind weekly to clean the apparatus floors. scrubber that is of unknown vintage and is requiring Effect on Annual Operations Costs: more maintenance to keep running. It is anticipated that there will be close to 12,000 square None feet of apparatus floor in a new facility that will need to be maintained with minimal staffing. 22 Description: Project Category: Project Title: Total Estimated Cost: Funding Priority: Account Number: 2019 Project Code: Source of Project Funding20172018201920202021 Justification:Relationship to General Plan and Other Projects: Effect on Annual Operations Costs: 23 Description: Project Category: Project Title: Total Estimated Cost: Funding Priority: Account Number: 2020 Project Code: Source of Project Funding20172018201920202021 Justification:Scheduling and Project Status: Relationship to General Plan and Other Projects: Effect on Annual Operations Costs: 24 Project Category: Fire ERP Description: Project Title: Fire Department Thermal Imagers This item provides for the scheduled replacement the Fire Department’s Thermal Total Estimated Cost: $90,000 Imaging Cameras. Funding Priority: 1 Account Number: 410-2510-703100 Project Number: 410-21-25 Reimbursements: Design and Inspection: Payroll Logged to Project: Source of Project Funding2017 2018 2019 2020 2021 Capital Equipment Fund $90,000 Justification: Relationship to General Plan and Other Projects: Thermal Imaging Cameras (TIC) are used to provide aTICs are scheduled to be replaced on an eight year visual image in fire conditions where smoke obscures cycle. normal vision. There is a TIC located on every firefighting apparatus and is a tool required to be part of every fire attack team. The TIC is also used by Incident Effect on Annual Operations Costs: Command to locate fires that may not be visible from the exterior of a building and by overhaul teams to locate and extinguish hidden fire. TICs can also be used to None. locate people in fires, accident scenes and on the surface of water. The current TICs are expected to reach their service life after eight years at which time they will no longer be serviceable. 25 Project Category: PW ERP Description: Project Title: Pickup Truck This equipment will replace one of our pickups used to transport Parks Maintenance crews and Total Estimated Cost: $ 30,000 equipment. Funding Priority: 3 Account Number: 410-3172-703100 2017 Project Code: 410.17.72 Future UnitNumber: 545 Replaces Unit Number: 541 Equipment Selection: Public Works Parks Maintenance Division Payroll Logged to Project: None Source of Project Funding20172018201920202021 Capital Equipment Funding$30,000 Justification:Relationship to General Plan and Other Projects: This vehicle is used as transportation for our crews, and This equipment purchase will allow the Public Works is used by the Parks Maintenance trimming and turf Department to continue providing its current level of management personnel. It is used full-time from service. April/May through September, and is utilized as a backup vehicle during low-use periods. A plow is included for plowing of park lots and rinks. Effect on Annual Operations Costs: Scheduling and Project Status: This equipment will not change our operations costs Purchase is planned for 2017. The proposed amount supported by Public Works Department budgets. The includes trade-in of the replaced Unit 541, which is a equipment is anticipated to have a 15 year service life. 2001 Ford F250. 26 Project Category: PW ERP Description: Project Title: Sidewalk Plow This equipment will replace one of the walk/trail plowing tractors used by the Parks Total Estimated Cost: $ 99,000 Maintenance Division Funding Priority: 2 Account Number: 410-3172-703100 2017 Project Code: 410.17.72 Future UnitNumber: 519 Replaces Unit Number: 503 Equipment Selection: Public Works Parks Maintenance Division Payroll Logged to Project: None Source of Project Funding20172018201920202021 Capital Equipment Funding$99,000 Justification:Relationship to General Plan and Other Projects: This plowing utility vehicle in the Parks Maintenance This equipment purchase will allow the Public Works Division used for snow removal on walks and trails. It is Department to continue providing its current level of also used for ice rink clearing after heavy service. accumulations. Scheduling and Project Status:Effect on Annual Operations Costs: Purchase is planned for 2017. The proposed amount This equipment will not change our operations costs includes trade-in of the replaced Unit 503, whichis a supported by Public Works Department budgets. The 1995 MT Trackless, refurbished in 2008.new tractor is anticipated to have a service life of 15 years, which may be extended through overhauls if viable. 27 Project Category: Capital Equipment Description: Project Title: Truck This equipment will replace our 2000 ¾ Ton Chevrolet pickup used by the Street Total Estimated Cost: $ 42,000 Maintenance Division for pavement maintenance and snow removal. Funding Priority: 2 Account Number: 410-3174-703100 2017 Project Code: 410.17.74 FutureUnitNumber: Replaces Unit Number: 753 Equipment Selection: Public Works Street Maintenance Division Payroll Logged to Project: None Source of Project Funding20172018201920202021 Capital Equipment Funding$42,000 Justification:Relationship to General Plan and Other Projects: This will replace our 2000 ¾ Ton Chevrolet pickup with This equipment purchase will allow the City to keep its plow that we were going to sell in 2015, but kept the level of service in pavement maintenance. truck because of our increased work load and additional workers to meet our goal of improving the aesthetic Effect on Annual Operations Costs: quality of the City. Scheduling and Project Status: This equipment will not change our operations costs supported by Public Works Department budgets. The Purchase is planned for 2017. The proposed amount equipment is anticipated to have a 15year service life. includes trade-in of the replaced Unit 753, which is a 2000 ¾ Ton Chevrolet Pickup. 28 Project Category: PW ERP Description: Project Title: Sidewalk Plow This equipment will replace one of the walk/trail plowing tractors used by the Street Total Estimated Cost: $ 132,000 Maintenance Division Funding Priority: 2 Account Number: 410-31742-703100 2017 Project Code: 410.18.74 Future UnitNumber: 761 Replaces Unit Number: 760 Equipment Selection: Public Works Street Maintenance Division Payroll Logged to Project: None Source of Project Funding20172018201920202021 Capital Equipment Funding$ 132,000 Justification:Relationship to General Plan and Other Projects: This plowing utility vehicle in the Street Maintenance This equipment purchase will allow the Public Works Division used for snow removal on walks and trails, and Department to continue providing its current level of areas around municipal buildings. service. Scheduling and Project Status:Effect on Annual Operations Costs: Purchase is planned for 2018. The proposed amount This equipment will notchange our operations costs includes trade-in of the replaced Unit 760, which is a supported by Public Works Department budgets. The 1993 MT Trackless, refurbished in 2009.new tractor is anticipated to have a service life of 15 years, which may be extended through overhauls if viable. 29 Project Category: PW ERP Description: Project Title: Flail Mower (Attachment) This equipment will replace our mower attachment used by the Parks Maintenance Total Estimated Cost: $ 26,000 Division for right-of-way maintenance. Funding Priority: 3 Account Number: 410-3172-703100 2018 Project Code: 410.18.72 Future UnitNumber: 554 Replaces Unit Number: 514A Equipment Selection: Public Works Parks Maintenance Division Payroll Logged to Project: None Source of Project Funding20172018201920202021 Capital Equipment Funding$ 26,000 Justification:Relationship to General Plan and Other Projects: This will replace our side and rear flail mower This equipment purchase will allow the City to keep its attachment used by the Parks Maintenance to maintain level of service in City rights-of-way turf maintenance. vegetation on highway and street rights-of-way. This unit would be used full-time in spring and fall. Effect on Annual Operations Costs: Scheduling and Project Status: This equipment will not change our operations costs Purchase is planned for 2018. The proposed amount supported by Public Works Department budgets. The includes trade-in of the replaced Unit 514A, which is a equipment is anticipated to have a 12 year service life. 2000 Tiger mower. 30 Project Category: PW ERP Description: Project Title: Extended-cab Pickup Truck This equipment will replace our extended cab pickup used to transport Parks Maintenance Total Estimated Cost: $ 24,000 crews and equipment. Funding Priority: 3 Account Number: 410-3172-703100 2018 Project Code: 410.18.72 Future UnitNumber: 529 Replaces Unit Number: 518 Equipment Selection: Public Works Parks Maintenance Division Payroll Logged to Project: None Source of Project Funding2017201820192020202 Capital Equipment Funding$ 24,000 Justification:Relationshipto General Plan and Other Projects: This vehicle is used as transportation for our crews, and This equipment purchase will allow the Public Works is used by the Parks Maintenance trimming and turf Department to continue providing its current level of management personnel. It is used full-time from service. April/May through September, and is utilized as a backup vehicle during low-use periods. Scheduling and Project Status:Effect on Annual Operations Costs: Purchase is planned for 2018. The proposed amount This equipment will not change our operations costs includes trade-in of the replaced Unit 518, which is a supported byPublic Works Department budgets. The 2003 Chevrolet 4x4 extended cab pickup.equipment is anticipated to have a 15 year service life. 31 Project Category: PW ERP Description: Project Title: Crew-cab Pickup Truck This equipment will replace our crew cab pickup used to transport Parks Maintenance crews and Total Estimated Cost: $ 29,000 equipment. Funding Priority: 3 Account Number: 410-3172-703100 2018 Project Code: 410.18.72 Future UnitNumber: 539 Replaces Unit Number: 524 Equipment Selection: Public Works Parks Maintenance Division Payroll Logged to Project: None Source of Project Funding20172018201920202021 Capital Equipment Funding$ 29,000 Justification:Relationship to General Plan and Other Projects: This vehicle is used as transportation for our crews, and This equipment purchase will allow the Public Works is used by the Parks Maintenance trimming and turf Department to continue providing its current level of management personnel. It is used full-time from service. April/May through September, and is utilizedas a backup vehicle during low-use periods. Scheduling and Project Status:Effect on Annual Operations Costs: Purchase is planned for 2018. The proposed amount This equipment will not change our operations costs includes trade-in of the replaced Unit 524, which is a supported by Public Works Department budgets. The 2000 Chevrolet 3500 crew cab pickup.equipment is anticipated to have an 18 year service life. 32 Project Category: PW ERP Description: Project Title: 1-Ton Dump Truck This equipment will replace one of our one-ton dump trucks used for ParksMaintenance and Total Estimated Cost: $ 39,000 winter plowing. Funding Priority: 1 Account Number: 410-3172-703100 2018 Project Code: 410.18.72 Future UnitNumber: 552 Replaces Unit Number: 530 Equipment Selection: Public Works Parks Maintenance Division Payroll Logged to Project: None Source of Project Funding20172018201920202021 Capital Equipment Funding$39,000 Justification:Relationship to General Plan and Other Projects: This vehicle is used by the Parks Maintenance Division This equipment purchase will allow the Public Works as a utility vehicle from April/May through September, Department to continue providing its current level of and is used in the winter to plow cul-de-sacs and select service. streets. Effect on Annual Operations Costs: Scheduling and Project Status: This equipment will not change our operations costs Purchase is planned for 2018. The proposed amount supported by Public Works Department budgets. The includes trade-in of the replaced Unit 530, which is a equipment is anticipated to have a 20 year service life. 1998 Chevrolet 1-ton dump truck. 33 Project Category: PW ERP Description: Project Title: Turf Sweeper This equipment will replace a turf sweeper used by the Parks Maintenance Division for Total Estimated Cost: $ 15,000 debris collection in City maintained properties. Funding Priority: 3 Account Number: 410-3172-703100 2018 Project Code: 410.18.72 Future UnitNumber: 520 Replaces Unit Number: 513 Equipment Selection: Public Works Parks Maintenance Division Payroll Logged to Project: None Source of Project Funding20172018201920202021 Capital Equipment Funding$ 15,000 Justification:Relationship to General Plan and Other Projects: This is one of three turf sweepers used by the Parks This equipment purchase will allow the City to maintain Maintenance Division to perform leaf and debris its level of service in City parks and rights-of-way turf collection in City parks. This unit would be used full-maintenance. time in spring and fall. Scheduling and Project Status:Effect on Annual Operations Costs: Purchase is planned for 2018. The proposed amount This equipment will not changeour operations costs includes trade-in of the replaced Unit 513, which is a supported by Public Works Department budgets. The 1998 Toro turf sweeper.equipment is anticipated to have a 15 year service life. 34 Project Category: PW ERP Description: Project Title: Turf Sweeper This equipment will replace a turf sweeper used by the Parks Maintenance Division for Total Estimated Cost: $ 18,000 debris collection in City maintained properties. Funding Priority: 3 AccountNumber: 410-3172-703100 2018 Project Code: 410.18.72 Future UnitNumber: 534 Replaces Unit Number: 521 Equipment Selection: Public Works Parks Maintenance Division Payroll Logged to Project: None Source of Project Funding20172018201920202021 Capital Equipment Funding$ 18,000 Justification:Relationship to General Plan and Other Projects: This is one of three turf sweepers used by the Parks This equipment purchase will allow the City to maintain Maintenance Division to perform leaf and debris its level of service in City parks and rights-of-way turf collection in City parks. This unit would be used full-maintenance. time in spring and fall. Scheduling and Project Status:Effect on Annual Operations Costs: Purchase is planned for 2018. The proposed amount This equipment will not change our operations costs includes trade-in of the replaced Unit 521, which is a supported by Public Works Department budgets. The 2003 Smithco turf sweeper.equipment is anticipated to have a 15 year service life. 35 Project Category: PW ERP Description: Project Title: Utility Vehicle with Groomer This equipment will replace a utility vehicle with groomer used by the Parks Maintenance Total Estimated Cost: $ 15,000 Division for athletic field maintenance. Funding Priority: 3 Account Number: 410-3172-703100 2018 Project Code: 410.18.72 Future UnitNumber: 571 Replaces Unit Number: 556 Equipment Selection: Public Works Parks Maintenance Division Payroll Logged to Project: None Source of Project Funding20172018201920202021 Capital Equipment Funding$ 15,000 Justification:Relationship to General Plan and Other Projects: This will replace a utility vehicle with a groomer used by This equipment purchase will allow the City to maintain the Parks Maintenance staff to level fields that the City its current level of service. maintains. This unit is used from April through September on a regular basis. Scheduling and Project Status:Effect on Annual Operations Costs: Purchase is planned for 2018. The proposed amount This equipment will not change our operations costs includes trade-in of the replaced Unit 556, which is a supported by Public Works Department budgets. The 2003 John Deere Pro Gator.equipment is anticipated to have a 10 year service life. 36 Project Category: PW ERP Description: Project Title: Turf Sweeper This equipment will replace a turf sweeper used by the Parks Maintenance Division for Total Estimated Cost: $ 15,000 debris collection in City maintained properties. Funding Priority: 3 Account Number: 410-3172-703100 2018 Project Code: 410.18.72 Future UnitNumber: 584 Replaces Unit Number: 583 Equipment Selection: Public Works Parks Maintenance Division Payroll Logged to Project: None Source of Project Funding20172018201920202021 Capital Equipment Funding$ 15,000 Justification:Relationship to General Plan and Other Projects: This is one of three turf sweepers used by the Parks This equipment purchase will allow the City to maintain Maintenance Division to perform leaf and debris its level of service in City parks and rights-of-way turf collection in City parks. This unit would be used full-maintenance. time in spring and fall. Scheduling and Project Status:Effect on Annual Operations Costs: Purchase is planned for 2018. The proposed amount This equipment will not change our operations costs includes trade-in of the replaced Unit 583, which is a supported by Public Works Department budgets. The 1990 Olathe turf sweeper.equipment is anticipated to have a 15 year service life. 37 Project Category: PW ERP Description: Project Title: Asphalt Roller Trailer This equipment will replace our pavement roller trailer used by the Street Maintenance Division. Total Estimated Cost: $ 3,000 Funding Priority: 2 Account Number: 410-3174-703100 2018Project Code: 410.18.74 Future UnitNumber: 749 Replaces Unit Number: 746 Equipment Selection: Public Works Street Maintenance Division Payroll Logged to Project: None Source of Project Funding20172018201920202021 Capital Equipment Funding$ 3,000 Justification:Relationship to General Plan and Other Projects: This will replace a trailer used to transport one of our This equipment purchase will allow the City to keep its two pavement rollers in the Street Maintenance level of service in pavement maintenance. Division. This unit would be used full-time spring through fall. Scheduling and Project Status:Effect on Annual Operations Costs: Purchase is planned for 2018. The proposed amount This equipment will not change our operations costs includes trade-in of the replaced Unit 746, which is a supported by Public Works Department budgets. The 1999 Towmaster trailer.equipment is anticipated to have a 20 year service life. 38 Project Category: PW ERP Description: Project Title: Compressor This equipment will replace our compressor used by the Street Maintenance Division for Total Estimated Cost: $ 14,000 pavement maintenance. Funding Priority: 2 Account Number: 410-3174-703100 2018 Project Code: 410.18.74 Future UnitNumber: 786 Replaces Unit Number: 785 Equipment Selection: Public Works Street Maintenance Division Payroll Logged to Project: None Source of Project Funding20172018201920202021 Capital Equipment Funding$ 14,000 Justification:Relationship to General Plan and Other Projects: This will replace our compressor used in the Street This equipment purchase will allow the City to keep its Maintenance Division for blowing out cracksandlevel of service in pavement maintenance. potholes when repairing pavement. This unit would be used full-time spring through fall. Effect on Annual Operations Costs: Scheduling and Project Status: This equipment will not change our operations costs Purchase is planned for 2018. The proposed amount supported by Public Works Department budgets. The includes trade-in of the replaced Unit 785, which is a equipment is anticipated to have a 30 year service life. 1988 Gardner/Denver compressor. 39 Project Category: PW ERP Description: Project Title: Tanker Truck This equipment will replace the tanker truck used by Parks Maintenance staff for watering Total Estimated Cost: $ 125,000 andrink flooding. Funding Priority: 2 Account Number: 410-3172-703100 2017 Project Code: 410.19.72 Future UnitNumber: 576 Replaces Unit Number: 573 Equipment Selection: Public Works Parks Maintenance Division Payroll Logged to Project: None Source of Project Funding20172018201920202021 Capital Equipment Funding$ 125,000 Justification:Relationship to General Plan and Other Projects: This is our single tanker truck used by the Parks This equipment purchase will allow the City to maintain Maintenance staff for summer watering and flooding of its current level of service for maintenance. The rinks that the City maintains. This unit is used from equipment also allows us to meet our stormwater permit year-round on a regular basis. requirements by watering of planted stormwater areas. Scheduling and Project Status:Effect on Annual Operations Costs: Purchase is planned for 2019. The proposed amount This equipment will not change our operations costs includes trade-in of the replaced Unit 573, which is a supported by Public Works Department budgets. The 1999 Rosco Tanker Truck.new equipment is anticipated to have a 20 year service life. 40 Project Category: PW ERP Description: Project Title: Utility Vehicle with Groomer This equipment will replace a utility vehicle with groomer used by the Parks Maintenance Total Estimated Cost: $ 18,000 Division for athletic field maintenance. Funding Priority: 3 Account Number: 410-3172-703100 2019 Project Code: 410.19.72 Future UnitNumber: 560 Replaces Unit Number: 531 Equipment Selection: Public Works Parks Maintenance Division Payroll Logged to Project: None Source of Project Funding20172018201920202021 Capital Equipment Funding$ 18,000 Justification:Relationship to General Plan and Other Projects: This will replace a utility vehicle with a groomer used by This equipment purchase will allow the City to maintain the Parks Maintenance staff to level fields that the City its current level of service. maintains. This unit is used from April through September on a regular basis. Scheduling and Project Status:Effect on Annual Operations Costs: Purchase is planned for 2019. The proposed amount This equipment will not change our operations costs includes trade-in of the replaced Unit 531, which is a supported by Public Works Department budgets. The 1999 Toro Workman.equipment is anticipated to have a 10 year service life. 41 Project Category: PW ERP Description: Project Title: Aeration Tool Attachment This equipment will replace our existing aeration attachment used by the Parks Total Estimated Cost: $ 7,000 Maintenance Division for parks and fields. Funding Priority: 3 Account Number: 410-3172-703100 2019 Project Code: 410.19.72 Future UnitNumber: 588 Replaces Unit Number: 586 Equipment Selection: Public Works Parks Maintenance Division Payroll Logged to Project: None Source of Project Funding20172018201920202021 Capital Equipment Funding$ 7,000 Justification:Relationship to General Plan and Other Projects: This will replace the existing aeration tool attachment This equipment purchase will allow the City to maintain used by the Parks Maintenance staff to condition soils its current level of service. on fields and parks that the City maintains. This unit is used on a limited basis from April through September. Scheduling and Project Status:Effect on Annual Operations Costs: Purchase is planned for 2019. The proposed amount This equipment will not change our operations costs includes trade-in of the replaced Unit 586, which is a supported by Public Works Department budgets. The 1997 Aera-vator AE60.equipment is anticipated to have a 20 year service life. 42 Project Category: PW ERP Description: Project Title: Dump Truck with Hot Mix Box This equipment will replace our existing pothole patching truck used by the Street Total Estimated Cost: $ 170,000 Maintenance Division. Funding Priority: 2 Account Number: 410-3174-703100 2019 Project Code: 410.19.74 Future UnitNumber: 734 Replaces Unit Number: 730 Equipment Selection: Public Works Street Maintenance Division Payroll Logged to Project: None Source of Project Funding20172018201920202021 Capital Equipment Funding$ 170,000 Justification:Relationship to General Plan and Other Projects: This will replace the existing dump truck with a pothole This equipment purchase will allow the City to maintain patch hot mix box used by the Street Maintenance staff its current level of service. to maintain asphalt pavements citywide. The truck is also outfitted for first-line winter plowing. This unit is used on a regular basis year round. Scheduling and Project Status:Effect on Annual Operations Costs: Purchase is planned for 2019. The proposed amount This equipment will not change our operations costs includes trade-in of the replaced Unit 730, which is a supported by Public Works Department budgets. The 2005 International.equipment is anticipated to have a 15 year service life. 43 Project Category: PW ERP Description: Project Title: Asphalt Roller This equipment will replace one of our pavement rollers used by the Street Total Estimated Cost: $ 17,000 Maintenance Division. Funding Priority: 2 Account Number: 410-3174-703100 2019 Project Code: 410.19.74 Future UnitNumber: 755 Replaces Unit Number: 745 Equipment Selection: Public Works Street Maintenance Division Payroll Logged to Project: None Source of Project Funding20172018201920202021 Capital Equipment Funding$ 17,000 Justification:Relationship to General Plan and Other Projects: This will replace the smaller of our two pavement rollers This equipment purchase will allow the City to keep its in the Street Maintenance Division. This unit would be level of service inpavement maintenance. This used full-time spring through fall. equipment is paired with the replacement of one of our roller trailers, Unit 742. Scheduling and Project Status:Effect on Annual Operations Costs: Purchase is planned for 2019. The proposed amount This equipment will not change our operations costs includes trade-in of the replaced Unit 745, which is a supported by Public Works Department budgets. The 1999 BeuthlingB150 roller.equipment is anticipated to have a 20 year service life. 44 Project Category: PW ERP Description: Project Title: Asphalt Roller Trailer This equipment will replace our pavement roller trailer used by the Street Maintenance Division. Total Estimated Cost: $ 3,000 Funding Priority: 2 Account Number: 410-3174-703100 2019 Project Code: 410.19.74 Future UnitNumber: 757 Replaces Unit Number: 742 Equipment Selection: Public Works Street Maintenance Division Payroll Logged to Project: None Source of Project Funding20172018201920202021 Capital Equipment Funding$ 3,000 Justification:Relationship to General Plan and Other Projects: This will replace a trailer used to transport one of our This equipment purchase will allow the City to keep its two pavement rollers in the Street Maintenance level of service in pavement maintenance. This Division. This unit would be used full-time spring equipment is pairedwith the replacement of one of our through fall. rollers, Unit 745. Scheduling and Project Status:Effect on Annual Operations Costs: Purchase is planned for 2019. The proposed amount This equipment will not change our operations costs includes trade-in of the replaced Unit 742, which is a supported by Public Works Department budgets. The 1995 Towmaster trailer.equipment is anticipated to have a 20 year service life. 45 Project Category: PW ERP Description: Project Title: Highway Mower Tractor This equipment will replace our tractor used by the Parks Maintenance Division for right-of-way Total Estimated Cost: $ 45,000 maintenance. Funding Priority: 3 Account Number: 410-3172-703100 2020 Project Code: 410.20.72 Future UnitNumber: 554 Replaces Unit Number: 514 Equipment Selection: Public Works Parks Maintenance Division Payroll Logged to Project: None Source of Project Funding20172018201920202021 Capital Equipment Funding$ 45,000 Justification:Relationship to General Plan and Other Projects: This will replace our tractor used with a side and rear This equipment purchase will allow the City to keep its flail mower attachment by the Parks Maintenance to level of service in City rights-of-way turf maintenance. maintain vegetation on highway and street rights-of-This equipment is paired with our flail mower way. This unit would be used full-time in spring and fall. attachment. Scheduling and Project Status:Effect on Annual Operations Costs: Purchase is planned for 2020. The proposed amount This equipment will not change our operations costs includes trade-in of the replaced Unit 514, which is a supported by Public Works Department budgets. The 2000 John Deere 6410 tractor.equipment is anticipated to have a 20 year service life. 46 Project Category: PW ERP Description: Project Title: Tandem Mower Trailers This equipment will replace two tandem axle mower trailers used by the Park Maintenance Total Estimated Cost: $ 10,000 Division. Funding Priority: 3 Account Number: 410-3172-703100 2020 Project Code: 410.20.72 Future UnitNumber: 578 & 579 Replaces Unit Number: 523 and 533 Equipment Selection: Public Works Parks Maintenance Division Payroll Logged to Project: None Source of Project Funding20172018201920202021 Capital Equipment Funding$ 10,000 Justification:Relationship to General Plan and Other Projects: This will replace our two tandem axle trailers used to This equipment purchase will allow the City to keep its transport mowers for our Parks Maintenance Division. level of service in pavement maintenance. This This unit would be used full-time spring through fall. equipment is paired with our mowing equipment, and preserves mileage and hours on this equipment. Scheduling and Project Status:Effect on Annual Operations Costs: Purchase is planned for 2020. The proposed amount This equipment will not change our operations costs includes trade-in of the replaced Unit 523 and 533, supported by Public Works Department budgets. The which were purchased in 2005 and 2000, respectively.equipment is anticipated to have a 15 year servicelife. 47 Project Category: PW ERP Description: Project Title: Front-Mount Tractor/Mower This equipment will replace a front-mount mower used by the Parks Maintenance Total Estimated Cost: $ 22,000 Divisionfor grass cutting in City parks. Funding Priority: 2 Account Number: 410-3172-703100 2017 Project Code: 410.20.72 Future UnitNumber: 544 Replaces Unit Number: 540 Equipment Selection: Public Works Parks Maintenance Division Payroll Logged to Project: None Source of Project Funding20172018201920202021 Capital Equipment Funding$22,000 Justification:Relationship to General Plan and Other Projects: This is one of three front-mount mowers used by the This equipment purchase will allow the City to maintain Parks Maintenance Division to staff two full mowing its level of service in City parks and rights-of-way turf crews to perform grass cutting in City parks. This unit maintenance. would be used full-time from April/May through September. Scheduling and Project Status:Effect on Annual Operations Costs: Purchase is planned for 2020. The proposed amount This equipment will not change our operations costs includes trade-in of the replaced Unit 540 (pictured), supported by Public Works Department budgets. The which is a 2008 John Deere model 1435.equipment is anticipated to have a 10 year service life. Project Category: PW ERP 48 Description: Project Title: Pickup Truck This equipment will replace one of our pickups used to transport Parks Maintenance crews Total Estimated Cost: $ 20,000 and equipment. Funding Priority: 2 Account Number: 410-3172-703100 2020 Project Code: 410.20.72 Future UnitNumber: 564 Replaces Unit Number: 558 Equipment Selection: Public Works Parks Maintenance Division Payroll Logged to Project: None Source of Project Funding20172018201920202021 Capital Equipment Funding$ 20,000 Justification:Relationship to General Plan and Other Projects: This vehicle is used as transportation for Parks This equipment purchase will allow the Public Works Maintenance staff year-round.Department to continue providing its current level of service. Scheduling and Project Status:Effect on Annual Operations Costs: Purchase is planned for 2020. The proposed This equipment will not change our operations costs equipment is similar to Unit 558, which is a 2007 GMC supported by Public Works Department budgets. The Sierra ¾-ton pickup truck.equipment is anticipated to have a 12 year service life. 49 Project Category: PW ERP Description: Project Title: Sealant Melter This equipment will replace our existing trailer mounted sealant melter used by the Street Total Estimated Cost: $ 26,000 Maintenance Division. Funding Priority: 2 Account Number: 410-3174-703100 2020 Project Code: 410.20.74 Future UnitNumber: 758 Replaces Unit Number: 723 Equipment Selection: Public Works Street Maintenance Division Payroll Logged to Project: None Source of Project Funding20172018201920202021 Capital Equipment Funding$ 26,000 Justification:Relationship to General Plan and Other Projects: This will replace the existing trailer-mounted sealant This equipment purchase will allow the City to maintain melter used by the Street Maintenance staff to maintain its current level of service. asphalt pavements citywide. This unit is used on a regular basis from April through September for crack sealing of streets. Scheduling and Project Status:Effect on Annual Operations Costs: Purchase is planned for 2020. The proposed amount This equipment will not change our operations costs includes trade-in of the replaced Unit 723, which is a supported by Public Works Department budgets. The 1995 Crafco EZ200 melter.equipment is anticipated to have a 25 year service life. 50 Project Category: PW ERP 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: $ 170,000 Funding Priority: 2 Account Number: 410-3174-703100 2020 Project Code: 410.20.74 Future UnitNumber: 773 Replaces Unit Number: 769 Equipment Selection: Public Works Street Maintenance Division Payroll Logged to Project: None Source of Project Funding20172018201920202021 Capital Equipment Funding$ 170,000 Justification:Relationship to General Plan and Other Projects: This dump truck is one of six large trucks used 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 2020. The proposed amount This equipment will not change our operations costs includes trade-in of the replaced Unit 769, which is a supported by Public Works Department budgets. The 2005 International.equipment is anticipated to have a 15 year service life. 51 Project Category: PW ERP Description: Project Title: Asphalt Roller This equipment will replace one of our pavement rollers used by the Street Total Estimated Cost: $ 34,000 Maintenance Division. Funding Priority: 2 Account Number: 410-3174-703100 2020 Project Code: 410.20.74 Future UnitNumber: 759 Replaces Unit Number: 787 Equipment Selection: Public Works Street Maintenance Division Payroll Logged to Project: None Source of Project Funding20172018201920202021 Capital Equipment Funding$ 34,000 Justification:Relationship to General Plan and Other Projects: This will replace the larger of our two pavement rollers This equipment purchase will allow the City to keep its in the Street Maintenance Division. This unit would be level of service in pavement maintenance. This used full-time spring through fall. equipment is paired with the replacement of one of our roller trailers, Unit 746. Scheduling and Project Status:Effect on Annual Operations Costs: Purchase is planned for 2020. The proposed amount This equipment will not change our operations costs includes trade-in of the replaced Unit 787, which is a supported by Public Works Department budgets. The 1990 BeuthlingB300 roller.equipment is anticipated to have a 30 year service life. 52 Project Category: PW ERP Description: Project Title: Wheeled Loader This equipment will replace one of the wheeled loaders used year-round by the Streets Total Estimated Cost: $ 130,000 Division. Funding Priority: 2 Account Number: 410-3174-703100 2020 Project Code: 410.20.74 Future UnitNumber: 799 Replaces Unit Number: 795 EquipmentSelection: Public Works Street Maintenance Division Payroll Logged to Project: None Source of Project Funding20172018201920202021 Capital Equipment Funding$ 130,000 Justification:Relationship to General Plan and Other Projects: This heavy equipment is 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, and moving service. construction and fill materials year-round. Scheduling and Project Status:Effect on Annual Operations Costs: Purchase is planned for 2020. The proposed amount This equipment will not change our operations costs includes trade-in of the replaced Unit 795, which is a supported by Public Works Department budgets. The 1999 John Deere 544H loader, refurbished in 2014.equipment is anticipated to have a 20 year service life with one major overhaul during its life. 53 Project Title: Topdresser Description: This equipment will replace our topdresser used by the Parks Maintenance Division for Total Estimated Cost: $ 12,000 athletic field maintenance. Funding Priority: 3 Account Number: 410-3172-703100 2017 Project Code: 410.21.72 Future UnitNumber: 569 Replaces Unit Number: 565 Equipment Selection: Public Works Parks Maintenance Division Payroll Logged to Project: None Source of Project Funding20172018201920202021 Capital Equipment Funding$ 12,000 Justification:Relationship to General Plan and Other Projects: This is our single topdresser used by the Parks This equipment purchase will allow the City to maintain Maintenance staff to fertilize and level fields that theits current level of service. City maintains. This unit is used from April through September on a regular basis. Scheduling and Project Status:Effect on Annual Operations Costs: Purchase is planned for 2021. The proposed amount This equipment will not change our operations costs includes trade-in of the replaced Unit 565, which is a supported by Public Works Department budgets. The 2007 Turfco topdresser.equipment is anticipated to have a 10 year service life. 54 Project Category:PW ERP Description: Project Title: Parking Lot/Trail Sweeper This equipment will replace our trail and parking lot sweeperused by the Parks Total Estimated Cost: $ 32,000 Maintenance Division. Funding Priority: 2 Account Number: 410-3172-703100 2017 Project Code: 410.21.72 Future UnitNumber: 550 Replaces Unit Number: 547 Equipment Selection: Public Works Parks Maintenance Division Payroll Logged to Project: None Source of Project Funding20172018201920202021 Capital Equipment Funding$32,000 Justification:Relationship to General Plan and Other Projects: This is our single sweeper used by the Parks This equipment purchase will allow the City to maintain Maintenance staff to sweep parking lots in city parks its current level of service. The equipment also allows and trails citywide. This unit is used from April through us to meet our stormwater permit requirements. November on a part-time basis, with heavy use in the spring and fall. Effect on Annual Operations Costs: Scheduling and Project Status: This equipment will not change our operations costs Purchase is planned for 2021. The proposed amount supported by Public Works Department budgets. The includes trade-in of the replaced Unit 547, which is a equipment is anticipated to have a 20 year service life. 1997 Powerboss sweeper. 55 Description: Project Category: Project Title: Total Estimated Cost: Funding Priority: Account Number: Project Code: Source of Project Funding20172018201920202021 Justification:Relationship to General Plan and Other Projects: Effect on Annual Operations Costs: Scheduling and Project Status: 56 Project Category: Description: Project Title: Total Estimated Cost: Funding Priority: Account Number: Project Code: Source of Project Funding20172018201920202021 Justification:Relationship to General Plan and Other Projects: Effect on Annual Operations Costs: Scheduling and Project Status: 57 Project Category: Description: Project Title: Total Estimated Cost: Funding Priority: Account Number: Project Code: Source of Project Funding20172018201920202021 Justification:Relationship to General Plan and Other Projects: Effect on Annual Operations Costs: Scheduling and Project Status: 58 Project Category: Description: Project Title: Total Estimated Cost: Funding Priority: Account Number: Project Code: Source of Project Funding20172018201920202021 Justification:Relationship to General Plan and Other Projects: Effect on Annual Operations Costs: Scheduling and Project Status: 59 Description: Project Category: Project Title: Total Estimated Cost: Funding Priority: Account Number: Project Code: Source of Project Funding20172018201920202021 Justification:Relationship to General Plan and Other Projects: Effect on Annual Operations Costs: Scheduling and Project Status: 60 Project Category: Description: Project Title: Total Estimated Cost: Funding Priority: Account Number: Project Code: Source of Project Funding20172018201920202021 Justification:Relationship to General Plan and Other Projects: Scheduling and Project Status: Effect on Annual Operations Costs: 61 Project Category: Description: Project Title: Total Estimated Cost: Funding Priority: Account Number: Project Code: Source of Project Funding20172018201920202021 Justification: Relationship to General Plan and Other Projects: Effect on Annual Operations Costs: Scheduling and Project Status: 62 Project Category: Description: Project Title: Total Estimated Cost: Funding Priority: Account Number: Project Code: Source of Project Funding20172018201920202021 Justification:Relationship to General Plan and Other Projects: Scheduling and Project Status: Effect on Annual Operations Costs: 63 Project Category: Description: Project Title: Total Estimated Cost: Funding Priority: Account Number: Project Code: Source of Project Funding20172018201920202021 Justification:Relationship to General Plan and Other Projects: Effect on Annual Operations Costs: Scheduling and Project Status: 64 Project Category: Description: Project Title: Total Estimated Cost: Funding Priority: Account Number: Project Code: Source of Project Funding20172018201920202021 Justification:Relationship to General Plan and Other Projects: Effect on Annual Operations Costs: Scheduling and Project Status: 65 Project Category: Description: Project Title: Total Estimated Cost: Funding Priority: Account Number: Project Code: Source of Project Funding20172018201920202021 Justification:Relationship to General Plan and Other Projects: Effect on Annual Operations Costs: Scheduling and Project Status: 66 Project Category: Description: Project Title: Total Estimated Cost: Funding Priority: Account Number: 2017 Project Number: Reimbursements: Design and Inspection: Payroll Logged to Project: Source of Project Funding20172018201920202021 Justification:Relationship to General Plan and Other Projects: Effect on Annual Operations Costs: Scheduling and Project Status: 67 Project Category: Description: Project Title: Total Estimated Cost: Funding Priority: Account Number: 2017 Project Number: Reimbursements: Design and Inspection: Payroll Logged to Project: Source of Project Funding20172018201920202021 Justification:Relationship to General Plan and Other Projects: Scheduling and Project Status:Effect on Annual Operations Costs: 68 Description: Project Category: BuildingsCIP This project represents the relocation and Project Title: Civic Complex expansion of the Fridley Municipal Center and Public Works Facility and combining into one Total Estimated Cost: $50,000,000 campus. Funding Priority: 1 Account Number: 2017 ProjectNumber: Reimbursements: None Design and Inspection: Architect and Construction Manager with Coordination from Various Departments Payroll Logged to Project: None Source of Project Funding20172018201920202021 Capital BuildingFund $50,000,000 Justification:Relationship to General Plan and Other Projects: This project represents the relocation and expansion of This is a stand-alone project, but defers prior projects the Fridley Municipal Center and Public Works facilities for the existing Municipal Center and Public Works to theformerColumbia Arena site.facilities that were budgeted in 2014. In addition, this project would supersede existing site renovationand This project provides for the long-term space needs so retrofitprojects. The deferred projects and renovation that the City can remain functionally viable for the projects total $30,703,000 (2018 dollars). coming decades. Scheduling andProject Status:Effect on Annual Operations Costs: Preliminary design work began in 2016 and will be The project would have a substantial impact upon the included with the total project costs ($1,250,000). day-to-day efficiency of the operation of the City of Completion is planned for the end of2018Fridley, and provide an improved level of service to the city’s constituents. 69 Description: Project Category: Project Title: Total Estimated Cost: Funding Priority: Account Number: 2016 Project Number: Reimbursements: Design and Inspection: Payroll Logged to Project: Source of Project Funding20172018201920202021 Justification:Relationship to General Plan and Other Projects: Scheduling and Project Status:Effect on Annual Operations Costs: 70 Description: Project Category: Project Title: Total Estimated Cost: Funding Priority: Account Number: 2016 Project Number: Reimbursements: Design and Inspection: Payroll Logged to Project: Source of Project Funding20172018201920202021 Justification:Relationship to General Plan and Other Projects: Effect on Annual Operations Costs: Scheduling and Project Status: 71 Description: Project Category: Project Title: Total Estimated Cost: Funding Priority: Account Number: 2016 Project Number: Reimbursements: Design and Inspection: Payroll Logged to Project: Source of Project Funding20172018201920202021 Justification:Relationship to General Plan and Other Projects: Effect on Annual Operations Costs: Scheduling and Project Status: 72 Project Category: Description: Project Title: Total Estimated Cost: Funding Priority: Account Number: 2016 Project Number: Reimbursements: Design and Inspection: Payroll Logged to Project: Source of Project Funding20172018201920202021 Justification:Relationship to General Plan and Other Projects: Effect on Annual Operations Costs: Scheduling and Project Status: 73 Description: Project Category: Project Title: Total Estimated Cost: Funding Priority: Account Number: 2016 Project Number: Reimbursements: Design and Inspection: Payroll Logged to Project: Source of Project Funding20172018201920202021 Justification:Relationship to General Plan and Other Projects: Effect on Annual Operations Costs: Scheduling and Project Status: 74 Project Category: Description: Project Title: Total Estimated Cost: Funding Priority: Account Number: 2013 Project Number: Reimbursements: Design and Inspection: Payroll Logged to Project: Source of Project Funding20172018201920202021 NOTE: Prior years approved budgets have been reserved for completion of this project Justification:Relationship to General Plan and Other Projects: Scheduling and Project Status:Effect on Annual Operations Costs: 75 Project Category: Description: Project Title: Total Estimated Cost: Funding Priority: Account Number: 2016 Project Number: Reimbursements: Design and Inspection: Payroll Logged to Project: Source of Project Funding20172018201920202021 Justification:Relationship to General Plan and Other Projects: Effect on Annual Operations Costs: Scheduling and Project Status: 76 77 Project Category: Streets CIP Description: Project Title: Street Rehabilitation Project This project involves the reclamation of various ST2017-01 street segments and minor repairs to utilities on various streets in the Parkview and North Total Estimated Cost: $ 770,000 Park neighborhoods. Funding Priority: 1 Account Number: 406-3174-638180 2017 ProjectNumber: 406-17-01 Reimbursements: Municipal State Aid Design and Inspection: Engineering Staff Payroll Logged to Project: Public Works Department Engineering Division Source of Project Funding20172018201920202021 Municipal State Aid$ 770,000* *Special Assessments estimated at $560,000 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 water system surveys will 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 2017 This project will reduce operating costs relating to street construction. Preliminary design, workshop, and and utility maintenance in the project area. assessment hearing is planned to occur upon preliminary CIP approval in 2016. 78 Project Category: Streets CIP Description: Project Title: Street Rehabilitation Project This project involves the reclamation of various ST2018-01 street segments and minor repairs to utilities in the Springbrook and Holiday Hills Total Estimated Cost: $850,000 neighborhoods. Funding Priority: 1 Account Number: 406-3174-638180 2018 ProjectNumber: 406-18-01 Reimbursements: Municipal State Aid Design and Inspection: Engineering Staff Payroll Logged to Project: Public Works Department Engineering Division Source of Project Funding20172018201920202021 Municipal State Aid$ 850,000* *Special Assessments estimated at $580,000 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 water system surveys will 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 projectis presently scheduled for 2018 This project will reduce operating costs relating to street construction. Preliminary design, workshop, and and utility maintenance in the project area. assessment hearing is planned to occur upon preliminary CIP approval in 2017. 79 Project Category: Streets CIP Description: Project Title: Street Rehabilitation Project This project involves the reclamation of various ST2019-01 street segments and minor repairs to utilities th on 69Avenue east of Central Avenue Total Estimated Cost: $ 910,000 (deferred from 2015), and western Melody Manor neighborhood. Funding Priority: 1 Account Number: 406-3174-638180 2019 ProjectNumber: 406-19-01 Reimbursements: Municipal State Aid Design and Inspection: Engineering Staff Payroll Logged to Project: Public Works Department Engineering Division Source of Project Funding20172018201920202021 Municipal State Aid$910,000* *Special Assessments estimated at $580,000 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 water system surveys will 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 2019 This project will reduce operating costs relating to street construction. Preliminary design, workshop, and and utility maintenance in the project area. assessment hearing is planned to occur upon preliminary CIP approval in 2018. 80 Project Category: Streets CIP Description: Project Title: Street Rehabilitation Project This project involves the rehabilitation of ST2020-01 various concrete street segments and minor repairs to utilities in the Black Forest, North TotalEstimated Cost: $ 750,000 Innsbruck, and South Innsbruck neighborhoods. Funding Priority: 1 Account Number: 406-3174-638180 2020 ProjectNumber: 406-20-01 Reimbursements: Municipal State Aid Design and Inspection: Engineering Staff Payroll Logged to Project: Public Works Department Engineering Division Source of Project Funding20172018201920202021 Municipal State Aid$750,000* *Special Assessments estimated at $580,000 to reimbursement to the Street Reserve Fund as collected. Justification:Relationship to General Plan and Other Projects: This project is includedin 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 water system surveys will 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 2020 This project will reduce operating costs relating to street construction. Preliminary design, workshop, and and utility maintenance in the project area. assessment hearing is planned to occur upon preliminary CIP approval in 2019. 81 Project Category: Streets CIP Description: Project Title: Street Rehabilitation Project This project involves the rehabilitation of ST2021-01 various concrete street segments and minor repairs to utilities in the Lakeview Total Estimated Cost: $ 930,000 neighborhood. Funding Priority: 1 Account Number: 406-3174-638180 2021 ProjectNumber: 406-21-01 Reimbursements: Municipal State Aid Design and Inspection: Engineering Staff Payroll Logged to Project: Public Works Department Engineering Division Source of Project Funding20172018201920202021 Municipal State Aid$ 930,000* *Special Assessments estimated at $630,000 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 oncondition. Other considerations include age, coordination with Sewer, storm sewer, and water system surveys will 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 2021 This project will reduce operating costs relating to street construction. Preliminary design, workshop, and and utility maintenance in the project area. assessment hearing is planned to occur upon preliminary CIP approval in 2020. 82 Project Category: Streets CIP Description: Project Title: Street Sealing Program, Project This project involves street sealing to extend ST2017-10 (Chip Sealing) pavement service life. Chip sealing is included in Area 8, which is generally south of I-694. Total Estimated Cost: $ 235,000 Funding Priority: 2 Account Number: 406-3174-635100 Not Capitalized 2017 Project Number: 406-17-10 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 Funding20172018201920202021 Street Reserve Funding$ 235,000 Justification:Relationship to General Plan 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 2017 includes Area 8, south of I-694.the near term. Scheduling and Project Status: Effect on Annual Operations Costs: This project is presently scheduled for bidding and construction in 2017. The project is bid out as part of a nine-city JPA project administered by the City of Coon This project reduces operating costs relating to Rapids. Bids are requested in February of each maintaining pavement in this area over the long-term. construction year for the work. 83 Project Category: Streets CIP Description: Project Title: Street Sealing Program, Project This project involves street sealing to extend ST2018-10 (Chip Sealing) pavement service life. Chip sealing is included in Area 1, in the northwest area of Fridley. Total Estimated Cost: $ 250,000 Funding Priority: 2 Account Number: 406-3174-635100 Not Capitalized 2018 Project Number: 406-18-10 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 Funding20172018201920202021 Street ReserveFunding$ 250,000 Justification:Relationship to General Plan 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 2018 includes Area 1, in the northwest the near term. area of Fridley. Scheduling and Project Status: Effect on Annual Operations Costs: This project is presently scheduled for bidding and construction in 2018. The project is bid out as part of a This project reduces operating costs relating to nine-city JPA project administered by the City of Coon maintaining pavement in this area over the long-term. Rapids. Bids are requested in February of each construction year for the work. 84 Project Category: Streets CIP Description: Project Title: Street Sealing Program, Project This project involves street sealing to extend ST2019-10 (Chip Sealing) pavement service life. Chip sealing is included in Area 2, generally in the north area of Fridley. Total Estimated Cost: $ 265,000 Funding Priority: 2 Account Number: 406-3174-635100 Not Capitalized 2019 Project Number: 406-19-10 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 Funding20172018201920202021 Street Reserve Funding$ 265,000 Justification:Relationship to General Plan 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 for2019 includes Area 2, generally in the the near term. north area of Fridley. Scheduling and Project Status: Effect on Annual Operations Costs: This project is presently scheduled for bidding and construction in 2019. The project is bid out as part of a This project reduces operating costs relating to nine-city JPA project administered by the City ofCoon maintaining pavement in this area over the long-term. Rapids. Bids are requested in February of each construction year for the work. 85 Project Category: Streets CIP Description: Project Title: Street Sealing Program, Project This project involves street sealing to extend ST2020-10 (Chip Sealing) pavement service life. Chip sealing is included in Area 3, generally in the southeast area of Total Estimated Cost: $ 275,000 Fridley. Funding Priority: 2 Account Number: 406-3174-635100 Not Capitalized 2020 Project Number: 406-20-10 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 Funding20172018201920202021 Street Reserve Funding$ 275,000 Justification:Relationship to General Plan and Other Projects: This project includes chip sealing of City streets on an This work is coordinated withresurfacing plans to avoid eight-year rotation for pavement preservation purposes. sealing streets that are scheduled for reconstruction in The project for 2020 includes Area 3, generally in the the near term. southeast area of Fridley. Scheduling and Project Status: Effect on Annual Operations Costs: This project is presently scheduled for bidding and construction in 2020. The project is bid out as part of a This project reduces operating costs relating to nine-city JPA project administered by the City of Coon maintaining pavement in this area over the long-term. Rapids. Bids are requested in February of each construction year for the work. 86 Project Category: Streets CIP Description: Project Title: StreetSealing Program, Project This project involves street sealing to extend ST2021-10 (Chip Sealing) pavement service life. Chip sealing is included in Area 4, generally in the central area of Total Estimated Cost: $ 275,000 Fridley. Funding Priority: 2 Account Number: 406-3174-635100 Not Capitalized 2021 Project Number: 406-21-10 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 Funding20172018201920202021 Street Reserve Funding$ 275,000 Justification:Relationship to General Plan 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 2021 includes Area 4, generally in the the near term. central area of Fridley. Scheduling and Project Status: Effect on Annual Operations Costs: This project is presently scheduled for bidding and construction in 2021. The project is bid out as part of a This project reduces operatingcosts relating to nine-city JPA project administered by the City of Coon maintaining pavement in this area over the long-term. Rapids. Bids are requested in February of each construction year for the work. 87 Project Category: Streets CIP Description: Project Title: Street Sealing Program, Project This project involves routing and sealing of ST2017-10 (Crack Sealing) cracks to extend pavement service life. Rubberized crack sealing will be performed in Total Estimated Cost: $ 35,000 Area 8, and on other selected streets. Funding Priority: 2 Account Number: 406-3174-635100 Not Capitalized 2017 Project Number: 406-17-10 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 Funding20172018201920202021 Street Reserve Funding$ 35,000 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 (Area 8), and other streets that have been paved limitations on staff time and large mileage of street within the past five years. This project augments sealing rehabilitation projects in recent years, staff is unable to work performed by our maintenance crews, who along keep up with all crack sealing.cannot seal the optimum mileage in a given season. Scheduling and Project Status:Effect on Annual Operations Costs: This project is presently scheduled for bidding and This project reduces operating costs relating to construction in 2017. The project isbid 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. 88 Project Category: Streets CIP Description: Project Title: Street Sealing Program, Project This project involves routing and sealing of ST2018-10 (Crack Sealing) cracks to extend pavement service life. Rubberized crack sealing will be performed in Total Estimated Cost: $ 35,000 Area 1, and on other selected streets. Funding Priority: 2 Account Number: 406-3174-635100 Not Capitalized 2018 Project Number: 406-18-10 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 Funding20172018201920202021 Street Reserve Funding$ 35,000 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 (Area 1), and other streets that have been paved limitations on staff time and large mileage of street within the past five years. This project augments sealing rehabilitation projects in recent years, staff is unable to work performed by our maintenance crews, who along keep up with all crack sealing.cannot seal the optimum mileage in a given season. Scheduling and Project Status:Effect on Annual Operations Costs: This project is presently scheduled for bidding and This project reduces operating costs relating to construction in 2018. 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. 89 Project Category: Streets CIP Description: Project Title: Street Sealing Program, Project This project involves routing and sealing of ST2019-10 (Crack Sealing) cracks to extend pavement service life. Rubberized crack sealing will be performed in Total Estimated Cost: $ 35,000 Area 2, and on other selected streets. Funding Priority: 2 Account Number: 406-3174-635100 Not Capitalized 2019 Project Number: 406-19-10 Reimbursements: Street Reserve Fund Design and Inspection: Engineering Staff, Consultant through JPA Payroll Loggedto Project: Public Works Department Engineering and Street Divisions Source of Project Funding20172018201920202021 Street Reserve Funding$ 35,000 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 (Area 2), and other streets that have been paved limitations on staff time and large mileage of street within the past five years. This project augments sealing rehabilitation projects in recent years, staff is unable to work performed by our maintenance crews, who along keep up with all crack sealing.cannot seal the optimum mileage in a given season. Scheduling and Project Status:Effect on Annual Operations Costs: This project is presently scheduled for bidding and This project reduces operating costs relating to construction in 2019. 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. 90 Project Category: Streets CIP Description: Project Title: Street Sealing Program, Project This project involves routing and sealing of ST2020-10 (Crack Sealing) cracks to extend pavement service life. Rubberized crack sealing will be performed in Total Estimated Cost: $ 38,000 Area 3, and on other selected streets. Funding Priority: 2 Account Number: 406-3174-635100 Not Capitalized 2020 Project Number: 406-20-10 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 Funding20172018201920202021 Street Reserve Funding$ 38,000 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 (Area 3), and other streets that have been paved limitations on staff time and large mileage of street within the past five years. This project augments sealing rehabilitation projects in recent years, staff is unable to work performed by our maintenance crews, who along keep up with all crack sealing.cannot seal the optimum mileage in a given season. Scheduling and ProjectStatus:Effect on Annual Operations Costs: This project is presently scheduled for bidding and This project reduces operating costs relating to construction in 2020. 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. 91 Project Category: Streets CIP Description: Project Title: Street Sealing Program, Project This project involves routing and sealing of ST2021-10 (Crack Sealing) cracks to extend pavement service life. Rubberized crack sealing will be performed in Total Estimated Cost: $ 42,500 Area 3, and on other selected streets. Funding Priority: 2 Account Number: 406-3174-635100 Not Capitalized 2020 Project Number: 406-21-10 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 Funding20172018201920202021 Street Reserve Funding$ 42,500 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 (Area 3), and other streets that have been paved limitations on staff time and large mileage of street within the past five years. This project augments sealing rehabilitation projects in recent years, staff is unable to work performed by our maintenance crews, who along keep up with all cracksealing.cannot seal the optimum mileage in a given season. Scheduling and Project Status:Effect on Annual Operations Costs: This project is presently scheduled for bidding and This project reduces operating costs relating to construction in 2021. 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. 92 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: 406-3174-635100 Not Capitalized 2016 ProjectNumber: 406-16-20 Reimbursements: Street Reserve Fund Design and Inspection: Engineering Staff Payroll Logged to Project: Public Works Streets Maintenance Division Source of Project Funding20172018201920202021 Street Reserve Funding$ 100,000$ 100,000$ 100,000$ 100,000$ 100,000 NOTE: Prior years approved budgets have been reserved for completion of trails connecting Main Street Bridge project 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. The project is where most cost-effective.Upgrades to current use consistent with the City’s Active Transportation Plan. standards, including ADA will be made where applicable. Scheduling and Project Status:Effect on AnnualOperations Costs: Trails and walksto be color coated are determined This project maintains operating costs at a consistent annually by the StreetOperations Managerand 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. Candidate projects are as follows: rd Avenue on Main Street 2016-17: Trail connection to 43 (in conjunction with overpass) 2018:West Moore Lake Trail match funding 2019:University Avenue north of Mississippi Street rd 2020: 53Avenue Connection University to Central thth 2021: 7Street Extension, 57Avenue and East Moore Lake Trail 93 Description: Project Category: Streets CIP This project involves providing connected Project Title: West Moore Lake Drive shareduse trail and bicycle lanes on West Trail and Resurfacing th Avenue to Trunk Moore Lake from 57 Highway 65. Total Estimated Cost: $ 560,000 SP 127-315-0061 Funding Priority: 2 Account Number: 406-3174-702100 2018ProjectNumber: 406-18-21 Reimbursements: Street Reserve Fund & Grants Design and Inspection: Engineering Staff Payroll Logged to Project: Public Works Streets Maintenance Division Source of Project Funding20172018201920202021 Federal Highway Funds$ 560,000 Justification:Relationship to General Plan and Other Projects: This project will provide additional network connectivity This project is stand-alone, will substantially improve thst Avenue to 61 for pedestrians and cyclists from 57service levels, including improved access to transit and Avenue and on West Moore Lake to Trunk Highway 65. livability improvements. Theproject is consistent with This will provide improved access to the Fridley Middle the City’s Active Transportation Plan. A match of the School and High School, and provide for a circuit Federal Funding is provided from our annual Trail/Walk around Moore Lake.Upgrades CIP item. Scheduling and Project Status:Effect on Annual Operations Costs: The project has Federal Highway funds designated for Minor improvements to connectivity and added trail 2018. mileage will increase maintenance requirements slightly. 94 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 including 2015) Funding Priority: 2 Account Number: 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 Funding20172018201920202021 Street Reserve Funding$ 90,000 NOTE: Prior yearsapproved budgets have been reservedfor completion of this project 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 initiatedin 2016, with construction in the subsequent maintenance and energy for these street lighting year. Special assessments within benefiting districts systems. will be considered to augment funding of this project. 95 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 6 years) Funding Priority: 2 Account Number: 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 Funding20172018201920202021 Street Reserve Funding$ 20,000$ 180,000$ 180,000$ 20,000$ 20,000 NOTE: Prior yearsapproved budgets have been reservedto complete this project 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 (East River Road and Mississippi Street) and 2019 (TBD) 96 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: $ 45,000 (over 5 years) county highways. Funding Priority: 3 Account Number: Finance ProjectNumber: XXXX Reimbursements: Street Reserve Fund Design and Inspection: Engineering Staff Payroll Logged to Project: Public Works Engineering Division Source of Project Funding20172018201920202021 Street Reserve Funding$ 15,000$ 15,000$ 15,000 NOTE: Prior yearsapproved budgets have been reservedto completethis project 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 largebrown signs). The City is responsible for replacement of these signs. Scheduling and Project Status: Effect on Annual Operations Costs: Signs to be replacedare determined annually by the StreetMaintenance Supervisor and the Public WorksThis project maintains operating costs at a consistent Director. level. Minor improvements in efficiency will result from removal of some redundant signage. 97 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: $ 1,840,000 (over 5 years) FundingPriority: 3 Account Number: Finance ProjectNumber: XXXX Reimbursements: Federal Highway Funds and Street Reserve Fund Design and Inspection: Engineering Staff Payroll Logged to Project: Public Works Engineering Division Source of Project Funding20172018201920202021 Federal Highway Funds$ 1,500,000 Street Reserve Funding$ 30,000$ 30,000$ 30,000$ 220,000$ 30,000 NOTE: Prior yearsapproved budgets have been reservedto complete this project 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. The 2020project is for a roundabout at Osborne Road and West University Service Drive, for which an HSIP Federal funding solicitation is planned. 98 Project Category: Water ERP (Capital Equipment) Description: Project Title: Truck This equipment will be used in the Water Division, and replace a general use pickup Total Estimated Cost: $ 35,000 truck in the Engineering Division Funding Priority: 2 Account Number: 601-6310-703100 2017Project Number: 601-17-603 Future Unit Number: 603 Replaces Unit Number: 605 Equipment Selection: Water DivisionStaff Payroll Logged to Project: None Source of Project Funding20172018201920202021 Water Utility Fund$ 35,000 - Justification:Relationship to General Plan and Other Projects: This will replace a pickup in general use by Water The equipment purchase will allow the City to maintain Division staffits current level of service. Scheduling and Project Status:Effect on Annual Operations Costs: Purchase is planned for 2017. The proposed amount This project will not change operations costs supported includes trade-in of a vehicle to be determined from the by Public Works Department budgets. The equipment is Engineering fleet. Unit 605, a 2006 Chevrolet Silverado anticipated to have a 10-year service life in the Water 4x4 will be transferred to the Engineering Division.Division. 99 Project Category: Water ERP (Capital Equipment) Description: Project Title: Trailer Vac Excavator This equipment will be used in the Water Division, and replace a general use pickup Total Estimated Cost: $ 60,000 truck in the Engineering Division Funding Priority: 2 Account Number: 601-6310-703100 2018Project Number: 601-18-626 Future Unit Number: 626 Replaces Unit Number: 627 Equipment Selection: Water DivisionStaff Payroll Logged to Project: None Source of Project Funding20172018201920202021 Water Utility Fund$ 60,000 - Justification:Relationship to General Plan and Other Projects: This will replace a trailer-mounted vacuum excavator The equipment purchase will allow the City to maintain used by Water Division staff for clearing valves, its current level of service. manholes, and other structures. Scheduling and Project Status:Effect on Annual Operations Costs: Purchase is planned for 2018. The proposed amountThis project will not change operations costs supported includes trade-in of Unit 627, a 1995 Wacs TracVac.by Public Works Department budgets. The equipment is anticipated to have a 20-year service life. 100 Project Category: Water ERP (Capital Equipment) Description: Project Title: Truck This equipment will be used in the Water Division, and replace a general use pickup Total Estimated Cost: $ 40,000 truck in the Engineering Division Funding Priority: 2 Account Number: 601-6310-703100 2020Project Number: 601-20-609 Future Unit Number: 603 Replaces Unit Number: 606 Equipment Selection: Water DivisionStaff Payroll Logged to Project: None Source of Project Funding20172018201920202021 Water Utility Fund$ 40,000 - Justification:Relationship to General Plan and Other Projects: This will replace a pickup in general use by Water The equipment purchase will allow the City to maintain Division staffits current level of service. Scheduling and Project Status:Effect on Annual Operations Costs: Purchase is planned for 2020. The proposed amount This project will not change operations costs supported includes trade-in of a vehicle to be determined from the by Public Works Department budgets. The equipment is Engineering fleet. Unit 606, a 2011 GMC Sierra 2500, anticipated to have a 10-year service life in the Water will be transferred to the Engineering Division.Division. 101 Project Category: Water CIP Description: Project Title: Distribution System This project involves reconstruction, Reconstruction rehabilitation, and interconnection of the existing water distribution system. This project Total Estimated Cost: $ 2,200,000 (over 5 years) is in conjunction with annual street rehabilitation projects. Funding Priority: 1 Account Number: (1) 406-3174-702100, 406-(yr)-01 Street Project (2) 601-6310-702100, 406-(yr)-01 To JE’d at Year End to 2016-01 Street Project 2017 Project Number: 601-17-447 Reimbursements: None Design and Inspection: Engineering Staff Payroll Logged to Project: Public Works Department Engineering and Water Divisions Source of Project Funding20172018201920202021 Water Utility Fund$ 500,000 $ 300,000 $ 400,000 $ 500,000 $ 500,000 - 2016A Bonding project Justification:Relationship to General Plan and Other Projects: This project is to provide preservation of the water The project is part of a an effort by the City of Fridley to distribution system. Annual funding is targeted to upgrade 50% of its water distribution system by the time extend the life of existing infrastructure.it reaches 100 years of age. The proposed 2017project repair mains in the 2017 Effect on Annual Operations Costs: street project area. Scheduling and Project Status: This project will reduce operations costs by providing new mains that are subject to reduced breakage, and The 2017project will be in design in the fall of 2016. provide for a more reliable service delivery. 102 Project Category: Water CIP Description: Project Title: Hydrant Repairs This project involves accelerated rehabilitation and repair of existing fire hydrants. Total Estimated Cost: $ 100,000 (over 5 years) Funding Priority: 2 Account Number: 601-6310-635100 2017 Project Number: 601-17-494 Reimbursements: None Design and Inspection: Public Works Department Engineering Division Payroll Logged to Project: Public Works Department Engineering and Water Divisions Source of Project Funding20172018201920202021 Water Utility Fund$ 20,000$ 20,000$ 20,000$ 20,000$ 20,000 Justification:Relationship to General Plan and Other Projects: This project is to provide preservation of the fire The project is part of an effort by the City of Fridley to hydrants, a critical element in our water distribution maintain and repair its hydrants within five years. system. Annual funding is targeted to extend the life of existing infrastructure. The work includes sandblasting and painting of hydrants, and materials for mechanical repairs as identified. Effect on Annual Operations Costs: Scheduling and Project Status: Thisproject will reduce operations costs by providing The project is stand-alone, and will be part ofa five-year scheduled hydrant repairs and coatings that will reduce program to be completed system wide.long-term maintenance. 103 Project Category: Water CIP Description: Project Title: Well Updates This project involves reconstruction, rehabilitation, and interconnection of the Total Estimated Cost: $ 610,000 (over 5 years) existing water distribution system. FundingPriority: 1 Account Number: 601-6310-702100 2016-17Project Number: 601-16-448 Reimbursements: None Design and Inspection: Engineering Staff Payroll Logged to Project: Public Works Department Engineering and Water Divisions Source of Project Funding20172018201920202021 Water Utility Fund$ 40,000$ 190,000 $ 200,000 $,000 NOTE: Prior years approved budgets have been reserved for completion of the 2016-17project. Justification:Relationship to General Plan and Other Projects: The project consists of removing and inspecting the This is a project formerly programmed annually, but now column pipe, shafts, pumps, and motors, and repairing modified in schedule to be completed semi-annually. these components as required. This semi-annual project ensures that the City water system continues to have a constant water supply with a minimum amount of repairs. High-liftpump reconditioningis included in Effect on Annual Operations Costs: 2016-2017.Updates and rehabilitation are proposed for Wells 2 and 5 in 2018, and Wells 9 and 12 in 2020. This project keeps excessive operations costs limited Scheduling and Project Status: through reduction in need for emergency repairs of well equipment, and maintains service reliability. The work will be completed in the year budgeted. 104 Project Category: Water CIP Description: Project Title: Water Meter Replacement The project includes installation of water and Testing meters with upgrades to anautomatic meter reading system, construction of fixed antenna Total Estimated Cost: $ 760,000 (over 5 years) readers, and testing of meters. Funding Priority: 1 Account Number: 601-6310-621140 2016-17Project Number: 601-16-412 Reimbursements: None Design and Inspection: None Payroll Logged to Project: Finance Department and Public Works Department Engineering and Water Divisions Source of Project Funding20172018201920202021 Water Utility Fund$ 720,000 $ 10,000 $ 10,000 $ 10,000 $ 10,000 - 2016A Bonding project NOTE: Prior years approved budgets have been reserved for completion of the 2016-17project. Justification:Relationship to General Plan and Other Projects: The City’s water meters are typically beyond their This is a project that is accelerated to be completed in expected life span for accurate reading. The City has 2017, revised from a project originally programmed also relied on voluntary meter reading for residential annually which would have otherwise reached properties, which adds data entry and coordination time completion in 2022. Fixed antennas are planned to be to collect readings. The project includes installation of installed in 2017 for data collection of areas that have water meters Citywide in a multi-year project with been installed. upgrades to an automatic meter reading system. City staff has coordinated and performs installations of Testing of commercial meters would begin in 2018, and approximately 500 meters annually, and will be would take approximately five years to complete. accelerating deployment to complete residential installations by the end of 2017. Scheduling and Project Status:Effect on Annual Operations Costs: Under a revised accelerated schedule, AMR This project provides for accurate and timely water installations in residential properties are to be billing and collection, and reduces staff time in meter completed in 2016 and 2017 under this program, with a reading collection, data entry, and collection of readings. total of roughly 4,000 installations via contracted staff. 105 Project Category: Water CIP Description: Project Title: Building Maintenance The item is for minor maintenance of plant and well house buildings. Total Estimated Cost: $ 160,000 Funding Priority: 2 Account Number: 601-6310-xxxxxx 2017 Project Number: 601-17-495 Reimbursements: None Design and Inspection: Engineering Staff Payroll Logged to Project: Public Works Department Engineering and Water Divisions Source of Project Funding20172018201920202021 Water Utility Fund$ 20,000$ 40,000$ 20,000$ 40,000$40,000 Justification:Relationship to General Plan and Other Projects: The project includes minor preventative maintenance This is a project is stand-alone and to be completed updates and repairs to well house buildings and plant annually. buildings. This annual project ensures that the City water facilities are managed with a minimum amount of repairs. Well power supply, ventilation and cooling will be upgraded with this project to reduce maintenance on Effect on Annual Operations Costs: equipment.Residing of Wellhouse 7 and reproofing of Wellhouse 9 are planned for 2017. This project keeps excessive operations costs limited Scheduling and Project Status: through reduction in need for emergency repairs. It also provides upgrades to buildings that are needed to keep The work will be completed in the year budgeted.equipment in good operating condition. 106 Project Category: Water CIP Description: Project Title: Distribution System This project involves reconstruction, Interconnection rehabilitation, and interconnection of the existing water distribution system. Total Estimated Cost: $500,000 (over 5 years) Funding Priority: 1 Account Number: 601-6310-702100 2019Project Number: 601-19-496 Reimbursements: None Design and Inspection: Engineering Staff Payroll Logged toProject: Public Works Department Engineering and Water Divisions Source of Project Funding20172018201920202021 Water Utility Fund$ 500,000 Justification:Relationship to General Plan and Other Projects: This project is to provide redundancy of the water The project will be coordinated with MNDOT, for work distribution system. Annual funding is targeted to along Trunk Highway right-of-way in conjunction with provide interconnection where potential for emergency their plans for a storm sewer replacement. fire flow could be affected by out of service water mains. The proposed 2019 project (deferred from 2018)will provide connection of dead-end systems on Highway 65 th Effect on Annual Operations Costs: between 68Avenue and Norton Avenue. Scheduling and Project Status: This project will not have appreciable changes to operations costs, but it will provide for a more reliable The 2019 project will be in designedin 2018. service delivery. 107 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: $ 105,000 (over 5 years) Funding Priority: 2 Account Number: 601-6310-702100 2018 Project Number: 601-18-477 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 Funding20172018201920202021 Water Utility Fund$ 35,000$ 35,000 Justification:Relationship to General Plan and Other Projects: This item isfor replacement of Variable Frequency This project is coordinated with future well rehabilitation Drive (VFD) pump motors and equipment for Water work, and will enable us to maintain current service Division treatment plant and transmission systems.levels with additional reliability. Effect on Annual Operations Costs: Scheduling and Project Status: The project will improve performance and provide power VFD replacements are planned for 2018 and 2020. savings through increased motor efficiency. There is potential for efficiency rebates through Xcel Energy to assist with funding these projects. 108 Project Category: Water CIP Description: Project Title: Treatment Plant Retrofits This item is for replacement and retrofit of water treatment equipmentin Water Treatment Total Estimated Cost: $ 870,000 (over 5 years) Plants. Funding Priority: 2 Account Number: 601-6310-xxxxxx 2017Project Number: 601-17-498 Reimbursements: None Design and Inspection: Public Works Department Engineering and Water Divisions Payroll Logged to Project: Public WorksDepartment Engineering and Water Divisions Source of Project Funding20172018201920202021 Water Utility Fund$ 370,000$ 500,000 - 2016A Bonding project Justification:Relationship to General Plan and Other Projects: This item is for replacement and retrofit of water These projects are stand-alone, but schedules are treatment equipment. In 2017, filter control valves at coordinated with other treatment plant upgrade work. Commons WTP will be changed out and chemical feed equipment and storage will be upgraded. In 2018, a Effect on Annual Operations Costs: filter rehabilitation project is planned, moved forward from 2019. Thisproject keeps excessive operations costs limited Scheduling and Project Status: through reduction in need for emergency repairs. It also provides for reliable water treatment at our treatment The projects will be designed and implemented in the plants. year budgeted. 109 Project Category: Water CIP Description: Project Title: Transmission System This project involves reconstruction, Reconstruction rehabilitation, and interconnection of the existing water transmission system. Total Estimated Cost: $ 800,000 Funding Priority: 1 Account Number: 601-6310-xxxxxx 2018Project Number: 601-18-499 Reimbursements: None Design and Inspection: Engineering Staff Payroll Logged to Project: Public Works Department Engineering and Water Divisions Source of Project Funding20172018201920202021 Water Utility Fund$ 800,000 Justification:Relationship to General Plan and Other Projects: This project is to provide preservation of the water The project will be coordinated with MNDOT, for work transmission piping system. Annual funding is targeted along Trunk Highway right-of-way in conjunction with to extend the life of existing infrastructure.their plans for a storm sewer replacement. The proposed 2018 project will replace an 8,000 foot segment of 20” transmission main repair from Commons Water Treatment Plant to Tower 2 on Effect on Annual Operations Costs: Highway 65. Scheduling and Project Status: This project will reduce operations costs by providing new mains that are subject to reduced breakage, and The 2018 project will be in design in 2016.provide for a more reliable service delivery. 110 Project Category: Sewer ERP(Capital Equipment) Description: Project Title: Utility Truck This equipment will be used in the Sewer Division, and replace a utility truck. Total Estimated Cost: $ 55,000 . Funding Priority: 2 Account Number: 602-6310-703100 2017 ProjectNumber: 602-17-662 Future Unit Number: 662 Replaces Unit Number: 661 Equipment Selection: SewerDivisionStaff Payroll Logged to Project: None Source of Project Funding20172018201920202021 Sewer Utility Fund$55,000 Justification:Relationship to General Plan and Other Projects: This equipment is used year-round by the Sewer This equipment purchase will allow the Public Works Maintenance Division for work throughout the City of Department to continue providing its current level of Fridley.service. Scheduling and Project Status:Effect on Annual Operations Costs: Unit 661, a2008 ChevroletSilveradoutility tool truck is This equipment will not change our operations costs planned for replacement in 2017. supported by Public Works Department budgets. The equipment is anticipated to havea 10-year service life. 111 Project Category: Sewer ERP (Capital Equipment) Description: Project Title: Pickup Truck This equipment includes vehicle replacements in the Sewer Maintenance Division. Total Estimated Cost: $ 35,000 . Funding Priority: 2 Account Number: 602-6310-703100 2020 Project Number: 602-20-679 Future Unit Number: 679 Replaces Unit Number: 677 Equipment Selection: Sewer Division Staff Payroll Logged to Project: None Source of Project Funding 2017 2018 2019 2020 2021 Sewer Utility Fund $ 35,000 Justification: Relationship to General Plan and Other Projects: This equipment is used year-round by the Sewer This equipment purchase will allow the Public Works Maintenance Division for work throughout the City of Department to continue providing its current level of Fridley. service. Scheduling and Project Status:Effect on Annual Operations Costs: A general use pickup truck replacement of Unit 677, a This equipment will not change our operations costs 2009 Chevrolet Silverado is planned for 2020. supported by Public Works Department budgets. The equipment is anticipated to have a 10-year service life. 112 Project Category: Sewer CIP Description: Project Title: Sanitary Sewer Collection This project involves repairs of the existing System Reconstruction sanitary sewer collection system in conjunction with annual street rehabilitation projects. Total Estimated Cost: $ 270,000 (over 5 years) Funding Priority: 1 Account Number: (1)406-3174-702100, 406-(yr)-01 Street Project (2)602-6310-702100, 406-(yr)-01 To JE’d at Year End to 2016-01 Street Project 2017 ProjectNumber: 602-17-001 Reimbursements: None Design and Inspection: Engineering Staff Payroll Logged to Project: Public Works Department Engineering and Sewer Divisions Source of Project Funding20172018201920202021 Sewer Utility Fund$40,000 $ 85,000$ 45,000 $ 50,000 $ 50,000 Justification:Relationship to General Plan and Other Projects: This project is to provide preservation of the existing The proposed 2017 project will include repairs in sanitary sewer collection system. Annual funding is coordination with the pavement rehabilitation work in the targeted to extend the life of existing infrastructure.North Park and Parkviewneighborhoods. Scheduling and Project Status:Effect on Annual Operations Costs: The 2017 project will be surveyed in 2016and This project will reduce operations costs by providing incorporated into the street rehabilitation project.replacement and repair of sanitary sewer infrastructure. 113 Project Category: Sewer CIP Description: Project Title: Sanitary Sewer Collection This project involves lining of the existing System Lining sanitary sewer collection system. Total Estimated Cost: $ 1,560,000 (over 5 years) Funding Priority: 1 Account Number: 602-6310-702100 2017 ProjectNumber: 602-17-500 Reimbursements: None Design and Inspection: Engineering Staff Payroll Logged to Project: Public Works Department Engineering and Sewer Divisions Source of Project Funding20172018201920202021 Sewer Utility Fund$ 520,000 $ 520,000 $ 520,000 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 project was previously conducted annually, but we are now recommending moving to a semi-annual basis Effect on Annual Operations Costs: to complete work at more cost-effective pricing. Scheduling and Project Status: This project keeps excessive operations costs limited through reduction in need for emergency repairs and The work will be completed next in 2017, and candidate potential failures. work areas are under review in 2016. 114 Project Category: Sewer CIP Description: Project Title: Sanitary Sewer Force Main This project involves repairs of existing Reconstruction sanitary sewer force mains. Total Estimated Cost: $ 185,000 (over 5 years) Funding Priority: 1 Account Number: 602-6310-702100 2018 ProjectNumber: 602-18-501 Reimbursements: None Design and Inspection: Engineering Staff Payroll Logged to Project: Public Works Department Engineering and Sewer Divisions Source of Project Funding20172018201920202021 Sewer Utility Fund$90,000$ 95,000 Justification:Relationship to General Plan and Other Projects: This project is to provide preservation of the existing The proposed 2018 project will include rehabilitation of th Avenue Lift Station force main. sanitary sewer force main piping system. Regular the 64 funding is targeted to extend the life of existing infrastructure. Effect on Annual Operations Costs: Scheduling and Project Status: This project will reduce operations costs by providing The 2018 project will be developed in 2016, and replacement and repair of sanitary sewer infrastructure. designed in 2017. 115 Project Category: Sewer CIP Description: Project Title: Sanitary Sewer Lift Station This project involves reconstruction and Rehabilitation rehabilitation of sanitary sewer lift stations on a regular and ongoing basis. Total Estimated Cost: $ 210,000 (over 5 years) Funding Priority: 2 Account Number: 602-6310-702100 2018 ProjectNumber: 602-18-502 Reimbursements: None Design and Inspection: Engineering Staff Payroll Logged to Project: Public Works Department Engineering and Sewer Divisions Source of Project Funding20172018201920202021 Sewer Utility Fund$210,000 Justification:Relationship to General Plan and Other Projects: The projectconsists of replacement ofsanitary lift The project is part of an effort by the City of Fridley to stations orcomponents to avoid failures that can lead to avoid costly emergency repairs and provide for long- 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: A reconstruction and relocation of the Ember’s Lift This project keeps excessive operations costs limited rd Station will be initiated in 2018 in anticipation of 53through reduction in need for emergency repairs and Avenue reconstruction. potential failures. 116 Project Category: Description: Project Title: Total Estimated Cost: Funding Priority: Account Number: 2019 Project Number: Reimbursements: Design and Inspection: Payroll Logged to Project: Source of Project Funding20172018201920202021 Justification:Relationship to General Plan and Other Projects: Effect on Annual Operations Costs: Scheduling and Project Status: 117 Project Category: Storm Water CIP Description: Project Title: Water Quality Testing This project involves collection and analysis of water quality samples from surface water and Total Estimated Cost: $ 20,000 (over 5 years) storm water discharges. Funding Priority: 3 Account Number: 603-6310-702100 2019 ProjectNumber: 603-19-474 Reimbursements: None Design and Inspection: Engineering Staff Payroll Logged to Project: Public Works Department Engineering and Sewer Divisions Source of Project Funding20172018201920202021 Storm Water Utility Fund$ 5,000$ 5,000$ 10,000 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 water and 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 includesfollow-up data is intended to be This project will not impact operations costs. collected beginning in 2019. 118 Project Category: Storm Water CIP Description: Project Title: Pond Maintenance This project includes maintenance on City storm sewer ponds. Total Estimated Cost: $ 135,000 (over 5 years) Funding Priority: 2 Account Number: 603-6310-702100 2017ProjectNumber: 603-17-472 Reimbursements: None Design and Inspection: Engineering Staff Payroll Logged to Project: Public Works Department Engineering and Sewer Divisions Source of Project Funding20172018201920202021 Storm Water Utility Fund$ 25,000$ 25,000$ 25,000$ 30,000$ 30,000 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. The 2017 allocation current levels. includes maintenance work for the North Danube Pond, which was deferred due to overruns for maintenance at the Springbrook pond. 119 Project Category: Storm Water CIP Description: Project Title: Storm Sewer System This project includes repairs to storm sewer System Upgrades conveyance system in conjunction with annual street rehabilitation projects. Total Estimated Cost: $ 315,000 (over 5 years) Funding Priority: 2 Account Number: (1)406-3174-702100, 406-(yr)-01 Street Project (2)603-6310-702100, 406-(yr)-01 To JE’d at Year End to 2016-01 Street Project 2017 ProjectNumber: 603-17-01 Reimbursements: None Design and Inspection: Engineering Staff Payroll Logged to Project: Public Works Department Engineering and Sewer Divisions Source of Project Funding20172018201920202021 Storm Water Utility Fund$ 60,000$ 60,000$ 65,000$ 65,000$ 65,000 Justification:Relationship to General Plan and Other Projects: This work is needed annually to provide maintenance 2017 work will center on improvements in the North Park and repairs needed to the existing storm sewer and Parkviewneighborhoods 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. 120 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: $ 420,000 (over 5 years) Funding Priority: 2 Account Number: 603-6310-702100 2017 ProjectNumber: 603-17-485 Reimbursements: None Design and Inspection: Engineering Staff Payroll Logged to Project: Public Works Department Engineering and Sewer Divisions Source of Project Funding20172018201920202021 Storm Water Utility Fund$ 60,000$ 60,000$ 100,000$ 100,000$ 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 conductedannually and specific repairs will This project will reduce operating costs relating to be identified by staff annually. 2017 work will continue preserving existing infrastructure and mitigation of future a 2016 allocation forimprovements along the flood damage. Stoneybrook conveyance system. 121 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: $ 100,000(over 5 years) Funding Priority: 2 Account Number: 603-6310-702100 2017ProjectNumber: 603-17-445 Reimbursements: None Design and Inspection: Engineering Staff Payroll Logged to Project: Public Works Department Engineering and Sewer Divisions Source of Project Funding20172018201920202021 Storm Water Utility Fund$ 20,000$ 20,000$ 20,000$ 20,000$20,000 Justification:Relationship to General Plan and Other Projects: This project will apply stormwater BMPs citywide on a The project is scheduled in theMoore Lake targeted basis. Installation of raingardens, water quality subwatershed in 2017 to coincide with the street structures, and biofilters are the types of projects rehabilitation project in 2017. funded. Scheduling and Project Status: Effect on Annual Operations Costs: This project can be used to leverage additional support for BMP projects from our watershed organizations, property owners, and other sources. In 2017, the This project will provide minor reductions in operating project work will focus on the North Parkand Parkview costs relating to sediment control. Maintenance will neighborhoods.typically be performed by owners of adjacent properties. 122 Project Category: Storm Water CIP Description: Project Title: Watershed District This project includes a stormwater pond Water Quality Projects expansion serving our watersheds, and improving stormwater quality. Total Estimated Cost: $ 290,000 (over 5 years) Funding Priority: 2 Account Number: 603-6310-702100 2017 ProjectNumber: 603-17-486 Reimbursements: None Design and Inspection: Engineering Staffsupported by Anoka Conservation District and Watershed District partners Payroll Logged to Project: Public Works Department Engineering and Sewer Divisions Source of Project Funding20172018201920202021 Storm Water Utility Fund$ 50,000$ 100,000$ 60,000$ 80,000 NOTE: Prior years allocations have been approved and reserved Justification:Relationship to General Plan and Other Projects: These projects are used to leverage additional outside This project will be coordinated with the Columbia Arena funding sources for water quality projects in the MWMO redevelopment project. area. The 2017 project would expand water quality treatment capacity in the RCWDin the Holiday Hills neighborhood in conjunctionwith the Columbia Arena Area Redevelopment project. This project will provide measurable improvements to outflows to the Mississippi River. Scheduling and Project Status:Effect on Annual Operations Costs: The City has applied for CWF funding from the state, in This project will provide a measurable reduction in conjunction with the RCWD, who have indicated their sediment loading to the City’s storm sewer system and participation for enhancements to water quality.Mississippi River. Reductions in pollutants will be allocated to current and future TMDL requirements. Added maintenance will be minimal with this project, as it is considered during design. 123 Project Category: Storm Water CIP Description: Project Title: Sediment Removal Projects This item includes projects to remove sedimentation from large flow ways. Total Estimated Cost: $100,000 (Over 5 years) Funding Priority: 2 Account Number: 603-6310-702100 2020Project Number: 603-20-478 Reimbursements: None Design and Inspection: Engineering Staff supported by Watershed District Partners Payroll Logged to Project: Public Works Department Engineering and Sewer Divisions Source of Project Funding20172018201920202021 Storm Water Utility Fund$100,000 Justification:Relationship to General Plan and Other Projects: This project would provide funding for large sediment These project is stand-alone, and will becoordinated removal projects. The 2020 allocation is a partial with associated projects. It will provide for improved allocation that is for Locke Lake dredging, if needed as downstream water quality. determined by an updated sediment survey to take place in 2017. Scheduling and Project Status:Effect on Annual Operations Costs: The City of Fridley is working with the RCWD on This project will maintain water quality and operations coordination of the updated sediment survey. costs. 124 Project Category: Storm Water CIP Description: Project Title: Moore Lake Subwatershed Flood This project includes upgrades to the storm Control Upgrades sewer system capacity in the Moore Lake Subwatershed between Rice Creek Road Total Estimated Cost: $55,000 (Over 5 years) and Mississippi Street east of Central Avenue. Funding Priority: 2 Account Number: 603-6310-702100 2017 Project Number: 603-17-490 Reimbursements: None Design and Inspection: Engineering Staffsupported by Watershed District(s) Payroll Logged to Project: Public Works Department Storm Water Division Source of Project Funding20172018201920202021 Storm Water Utility Fund$ 55,000 Justification:Relationship to General Plan and Other Projects: The project addresses second-priority flooding issues This project is stand-alone. Note that top-priority flood that currently occur north of Moore Lake along Central control projects are currently in the CIP for prior years. Avenue. Scheduling and Project Status:Effect on Annual Operations Costs: The project is dependent on securing additional funding, This project will have a limited reduction in operations through state grant programs and/or Rice Creek costs in regard to emergency response and storm sewer Watershed District funding programs.system maintenance. Our level of service to area property owners will be increased. 125 Project Category: Storm Water CIP Description: Project Title: TMDL Water Quality Projects This project includes addressing water quality TMDL requirements mandated by Total Estimated Cost: $ 570,000 (over 5 years) MPCA. Funding Priority: 2 Account Number: 603-6310-702100 2017 Project Number: 603-17-467 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 Funding20172018201920202021 Storm Water Utility Fund$ 50,000$ 50,000$ 150,000$ 100,000 NOTE: Prior yearsapproved budgets have been reserved Justification:Relationship to General Plan and Other Projects: This series of project is intended on achieving total The 2015-17project has been awaiting master planning maximum daily load (TMDL) requirements mandated by of Moore Lake Park, which has been initiated. the Minnesota Pollution Control Agency through the City’s stormwater permit. Effect on Annual Operations Costs: Scheduling and Project Status: This project will increase staff time via maintenance of The initial project in 2015-17 is focused on phosphorus water quality improvements implemented. It does, reduction in the Moore Lake subwatershed.however, address a mandated outcome. 126 Description: Project Category: Storm Water CIP This project includes upgrades to Locke Project Title: Locke Lake DamUpgrades Lake Dam to enable remote adjustment of lake levels. Total Estimated Cost: $35,000 (Over 5 years) Funding Priority: 2 Account Number: 603-6310-702100 2018Project Number: 603-18-466 Reimbursements: None Design and Inspection: Engineering Staffsupported by Watershed District(s) Payroll Logged to Project: Public Works Department Storm Water Division Source of Project Funding20172018201920202021 Storm Water Utility Fund$ 35,000 NOTE: Prior yearsapproved budgets have been reserved Justification:Relationship to General Plan and Other Projects: The project allow for automated adjustment of dam This project is stand-alone. Note that a 2015 project is levels at Locke Lake.planned to include a remote monitoring system, but has not yet been initiated. Scheduling and Project Status: Effect on Annual Operations Costs: The project is dependent on securing additional funding, through potential state grant programs and/or Rice This project will provide for a slight reduction in staff time Creek Watershed District funding programs.to adjust gates, which is performed roughly two dozen times throughout an average season. The project will also enhance response in severe events, as controls will be able to be adjusted remotely. 127 Project Category: Storm Water CIP Description: Project Title: RiverviewHeights Flood Control This project includes upgrades to levee Upgrades along Riverview Heights to provide an additional level of flood protection to several Total Estimated Cost: $175,000 (Over 5 years) dozen homes in the neighborhood. Funding Priority: 2 Account Number: 603-6310-702100 2018 Project Number: 603-18-492 Reimbursements: None Design and Inspection: Engineering Staffsupported by Watershed District(s) Payroll Logged to Project: Public Works Department Storm Water Division Source of Project Funding20172018201920202021 Storm Water Utility Fund$ 175,000 Justification:Relationship to General Plan and Other Projects: The project addresses second-priority flooding issues This project is stand-alone. Note that top-priority flood that have potential for high damage levels along the control projects are currently in the CIP for prior years. Mississippi in the Riverview Heights area.However, the potential impact to this area is greater than other current projects included in the CIP. Scheduling and Project Status:Effect on Annual Operations Costs: The project is dependent on securing additional funding, This project will have a limited reduction in operations through state grant programs and/or Coon Creek costs in regard to emergency response. Our level of Watershed District funding programs. A special service to area property owners will be increased. assessment component may be considered as well. The project would increase the flood protection elevation, and provide for a system that could be readily installed if severe spring flooding of the Mississippi is imminent. Fridley Public Safety and Anoka County Emergency Management have also indicated their desire/support for this project. 128 Project Category: Description: Project Title: Total Estimated Cost: Funding Priority: Account Number: Finance Project Number: Reimbursements: Design and Inspection: Payroll Logged to Project: Source of Project Funding20172018201920202021 Justification:Relationship to General Plan and Other Projects: Effect on Annual Operations Costs: Scheduling and Project Status: 129 Project Category: Description: Project Title: Total Estimated Cost: Funding Priority: Account Number: Finance Project Number: Reimbursements: Source of Project Funding20172018201920202021 Justification:Relationship to General Plan and Other Projects: Effect on Annual Operations Costs: Scheduling and Project Status: 130