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HomeMy WebLinkAbout2004-07-28 e-packetAGENDA REDEVELOPMENT AGENCY CITY OF SOUTH SAN FRANCISCO REGULAR MEETING MUNICIPAL SERVICE BUILDING COMMUNITY ROOM WEDNESDAY, JULY 28, 2004 7:00 P.M. PEOPLE OF SOUTH SAN FRANCISCO You are invited to offer your suggestions. In order that you may know our method of conducting Agency business, we proceed as follows: The regular meetings of the Redevelopment Agency are held on the second and fourth Wednesday of each month at 7:00 p.m. in the Municipal Services Building, Community Room, 33 Arroyo Drive, South San Francisco, California. Public Comment: For those wishing to address the Board on any Agenda or non-Agendized item, please complete a Speaker Card located at the entrance to the Community Room and submit it to the Clerk. Please be sure to indicate the Agenda Item # you wish to address or the topic of your public comment. California law prevents Redevelopment Agency from taking action on any item not on the Agenda (except in emergency circumstances). Your question or problem may be referred to staff for investigation and/or action where appropriate or the matter may be placed on a future Agenda for more comprehensive action or a report. When your name is called, please come to the podium, state your name and address for the Minutes. COMMENTS ARE GENERALLY LIMITED TO THREE (3) MINUTES PER SPEAKER. Thank you for your cooperation. The Clerk will read successively the items of business appearing on the Agenda. As she completes reading an item, it will be ready for Board action. RAYMOND L. GREEN Vice Chair RICHARD A. GARBARINO, SR. Boardmember RICHARD BATTAGLIA Investment Officer MICHAEL A. WILSON Executive Director KARYL MATSUMOTO Chair JOSEPH A. FERNEKES Boardmcmber PEDRO GONZALEZ Boardmember SYLVIA M. PAYNE Clerk STEVEN T. MATTAS Counsel PLEASE TURN OFF CELL PHONES AND PAGERS HEARING ASSISTANCE EQUIPMENT IS AVAILABLE FOR USE BY 5'ltE HEARING-IMPAIRED AT REDEVELOPMENT AGENCY MEETINGS CALL TO ORDER ROLL CALL AGENDA REVIEW PUBLIC COMMENTS CONSENT CALENDAR 1. Motion to approve the minutes of July 14, 2004 2. Motion to confirm expense claims of July 28, 2004 CLOSED SESSION 3. Pursuant to Govermnent Code section 54956.8 real property negotiations related to 314 Miller Avenue; Agency Negotiator: Redevelopment Agency Assistant Director Van Duyn ADJOURNMENT REGULAR REDEVELOPMENT AGENCY MEETING JULY 28, 2004 AGENDA PAGE 2 AGENDA AGENDA CITY COUNCIL CITY OF SOUTH SAN FRANCISCO REGULAR MEETING MUNICIPAL SERVICE BUILDING COMMUNITY ROOM WEDNESDAY, JULY 28, 2004 7:30 P.M. PEOPLE OF SOUTH SAN FRANCISCO You are invited to offer your suggestions. In order that you may know our method of conducting Council business, we proceed as follows: The regular meetings of the City Council are held on the second and fourth Wednesday of each month at 7:30 p.m. in the Municipal Services Building, Community Room, 33 Arroyo Drive, South San Francisco, California. Public Comment: For those wishing to address the City Council on any Agenda or non-Agendized item, please complete a Speaker Card located at the entrance to the Council Chamber's and submit it to the City Clerk. Please be sure to indicate the Agenda Item # you wish to address or the topic of your public comment. California law prevents the City Council from taking action on any item not on the Agenda (except in emergency circumstances). Your question or problem may be referred to staff for investigation and/or action where appropriate or the matter may be placed on a future Agenda for more comprehensive action or a report. When your name is called, please come to the podium, state your name and address (optional) for the Minutes. COMMENTS ARE GENERALLY LIMITED TO THREE (3) MINUTES PER SPEAKER. Thank you for your cooperation. The City Clerk will read successively the items of business appearing on the Agenda. As she completes reading an item, it will be ready for Council action. RAYMOND L. GREEN Vice Mayor RICHARD A GARBARINO, SR. Councilman RICHARD BATTAGLIA City Treasurer MICHAEL A. WILSON City Manager KARYL MATSUMOTO Mayor JOSEPH A. FERNEKES Councilman PEDRO GONZALEZ Councilman SYLVIA M. PAYNE City Clerk STEVEN T. MATTAS City Attorney PLEASE TURN OFF CELL PHONES AND PAGERS HEARING ASSISTANCE EQUIPMENT AVAILABLE FOR USE BY THE HEARING IMPAIRED AT CITY COUNCIL MEETINGS CALL TO ORDER ROLL CALL PLEDGE OF ALLEGIANCE INVOCATION PRESENTATIONS · Project Read's Learning Wheels- Literacy Program Manager Holly Fulghum-Nutters and Literacy Services Coordinator Pat Jarvis AGENDA REVIEW PUBLIC COMMENTS ITEMS FROM COUNCIL · Announcements · Committee Reports CONSENT CALENDAR 1. Motion to approve the minutes of July 14, 2004 2. Motion to confirm expense claims of July 28, 2004 3. Resolution approving Amendment No. 9 to the professional services agreement with Meyers Nave Riback Silver and Wilson 4. Resolution authorizing acceptance of funds for the SSFPD/ABC training and enforcement grant project in the amount of $30,000 5. Resolution amending master fee schedule to increase parking meter rates for certain areas within Parking District #1 from $.25/hour to $.50/hour. 6. Acknowledgement of proclamation issued: Roberto Mendez, 7/23/04 PUBLIC HEARING 7. Resolution authorizing inclusion of two ballot measures related to the City's transient occupancy tax and new commercial billboard tax on the next Municipal Election ballot in November, 2004, authorizing the ballot title and statement, authorizing preparation of an impartial analysis by the City Attorney and authorizing specified City Council members to prepare and sign a ballot argument in favor of the proposed initiative measures ADMINISTRATIVE BUSINESS 8. Report on neighborhood meetings related to BART parking restrictions 9. Resolution approving the Capital Improvement Program (CIP) budget for FY 2004-05 COUNCIL COMMUNITY FORUM ADJOURNMENT REGULAR CITY COUNCIL MEETING JULY 28, 2004 AGENDA PAGE 2 StaffReport AGENDA ITEM NO. 3 DATE: TO: FROM: SUBJECT: July 28, 2004 The Honorable Mayor and City Council Steven T. Mattas, City Attorney City Attorney Contract Amendment RECOMMENDATION: Adopt a Resolution authorizing the City Manager to execute Amendment No. 9 to the contract for legal services with Meyers, Nave, Riback, Silver & Wilson. .. BACKGROUND/DISCUSSION: The last modification to the contract roi' City Attorney services was approved in 2002. The proposed amendment to the contract modifies the existing contract in two respects. First, the contract would increase the amount charged third parties for land use cost recovery matters and expand the category of entitlements subject to cost recovery. Under the proposed amendment, cost recovery would be applicable to all (1) non- residential projects that require a conditional use permit, planned unit development permit, development agreement, zoning amendment, general plan amendment, specific plan or amendment thereto or other discretionary approval applications, (2) all residential or mixed use projects containing four or more residential units, and (3) any projects that require a mitigated negative declaration, environmental impact report or an addendum to an environmental impact report. Second, the amendment would increase the litigation rates by $10 per hour. The City Manager and Assistant City Managers have reviewed the proposed amendment and support the proposed changes. Steven T. Mattas, City Attorney "iK~ch, a~ ~. Wilso~_y a'~r~nager Attachment: Resolution RESOLUTION NO. CITY COUNCIL, CITY OF SOUTH SAN FRANCISCO, STATE OF CALIFORNIA RESOLUTION APPROVING AMENDMENT NO. 9 TO THE PROFESSIONAL SERVICES AGREEMENT BETWEEN CITY OF SOUTH SAN FRANCISCO AND MEYERS, NAVE, RIBACK, SILVER AND WILSON WHEREAS, the City and Meyers-Nave entered into a professional services agreement in March 1994; and WHEREAS, the parties desire to amend said agreement to mo.dify the compensation provided to Meyers-Nave consistent with the attached Exhibit A. NOW THEREFORE BE IT RESOLVED that the City Council of the City of South San Francisco does hereby: Approve Amendment No. 9 to the Professional Services Agreement as set forth in Exhibit A hereto; Authorizes the City Manager to sign, on behalf of the City Amendment No. 9. I hereby certify that the foregoing Resolution was regularly introduced and adopted by the City Council of the City of South San Francisco at a meeting held on the __ day of 2004 by the following vote: AYES: NOES: ABSTAIN: ABSENT: S:\Cun'ent Reso's\7-28-04meyersnave.contracl.reso. DOC ATTEST: City Clerk EXHIBIT A AMENDMENT NO. 9 TO TIlE PROFESSIONAL SERVICES AGREEMENT BETWEEN THE CITY OF SOUTH SAN FRANCISCO AND MEYERS, NAVE, RIBACK, SILVER AND WILSON The City of Soutln San Francisco and Meyers-Nave do hereby agree as follows: 1. Section 4 "Compensation - Basic Services" is hereby amended to read as follows: "City shall compensate Law Firm for all Basic Services described in Section 1 lnereof Thirty-Three Thousand Six Hundred Dollars ($33,600) per month effective July 1, 2002. In addition to Basic Services compensation, Law Firm shall also be paid fol' cost recovery matters involving land use entitlements at tine rate of $250 per hour for Principals, $225 per hour for Senior Associates and "Of Counsel" attorneys, and $200 per hour for Junior Associates with the City's costs reimbursed by the development applicant. For purposes of this section, cost recovery matters shall include the following: 1) all non-residential projects requiring approval of a conditional use permit, planned unit development, development agreement, zoning amendment, general plan amendment, specific plan or amendment thereto or other discretionary approval; 2) all residential or mixed use projects containing four (4) or more residential units and/or those residential prQie6ts requesting an owner participation agreement, disposition and development agreement, affordable Inousing agreement or development agreement; and 3) any project requiring a mitigated negative declaration, environmental impact report, or an addendm-n to an environmental impact report. In addition to the Basic Services compensation, Law Firm shall also be reimbursed up to $26,835 on an annual basis for secretarial services provided in the South San Francisco City Attorney's office and for photocopy costs incurred at the Law Firm's Oakland office. City shall also reimburse Law Firm for the actual costs paid by Law Firm for Westlaw and Lexus computer research services, messenger services and document requests. In addition to the Basic Services, for redevelopment related legal services in excess of 303 Inours during any City fiscal year, Law Firm shall be paid $165 per hour for attorneys and $85 per hour for paralegal services." The first sentence of Section 5 "Compensation - Special Services" is hereby amended to read as follows: "City shall compensate Law Firm for special services described in Section 2 hereof and whicln are authorized by action of the City Council on an hourly basis at the rate of $210 per lnour for shareholders and "Of Counsel" attorneys, $170 per hour for junior for junior associates, $185 per hour roi' senior associates and $95 per hour for paralegals." Except as expressly provided herein, all other terms and conditions of the Professional Services Agreement between the City and Meyers-Nave shall remain in full force and effect for the term of this Agreement. Date: City of South San Francisco, a Municipal Corporation of the State of California By: Michael A. Wilson, City Manager Attest: Sylvia Payne, City Clerk Approved as to Form: Meyers, Nave, Riback, Silver & Wilson By: Special Counsel Steven T. Mattas, Shareholder StaffReport AGENDA ITEM NO. 4 DATE: TO: FROM: SUBJECT: July 28, 2004 Honorable Mayor and City Council Mark Raffaelli, Chief of Police BUDGET AMENDMENT - - SSFPD/ABC TRAINING AND ENFORCEMENT GRANT PROJECT RECOMMENDATION It is recommended that City Council adopt the attached Resolution approving the Agreement with the Department of Alcoholic Beverage Control (ABC) to accept $30,000 in grant funding made available through the Grant Assistance to Local Law Enforcement Agencies Project administered by ABC and to amend the Police Department's current budget to accept the $30,000 the Department will receive from ABC. BACKGROUND/DISCUSSION The Police Department applied for grant funding and was awarded $30,000 through the Grant Assistance to Local Law Enforcement Agencies Project, which is administered by the Department of Alcoholic Beverage Control (ABC). This funding will partly enable the Police Department to conduct special enforcement operations, licensed vendor compliance and education programs, as well as offset associated operations costs, equipment purchasing and travel expenses. The funding will partly cover the cost of 1) Personnel services (salaries, overtime and benefits) of the Grant Program Administrator and the Detective assigned to coordinate the special enforcement operations; 2) The hiring of civilian decoys during said operations; 3) The purchase of current state-of-the art surveillance equipment; and 4) Travel expenses and training conferences registration fees for the Program Administrator and the assigned Detective. The Police Department was a previous recipient of a similar ABC Grant Award in 1999 and experienced great .~uccess with these enforcement activities. Approval of this resolution will allow such activities to contifiue at minimal cost to the Police Department and the City of South San Francisco. By: l~lark/Ratf~"7 Approved: Michael A. Wiiso Chief of Polide City Manager Attachments: Resolution Agreement RESOLUTION NO. CITY COUNCIL, CITY OF SOUTH SAN FRANCISCO, STATE OF CALIFORNIA A RESOLUTION APPROVING THE AGREEMENT WITH THE DEPARTMENT OF ALCOHOLIC BEVERAGE CONTROL TO ACCEPT $30,000 IN GRANT FUNDING MADE AVAILABLE THROUGH THE GRANT ASSISTANCE TO LOCAL LAW ENFORCEMENT AGENCIES PROJECT ADMINISTERED BY ABC AND AMENDING THE POLICE DEPARTMENT'S CURRENT BUDGET TO ACCEPT THE $30,000 THE DEPARTMENT WILL RECEIVE FROM ABC WHEREAS, the City of South San Francisco desires to undertake a certain project designated as the SSFPD/ABC Training and Enforcement Grant Project to be funded in part from funds made available through the Grant Assistance to Local Law Enforcement Agencies Project administered by the Department of Alcoholic Beverage Control (hereafter referred to as ABC). NOW, THEREFORE BE IT RESOLVED as follow: 1) The City Manager of the City of South San Francisco is authorized, on its behalf to submit the attached proposal to ABC and is authorized to execute on behalf of its City Council the attached contract, including any extensions or amendments thereof and any subsequent contract with the State in relation thereto. 2) Any liability arising out of the performance of this contract, including civil court actions for damages shall be the responsibility of the grant recipient and the authorizing agency. The State of California and ABC disclaim responsibility for any such liability. 3) Grant funds received here under shall not be used to supplant expenditures controlled by this body. 4) This award, to the extent of any positions are funded solely by this grant, said positions shall be exempt from any citywide hiring freeze. I hereby certify that the foregoing Resolution was regularly introduced and adopted by the City Council of the City of South San Francisco at a meeting held on the __ day of ,2004 by the following vote: AYES: NOES: ABSTAIN: ABSENT: ATTEST: City Clerk S:\Current Reso's\7-28-04ABC.res.doc STATE OF CALIFORNIA STANDARD AGREEMENT STD 213 (Rev 06/03) AGREEMENT NUMBER 04G-LA21 REGISTRATION NUMBER This Agreement is entered into between the State Agency and the Contractor named below: STATE AGENCY'S NAME Deoartment of AlcohOlic Beverage Control ~ CONTRACTOR'S NAME Ci.ty of South San Francisco through the South San Francisco Police Department 2. The term of this Agreement is: July 1, 2004 through June 30, 2005 3. The maximum amount $ of this Agreement is: $30,000.00 4. The parties agree to comply with the terms and conditions of the following exhibits which are by this reference mad. a part of the Agreement: Exhibit A - Scope of Work/Project Narrative. Exhibit B - Payment Provisions Exhibit C - BUdget Estimate Exhibit D* - General Terms and Conditions Exhibit E - Special Terms and Conditions 7 pages 2 pages 1 page GTC 304 1 page Items shown with an Asterisk (*) are hereby incorporated by reference and made part of this agreement as if attached hereto. These documents can be viewed at www. ols. dgs. ca. gov/Stand+Language IN WITNESS ~yItEREOF, this Agreement has been executed by the parties hereto. o~s / CONTRACTOR CONTRACT NAME 7rotter than ar~ividual, state whether a corporation, partnership, etc.} South Sa~Fran~ ~Poli~D~oartment B Y(Authori n a .... ,' ~~~-- [ ~/~o~DATESIGNE~(D°n°~Pe) P~TED N~D ~ 'LE ~ P~N SION~G ~ ' ADDRESS 33 Arroyo Drive, Suite C South San Francisco, CA 94080 STATE OF CALIFORNIA AGENCY NAME Department~of.Alcoholic Beveral~e Control B Y (Auth°rized S ~~l~l~ ,t~~ PRINTED NAME AND TIT£~ bF.~RS6N SIdNII~6 Anthony M. Nieto, A's~tant Director, Administration ADDRESS 3927 Lennane Drive, Suite 100 Sacramento, CA o;uaA California Department of General Services Use Only DATE ~t~B~' t)pe) Exempt per Exhibit A PROJECT NARRATIVE PROPOSAL: The South San Francisco Police Department requests $70,000 in funding from the Department of Alcoholic Beverage Control to implement strategies aimed at reducing problems with disruptive and disorderly alcoholic beverage outlets. I. BACKGROUND (20.Points): A. History: The South San Francisco Police Department was one of the first police agencies on the West Coast to embrace a Conm~unity Oriented Policing and Problem Solving (COPPS) philosophy. The philosophy is demonstrated throughout the organization routinely as part of our daily policing activities. One of the essential tenets of a COPPS philosophy is utilizing the resources of the police, community-based organizations and service providers, as well as other governmental agencies, to address community concerns. The expressed purpose is to empower the community via police and community partnership, to accomplish quality of life improvement. This is a value statement that has given the Police Department a high degree of credibility in South San Francisco, its nearby communities and throughout San Mateo County. South San Francisco has one of the most ethnically and culturally diverse populations in California, with minority residents comprising more than 59% of the total population. The diverse population includes both older established ethnic communities and new immigrants. It is widely acknowledged that minority and youth populations are targets of the alcohol and tobacco industries. B. Size & Location: South San Francisco covers nearly nine square miles, and is located in the northern portion of San Mateo County. Daly City, Brisbane and Colma border the city to the north, Pacifica to the west and San Francisco Bay to the east, and San Bruno and the San Francisco International Airport (,part of which is physically located in South San Francisco) to the south. C. Composition: The South San Francisco Police Department is composed ora Chief of Police, Mark J. Raffaelli, two Captains, five Lieutenants, 10 Sergeants, 16 Corporals (including six Detectives) and some 35 Police Officers, supported by 30+ civilian employees. D. StrUcture: The Police Department has two divisio.ns, Operations and Services. The Criminal Investigations Bureau (CIB) falls under the Operations Division, and is commanded by a CIB Commander (Lieutenant), one CIB Supervisor (Sergeant) and six Detectives (all are Corporals). One Corporal/Detective is assigned to monitor and address all issues associated with ABC licensed establishments as an adjunct duty. E. Primary Mission, Philosophy, Range and Focus of Service: "The Mission of the South San Francisco Police Department is to provide service in the most professional, courteous, and efficient manner possible." The Services Division oversees the Community Relations Unit, which is composed of a Community Relations Supervisor (Sergeant), a COPPS Coordinator (COrporal), and two School Liaison Officers (One Corporal and one Officer). All four members of the Community Relations Unit teach Drug Abuse Resistance Education (DARE) programs in the elementary and middle schools. PROJECT NARRATIVE The Po!ice Department sponsors a wide range of community programs: Citizen and Hispanic Community Academies, Neighborhood Watch, Sober Graduation, School Traffic Safety Programs, Police Explorer Post, North County Gang Task Force, Graffiti Abatement, Rights and Responsibilities classes for community youth, and operates its own juvenile diversion program, dubbed Project NEAT (NeighborhOod Enhancement Action Teams). The Department also works closely with community organizations such as the Domestic Violence Prevention Center, Families on Track, North Peninsula Family Alternatives and SSF Unidos. F. Staffing, Supervision and Evaluation: Upon implementing our program, the South San Francisco Police Department will devote approximately 20% of a Detective Sergeant and 20% of Detective's workload via Special Operations, with the assistance of Police Officers and civilian decoys, to accomplish the objectives of this grant. The CIB Detective Sergeant will be the Project Director, and be responsible for reporting the progress of the ABC Grant Program. The CIB Detective assigned to ABC concerns will coordinate all attendant training Special Operations activities. The CIB Detective Sergeant will oversee the overall operations, reporting and progress. G. Level of Government: The City of South San Francisco is the applicant, and its Police Department is the implementing agency for this ABC Grant Program. II. PROBLEM STATEMENT (50 Points): There are 183 alcoholic beverage establishments in the City of South San Francisco. Given the size of our city, South San FranciSco has one of the highest concentrations of licenSees of any jurisdiction in San Mateo County. Many 'of these establishments have been the focus of crime and incidents of public nuisance. According to the Office of Traffic Safety, South San Francisco ranks 46th out of 92 cities within the same population size for alcohol-related accidents. We rank 31 st out of 92 cities for accidents where drivers between the ages of 2'1-34 had been drinking. Additionally, the South San Francisco Police Department reported 254 Driving Under the Influence arrests for 2002. A. The Target Area: The City of South San Francisco Demographics and Economics: According to U.S. Census 2000, South San Francisco has a residential population of 60,552; and of those residents, 45,886 are aged 18 years or older, and some 14,666 are school-aged youths. In addition, a residential development currently under construction will contain over 200 homes once completed. Two other residential projects will add approximately 500 homes when completed. A 10% increase of total population is projected over the next two years. These additional 700 homes are projected to add nearly 1,600 school-aged youth to our community within the next two years, which is an increase of nearly 11%. South San Francisco is a diverse community, with the three largest ethnic groups as follows: 31.84% Hispanic, 30.53% White and 28.59% Asian, according to U.S. Census 2000. The Association of Bay 2 PROJECT NARRATIVE Area Governments (ABAG) reports that the mean household income for the year 2000 was estimated at $61,764. Significant Social Factors and Crime: In 2000, the City of South San Francisco experienced an increase of nearly 12% in population from the 1990 Census. The increase in population created a strain on public services and infrastructure, and contributed to an increase in crime. The City of South San Francisco established a common link between violent actions and the consumption of alcoholic beverages. As such, the Police Department focused on enforcement and administrative actions against ABC licensees in our Downtown area, where ABC license saturation had reached its apex. B. Prosecution of Underage Purchases and Persons Who Furnish/Sell Alcoholic Beverages: Our District Attorney prosecutes these cases with the cooperation of our City Attorney.':.. C. Information About ABC Establishments: 1.) Number of ABC licenses: iOn-Sale: 113 i Off-Sale: 58 i Other: 12 I Total: 183 2.) Problems at ABC Licensed Establishments: Sales of alcohol and tobacco products to minors · Irresponsible sales of alcohol to obviously intoxicated persons · Non-compliance of established conditions on license · Public drunkenness and drinking in public · Intoxicated individuals driving under the influence · Homicide/Assaults/Assaults with Deadly Weapons · Graffiti and loitering issues · Lewd conduct 3.) Identifying Disruptive Establishments: Identificatiofi Meth °dS ~e! Disruptive Esthblish~ents i a. Records of calls for service to ABC establishments 1 attempted murder, 183 drug (2003 Calls for Service to ABC Reporting Districts) possession/sales cases and 310 public intoxication incidents in District #12 alone b. Individual and Community complaints (1999-2000) 15.5% of licensees sold minors alcohol c. Community Group Input (Based on 2003 Planning Division Statistics) d. DUI Reports (2002 Office of Traffic Safety Statistics) e. Arrests at ABC Licensed Premises (1999-2000) 2 public nuisances, 4 non-compliance of conditional use permits 254 DUI arrests, 32 DUI related accidents, No DUI fatalities Two arrests, and 18 citations issued f. Minor Decoy_OPerations Conducted (1999-2000) 84 Decoy operations conducted g. Multi-agency Task Force Operations (2003) 3 Avoid the 23 Campaigns, 59 DUI arrests 3 PROJECT NARRATIVE 4.) Factors Contributing to the Problem: Due to an increase for calls for service and other needs of the community, the South San Francisco Police Department is forced to draw on other resources within the Police Department to address such needs. In 1999, the Police Department was awarded an ABC GALE Grant, using CIB personnel to coordinate and conduct minor decoy operations. Subsequently, Business License, Use Permit and ABC License enforcement resulted in the closing of several disruptive establishments in South San Francisco. The number of education and enforcement actions increased over the last three years due to previous ABC grants. Alcohol-related incidents have decreased; however, much more work is yet to be done. South San Francisco and its Police Department would continue to benefit greatly, if we were awarded further grant funding to supplement our current budget and staffing expenses, to further our goals of education and enforcement. 5.) Factors Affected by the Problem: The community has concerns about the area surrounding ABC licensed establishments. The area rapidly attracts other criminal activity, when police oversight is lacking. Members of the community seeks assistance from community leaders, who turn to the Planning Commission, City Council and City Manager for answers as to why their neighborhoods suffer from such issues. The properties surrounding the ABC licensed establishments have experienced vacancies due to lack of confidence of business success. D. Attempts to Solve the Problem: The South San Francisco Police Department conducted 151 alcohol establishment visits from 1999 to 2000. During the first six months of the 1999 ABC GALE'grant (July 1999 through December 1999), we conducted 76 alcohol establishment visits. For the duration of the grant, we conducted 84 decoy operations, and some 15.5% of the licensees sold alcohol illegally to the decoy. The operations were coordinated by South San Francisco Police Detective Daniel Wright, ABC Investigator Pat Deasy and supported by South San Francisco Patrol Officers. Many of these operations had community members in attendance while they were being conducted. Some 115 sworn Police Officers and Sergeants were trained in updated laws and enforcement of ABC licensed establishments. With continued funding from the ABC, the South San Francisco Police Department will have the ability to address problems associated with licensed outlets. The goal is to continue and expand our enforcement (to include "Shoulder Taps") and education as related to ABC establishments. III. PROJECT OBJECTIVES (65 points): As stated by the ABC, the primary goals of this grant program are "to a.) Achieve the goals and objectives of the local enforcement agreements; b.) Establish close working relationships between ABC district offices and the grant agencies; c.) Assist law enforcement efforts and target those licensed outlets that cause alcohol-related crimes; d.) Develop management systems to ensure police reports are sent systematically to ABC District Offices as required, and e.) Assist in the training of local law enforcement." 4 PROJECT NARRATIVE The S~uth San Francisco Police Department will meet these goals by achieving the following objectives: 1. Continue to identify and target those alcohol outlets where criminal activities and other problems occur. 2. To develop and implement a multi-agency task force concept involving ABC, South San Francisco Police personnel, Code Enforcement, City Planning Dept. personnel and City Attorney. 3. Provide updated training to Police Officers on ABC laws and tactics. 4. Conduct 12 ABC Enforcement Operations over the grant period. 5. Educate ABC licensees via LEAD, ROSTF and IMPACT presentations. 6. Make license revocation and closure recommendations to ABC regarding e~pecially problematic establishments. 7. Build community awareness about problems at alcohol outlets via solutionS: Cieated :through partnership between law enforcement, ABC personnel, news media and community .groups. 8. Update the public on the progress of the operation through Beat Notes NeWs. later, :community meetings and at least two (2) media events .... 9. Conduct at least four (4) "Minor Decoy" operations in South San Francisco; by the pOlice Department. 10. Conduct at least four (4) "Shoulder Tap" operations in South San Francisco, by the Police Department. 11. Conduct at least four (4) "Cops in Shops" operations in South San Francisco, bythe Police Department. 12. Compile results of our operations and report the findings to the ABC. IV. METHOD OF PROCEDURE (45 points): *Identify and target those alcohol *Participate with citizen action July 2004 Project outlets where problems still occur, groups, City Planning Dept. and Director City Attomey *Develop a multi-disciplinary unit to carry out the program *Establish a list outlets for enforcement focus *Create a LEAD handout for licensees to train employees *Provide updated training for *Train two (2) additional september project Police Officers on ABC Detectives/Officers in ABC laws 2004 Director enforcement laws and tactics PROJECT NARRATIVE ~Conduct 12 enforcement *Conduct 4 minor decoy Ongoing Project - operations operations, 4 "Cops in Shops" Director and 4 "shoulder tap" operations *Educate licensees about all CIB/Patrol relevant laWs and ordinances *Conduct 2 LEAD training sessions, 25 ROSTF and 25 Explorer *Make license revocation and IMPACT visits at ABC outlets Decoys closure recommendations to the ABC re: Problem establishments ABC Liaison *Build community awareness *Write 2 Beat Note articles and Ongoing Project about operations Press Releases informing Director citizens of progress *Update Public on program impact · DARE *Make presentations at Officers *Educate minors about the elementary, middle schools, and illegalities of alcohol and its student government at secondary dangers schools and Citizens Academies . *Maintain efficient *Collect data associated with Quarterly Project communication with ABC re: alcohol outlets Director licensees *Prepare report for ABC *Maintain an ongoing evaluation of the program *Prepare evaluation * Submit Final Report and *Have the Chief of Police and July 2005 Project Evaluation of the operation to the Budget Analyst approve Final Director . ABC Report METHOD OF EVALUATION (20 Points): A. Major Questions to be Answered: The following questions will be used to evaluate the success of the program and its operation: · Were the problem ABC licensed establishments identified and targeted? How? · Was the training for Police Officers effective in reducing problems at the targeted outlets? Explain. · Did the building of community awareness about problems at licensed alcohol outlets have an impact on the real or perceived problem? How? · Did sharing resources with a neighboring law enforcement agency result in a reduction of man hours utilized for ABC operations by each agency? * How did the community perceive the program? g~,~at was used to evaluate [,ds.~ 6 PROJECT NARRATIVE · ,.Did communication with the local community groups increase? · Was there an improvement in communication with the ABC? · Were all goals achieved over the 12-month period? Explain. B. Data To Be Used: To evaluate the success of our operation, the South San Francisco Police Department will collect the following information: · Data regarding the specific crimes occurring, time of day, and contributing factors surrounding targeted alcohol outlets. The data will be collected prior to the operation implementation and subsequently collected at least one month after the business was targeted. · . Which alCohol outlets and what type of methods were implemented to address the'perceived iss ? : ., ues . · - '~".~-.'. · How many hours were dedicated to the problem outlet and surrounding area,before' and after the outlet was targeted? ,'.:, ;'-, :~-:~ ' : · Acost analysis will then be conducted to ascertain if the program was effective.: :: ~. C. Cost Effectiveness: For the program to prove cost effective, there must be:, ....' · A savings in time spend by officers responding to the area outlets · A reduction in arrests for illegal alcohol purchases and selling · Improved conditions in the neighborhoods where alcohol outlets are located VI. ABC LIAISON (25 points): The South San Francisco Police Department has an established collaboration with ABC personnel to train and register decoys for sting operations. We work together during investigations and appeals to ensure the quality of service to the community. Our ongoing working relationship has fostered a greater understanding of the resources each agency possesses. The South San Francisco Police Department is undergoing a transition, with 31 new sworn personnel having been hired since the completion of 1999-2000 ABC Gale Grant. The training of new officers in ABC legislation is extremely important for the accomplishing of our .mutual goals and objectives. VII. STATEMENT OF INTENT (20 points): The South San Francisco Police is committed to programs that improve the quality of life in our community. We are particularly eager to implement programs that increase the interaction between neighborhoods, community groups, and youth oriented organizations. For the implementation of this program, the City of South San Francisco will support the program by providing additional support officers and buy money that may be attributed to the implementation of the program. Based on the successful outcome of the operation in June of 2005, the program will be formally adopted as part of the South San Francisco Police Department's problem oriented policing philosophy. 7 Exhibit B Payment Provisions 1. INVOICING AND PAYMENT: Payments of approved reimbursable costs (per Budget Detail attached) shall be in arrears and made via the State Controller's Office. Invoices shall be submitted in duplicate on a monthly basis in a format specified by the State. Failure to submit invoices and reports in the required format shall relieve the State from obligation of payment. Payments will be in arrears, within 30 days of Department acceptance of Contractor performance, pursuant to this agreement or receipt of an undisputed invoice, whichever occurs last. Nothing contained herein shall prohibit advance payments as authorized by Item 2100-101- 3036, Budget Act Statutes of 2004. 2. Revisions to the "Project Narrative" and the "Budget Estimate" may be requested by a change request letter submitted by the Contractor. If approved by the State, the revised Grant Assistance Program Narrative and/or Budget Estimate supersede and replace the previous documents bearing those names. A contract amendment will be required to implement any such changes with the exception that changes in a budget line item of expense not to exceed five percent (5%) of the line item may be authorized without requiring a contract amendment if the total amount of the contract remains unchanged. 3. Contractor agrees to refund to the State 'any amounts claimed for reimbursement and paid to Contractor which are later disallowed by the. State after audit or inspection of records maintained by the Contractor. 4. Only the costs displayed in the "Budget Estimate" are authorized for reimbursement by the State to Contractor under this agreement. Any other costs incurred by Contractor in the performance of this agreement are the sole responsibility of Contractor. ' 5. Title shall be reserved to the State for any State-furnished or· State-financed Property authorized by the State which is not fully consumed in the performance of this agreement. Contractor is responsible for the care, maintenance, repair, and protection of any such property. Inventory . records shall be 'maintained by Contractor and submitted to the State upon request. All such property.shall be returned to the State upon the expiration of this contract unless the State otherwise directs. 6. If travel is a reimbursable item, the reimbursement for necessary traveling eXPenses and per diem shall be at rates set in accordance with Department of PersOnnel Administration rates set for comparable classes of State employees. No travel outside of the State of California shall be authorized.· No travel shall be authorized outside of the legal jurisdiction of Contractor without prior authorization by the State. o Prior ~uthorization by the State in writing is required before Contractor will be reimbursed for any purchase order or Subcontract exceeding $2,500 for. any articles, supplies, equipment, or services to be purchased by Contractor and claimed for reimbursement. Contractor must justify the necessity for the purchase and the reasonableness of the price or cost by submitting three competitive quotations or justifying the absence of bidding. Prior approval by the State in writing is required for the location, costs, dates, agenda, instructors, instructional materials, and attendees at any reimbursable training seminar, workshop or conference, and over any reimbursable publicity or educational materials to be made available for distribution. Contractor is required to acknowledge the support of the State whenever' publicizing the work under the contract in any media. It is understood between the parties that this contract may have been written before aScertaining the availability of appropriation of funds, for the mutual benefit of both parties, in order to avoid program and fiscal delays that ~vould occur if the contracts were executed after that determination was made. · EXHIBIT C BUDGET ESTIMATE (Round all budget amounts to nearest dollar) 1. Salaries (two positions) 10% Detective Sergeant ~ $107,377 per year $10,738 10% Police Detective ~ $96,266 per year $9,627 2. Overtime ~ Detective 1.5 hourly rate Estimated 34 hours $2,361 TOTAL PERSONNEL SERVICES $22,726 , Minor Decoy Operations, Shoulder TaP Operations, $2,500.00 and Narcotics Investigations 'Buy Money" TOTAL OPERATING EXPENSES $2,500.00 Two SpectraTek 500 1 watt Audio Transmitters ~ $1,137 $2,274.00 each TOTAL EQUIPMENT $2,274.00 Program Director and Coordinator Attendance at Summer 2004 and Winter 2005 Grant Meetings $2000.0 Registration Fees $500 TOTAL TRAVEL EXPENSE $2,500.00 ~,~i~.~' ~ · '~, ! ~ $30,000.00 Exhibit E Special Terms and Conditions o Disputes: Any dispute concerning a question of fact arising under this contract which is not disposed of by agreement shall be decided by the Director, Department of Alcoholic Beverage Control, or designee, who shall reduce his decision to writing and mail or otherwise furnish a copy thereof to the Contractor. The decision of the Department shall be final and conclusive unless, within 30 days from the date of receipt of such copy, the Contractor mails or otherwise furnishes to the State a written appeal addressed to the Director, Department of Alcoholic Beverage Control. The decision of the Director of Alcoholic Beverage Control or his duly authorized representative for the determination of such appeals shall be final and conclusive unless determined by a court of ~ompetent jurisdiction to have been fraudulent, capricious, arbitrary, or so grossly erroneous as necessarily to imply bad faith, or not supported by substantial evidence. In connection with any appeal proceeding under this clause, the contractor shall be afforded an opportunity to be heard and to offer evidence in support of its appeal. Pending final decision of a dispute hereunder, Contractor shall proceed diligently with the performance of the contract and in accordance with the decision of the State. Termination Without Cause: Either party may terminate this agreement at any time for any reason upon ten (10) days written notice. No penalty shall accrue to either party because of contract termination. Contract Validity: This contract is valid and enforceable only if approved by the Office of Legal Services, State Department of General Services, if required, and if adequate funds are appropriated in Item 2100-101-3036, Budget Act of 2004, for the purposes of this program. Contractor CertificatiOns: By signing this agreement, Contractor' certifies compliance with the provisions of CCC 304, Standard Contractor Certification ClauseS. This document may be viewed at: www:dgs.ca.gov/contracts. If the State determines that the grant project is not achieving its goals and objectives on schedule, funding may be reduced by the State to reflect this lower le'cel of project activity. AGENDA ITEM NO. 5 DATE: July 28, 2004 TO: Honorable Mayor and City Council FROM: Marty Van Duyn, Assistant City Manager SUBJECT: PARKING METER RATE CHANGES RECOMMENDATION It is recommended that the City Council adopt the attached resolution amending the Master Fee Schedule to increase parking meter rates from $.25/hour to $.50/hour within Parking District #1 along Grand Avenue, the 200/300 blocks of Maple, Linden and Cypress Avenues, the 300 block of Baden Avenue and in Parking Lots 1, 2, 4, 5, 12 & 15. BACKGROUND The Parking Commission was requested to fund one of the three parking enforcement officers through District revenues, since a significant amount of parking enforcement time is expended within the District boundaries. In addition, $700,000 in Parking District reserve funds have recently been obligated for the purchase of property at 178-190 Airport Boulevard, which is to be developed as a temporary parking lot. This expenditure has significantly reduced available reserves, which now stand at approximately $400,000. As a result, in order to maintain growth in the reserve fund and to provide the estimated $75- $80,000.00 (salary + benefits) for the enforcement officer, the Parking Place Commission has proposed that selected parking meter rates be increased. DISCUSSION The Parking District currently has 600 metered parking spaces located throughout the general downtown area. In 2001, the rates were raised on 235 meters located generally outside the main commercial corridor (Miller, Baden, Walnut and upper Grand) from $0.15 per hour to $0.25 per hour. The rates of the approximately 325 meters along the majority of Grand, Maple, Linden & Cypress, and adjoining metered spaces in parking lots 1, 4 & 15 have remained $0.25 per hour since about 1988. At its June meeting, staff proposed to the Parking Place Commission raising rates from $.25/hr. to $.50/hr.on the 325 most heavily used meters in Parking District #1, those along Grand Avenue, the 200/300 blocks of Maple, Linden & Cypress Avenues, and within Parking Lots 1, 4, & 15. The Commission was unanimous in its support of the proposed increase and requested staff study the rest of the District to determine whether the rates should be raised in the remaining areas so that the District could build up additional reserves. StaffReport Subject: Page 2 of 2 Parking Meter Rate Increase Staff surveyed the remaining meters and recommended increasing rates on an additional 74 meters including those in Parking Lots 2, 5 & 12 (offBaden), and along the 300 Block of Baden Avenue, but leaving the more "fringe" areas, along Miller Avenue, Airport Boulevard, the 000/200/400 blocks of Linden Avenue, the 400 block of Cypress, and Parking Lots 3 and 11 remain at current rates. Revenues from these meters are quite low, indicating low usage (approx. 33%). The Commission unanimously supported this increase and supported retaining lower rates in the less used areas as an incentive to park a little further away from the Downtown core. Staff had initially estimated the proposed rate increase on the initial 324 meters would generate an additional $80-100,000 per year. It is estimated that the increase on the additional 74 meters would generate approximately $15-20,000 per year. It is anticipated that the proposed rate increase should generate sufficient revenue to fund one parking enforcement officer without tapping into existing reserves, and allow for a slight increase in reserves. The Commission noted the importance of the reserves to provide the revenue necessary to allow for additional leasing or acquisition of property to provide new parking spaces in the future. Public Input - Property owners and tenants throughout the District were notified of the proposed meter rate increase. Five members of the public attended the meetings. Three of the community members supported the proposed increase, while the other two supported raising monthly permit rates (which were increased three years ago) and reducing expenditures, as indicated in the attached letter. CONCLUSION Faced with ongoing budget constraints, the City Council has asked all Divisions and Departments to both reduce expenditures and increase revenues to allow the City to continue to provide a high level of service to the community. To this end, the Parking Place Commission has been asked to fund one of the three parking enforcement officers through District revenues. In order to maintain growth in the parking reserve fund it has been determined that additional revenues will be needed to cover this cost. Therefore, the Parking Place Commission recommends that the City Council adopt the attached resolution approving the proposed parking meter rate changes. ~//~ ~... ~o~~/ -- By: By: Assistant City Man~8~r City Manager Attachment: Draft Resolution June 8, 2004 & July 13, 2004 Parking Place Commission Staff Reports Parking Place Commission Minutes - June 8, 2004 Parking District Map Letter to Commission dated July 13, 2004 RESOLUTION NO. CITY COUNCIL, CITY OF SOUTH SAN FRANCISCO, STATE OF CALIFORNIA A RESOI41 lTION AMENDING TItE MASTER FEE SC}tEDI JI,E TO INCREASE PARKING METER RATES FROM $.2,5/HOUR TO $..50/HOUR WITHIN PARKING DISTRICT #1 AI.ONG GIL~,ND AVENIIE, TIlE 200/300 BI,OCKS OF MAPI,E, I,INDEN AND CYPRESS AVENUE, TIlE 300 BLOCK OF BADEN AVENUE AND IN PARKING I,OTS, I ,2, ~1~ ,.5, 12, &l,5 WHEREAS, staff desires amendment of the Master Fee Schedule to increase parking meter rates from $.25/hour to $.50/hour within Parking District #1 along Grand Avenue, the 200/300 blocks of Maple, Linden and Cypress Avenue, the 300 block of Baden Avenue and in Parking Lots 1, 2, 4, 5, 12 & 15. NOW, THEREFORE, BE IT RESOLVED by the City Council of the City of South San Francisco that the City Council hereby amends the Master Fee Schedule to increase parking ~neter rates from $.25/hour within Parking District # 1 along Grand Avenue, the 200/300 blocks of Maple, Linden and Cypress Avenue, the 300 block of Baden Avenue and in Parking Lots 1, 2, 4, 5, 12, & 15. I hereby certil~ that the foregoing Resolution was regularly introduced and adopted by the City Council of the City of South San Francisco at a meeting held on the __ day of ., 2004 by the following vote: AYES: NOES: ABSTAIN: ABSENT: ATTEST: City Clerk S:\Current Reso's\7-28-04parking.meter.res.doc Parking Place Staff Report Commission DATE: June 8, 2004 TO: Pm:king Place Commission SUBJECT: Parking Meter Rate Changes RECOMMENDATION: That tile Parking Place Commission approve parking meter rate increases within Parking District #1 on Grand Avenue and the 200/300 blocks of Maple, Linden and Cypress Avenues and in Parking Lots 1, 4 & 15 h'om $.25/hom~ to $.50/hour. BACKGROUND/DISCUSSION: The District cun:ently has 600 metered parking spaces located throughout tlhe general downtown area. tn 2001, the rates were raised on 235 meters located generally outside the main commercial co~.l'idor (Miller, Baden, Walnut and upper Grand) from $0.15 per hour to $0.25 per hour. The rates of the approximately 325 meters along the majority of Grand, Maple, Linden & Cypress, mad adjoinin.g metered spaces in pm'king lots 1,4 & 15 have remained $0.25 per hour since about 1988. As you are aware, approximately $700,000 iu Parking District £unds have recently been obligated :for the purchase of property at 178-190 Airport Boulevard, which is to be developed as a temporary parking lot. This expenditure has significantly reduced available reserves, which now stand at approximately $400,000. Additionally, City Mmaagem.ent has requested the Parkin.g Commission h~vestigate funding one of the three parking enforcement officers through District revenues, since a significant amount of parking enforcement time is expended within the District boundmSes. In order to maintain growth in the reserve fund an.d to provide the estim, ated $75- $80,000.00 (salary + bene:fits) for the Enforcement Officer, additional revenues wi Il be needed. DISCUSSION: In. order to address the need :['or additional revenues it is proposed that parking meter rates on Grand Avenue, the 200/300 blocks of Maple, Linden a:ud Cypress Aven.ues and pm:king lots 1, 4 & 15 be increased fi:om $.25/hour to $.50/hour, or incrementally a.s follows: Staft Report RE: Pm'king Meter Rate I~mrea.se Date: June 8, 2004 Page 2 of 2 Two-.Hour Meters 05¢ for six minutes 10¢ for twelve minutes 25 ¢ for thirty minutes 24-Minute Meters - 05¢ :for six minutes 10¢ for twelve minutes 20¢ for twenty- four minutes District O.perating Revenues and Expenditm'es fbr 2002-2003 i.s shown below: Operating Costs $220,000 O~p.erati~_Revenue Meter Fees $235,000 Permit Fees $70,000 ! Total Aunual Revenue $305,000 Annual revenue in 2002-2003 was $235,000.00 for th.e 600 meters in the District m~d the daily parking pemaits. It is an.ticipated that the proposed rate increase should generate mn additional $80-100,000 per year, or sufficient revenue to fund one parking enforcement officer without tapping into existing reserves. The reserves will continue to be important to provide the revenue necessary to allow for additional leasing or acquisition of property to provide new parking spaces in the future. ' CONCLUSION: Faced ;vith ongoing budget constraints, the City Council h. as asked all Divisions and Departments to both reduce expenditures and increase revenues to allow the City to continue to provide a high level of service to the community. To this end, the Parking Commission has been asked to fund one of the three pm:king enforcemen.t officers through District revenues. In order to maintain growth in the pm:king reserve fund it has been determined that additimxal revenues will be needed to cover this cost. Therefore, staffrecommends that the Parking Place Commission approve klm proposed parki~ag meter rate chm~ges. ~usy Ka/!ld n Principal Planner Parking Place Commission Staff Report DATE: TO: SUBJECT: July 13, 2004 Parking Place Commission Parking Meter Rate Changes RECOMMENDATION: That the Parking Place Commission approve parking meter rate increases within Parking District #1 on Grand Avenue, the 200/300 blocks of Maple, Linden and Cypress Avenues, the 300 block of Baden Avenue and in Parking Lots 1, 2, 4, 5, 12 & 15 from $.25/hour to $.50/hour. BACKGROUND/DISCUSSION: At its June 2004 meeting, the Parking Place Commission discussed raising rates on 324 meters in Parking District #1, those along Grand Avenue, the 200/300 blocks of Maple, Linden & Cypress Avenues, and within Parking Lots 1, 4, & 15, from $.25/hr. to $.50/hr. The Commission was unanimous in its support of the proposed increase and requested staff study the rest of the District to determine whether the rates should be raised in the remaining areas so that the District could build up additional reserves. The Commission also requested staff investigate whether meter time limits in Parking Lot 5 should be increased. Meter Survey Staff surveyed the remaining meters and recommends increasing rates on an additional 74 meters including those in Parking Lots 2, 5 & 12 (off Baden), and along the 300 Block of Baden Avenue. Staff also recommends that the more "fringe" areas, along Miller Avenue, Airport Boulevard, the 000/200/400 blocks of Linden Avenue, the 400 block of Cypress, and Parking Lots 3 and 11 remain at current rates. Revenues from these meters are quite low, indicating low usage (approx. 33%). It is hoped that retaining these lower rates in the less used areas could serve as an incentive to some to park a little further away from the Downtown core. Staffhad initially estimated the proposed rate increase on the initial 324 meters would generate an additional $80-100,000 per year. It is estimated that the increase on the additional 74 meters would generate approximately $15-20,000 per year. As previously indicated, annual revenue in 2002-2003 was $235,000.00 for the 600 meters in the District and the daily parking permits. It is anticipated that the proposed rate increase shOuld generate sufficient revenue to fund one parking Staff Report RE: Parking Meter Rate Increase Date: July 13, 2004 Page 2 of 2 enforcement officer without tapping into existing reserves, and allow for a slight increase in reserves. The reserves will continue to be important to provide the revenue necessary to allow for additional leasing or acquisition of property to provide new parking spaces in the furore. Time Limits With the increase in meter rates it was suggested that consideration be given to increasing the time limit in Lot 5 from two to three hours. Staffhas reviewed this and has no concern with this and recommends that Commission approve the request. CONCLUSION: Faced with ongoing budget constraints, the City Council has asked all Divisions and Departments to both reduce expenditures and increase revenues to allow the City to continue to provide a high level of service to the community. To this end, the Parking Commission has been asked to fund one of the three parking enforcement officers through District revenues. In order to maintain growth in the parking reserve fund it has been determined that additional revenues will be needed to cover this cost. Therefore, staff recommends that the Parking Place Commission endorse the proposed parking meter rate changes. Principal Planner Attachment: Map CITY OF SOUTH SAN FRANCISCO PARKING PLACE COMMISSION MEETING MINUTES TUESDAY, June 8, 2004 LARGE CONFERENCE ROOM, CITY HALL 400 Grand Avenue CALL TO ORDER: The meeting was called to order at 5:00 p.m. by Chair Luster. ROLL CALL: Present: Chair Luster Commissioner kli Commissioner Faria Also Present: Susy Kalkin, Commission Secretary Laura Iskra, Secretary Pro Tern Mike Premenko, Parking Meter Service Worker Marty Van Duyn, Assistant City Manager Sgt. Paul Ritter Laurie Masetti Jim Metz, Computer and Business Printing MINUTES APPROVAL: None AGENDA REVIEW: No changes. AGENDA ITEMS: · Parking Meter Rate Increase: Increase meter fees as follows for all parking meters on Grand Avenue, the 200/300 blocks of Maple, Linden and Cypress Avenues and Parking Lots 1, 4 and 15 frorn $.25 per hour to $.50 per hour. Secretary Kalkin explained to the Parking Place Commission that City Council has asked all departments and divisions to look at ways of increasing revenues based on the fiscal considerations right now and that City Council is interested in the Parking District funding one of the parking enforcement positions, which costs approximately $ 75,000.00 to $80,000.00 per year, including benefits. Secretm:y Kalkin stated that in order to do this Page 1 Parking Place Conmaission Meeting 06/08/04 and keep a reserve balance the Parking District needs to look at revenue increases so the Commission is being asked to consider increasing meter rates. Secretary Kalkin told the Parking Commission there were approximately 325 meters along Grand, Maple, Cypress and Linden Avenues m~d 3 parking lots adjacent to Grand Avenue, where rates have not been raised since 1988, and staffis proposing a rate increase from. 25¢ to 50¢, which would raise approximately $80,000.00 to $100,000.00 to cover the pm:king enforcement position and hopefully allow additional growth in the reserve. She then opened up item for discussion. Chair Luster stated she thought it was a reasonable decision because, compared to other cities, our City is way behind, but she realized there may be some opposition to the rate increase. Commissioner kli stated she agreed because since 1988 there had not been an increase and the Parking District was certainly overdue. Jim Metz told the Parking Commission he suggested last year raising all meters on Grand Avenue to 50¢ per hour and dropping the monthly permit fee to $25.00. He also stated he felt 50¢ is perfectly reasonable. Laurie Masetti asked for a clarification as to where the lots were located. Mike Premenko explained that lot #1 is on Grand Avenue next to Buon. Gusto, lot #4 is on Grand Avenue next to Toppers and lot #15 is located on the corner of Cypress and Grated Avenues. Laurie Masetti said she th.inks it's entirely appropriate to raise the amount and felt it is a real bargain since she paid $1.00 per hour in San Mateo and that San Francisco rates are offthe charts. She also stated this was a wonderful opportunity for the community to support the City in a time when everyone is in a crunch. Jim Metz said at 50¢ per hour we're still the lowest on the peninsula. Laurie Masetti said for the record she wants it clear that she is speaking as a South San Francisco resident an.d not as the Executive Director of the Chamber of Commerce because she has not heard fi'om the entire Chamber Board yet as what their position is. As a resident she heartily supports the endeavor. Jim Metz said he is speaking as a business owner and not as the President of the Chamber of Commerce. He asked if reducing the parking pem~it to $25.00 is a definite no. Chair Luster stated a modest raise of 50¢ per hour is a bargain because in San Francisco Page 2 Parking Place Con~?aission Meeting 06/08/04 she pays $1.00 and meters have gone up. Commission Faria stated he was all :for the increase, but asked why we hadn't incorporated other lots and leave the otter fringe lots the lower rate. He felt if the Parking District is going to raise the rates they should do it in one fell swoop. Jim Metz stated he didn't have a problem with raising the rates to 50¢ per hour but suggested increasing the time limits, because when merchants are forced to park in metered spaces they forget the time limit and get ticketed. Commissioner Faria felt it would help permit sales because that rate is not being adjusted and it would be a bargain compared to daily meter parking. Jim Metz clarified raising time limits in the outer fr/nge lots and keeping Grand Avenue area the same time limit. Secretary Kalkin explained the more convenient spaces are still Grand Avenue and the adjacent lots and she was concerned about the discussion of raising rates since it wasn't noticed and suggested the Pm:king Place Commission could take it under consideration at a future meeting. Marty Van Duyn inforrned the Pm'king Place Commission that the new parking lot on Airport Blvd. will be mostly permit and some pem~it space in lot #2 will be converted to metered spaces. Laurie Masetti stated if we're raising prices why didn't we took at raising all the lots and meters. Marty Van Duyn explained the philosophy as always been that we don't increase rates just to increase, we increase rates for an express purpose and this increase is addressing a cost that the Parking District is incurring. He infon~ed the Parking Commission that Secretary Kalkin and Mike Premenko were asked to look at fee increases that would cover the cost of a new Parking Enforcement Officer and they modeled the increase under the philosophy of being consistent with the costs and that is why they looked at some meters differently than others. Commission Faria agreed there is merit to the i~crea.se, but asked when will the next need be and should we start building up the reserve. Marry Van Duyn stated much of the reserves will be used when the new lot is built. There was a brief discussion regarding parking tots and parking structures. Page 3 Parking Place Commission Meeting 06/08/04 Secretary Kalkin explained funding for building the lots or structures are set up in the reserves or there is a bond set up. Motion: C onm'fissioner F aria/Second: Commissioner Irli: T o accept cun'ent p lan~s with recommendation that staff investigate the parking lots not included for increase for possibility of increasing those rates and advertise accordingly. Unanimously approved. 6. CORRESPONDENCE: None 7. ORAL COMMUNICATIONS: None 8. ADJOURNMENT: Motion: Chair Luster a,djoumed the meeting at 5:42 p.m. Respectfully submitted, Su~'y K..alt~i~t~ Commission Secretary Frances Lus~r, Chair Page 4 Parking Place Commission Meeting 06/08/04 Downtown Parking District Lux Nil I I~1 II II I I---[ I-HI Ill~/ I1'tl III/~ City Hall Grand Avenue O Future Parking Lot Commercial Railroad Avenue June 8, 2004 proposal to increase 324 meters to 50 cents per hour July 13, 2004 proposal to increase 74 meters to 50 cents per hour The remaining 202 meters to remain at 25 cents per hour 324 Grand Avenue South San Francisco, CA 94080 (650) 588- 2656 fax (650) 588 - 2594 July 13, 2004 South San Francisco Parking Commission Monthly Meeting Subject: Parking Meter Price Increase As a merchantpin the downtown area the proposed increase in parking meters is of great concern to us. As you will see South San Francisco akeady has the highest parking meter rates of any city that borders it. We already have problems with the parking situation in the downtown area. We feel that increasing the rates would only make things worse. The chart below shows the current parking meter rates from South San Francisco and its surroundh~g cities. Street Meter Parking Lots Daly City So. San Francisco San Bruno Millbrae 5c - 20 minutes 10c- 40 minutes 25c - 1 hr 40 minutes 5c - 12 minutes 10c - 24 minutes 25c - 60 minutes Free 2 hour parking Some free 24 minute zones Free 1 & 2 hour parking Some free 20 minute zones Some Metered Some Permit ($30.00 monthly) Free parking all lots - 2 to 5 hours Free parking all lots - mostly 2 hour limit Page Two Some other ideas the commission might consider other than increasing meter rates are- Moving Permit Parking Lots tolower usage lots. As of now, too many spaces, in the high volume lots, are being occupied by vehicles with permits. Ifthe higher usage lots were all metered more money would be generated by v~ehicles moving every 2 hours. Raise the amount of the monthly permits. Make each lot uniform, either all meters or all permits. This would make it easier to enforce parking violations, therefore generating more money. Also, as a downtown merchan~I respectfully ask the purpose of the proposed increase in meter rates. What is the additional money needed for? StaffReport AGENDA ITEM NO. 7 DATE: TO: FROM: SUBJECT: July 28, 2004 The Honorable Mayor and City Council Steven T. Mattas, City Attorney Ballot Measures and Special Municipal Election RECOMMENDATION: Adopt a Resolution: 1) Calling for a Special Election, amending the City Clerk budget, establishing procedures for the election and placing a measure on the November 2, 2004 ballot asking the voters to authorize a special tax of one percent to be added to the existing Transient Occupancy Tax; 2) Placing a measure on the November 2, 2004 ballot authorizing the City to impose a business license tax on commercial billboard advertisers and establishing procedures for the conduct of such election. BACKGROUND/DISCUSSION: At its July 14, 2004, regular meeting, the City Council directed staff and the City Attorney to prepare ballot measures to implement two special taxes. The first such tax, a special tax in the amount of one percent (1%) would be added to the existing Transient Occupancy Tax, by amending Chapter 4.20 of the Municipal Code. The second tax, a new tax on the operators of commercial billboards located in the City, would amend Title 6 of the Municipal Code to add a specific category for commercial billboard operators. The special tax imposed would equal eight percent (8%) of the gross revenue received by the operators for advertising in the City. The amendments to Title 6 also specify the exempt signs and the manner in which the tax will be collected. The deadline for calling an election and submitting required materials to the elections official is 88 days prior to the election, if the Council wishes the County to conduct the election and to have the election consolidated with a statewide election and appear on that ballot. (Elections Code §10403.) In this case, the deadline is August 6, 2004. The resolution calling the election must include the type of tax, the tax rate, the method of collection and the date of the election. The resolution calling an election on a special tax must describe the purpose of the tax. (Govt. Code § 53724(a).) Since 2001, cities have also been required to include in special tax measures accountability measures restricting the tax revenue to the identified purpose of the special tax, creating a special account for the proceeds, and requiring the preparation of an annual report by the chief financial officer describing any expenditure of the proceeds and the status of any projects funded by the tax. (Govt. Code § 50075.1.) The proposed ordinance imposing the taxes are attached to the resolution and, if approved by the voters, would be adopted by the people. The taxes would then be effective ten days after the results of the election are certified or on January 1, 2005, whichever is later. (Elections Code § 9217.) The resolution calling the election also includes the ballot question. Additionally, Council may wish to designate one or more of its members to write the argument in favor of the measure. (Elections Code §9287.) If the Council designates one member to write the argument in favor on behalf of the City Council, the Council could also authorize that councilmember to allow representatives of "bona fide" organizations wishing to support the measure to sign the ballot argument. There is a limit of five signatures on a ballot argument. The attached Resolutions also establish the time period in which argument for or against the proposed measures must be submitted, the time in which the City Attorney must prepare an Impartial Analysis and the time for rebuttal arguments. Following are the timelines for submittals: Direct arguments for or against the measures shall be submitted by 5:00 p.m. on August 13, 2004. Rebuttal arguments for or against the measures shall be submitted by 5:00 p.m. on August 23, 2004. o The City Attorney shall prepare by August 11, 2004, an impartial analysis of each measure showing the effect of the measures. As noted in the Staff Report prepared by the Finance Director on July 14, 2004, the City's budget situation has been very unstable since 2001-02. The continuing recession, the loss of a major sales tax generator, revenue raids by the State, and rising retirement and health costs have all combined to cause a prolonged period of fiscal strain on the City of South San Francisco. Based on the information received at the July 14, 2004 meeting, the City Council directed staff to prepare the attached Resolutions authorizing the City Clerk to Call an election and staff to prepare the ballot measures. Steven T. Mattas, City Attorney Attachments: ~J~a~-I A. Wilso~ l~anager Ordinances Resolutions Agreement RESOLUTION NO. CiTY COUNCIL, CITY OF SOUTH SAN FRANCISCO, STATE OF CALIFORNIA A RESOLUq'ION ESTABLISHING NOVEMBER 2, 2004 AS THE I)ATE FOR A SPECIAL MUNICIPAL ELECTION ON A PROPOSED BALI.OT MEASIIRE SEEKING VOTER AUTHORIZATION TO IMPOSE A ONE PERCENT (1%) INCREMENT TO BE ADDED TO THE CITY'S EXISTING EXCISE TAX ON THE PRIVILEGE OF I ISIN(; tt()TEI~ ACC()MMODATIONS IN THE CITY RAISIN(; THE T()TAI~ TAX I;R()M EI(;IIT 1)ERCENT (8%) TO NINE PERCENT (9%) WITH TIIE INCI~,EMI';NTAL AMOIJNT BEING USED F()R I'ARK, I.IBRAI~,Y, P[JBI,IC SAFI~YI'Y AND RECREATI()N SERVICES; ESTABLISHIN(; POI,ICIES AND PR()CE1)IJRES iN C()NNECTION 'vViTIt SUCH AN ELECTION; AMENDING THE CITY CLERK ll[IDGET; AND REQUESTING TIlE COUNTY CLERK TO CONDUCT THE ELECTION WHEREAS, on August 22, 1966, pursuant to its authority under California Revenue and Taxation Code sections 7280 et seq., the City Council of the City of South San Francisco ("the City Council") adopted Ordinance No. 554, codified as Chapter 4.20 of the Municipal Code, which provided for the imposition and collection of a general excise tax on the privilege of using hotel accommodations in the City (a "transient occupancy tax" or "TOT") to be paid by hotel users and collected by hotel operators; and WHEREAS, the City Council subsequently adopted Ordinance No. 638 on October 24, 1972; Ordinance No. 676 on October 16, 1974; Ordinance No. 772 on August 16 , 1978; and Ordinance No. 1126 on March 24, 1993, with the TOT last being increased to eight percent (8%) on August 16, 1978; and WHEREAS, Article XIIIC, Section 2(b) of the California Constitution requires that any special or general tax, such as the TOT, must be approved by a vote of the voters voting on the issue of increasing or imposing a tax; and WHEREAS, the City Council of the City of South San Francisco ("the City Council) expressed its intent to impose an additional one percent increment tb the existing TOT, raising the total TOT fi'om eight percent (8%) to nine (9%) during the duly noticed regular meeting held July 14, 2004; and WHEREAS, a substantial portion of the City's General Fund (as established in the City's budget for Fiscal Year 2004-2005) is used for public safety purposes (police and fire protection services) and the City Council has determined that an additional increment to the TOT is an effective way of preserving other vital public services such as park, library, public safety and recreation services at or near current levels in light of the present uncertainty regarding whether the State will attempt to take additional funds from cities to eliminate the state budget deficit; and WHEREAS, after receiving information at its July 14, 2004 City Council meeting and prior budget workshops regarding the effects of the current economy and State budget on the City's finances and ability to fund necessary community services, and after subsequently receiving testimony from tile public, tile City Council determined that the public interest would be well served by asking the voters of South San Francisco to authorize an additional one percent (1%) increment to the existing TOT raising the total TOT from eight pement (8%) to nine percent (9%); and WHEREAS, Article XIIIC, Section 2(b) requires that an election by the voters to approve a general tax must be consolidated with an election for City Councilmembers; and WHEREAS, the November 2, 2004 election does not include an election for any member of the City Council; and WHEREAS, given the uncertainty in the state budget, the City needs to identify revenue sources for fiscal year 2005-2006 and thereafter in order to provide continuity in recreation and other public services; and WHEREAS, the one percent (1%) incremental adjustment to the TOT is hereby proposed as a Special Tax with revenues derived from the increase specifically designated to fund park, recreation, public safety and library services; and WHEREAS, pursuant to Government Code Section 50075.1, the City declares that the proceeds fi'om the special tax shall only be used for the purposes designated herein and that an account shall be created for the purpose of maintaining such revenues. An accounting of the funds deposited and report of all funds deposited and expended shall occur on an annual basis in accordance with the provisions of Government Code Section 50075.3; and WHEREAS, the tax imposed pursuant to this measure will be collected in accordance with the procedures established in Exhibit 1, including any references contained therein; and WHEREAS, as a Special Tax, the one percent (1%) increment must be approved by a sixty-six percent majority vote; and WHEREAS, after considering the foregoing information, the Council believes that the one percent (1%) incremental adjustment to the existing TOT should be authorized by the voters of South San Francisco in the amount described herein, with implementation of the increment effective January 1, 2005; and WHEREAS, the cost of conducting the Special Election is $26,000 and will be paid out of the City Clerk's budget; and WHEREAS, based on all of the information presented at the July 28, 2004 City Council meeting, both written and oral, including the staff reports, minutes, and other relevant materials (hereafter the "Record"), the City Council finds that under CEQA Guidelines 15060(c) (2) and 15378(b) (4), this tax does not constitute a project under CEQA and therefore review under CEQA is not required. NOW, THEREFORE, BE IT RESOLVED, as follows: 1. Call for Election. Pursuant to Elections Code § 9222, the City Council hereby establishes November 2, 2004, as the date for a Special Municipal Election at which the voters of the City of South San Francisco shall decide whether to authorize an additional one percent (1%) increment to be added to the City's existing excise tax on the privilege of using hotel accommodations in the City. The measure shall be designated by letter by the City Clerk. Pursuant to Election Code Section 10400 et seq., the measure shall be consolidated with the statewide general election to be conducted on November 2, 2004. follows: Ballot Language. The ballot language for the proposed measure shall be as Shall the City of South San Francisco be authorized to add a one percent (1%) increment on the existing hotel tax, paid by guests and collected by hotel operators, raising the total tax imposed fi'om 8% of the room rate to 9 % of the room rate, with the revenue from said increment reserved for park, recreation, library and public safety services'?. Yes No 3. Proposed Ordinance. The ordinance authorizing a one percent (1%) increment to be added to the existing TOT, pursuant to Section 2, is as set forth in Exhibit 1 attached hereto. 4. Submission of Ballot Arguments and Impartial Analysis. (a) The last day for submission of direct arguments for or against the measure shall be by 5:00 p.m. on August 13, 2004. (b) The last day for submission of rebuttal arguments for or against the measure shall be by 5:00 p.m. on August 23, 2004. (c) Direct arguments shall not exceed three hundre'd words and shall be signed by not more than five persons. (d) Rebuttal arguments shall not exceed two hundred fifty words and shall be signed by not more than five persons; those persons may be different persons than the persons who signed the direct arguments. (e) The City Attorney shall prepare by August 11, 2004, an impartial analysis of the measure showing the effect of the measure. [Optional] (f) The Mayor (or Councilmember ) is hereby attthorized to prepare written arguments in favor of the proposed measures, not to exceed 300 words, on behalf of the City Council. The arguments may also be signed by bona fide associations or by individual voters who are eligible to vote. 5. Request to Order Election. The City Council hereby requests that the San Mateo County Board of Supervisors order this election to be conducted by the County Clerk and the County Election Department officials in connection with the general election to be held November 2, 2004. 6. City Clerk Budget Amendment. The budget for the City Clerk shall be increased by $26,000 for Fiscal Year 2004-2005. 7. Effective Date. This Resolution shall become effective immediately upon its passage and adoption, and the City Clerk is directed to send certified copies of this Resolution to the San Mateo County Board of Supervisors and to the County Clerk-Recorder. The Services Agreement for the Provision of Election Services between City of South San Francisco and San Mateo County Assessor-County Clerk-Recorder is attached hereto as Exhibit B. I hereby certify that the foregoing Resolution was regularly introduced and adopted by the City Council of the City of South San Francisco at a meeting held on the __ day of ,2004 by the following vote: AYES: NOES: ABSTAIN: ABSENT: ATTEST: City Clerk s :\Current Reso's\7-28-04FINAL.TOT.RES.DOC EXHIBIT A ORDINANCE NO. AN ORDINANCE OF TIlE PEOPLE OF THE CITY OF SOUTH SAN FRANCISCO AMENDING CHAPTER 4.20 OF THE SOUTH SAN FRANCISCO MUNICIPAL CODE AND ADDING SECTION 4.20.033 CONCERNING THE TRANSIENT OCCUPANCY TAX The People of the City of South San Francisco do hereby ordain as follows: SECTION 1. Chapter 4.20 of the South San Francisco Municipal Code is hereby amended to read as follows: (with text in strikeout indicating deletion and double-underlined text indicating addition): Section 4.20.030 Amended "For the privilege of occupancy in any hotel, each transient is sub. ject to anti slnall pay a general tax in tine amount of eiglnt percent of the rent charged by the operator and a special tax of one percent. The total general and special taxes imposed pursuant to tiffs Chapter shall equal nine percent of the rent charged by the operator. If a room is rented by a firm, corporation, partnership, joint venture or any other organization on a long term basis, the tax hereby imposed shall fall upon and be borne by each individual who occupies or has the fight to occupy the mom for a Period of thirty consecutive days or less. The tax constitutes a debt owed by the transient to the city which is extinguished only by payment to the operator or to the city. The transient shall pay the tax to the operator of the hotel at the time the rent is paid. If the rent is paid in installments, a proportionate share of the tax shall be paid with each installment. The unpaid tax shall be due upon the transient's ceasing to occupy space in tine hotel. If for any reason the tax due is not paid to the operator of the hotel, the tax administrator may require that such tax shall be paid directly to the tax administrator." Added Section 4.20.033: "4.20.033 There is hereby imposed a special tax upon the privilege of occupancy in any hotel. Each transient is subiect to and shall pay a special tax of one percent of the rent charged by the operator. The revenue generated by the one percent increment shall only be used for the purpose of funding parks, recreation, library and public safety services and slnall be in addition t~), and separate fi'om, the general excise tax imposed pursuant to Chapter 4.20.030. If a room is rented by a firm, corporation, partnership, ioint venture or any other organization on a lon~ term basis, the tax hereby i~nposed shall fall upon and be borne by each individual who occupies or has the right to occupy the room for a period of thirty consecutive days or less. The tax constitutes a debt owed by the transient to the city which is extinguished only by payment to the operator or to the city. The transient shall pay the tax to the operator of the hotel at the time the rent is paid. If the rent is paid in installments, a proportionate share of the tax shall be paid with each installment. The unpaid tax shall be due upon the transient's ceasing to occupy space in the hotel. If for any reason the tax due is not paid to the operator of the hotel, the tax administrator may require that such tax shall be paid directly to the tax SECTION 2. SECTION 3. SECTION 4. SECTION :5. Severability. If any provision of this ordinance orthe application thereof to any person or circumstance is held invalid, the remainder of this ordinance, including the application of such part or provision to other persons or circumstances shall not be affected thereby and shall continue in full force and effect. To this end, provisions of this ordinance are severable. The People of the City of South San Francisco hereby declare that it would have passed each section, subsection, subdivision, paragraph, sentence, clause, or phrase hereof irrespective of the fact that any one or more sections, subsections, subdivisions, paragraphs, sentences, clauses, or phrases be held unconstitutional, invalid, or unenforceable. Election Required for Tax to be Effective. The tax proposed by this ordinance shall not become effective until approved by 2/3 of the voters voting on the issue att the November 2, 2004 election. Effective Date of Tax. If this ordinance is approved by a majority of the voters voting on the issue at the November 2, :2004 election, pursuant to Elections Code Section 9217, this ordinance shall be considered adopted on that date and the tax shall become effective January 1, 2005, or no sooner than 10 days after the Council certifies the results of the election, whichever occurs later. Publication. This Ordinance shall be published once, with the names of those City Councilmembers voting for or against it, in the San Mateo County Times, a newspaper of general circulation in the City of South San Francisco, in accordance with Government Code Section 36933. Introduced at a regular meeting of the City Council of the City of South San Francisco, held the day of July 28, 2004. Adopted as an Ordinance of the City of South San Francisco at a regular meeting of the City Council held the __ day of ,2004 by the following vote: AYES: NOES: ABSTAIN: ABSENT: ATTEST: City Clerk As Mayor of the City of South San Francisco, I do hereby approve the foregoing Ordinance this __ day of __, 2004. Mayor EXHIBIT B SERVICE AGREEMENT FOR THE PROVISION OF ELECTION SERVICES BETWEEN CITY OF SOUTH SAN FRANCISCO AND SAN MATEO COUNTY ASSESSOR-COUNTY CLERK-RECORDER This agreement, entered into this __ day of ., 2004, by and between the City of South San Francisco and San Mateo County Assessor-County Clerk-Recorder (hereinafter referred to as County Clerk); WHEREAS, it is necessary and desirable that the County Clerk be retained for the purpose of conducting an election hereinafter described for the City of South San Francisco (hereinafter referred to as City); NOW, THEREFORE, IT IS HEREBY AGREED BY THE PARTIES HERETO AS FOLLOWS: SERVICES TO BE PERFORMED BY THE CITY OF SOUTH SAN FRANCISCO: 1) No later than the 88th day prior to the election the City of South San Francisco will request the Board of Supervisors through the County Clerk to conduct an election for the City of South San Francisco on November 2, 2004, and will request services of the County Clerk. This section is applicable only if additional mat~ers will be placed on the ballot, and a resolution is required. 2) The City will publish the Notice of Election and the Notice to File Declarations of Candidacy for the offices to be voted on, and/or the Notice to File Arguments For or Against any measure. 3) The City will submit to the County Clerk the titles and exact number of offices to be voted on, the names and ballot designations of the candidates for those offices, and/or the exact ballot measure wording to be voted on by the 85th day prior to the election, or by the 82nd day prior to the election if Elections Code §§ 10225, 10229, and 10407 become applicable. 4) The City Clerk will prepare and deliver to the County Clerk the ballot pamphlet information containing, as applicable, candidate statements, ballot measure, tax rate statement, impartial analysis, arguments for or against and rebuttals thereto. The last day for primary arguments (300 words) to be submitted is August 13, 2004. The last day for rebuttal arguments (250 words) and impartial analysis is August 23, 2004. 5) The City will review and sign off on the sample ballot and official ballot wording for the City's Candidates/Measures. SERVICES TO BE PERFORMED BY COUNTY CLERK: 1) The County Clerk will select the sample and official ballot printer(s) and translators. 2) The County Clerk will prepare and dehver all election information to the printers and translators. 3) The County Clerk will issue, receive and process absentee ballots. 4) The County Clerk will set up all polhng place locations, hire polhng place workers, pubhsh required notice, and conduct the election. 5) The County Clerk will prepare a Canvass of Votes Cast and submit a Certificate of County Clerk to the City of South San Francisco. 6) The County Clerk will conduct other various and miscellaneous election activities as required including but not limited to all those required of the City's Election Official, other than those described under "Services to be Performed by the City of South San Francisco". TERMS: This agreement shall be in effect for the performance of all services incident to the preparation and conduct of the election to be held on November 2; 2004. In the event the County Clerk is unable to perform services required under this Agreement, as a result of employer/employee relation conditions, vendor conditions or other conditions beyond the control of the County Clerk, the County Clerk will be relieved of all obligations under this Agreement. The County Clerk may terminate this agreement after giving 72 hours written notice and the County Clerk will be relieved of all obhgations. This agreement can be mutually terminated upon a 30 day written notice. CONSIDERATION: In consideration of the performance of services and supPhes provided by the County Clerk, the City of South San Francisco shall pay to the County Clerk a sum equal to the actual cost of such services and supphes. The City of South San Francisco shall make payment within 30 days of receipt of invoice from County Clerk. CITY: Signature: Date: Print Name: Title: COUNTY: Signature: Date: Print Name: Title: RESOLUTION OF THE CITY COUNCIL OF THE CITY OF SOUTH SAN FRANCISCO RESOLUTION A RESOI.tITION A[JT}tORIZING PLACEMENT ON THE N()VEMBER BAI,I,OT A MEASURE SEEKING VOTER AIITHORIZATI()N T() COLLECT A BIISINESS LICENSE TAX ON TH()SE ENTITLES HAVING ADVERTISING SIGNS LOCATED WITHIN THE CITY BASED UPON THE GROSS RECEIPTS OF TH()SE ENTITIES FROM REVENIJE DERIVED FROM SAID SIGNS AND AMENDIN(; TITI,E 6 OF T}tE SOIITH SAN FRANCISCO MIJNICIPAI. C()DE, BIJSINESS RE(;UI,ATI()NS, TO SPECIFY ENTITIES SI!B. IECT T() THE LICENSE REQ[IIREMENT AND ESTABi,ISI liN(; PROCEDURES F()R COI,LECTING THE B[!SINESS i,ICENSE TAX WHEREAS, pursuant to its authority under California Revenue and Taxation Code Sections 7280 et seq., the City Council of the City of South San Fr. ancisco adopted Ordinance No. 720, codified as Title 6 of the Municipal Code, which provided for the imposition and collection of a general excise tax on the privilege of operating a business within the City (a "business license tax") to be paid by owners and operators of businesses located in the City; and WHEREAS, the City Council has determined that certain business operators, because they do not have physical business addresses within the City limits, have not been subject to the existing business license tax; and WHEREAS, in order to ensure that all businesses deriving revenue from operations in the City are treated equally, the City Council has determined that amendments to Title 6 are required; and WHEREAS, the proposed amendments would impose a tax on those persons, fi~TnS, corporations or companies owning or operating off-premises advertising signs where such signs are located within the City and containing equal to or greater than 250 square feet of advertising copy; and WHEREAS, Article XIIIC, Section 2(b) of the California Constitution requires that any special tax, such as this business license tax, must be approved by a 2/3's majority vote of the voters voting on the issue of imposing the tax; and WItEREAS, the City Council of the City of South San Francisco ("the City Council) expressed its intent to impose a business license tax on billboard advertisers in the amount of eight percent (8%) of the gross receipts obtained from advertising on the billboards located in the City during the duly noticed regularly meeting held July 14, 2004; and WHEREAS, a substantial portion of the City's General Fund (as established in the City's budget for Fiscal Year 2004-2005) is used for public safety purposes (police and fire protection services) and the City Council has determined that imposing a business license tax on billboard advertisers is an effective way of preserving other vital public services such as park, library, and public safety services at or near current levels; and WHEREAS, after receiving information at its July 14, 2004 City Council meeting and prior budget workshops regarding the effects of the current economy and State budget on the City's finances and ability to fund necessary community services, and after subsequently receiving testimony from the public, the City Council determined that the public interest would be well served by asking the voters of South San Francisco to authorize a business license tax for billboard advertising in an amount equal to eight percent (8%) of the gross receipts obtained by the owner/operator roi' such advertising; and WHEREAS, given the uncertainty in the state budget, the City needs to identify revenue sources for fiscal year 2005-2006 and thereafter in order to provide continuity in public safety, library, parks and recreation services; and WHEREAS, the billboard advertisers business license tax is hereby proposed as a Special Tax with revenues derived from the increase specifically designated to fund park, recreation, public safety and library services; and WHEREAS, pursuant to Government Code Section 50075.1, the City declares that the proceeds from the special tax shall only be used for the purposes designated herein and that an account shall be created fol' the purpose of maintaining such revenues. An accounting of the funds deposited and report of all funds deposited and expended shall occur on an annual basis in accordance with the provisions of Government Code Section 50075.3; and WHEREAS, the tax imposed pursuant to this measure will be collected in accordance with the procedures established in Exhibit 1, including any references contained therein; and WHEREAS, as a Special Tax, the tax must be approved by a 2/3's majority vote; and WHEREAS, after considering the foregoing information, the Council believes that the extension of the existing business license tax to commercial billboard operators provides for a more equitable distribution of tax liability for business owners by capturing businesses that derive revenue from advertising in the City but are not subject to the existing tax because they do not have an office or facility in the City; and WHEREAS, the City Council has determined that an eight percent (8%) tax on the gross receipts of said billboard operators should be authorized by the voters of South San Francisco with implementation of the tax effective January 1, 2005; and WHEREAS, the cost of conducting the Special Election is $26,000 and will be paid out of the City Clerk's budget pursuant to the authorization contained in Resolution No.: , adopted by a 2/3 majority vote of the City Council on July 28, 2004; and WHEREAS, based on all of the information presented at the July 28, 2004 City Council meeting, both written and oral, including the staff reports, minutes, and other relevant materials (hereafter the "Record"), the City Council finds that under CEQA Guidelines 15060(c)(2); and 2 15378(b)(4), this tax does not constitute a project under CEQA and therefore review under CEQA is not required. NOW, THEREFORE, BE IT RESOLVED, as follows: 1. Call for Election. Pursuant to Elections Code § 9222, the City Council established November 2, 2004, as the date for a Special Municipal Election at which the voters of the City of South San Francisco are to decide whether to impose an additional one percent (1%) increment to the existing transient occupancy tax. The City Council has determined that it is appropriate and efficient to add a measure for the voters' consideration to authorize a business license tax for commercial billboard operators in the amount of eight percent (8%) of the gross receipts derived from advertising signs located within the City of South San Francisco. The measure shall be designated by letter by the City Clerk. Pursuant to Election Code Section 10400 et seq., the measure shall be consolidated with the City Special Municipal Election to be conducted on November 2, 2004. follows: Ballot Language. The ballot language for the proposed measure shall be as Shall the City of South San Francisco be authorized to collect a business license tax fl-om owners and operators of commercial billboards located within the City equal to eight percent (8%) of the gross receipts received from such advertising with the revenue from the tax specifically reserved for park, recreation, library and public safety services? Yes No 3. Proposed Ordinance. The ordinance authorizing a business license tax for commercial billboard operators pursuant to Section 2 is as set forth in Exhibit A attached hereto. 4. Submission of Ballot Arguments and Impartial Analysis. (a) The last day for submission of direct arguments for or against the measure shall be by 5:00 p.m. on August 13, 2004. (b) The last day for submission of rebuttal arguments for or against the measure shall be by 5:00 p.m. on August 23, 2004. (c) Direct arguments shall not exceed three hundred words and shall be signed by not more than five persons. (d) Rebuttal arguments shall not exceed two hundred fifty words and shall be signed by not more than five persons; those persons may be different persons than the persons who signed the direct arguments. (e) The City Attorney shall prepare by August 11, 2004, an impartial analysis of the measure showing the effect of the measure. [Optional] (f) The Mayor (or Councilmember .) is hereby authorized to prepare written arguments in favor of the proposed measures, not to exceed 300 words, on behalf of the City Council. The arguments may also be signed by bona fide associations or by individual voters who are eligible to vote. 5. Effective Date. This Resolution shall become effective immediately upon its passage and adoption, and the City Clerk is directed to send certified copies of this Resolution to the San Mateo County Board of Supervisors and to the County Clerk-Recorder. The Services Agreement for the Provision of Election Services between City of South San Francisco and San Mateo County Assessor-County Clerk-Recorder is attached hereto as Exhibit B. I hereby certify that the foregoing Resolution was regularly introduced and adopted by the City Council of the City of South San Francisco at a meeting held on the __ day of ., 2004 by the following vote: AYES: NOES: ABSTAIN: ABSENT: ATTEST: City Clerk S:\Current Reso's\7-28-04billboard.res.DOC 4 EXHIBIT A ORDINANCE NO. AN ORDINANCE OF THE PEOPLE OF THE CITY OF SOUTH SAN FRANCISCO AMENDING TITLE 6 OF THE SOUTH SAN FRANCISCO MUNICIPAL CODE TO ADD CHAPTER 6.16.048 IMPOSING A BUISNESS LICENSE TAX ON COMMERCIAL BILLBOARD ADVERSTISERS OPERATING WITHIN THE CITY OF SOUTH SAN FRANCISCO The People of the City of South San Francisco do hereby ordain as follows: SECTION 1. Title 6 is hereby amended to read as follows: New Section: "Chapter 6.16.048, Commercial Billboard Advertising (a) Commercial Billboard Advertising Defined. For purposes of this section only, "commercial billboard" means any sign which advertises goods, products, services or facilities not sold on the premises upon which the sign is located ("off premises signs"). Nothing contained in this section sball be deemed or construed as applying to the owners of real estate or their agents in advertising their property for sale or lease by means of billboards or advertising sign boards situated upon the property advertised for sale or lease by such billboards or advertising signs. (b) "Operator" means any person, company or corporation who, as owner, lessee, employee, agent or otherwise, operates, maintains, manages, keeps, permits or allows to be operated, maintained, managed or kept any commercial billboard in or upon any premises owned, leased, managed, operated or controlled by such"person within the city. (c) Regulated Billboards. Those off-premises signs that have an advertising area equal to or greater than 250 square feet in copy. The size of 250 square feet minimum shall apply to the size of the entire advertising face of one billboard, even if that billboard face may be divided into smaller portions for smaller advertising. (d) Exempt signs: Those signs that are erected for less than 60 days and in connection with a not-for-profit event. (e) The license tax shall be paid to the City by the billboard operator. The license tax payable by operator shall be eight percent of the gross receipts received by the operator fi'om the sale, lease, or rental of advertising space on the regulated billboards located within South San Francisco without deduction therefi'om. (f) Tax shall be remitted by billboard operator to the City on a quarterly basis, and shall be due to the City within 30 days after the close of a calendar quarter, i.e., within 30 days after: March 31, June 30, September 30, and December 31st each year. City may request backup revenue documentation fi-om operator sufficient to support the tax payments by operator." SECTION 2. SECTION 3. SECTION 4. SECTION 5. Severabilit¥. If any provision of this ordinance or the application thereof to any person or circumstance is held invalid, the remainder of this ordinance, including the application of such part or provision to other persons or circumstances shall not be affected thereby and shall continue in full force and effect. To this end, provisions of this ordinance are severable. The People of the City of South San Francisco hereby declare that it would have passed each section, subsection, subdivision, paragraph, sentence, clause, or phrase hereof irrespective of the fact that any one or more sections, subsections, subdivisions, paragraphs, sentences, clauses, or phrases be held unconstitutional, invalid, or unenforceable. Election Required for Tax to be Effective. The tax proposed by this ordinance shall not becmne effective until approved by 2/3 of the voters voting on the issue at the November 2, 2004 election. Effective Date of Tax. If this ordinance is approved by a majority of the voters voting on the issue at the November 2, 2004 election, pursuant to Elections Code Section 9217, this ordinance shall be considered adopted on that date and the tax shall become effective January 1, 2005, or no sooner than 10 days after the Council certifies the results of the election, whichever occurs later. Publication. This Ordinance shall be published once, with the names of those City Councilmembers voting for or against it, in the San Mateo County Times, a newspaper of general circulation in the City of South San Francisco, in accordance with Government Code Section 36933. 2 Introduced at a regular meeting of tine City Council of the City of South San Francisco, held the day of July 28, 2004. Adopted as an Ordinance of the City of South San Francisco at a regular meeting of fine City Council held the __ day of__, 2004 by the following vote: AYES: NOES: ABSTAIN: ABSENT: ATTEST: City Clerk As Mayor of the City of South San Francisco, I do hereby approve tine foregoing Ordinance this __ day of __, 2004. Mayor EXHIBIT B SERVICE AGREEMENT FOR THE PROVISION OF ELECTION SERVICES BETWEEN CITY OF SOUTH SAN FRANCISCO AND SAN MATEO COUNTY ASSESSOR-COUNTY CLERK-RECORDER This agreement, entered into this __ day of ,2004, by and between the City of South San Francisco and San Mateo County Assessor-County Clerk-Recorder (hereinafter referred to as County Clerk); WHEREAS, it is necessary and desirable that the County Clerk be retained for the purpose of conducting an election hereinafter described for the City of South San Francisco (hereinafter referred to as City); NoW, THEREFORE, IT IS HEREBY AGREED BY THE PARTIES HERETO AS FOLLOWS: SERVICES TO BE PERFORMED BY THE CITY OF SOUTH SAN FRANCISCO: 1) No later than the 88th day prior to the election the City of South San Francisco will request the Board of Supervisors through the County Clerk to conduct an election for the City of South San Francisco on November 2, 2004, and will request services of the County Clerk. This section is apphcable only if additional matl~ers will be placed on the ballot, and a resolution is required. 2) The City will pubhsh the Notice of Election and the Notice to File Declarations of Candidacy for the offices to be voted on, and/or the Notice to File Arguments For or Against any measure. 3) The City will submit to the County Clerk the titles and exact number of offices to be voted on, the names and ballot designations of the candidates for those offices, and/or the exact ballot measure wording to be voted on by the 85th day prior to the election, or by the 82nd day prior to the election if Elections Code §§ 10225, 10229, and 10407 become apphcable. 4) The City Clerk will prepare and deliver to the County Clerk the ballot pamphlet information containing, as applicable, candidate statements, ballot measure, tax rate statement, impartial analysis, arguments for or against and rebuttals thereto. The last day for primary arguments (300 words) to be submitted is August 13, 2004. The last day for rebuttal arguments (250 words) and impartial analysis is August 23, 2004. 5) The City will review and sign off on the sample ballot and official ballot wording for the City's Candidates/Measures. SERVICES TO BE PERFORMED BY COUNTY CLERK: 1) The County Clerk will select the sample and official ballot printer(s) and translators. 2) The County Clerk will prepare and dehver all election information to the printers and translators. 3) The County Clerk will issue, receive and process absentee ballots. 4) The County Clerk will set up all polhng place locations, hire polling place workers, pubhsh required notice, and conduct the election. 5) The County Clerk will prepare a Canvass of Votes Cast and submit a Certificate of County Clerk to the City of South San Francisco. 6) The County Clerk will conduct other various and miscellaneous election activities as required including but not limited to all those required of the City's Election Official, other than those described under "Services to be Performed by the City of South San Francisco". .TERMS: This agreement shall be in effect for the performance of all services incident to the preparation and conduct of the electior[ to be held on November 2~ 2004. In the event the County Clerk is unable to perform services required under this Agreement, as a result of employer/employee relation conditions, vendor conditions or other conditions beyond the control of the County Clerk, the County Clerk will be relieved of all obhgations under this Agreement. The County Clerk may terminate this agreement after giving 72 hours written notice and the County Clerk will be relieved of all obligations. This agreement can be mutually terminated upon a 30 day written notice. CONSIDERATION: In consideration of the performance of services and supplies provided by the County Clerk, the City of South San Francisco shall pay to the County Clerk a sum equal to the actual cost of such services and supphes. The City of South San Francisco shall, make payment within 30 days of receipt of invoice from County Clerk. CITY: Signature: Date: Print Name: Title: COUNTY: Signature: Date: Print Name: Title: AGENDA ITEM NO. 8 DATE: TO: FROM: SUBJECT: July 28, 2004 Honorable Mayor and City Council Mark Raffaelli, Chief of Police BART PREFERRED PARKING PROGRAM RECOMMENDATION It is recommended that City Council consider adopting a motion to suspend or modify the current preferred parking plan that was instituted a year ago in anticipation of BART riders parking in the neighborhoods adjacent to the South San Francisco station to avoid paying the fee to park on BART property. BACKGROUND/DISCUS SION In June of 2003 the BART station in our city opened and charged a parking fee of $2.00 per day. In anticipation of the impact to the adjoining neighborhoods, City Council adopted an ordinance authorizing a preferred parking program for Buri Buff, Promenade and Sunshine Gardens. The purpose was to prevent BART riders from parking in those neighborhoods and creating a negative impact on the residents' quality of life. Although the BART parking structure was never full, riders parked on the city streets to avoid paying the $2.00 parking fee. In February of 2004 BART reduced the parking fee to $1.00, and in April the fee was eliminated for the South San Francisco, San Bruno and Millbrae stations. The fees remained in place for the Daly City and Colma Stations. However, the fee to ride BART is 50 cents less at those stations. Since the elimination of the parking fee, the Daly City and Colma stations showed a weekly decrease of 2,200 riders; and the South San Francisco station increased its weekly rider-ship by 3,500. Millbrae and San Bruno also showed increases but not as great. During the week, the parking structure has about 80 open spaces on the top floor. The bottom floor, which is for monthly reserved parking, is at about 10% of its capacity; and the reserved exterior lots are at approximately 35%. A spokesperson for BART has informed us that there are no immediate plans to institute a parking fee but that preparations are in place for opening an unknown number of the reserved parking spaces for general parking. Currently, the South San Francisco BART station has 519 reserved spaces; and even if BART only released half of those spaces, it should provide sufficient parking for the immediate future. Staff Report Subject: BART PREFERRED PARKING PROGRAM Page 2 The number of citations given in the neighborhoods surrounding BART has decreased considerably, and those who were cited were primarily students attending E1 Camino High School or friends of residents visiting the area. Originally, we were passing through the areas twice a day; however, as of two months ago, we reduced our inspections to once a day and deployed our resources to address other parking issues in the city. Since our meetings with the residents of the affected neighborhoods, we have suspended enforcement until a decision is made. As a result of the cancellation of the BART parking fees, some of the residents in the preferred parking areas have requested we lift the parking restrictions because there are enough parking spaces in the structure, and the need for street parking in no longer a threat. In order to better assess the community needs, Council directed the police department to meet with the affected residents. Notices were hand delivered to each of the 700 plus homes that are in the preferred parking neighborhoods. We attached a survey for those residents who would be unable to attend the meeting requesting they respond to the following: 1) Keep the permit parking; 2) Eliminate it; or 3) Modify it. We also asked for comments. They were given the option of mailing the survey or e-mailing their responses to us. We received 79 responses. Attendance at the meetings was lower than anticipated: 10 residents were present at the Buri Bud and Promenade meeting and only 8 attended the Sunshine Gardens meeting. On July 12, 2004, a resident of San Felipe submitted the names of six (6) San Felipe neighbors and two (2) Camaritas residents that want the signs to remain. One neighbor wanted it modified. These numbers are reflected in the totals shown on the following chart. Sunshine Gardens 17 7 4 Buri Buri 17 18 2 Promenade 13 I 0 Comments: Sunshine "~'~ -"' (3) Keeps the junk cars off the street and the streets are cleaner (1) There is a place to park in front of the home (5) Keeps the students from parking on the streets (1) Inconvenient to have visitors (2) Like the streets being patrolled (1) High school students speeding on residential blocks has decreased Buri-Buri: (5) (6) Keeps the jumk cars, RVs, boats and basketball hoops off the streets Inconvenient, visitors get cited Staff Report Subject: BART PREFERRED PARKING PROGRAM Page 3 Promenade: (1) Keeps Greenridge residents overflow from parking on Freesia (3) Will keep overcrowding with the new development off the city streets (3) BART's no fee policy will not be forever (1) With extended families, the plan is forcing them to use their garages (1) Like the added patrol Attached is a map indicating where those who responded reside. Their preference is noted on their address. CONCLUSION The initial purpose of the plan was to address parking problems that were anticipated by the BART riders on the neighborhoods. If we used that as our foundation, with the elimination of the BART parking problem, the plan should be suspended. However, we wanted Council to be aware of the unexpected benefits resulting from the preferred parking plan that have enhanced the quality of life in the neighborhoods. In light of this, I would like to remind Council that other areas of town have made inquiries for preferred parking for the same reasons given in the survey above. Should council choose to keep the preferred parking on certain streets, other neighborhoods may also want it. Needless to say, adding other neighborhoods would be costly. The rationale to keep or modify the current plan is that we have already established a program in the neighborhoods surrounding BART, which would be needed to be put into effect should rider-ship increase and parking fees added. Should council choose to suspend or modify the plan, we would recommend leaving the sign poles in place and posting other signage on the poles (cost of the signs would depend on the type and would range between $500 to $1,500). If BART riders begin to park in the neighborhoods in the future, we could easily repost the preferred parking signs and activate the plan. Based on the low number of responses we received, any modification of the plan would be, at best, a guess/~d may or may not cause a reaction from the residents. Freesia Drive and some of the streets adj a~eht to E1 Camino High School are the only areas impaired by individuals who do not live in the neighborhood. By ~Vlaric lk/affa~elld/ / Chief of Police Michael A. Wilson City Manager Attachment: Map LEGEND: K - Keep C - Cancel M - Modify Colma Holy Cross Cemetery South San Francisco Corp. and/or its suppliers. P41 ri~lhts resen/ed. '"., ~S a n Franoisco ',, Kaiser Permanente-S '",-. ~'S~_n Francisco San Mateo Municipal Court-Northern StaffReport AGENDA ITEM NO. 9 DATE: TO: FROM: SUBJECT: July 28, 2004 The Honorable Mayor and City Council Marty Van Duyn, Assistant City Manager CAPITAL IMPROVEMENT PROGRAM FISCAL YEAR 2004-2005 RECOMMENDATION: It is recommended that the City Council adopt a resolution approving the Capital Improvement Program (CIP) for Fiscal Year 2004-2005 including approving plans and specifications for CIP projects and approval to advertise for construction bids, when the plans and specifications are completed. BACKGROUND/DISCUSSION: The Capital Improvement Program (CIP) outlines the infrastructure improvements throughout the community. The program is the result of collaboration among various departments outlining the needed improvements and the priority for implementation of these projects. The program funding will only include this fiscal year and the projects in the future years will be appropriated in the future budget cycle. The Planning Commission has reviewed this program and has adopted a resolution finding the CIP consistent with the General Plan. The total CIP budget for this fiscal year, including prior appropriation, will be $67,759,118. The CIP continues improvement of the City streets, storm drains, traffic, sanitary sewers, facilities and parks. New Projects for this year include: · The annual Street Resurfacing Program. · Slurry sealing of various City streets. · Oak Avenue Extension. · E1 Cortez Drive Improvements. · New Fire Station No. 61. Staff Report SUBJECT: CAPITAL IMPROVEMENT PROGRAM FISCAL YEAR 2004-2005 Page 2 Upon adoption of the Capital Improvement Program, Council is also approving the plans and specifications for projects within this program and authorizing the solicitation of construction bids. FUNDING: The total CI? budget for this fiscal year will be $67,759,118 of which $ 44,823,695 is in prior year appropriation and $22,935,423 is in new appropriation. The new appropriation of $22,935,423 will consist of: Capital Improvement (General Fund) $ 237,500 Grants $ 195,759 Redevelopment (Tax Increment) $ 9,717,500 Bonds $ 8,697,638 Developer Fees $ 567,000 Gas Tax $ 511,000 Measure A $ 1,186,000 Sewer Fund $ 1,302,626 Other* $ 520,400 TOTAL $22,935,423 *Other Funding consists of $50,000 for traffic signal emergency pre-empts, $170,400 for voice mail and Police/Fire Computer Aided Dispatch/Record Management System upgrades, and $300,000 for new City parking lot. By: Marry Van Duyn Assistant City Manager Approved b~ ~t ~ '~hae~ A. Wil/n"ff City Manager Enclosure: -Resolution -Memo from Dave Woo, Revision to the Five-Year Capital Improvement Program FY 2004-2005 -FY 2004-05 Capital Improvement Program G:\CIP 04-05\City Council Staff Report.doc RESOLUTION NO. CITY COUNCfL, CITY OF SOUTH SAN FRANCISCO, STATE OF CALff;'ORNIA A RES()I,I ITI()N APPROVING THE CAPITAL IMPR()VEMENT PROGRAM FOR FISCAL YEAR 2004-2005 AND APPROVING PIA~NS AND SPECIFICATIONS F()R PROJECTS IJNDER THIS PROGRAM WHEREAS, upon adoption of the Capital Improvement Program, Council is also approving the plans and specifications for projects within this program and authorizing the solicitation of construction bids; and WHEREAS, the total Capital Improvement Program budget for this fiscal year will be $67,759,118 of which $44,823.695 is in prior year appropriation and $22,935.423 is in new appropriation; and WHEREAS, the new appropriation of $22,935,423 will consist of: · Capital Improvement (General Fund) $ 237,500.00 · Grants $ 195,759.00 · Redevelopment (Tax Increment) $ 9,717,500.00 · Bonds $ 8,697,638.00 · Developer Fees $ 567,000.00 · Gas Tax $ 511,000.00 · Measure A $1,186,000.00 · SewerFund $1,302,626.00 TOTAL $22,935,423.00 NOW, THEREFORE, BE IT RESOLVED by the City Council of the City of South San Francisco that the City Council hereby approves the Capital Improvement Program for Fiscal Year 2004-2005 and approves plans and specifications for projects under this program. BE IT FURTHER RESOLVED that Council approves the plans and specifications for projects within this program and authorizes the solicitation of constrU~:tion bids. I hereby certify that the foregoing Resolution was regularly introduced and adopted by the City Council of the City of South San Francisco at a meeting held on the __ day of ,2004 by tine following vote: AYES: NOES: ABSTAIN: ABSENT: ATTEST: S:\Currcnt I>,eso's\7-28-04capital.imp.program.year.res.doc City Clerk CITY OF SOUTH SAN FRANCISCO FINANCE DEPARTMENT Memo To: CC: From: Date: Re: City Council via City Manager Assistant City Managers, Director of Finance, City Treasurer, City Attorney, Executive Staff Assistant Director of Finance ~.~.¢'2.--¢,---~._ July 28, 2004 Revisions to the Five-Year Capital Improvement Program FY 2004-2005 Document Attached is a three-page insert containing changes to the Five-Year Capital Improvement Program FY 2004-2005 document presented to the City Council this evening. The revisions incorporate a change in funding sources for the new City parking lot, a rollover of the existing capital budget for this parking lot, and the addition of a project to perform site remediation on the parcel at 27 South Linden Avenue. Attachments · Page 1 CITY OF SOUTH SAN FRANCISCO FY 2004-2005 CAPITAL IMPROVEMENT PROGRAM Amount % of Total Streets $4,275,000 18.6% Storm Drains $280,000 1.2% Sanitary Sewer $10,484,264 45.7% Public Facilities $6,623,000 28.9% Parks $497,000 2.2% Traffic $355,000 1.5% Information Technology $421,159 1.8% Amount % of Total Capital Improvement (General Fund) $237,500 1.0% Grants $195,759 0.9% Redevelopment (Tax Increment) $9,717,500 42.4% Bonds $8,697,638 37.9% Developer Fees $567,000 2.5% Gas Tax $511,000 2.2% Measure A $1,186,000 5.2% Sewer Fund $1,302,626 5.7% ;Other $520,400 2.3% Amount % of Total Streets $6,459,577 9.5% Storm Drains $575,000 0.8% Sanitary Sewer $44,213,005 65.3% Public Facilities $12,846,632 19.0% Parks $733,450 1.1% Traffic $997,000 1.5% Information Technology $746,854 1.1% Aircraft Noise Insulation Program $1,187,600 1.8% * Total Appropriation includes new appropriation for FY 2004-05 plus estimated carryover available funding from prior years. PUBLIC FACILITIES - PROJECT DESCRIPTIONS ITEM NO. 18 - NEW FIRE STATION NO. 61, ADMINISTRATION OFFICES AND TRAINING FACILITY THIS PROJECT WILL RENOVATE THE FACILITY ACQUIRED AT THE INTERSECTION OF NORTH CANAL STREET AND SOUTH SPRUCE AVENUE FOR FIRE STATION 61, ADMINISTRATION OFFICES AND A TRAINING FACILITY. ITEM NO. 19 - WESTBOROUGH RECREATION CENTER HVAC INSTALLATION THiS PROJECT WILL INSTALL AIR CONDITIONING AT THE WESTBOROUGH CENTER TO KEEP THE BUILDING IN A MORE HABITABLE CONDITION FOR THE VARIOUS USES. ITEM NO. 20 - CITYWIDE SPACE ANALYSIS THIS PROJECT WILL STUDY THE SPACE REQUIREMENTS FOR ALL CITY DEPARTMENTS. ITEM NO. 21 - NEW LIBRARY THIS PROJECT WILL CONSTRUCT A NEW LIBRARY TO ADEQUATELY SUPPORT THE NEEDS OF THE COMMUNITY. ITEM NO. 22 - NEW CITY PARKING LOT THIS PROJECT WILL PURCHASE THE PROPERTY, DEMOLISH THE EXISTING BUILDINGS AND CONVERT 178-190 AIRPORT BOULEVARD TO A CITY PARKING LOT. ITEM NO. 23 - SITE REMEDIATION AT 27 SOUTH LINDEN AVENUE THIS PROJECT WILL PERFORM AN ENVIRONMENTAL CLEAN UP OF THE LOT AT 27 SOUTH LINDEN. ENGINEERING DIVISION FISCAL YEAR 2004-2005 Page 3 - Public Facilities CAPITAL IMPROVEMENT PROGRAM PUBLIC FACILITIES 1 2 3 4 5 6 7 8 9 10 FUNDING PRIOR AVAILABLE FY 04-05 FY 05-06 FY 06-07 FY 07-08 FY 08-09 METHOD ITEM NO. PROJECT NAME & NUMBER PROJECT COSTS 18 NEW FIRE STATION NO. 61, ADMINISTRATION 1,000,000 OFFICES AND TRAINING FACILITY (51-13232-9921 ) 19 WESTBOROUGH RECREATION CENTER HVAC 100,000 INSTALLATION 20 CITYWlDE SPACE ANALYSIS 21 NEW LIBRARY 22 NEW CITY PARKING LOT 1,002,000 23 SITE REMEDIATION AT 27 SOUTH LINDEN AVENUE 75,000 75,000 30,000,000 YEAR PRIOR YEAR APPROPRIATI ~DA 5,000,000 0 FBD TBD TBD ;PD 702,000 702,000 PD/RDA RDA PAGE SUBTOTAL 2,077,000 175,000 0 0 30,000,000 5,702,000 702,000 11 ON TOTAL 12,846,632 2,519,000 409,000 659,000 30,584,000 13,946,832 CI=CAPITALIMPROVEMENTFUNDS DP= DEVELOPER FEES SB=SAN BRUNO SHARE SWRP=SOLD WASTE REDUCTION PROGRAM GR = GRANTS TIF = TRAFFIC IMPACT FEE SW = STORM WATER FUND B = BONDS MA=MEASUREA GT = GAS TAX CS=CITYSERVICESFUND GTW =GATEWAYASSESSMENT RDA = REDEVELOPMENT AGENCY SE = SEWER ENTERPRISE FUND PD = PARKING DISTRICT PROP 12 = PROPOSITION 12 GRANT FUNDING g:/cip 04-05/form_cip-fy 04-05 CITY OF SOUTH SAN FRANCISCO FIVE YEAR CAPITAL IMPROVEMENT PROGRAM FY 2004- 2005 July 28, 2004 TABLE OF CONTENTS PAGE CITY COUNCIL RESOLUTION PLANNING COMMISSION RESOLUTION SUMMARIES: APPROPRIATION CHARTS APPROPRIATION TABLES PROJECT DESCRIPTION AND NOTES PROGRAM DETAIL: STREETS RAILROAD CROSSINGS STORM DRAINS SANITARY SEWERS PUBLIC FACILITIES PARKS TRAFFIC SIGNALS INFORMATION TECHNOLOGY AIRCRAFT NOISE INSULATION PROGRAM 1 2 3 4-27 28 SEE TABS A RESOLUTION NO. ,__ CITY COUNCIL, CITY OF SOUTH SAN FRANCISCO, STATE OF CALIFORNIA RESOLUTION APPROVING THE CAPITAL IMPROVEMENT PROGRAM BUDGET FOR FISCAL YEAR 2004-2005 WHEREAS, the total Capital Improvement Program budget for fiscal 2004-2005 will be $ 66,982,118 of which $ 44,121,695 in prior year appropriations and $ 22,860,423 is in new appropriations; and WHEREAS, the new appropriation of $ 22,860,423 will consist of: is Bonds Grants Capital Improvement (General Fund) Developer Fees Gas Tax Measure A Redevelopment (Tax Increment) Sewer Fund Others TOTAL $8,697,638.00 $195,759.00 $237,500.00 $567,OO0.00 $511,000.00 $1,186,000.00 $9,942,500.00 $1,302,626.00 $220,400.00 $22,860,423.00 NOW, THEREFORE, BE IT RESOLVED by the City Council of the City of approves the Capital Improvement Program budget for fiscal year 2004-2005. South San Francisco the City Council hereby I hereby certify that the foregoing Resolution was regularly introduced and adopted by the City Council of the City of South San Francisco at a regular meeting held on the __ day of by the following vote: AYES: NOES: None. ABSTAIN: None. ABSENT: None. ATTEST: /s/Sylvia M. Payne City Clerk RESOI,UTION NO. 2637 RESOIJUTION OF THE CITY OF SOUTH SAN FRANCISCO PLANNING COMMISSION DETERMINING THAT THE PROPOSED 2004-2005 CAPITAi~ IMPROVEMENT PROGRAM IS CONSISTENT WITIt TIlE CITY'S GENERAL PLAN WHEREAS, the Stale of California Plamfing and Zoning Law requires the Planning Commission to review the Capital hnprovement Program each year and make a determination that it is consistent with the City's General Plan; and WHEREAS, the Planning Commission reviewed the Capital Improvement Program at its regular meeting held on and finds it consistent with all applicable City goals, objectives, policies and programs for the General Plan. NOW, THEREFORE BE IT RESOLVED by the Planning commission of the City of South San Francisco that it hereby has determined that the Proposed Capital hnprovement Program for 2004-2005 is consistent with the South San Francisco General Plan. AYES: Commissioner Giusti, Commissioner Honan, Commissioner Romero, Commissioner Sim, Commissioner Zemke and Chairperson Ochsenhirt NOES: None ABSTAIN: None ABSENT: Vice Chairperson Teglia ATTEST: /s/Thomas C. Sparks Commission Secretary Thomas C. Sparks CITY OF SOUTH SAN FRANCISCO FY 2004-2005 CAPITAL IMPROVEMENT PROGRAM : New AppropHatioh BY ProgTam ! Project Type Amount % of Total Streets $4,275,000 18.7% Storm Drains $280,000 1.2% Sanitary Sewer $10,484,264 45.9% Public Facilities $6,548,000 28.6% Parks $497,000 2.2% Traffic $355,000 1.6% Information Technology $421,159 1.8% · TOtal Appro~i~fi6~ By program / P~oje~t:Type * Amount % of Total Capital Improvement (General Fund) $237,500 1.0% Grants $195,759 0.9% Redevelopment (Tax Increment) $9,942,500 43.5% Bonds $8,697,638 38.0% Developer Fees $567,000 2.5% Gas Tax $511,000 2.2% Measure A $1,186,000 5.2% Sewer Fund $1,302,626 5.7% Other $220,400 1.0% Amount % of Total Streets $6,459,577 9.6% Storm Drains $575,000 0.9% Sanitary Sewer $44,213,005 66.0% Public Facilities $12,069,632 18.0% Parks $733,450 1.1% Traffic $997,000 1.5% Information Technology $746,854 1.1% Aircraft Noise Insulation Program $1,187,600 1.8% * Total Appropriation includes new appropriation for FY 2004-05 plus estimated carryover available funding from prior years. NEW APPROPRIATIONS BY FUNDING SOURCE FY 2004-2005 F U N D I N G S O U R C E Capital Impr. Redevelopment Bonds/ Developer Sewer Slorm PROJECT NAME (General Fund) Grants (Tax Increment) Loans Fees Gas Tax Measure A Enterprise Water Other Total STREETS ANNUAL SIDEWALK REPAIR PROGRAM 25,000 ...... 25,000 COMMON GREENS SIDEWALK REPAIR PROGRAM - - _ - ...... DEL MONTE AVE REHABILITATION - _ 50,0OO 50,000 ___ - - ._~1_O0,0~0~._ EAST GRAND / DUBUQUE INTERSECTION - _ EL CORTEZ DRIVE IMPROVEMENTS 100,O00 100,0OO GREENDALE AVENUE REHABILITATION - - GUARD RAIL INSTALLATIONS .... 50,000 50,0~O~ HUNTINGTON AVE RESURFACING PROJ MITCHELL AVENUE REHABILITATION OAK AVENUE EXTENSION - - 2,000,0_0--0 - - __._ -~ - _ - 2,000,000 PAVEMENT MANAGEMENT UPDATE - - 20,000 - 20,000 PINEHURST WAY REHABILITATION STREET RESURFACING P_ROGRAM, 2004-2005 ...... 200,000 380,000 -___ 580,000 SOUTH LINDEN AVE GRADE SEPARATION STREET SLURRY SEAL, 2004-2005 300,000 300,000 US 101 FLYOVER TO OYSTER POINT BLVD - - US 101 OFF RAMP AND HOOK RAM_.P~S - - 1,000,000 1 ,_000,000 WESTBOROUGH STREET LIGHTS UPGRADE 100,000 100,000 WEST ORANGE AVE INTERSECTION IMPR 2 025 000 i,000,000 . 900,000 ~ - 4,275,0gO RAILROAD CROSSINGS GATEWAY BLVD RAILROAD CROSSING ToTAL~AILROAD cROssINGS - .. I~ -i i :;:~ - . STORM DRAINS ARCH CULVERT REPLACEMENT AVALON DRIVE STORM DRAIN - 55,000~ - 55,000 BEACON STREET STORM DRAIN - - 150,000 - - 150,000 MISCELLANEOUS STORM DRAIN REPAIR ..... STORM DRAIN MASTER PLAN / IMPLEMENTATION SWIFT AVENUE / MICHELLE COURT STORM DRAIN 75,000 75,000 . ~O~ STORM DRAINS : .- 280,000 ~ 280,000 SANITARY SEWER "A" STREET SANITARY SEWER - __ - 100,000 __. 100,000 AIRPORT BLVD SEWER BYPASS, WET WEATHER, PH II 509,638 56,626 566,264 BLOWER BUILDING AIR CONDITIONING SYSTEM - CALIFORNIA AVE SEWER REPAIR - 100,000 100,0~ EAST HARRIS SEWER REPAIR - - EAST OF 101 SEWER IMPR._, PH I/PRIOR I (WW, PH IV) ....... - FRANCISCO DRIVE SEWER - 75,000 - 75,0(~ LiNDENVILLE IMPROVEMENTS, WET~NEATHER, PH IV 6,603,000 730,000 7.333,000~ MANHOLE REPAIR PROGRAM - _ OUTFALL REPAIR PROJECT 100,000 100,000 ~=UMP STATION #3 & SWIFT AVE SEWER IMPROV. 1,500,000 '-- -_ 1,500,000 =UMP STATION RENOVATION - SANITARY SEWER INSPECTION PROGRAM __ - __- SEISMIC UPGRADE OF WQCP & PUMP STA., WW, PH II - 495,000 ~- 55,000 550~0~3-0. STRUCTURAL REPAIR / SEWER REHAB IMPROV. - - - - WATER QUALITY CONTROL PLANT EXPANSION WET WEATHER PROGRAM,_PHASE I __ WINSTON MANOR SEWER, WET WEATHER, PH II - 90,000 - 10,00~" 100,000 ; ~O'rAL SANITARy SEWER . 1.500,O00 7,697,638 ~ 1,286,626 10,~,264 NEW APPROPRIATIONS BY FUNDING SOURCE FY 2004-2005 F U N D I N G S O U R C E Capital Impr. Redevelopment Bonds/ Developer Sewer Storm PROJECT NAME (General Fund) Grants (Tax Increment) Loans Fees Gas Tax Measure A Enterprise Water Other Total PUBLIC FACILITIES AGENCY BUILDING IMPROVEMENTS ..... BICYCLE LOCKERS REHAB PROGRAM - CAPITAL IMPROVEMENT PROGRAM STUDY 6,000 6,000 6,000 18,000 CITY FACILITY / BUILDING MAINTENANCE 50, _O0~ ..... - 50,000 CITY HALL ANNEX EXPANSION CITY-WIDE SPACE ANALYSIS .... DAY CARE FACILITY .... _ __ EMERGENCY GENERATOR REPL ./UPGRADE 10,000 - .__ 10,000 20,000 FIRE STATION 65 EXTERIOR REPAIRS - HILTON HOTEL SITE REMEDIATION INSTALL ADA IMPROVEMENTS AT CITY BUILDINGS 12,500 37,500 50,000 MISCELLANEOUS LAND ACQUISITION 3,500,000 -__ __ 3,500,000 MSB WALL LEAKS NEW CITY PARKING LOT 300,000 300,000 NEW LIBRARY NEW FIRE STAT NO. 61, ADMIN OFF & TRAINING FAC - 1,000,000 1,000,000 OYSTER POINT MARINA REMEDIATION PAINTING OF CITY BUILDINGS 50,000 - 50,000 ROOF INSTALLATION 60,000 60,000 SAN MATEO COUNTY HOUSING PROJECT 1,500,000 1,500,000 TRAIN STATION STUDY WESTBOROUGH REC CENTER HVAC INSTALLATION - - ~OTAL PUBLIC FACiLITiES 182,500 - I 6,337,500 ~ : 6,000 6,000 16,000 - ~ 6,548,000 PARKS COMMON GREENS IRRIGATION REPAIR PROGRAM C_O~MM~ON~G_R_EE__NS TREE REMEDIATION ........... EL CAMINO REAL CORRIDOR IMPROVEMENTS - - 80,000 ...... _ _ 80,000 GATEWAY BLVD ISLAND IMPROVEMENTS ...... LINEAR PARK TRAIL 417,000 417,000_ VARIOUS CIT_Y~G_R_E_E_ N S~P~O_T_S ...................... - - -_ ..... WESTBOROUGH LANDSCAPE IMPROVEMENT , TOTAL PARKS - 80,000 417,000 497,000! TRAFFIC AIRPORT BLVD & GRAND AVE AIRPORT BLVD & MILLER AVE AIRPORT BLVD & SAN MATEO AVE BAYSHORE/AIR PORT/SISTER CITIES BICYCLE DETECTION LOOPS - CITY-WIDE TRAFFIC MODEL ___ 40,000 - 40,000 ECCLES AVE & OYSTER POINT BLVD DUBUQUE AVE & EAST GRAND AVE DUBUQUE AVE / OYSTER POINT BLVD EL CAMINO REAL / ARLINGTON DR SIGNAL FORBES BLVD / EAST GRAND AVE FORBES BLVD / ECCLES AVE TRAFFIC SIGNAL GATEWAY BLVD & EAST GRAND TRAFFIC IMPR - GRANDVIEW DRIVE / GRAND AVE SIGNAL GULL DRIVE & OYSTER POINT BLVD GRAND / EAST GRAND HARBOR WAY HICKEY BLVD INTERCONNECT - 45,000 45,000 HIGHWAY 101 / PRODUCE SIGNAL LINDEN / PINE TRAFFIC SIGNAL - __ MISCELLANEOUS TRAFFIC IMPROVEMENTS - _ - __ - ____ 40,000_ - - - 40,000 NEW APPROPRIATIONS BY FUNDING SOURCE FY 2004-2005 F U N D I N G S O U R C E -- Capital Impr. Redevelopment Bo~ds/ Developer Sewer Storm PROJECT NAME (General Fund) Grants (Tax increment) Loans Fees Gas Tax Measure A Enterprise Water Other Total MITCHELL AVENUE MUTCD UPDATE OPTICOM SYSTEM 50,000 50,000 SIGN INVENTORY SOUTH AIRPORT BLVD HOOK RAMP SOUTH AIRPORT BLVD/MITCHELL AVE/GATEWAY BLVD SOUTH AIRPORT BLVD/UTAH AVE WESTBOROUGH BLVD/GELLERT & OLYMPIC DR IMPR 150,000 30,000 180,000 TOT~ TRAFFIC, , . ~ 150,000 155,000 - . 50,000 355,000 INFORMATION TECHNOLOGY DISASTER RECOVERY PLANNING/PURCHASE 30,000 - ___ 30,000 FIBER NETWORK (MFIS) FINANCIAL / HUMAN RESOURCES SOFTWARE - _ ...... - GEOGRAPHICAL INFORMATION SYSTEMS, PHASE I - - INTRANET - WES PROJECT 10,000 ~,000 LASER FICHE, PHASE II 15,000 15,000 PERMITTING PROJECT, I~& D ...... - UPGRADE CITY VOICE MAIL SYSTEM 25,000 25,000 POLICE CAD/RMS AND FIRE RMS UPGRADE 195,759 145,400 341,159 AIRCRAFT NOISE INSULATION PROGRAM (ANIP) PHASE XVIII ...... TOTAL ANiP ' GRAND I'OTAEi : : 237~_500~ i95,759 9,942i500 ~6~97i638 567 000 51ii000 1~186~000 1~302~626 - 220,~4~O0 22~ _86~_,4~2_3~ TOTAL APPROPRIATIONS BY FUNDING SOURCE Available from Prior Years Plus FY 2004-2005 Appropriations F U N D I N G S O U R C E Capital Impr. Redevelopment Bonds/ Developer Sewer Storm PROJECT NAME (General Fund) Grants (Tax Increment) Loans Fees Gas Tax Measure A Enterprise Water Other Total STREETS ANNUAL SIDEWALK REPAIR PROGRAM 25,000 25,000 - 50,000 COMMON GREENS SIDEWALK REPAIR PROGRAM - - 75,000 75,000 DEL MONTE AVE REHABILITATION -- 92,_~0~ -_-___. 50~,.000~ __ - - _ .... 1~4_2,000_ EAST GRAND / DUBUQUE INTERSECTION .__ EL CORTEZ DRIVE IMPROVEMENTS 100,000 - 100,000_ GREENDALE AVENUE REHABILITATION 202,000 346,000 548,000 GUARD RAIL INSTALLATIONS 50,_000~ ....... 50,000 HUNTINGTON AVE RESURFAClNG PROJ MITCHELL AVENUE REHABILITATION _ - OAK AVENUE EXTENSION 2,600,000 _ 2,600,000~ PAVEMENT MANAGEMENT UPDATE 21,000 20,000 41,000 PINEHURST WAY REHABILITATION __ 57,000 _ - __ 57,000 STREET RESURFAClNG PROGRAM, 2004-2005 200,0~00_ 380,000 - __ 580,000 SOUTH LINDEN AVE GRADE SEPARATION 2,000 20,000 22,000 STREET SLURRY SEAL, 2004-2005 310,000 310,000 US 101 FLYOVER TO OYSTER POINT BLVD __ _ 516,000 516,000 US 101 OFF RAMP AND HOOK RAMPS 1,_000,000 92,000 1,092,000 WESTBOROUGH STREET LIGHTS UPGRADE - - 100,000 __ 1~,_0~_0_ WEST ORANGE AVE INTERSECTION IMPR 100,000 42,807 33,770 176,577 25,000 100,000 2,625,000 1,000,000 674~000 1,318,807 ; . i 716,770 6,459,577 RAILROAD CROSSINGS GATEWAY BLVD RAILROAD CROSSING .... TO'r~ ~LROAD ~OSSINGS ; .. - ~ , ;~ , ~ ;. ~ STORM DRAINS ARCH CULVERT REPLACEMENT 50,000 50,000 AVALON DRIVE STORM DRAIN ...... _ .... _5~,_._0~_ - - - 55,000 BEACON STREET STORM DRAIN .... L 184,000 - 184,000 MISCELLANEOUS STORM DRAIN REPAIR 86,000 - 50,000 136,000 STORM DRAIN MASTER PLAN / IMPLEMENTATION - __ 75,000 75,000 SWIFT AVENUE / MICHELLE COURT STORM DRAIN 75,000 75,000 ToTALSTORM DRAINS ; ~ - i36,000 = 314,~ ' 125~000 - 575,000 SANITARY SEWER "A" STREET SANITARY SEWER ___ - 100,000 __ 100,000 AIRPORT BLVD SEWER BYPASS, WET WEATHER, PH II 509,638 56,626 566,264 BLOWER BUILDING AIR CONDITIONING SYSTEM 100,000 - 100,000 CALIFORNIA AVE SEWER REPAIR - __ 100,000 - _ 100,000 EAST HARRIS SEWER REPAIR 60,000 - _ 60,000 EAST OF 101 S~EWER IMPR., PH I/PRIOR I (WW, PH tV) ___ 12,976,944 1,900,000 14,876,944 FRANCISCO DRIVE SEWER - 75,000 75,000 L?DENVILLE IMPROVEMENTS, WET WEATHER, PH iV 6,682,597 730,000 7,412,597 MANHOLE REPAIR PROGRAM 55,970 55,970 OUTFALL REPAIR PROJECT 100,000 100,000 PUMP STATION #3 & SWIFT AVE SEWER IMPROV. 1,500,000 1,500,00~0 PUMP STATION RENOVATION 70,333 70,333 SANITARY SEWER INSPECTION PROGRAM _ ___ 50,472 - _ 50,472 SEISMIC UPGRADE OF WQCP & PUMP STA., WW, PH II 495,000 55,000 _550,000 STRUCTURAL REPAIR / SEWER REHAB IMPROV, WATER QUALITY CONTROL PLANT EXPANSION __ _ 106,862 ____' 106,862 WET WEATHER PROGRAM, PHASE I 18,388,56~3 18,388,563 WINSTON MANOR SEWER, WET WEATHER, PH II 90,000 10,000 100,000 : ': TOT~ SANiTARy SEWER 1,500,000 20,754,179 ._ 1~,9~,_000 ; r . 20,058,826__ ' 44,2i3,005 TOTAL APPROPRIATIONS BY FUNDING SOURCE Available from Prior Years Plus FY 2004-2005 Appropriations F U N D I N G S O U R C E Capital Impr, Redevelopment Bonds/ Developer Sewer Storm PROJECT NAME (General Fund) Grants (Tax Increment) Loans Fees Gas Tax Measure A Enterprise Water Other Total PUBLIC FACILITIES AGENCY BUILDING IMPROVEMENTS - - 500,000 ...... 500,000 BICYCLE LOCKERS REHAB PROGRAM 7,687 7,687 CAPITAL IMPROVEMENT PROGRAM STUDY 6,000 6,000 6,000 18,000 CITY FACILITY / BUILDING MAINTENANCE 50,000 50,000 .~ITY HALL ANNEX EXPANSION .... _CIT~Y-_W_IDE SPACE ANALYSIS ......... . - - DAY CARE FACILITY _ .- - -_ 498,044 ~ - ........... - ....... - ....... 798,04~4 _EMER_GENC~YG_EN_E~RAT~0_R_R_EP_L:/~UPGRADE . , _ 76,092 .... 20,000 - - 96,092 ?I~_E_S_T_ATIO~N 65~E_XTE~RI_0~RR__E__P..A_I_RS ........ - _ . . . . . - ...... HILTON HOTEL SITE REMEDIATION 10,382 - 10,382 INSTALL ADA IMPROVEMENTS AT CITY BUILDINGS 12,500 - 37,500 .... 50,000 MISCELLANEOUS LAND ACQUISITION - __ _. 6,500,000 -__~ __ 6,500,000_. MSB WALL LEAKS 25,000 25,000 NEW CITY PARKING LOT 300,000 __ - 3~,000 NEW LIBRARY - _ - - __ - NEW FIRE STAT NO. 61, ADMIN OFF & TRAINING FAC 1,000,000 1,000,000 OYSTER POINT MARINA REMEDIATION -___ - 329,427 329,427 PAINTING OF CITY BUILDINGS 50,000 - 50,000 ROOF INSTALLATION 60,000 - I-- 60,000 SAN MATED COUNTY HOUSING PROJECT 2,500,000 - -_ 2,500,000 TRAIN STATION STUDY -_ ........ 75,000 _~75,000 WESTBOROUGH REC CENTER HVAC INSTALLATION 283,974 768~i !0 83~,500 . 573,044 6,000 6,000 26,000 :" 329,427 12,069,632 PARKS COMMON GREENS IRRIGATION REPAIR PROGRAM -__ 75,000 75,000 COMMON GREENS TREE REMEDIATION - 75,000 75,000 EL CAMINO REAL CORRIDOR IMPROVEMENTS 80,000 80,000 GATEWAY BLVD ISLAND IMPROVEMENTS - 50, _000~ 50,000 LINEAR PARK TRAIL 417,000 417,000 VARIOUS CITY GREEN SPOTS 9,650 ..... 9,650 WESTBOROUGH LANDSCAPE IMPROVEMENT 26,800 26,800 TRAFFIC AIRPORT BLVD & GRAND AVE AIRPORT BLVD & MILLER AVE ............... - .... - AIRPORT BLVD & SAN MATED AVE ..... BAYSHORFJAIRPORT/SISTER CITIES 91CYCLE DETECTION LOOPS - __ ' 31TY-WlDE TRAFFIC MODEL 80,000 80,000 ECCLES AVE & OYSTER POINT BLVD - _ DUBUQUE AVE & EAST GRAND AVE DUBUQUE AVE / OYSTER POINT BLVD EL CAM INO REAL/ARLINGTON DR SIGNAL 10,000 65,000 75,000 FORBES BLVD / EAST GRAND AVE FORBES BLVD / ECCLES AVE TRAFFIC SIGNAL -__ ..... 270,000 270,000 GATEWAY BLVD & EAST GRAND TRAFFIC IMPR 217, _O0~)_ ....... _21~7,0~0_ GRANDVIEW DRIVE / GRAND AVE SIGNAL - GULL DRIVE & OYSTER POINT BLVD GRAND / EAST GRAND - HARBOR WAY HICKEY BLVD INTERCONNECT - _ - 45,000 __ 45,000 HIGHWAY 101 / PRODUCE SIGNAL - LINDEN / PINE TRAFFIC SIGNAL ____ - ...... MISCELLANE_OU_S TRAFFIC I~M_P~ROVEME~NT~S __ __~ - .... 80,000_ - - __80,~ TOTAL APPROPRIATIONS BY FUNDING SOURCE Available from Prior Years Plus FY 2004-2005 Appropriations F U N D I N G S O U R C E Capital Impr. Redevelopment Bonds/ Developer Sewer Storm PROJECT NAME (General Fund) Grants (Tax Increment) Loans Fees Gas Tax Measure A Enterprise Water Other Total MITCHELL AVENUE - MUTCD UPDATE .......... OPTICOM SYSTEM ......... 50,000 50,000 SIGN INVENTORY ........ __ - SOUTH AIRPORT BLVD HOOK RAMP - - iSOUTH AIRPORT BLVD/MITCHELL AVE/GATEWAY BLVD . . ISOUTH AIRPORT BLVD/UTAH AVE - - - - __ _ -- INESTBOROUGH BLVD/GELLERT & OLYMPIC DR IMPR 150,000 30,000 180,000 [ TOTALTRAFFIC . ~ 150,000 300,000 270,000 INFORMATION TECHNOLOGY DISASTER RECOVERY PLANNING/PURCHASE --70_,400 .... 70,400 FIBER NETWORK (MFIS) 14,000 25,000 39,000 FINANCIAL / HUMAN RESOURCES SOFTWARE ____ - - GEOGRAPHICAL INFORMATION SYSTEMS, PHASE I 15,000 40,000 1,000 56,000 INTRANET - WEB PROJECT 10,000 10,000 LASER FICHE, PHASE II 15,000 15,000~ PERMITTING PROJECT, R & D - UPGRADE CITY VOICE MAIL SYSTEM - 25,000 ...... 25,000 POLICE CAD/RMS AND FIRE RMS UPGRADE ~,000 195,759 . 269,695 531,454 3'OTAL. INFORMAT!QN TECHNOLOGY 190,400 195,759 40i000 , 26,000 '/46;8~ AIRCRAFT NOISE INSULATION PROGRAM (ANIP) _ PHASE XVIII - 1,187,600 .... 1,187,600 lii87,600 ,~ ~ : - i~ 1,187,600__ _53_5.~__~_4_ 1~491,046 15,092~500 22~327~223 2~46~7 000 1_,_!_16,000 1,908~807 20,110~826; 125~000 1~807 892 6__~L6 982,118 TOTAL PROJECT COSTS FOR 5 YEARS Including Estimated Available Prior Year F U N D I N G S O U R C E Capital Improvement (General Fund) Grants Est. Avail Est. Avail PROJECT NAME Prior Year FY 04-05 FY 05-06 FY 06-07 FY 07-08 FY 08-09 Prior Year FY 04-05 FY 05-06 FY 06-07 FY 07-08 FY 08-09 STREETS ~,NNUAL SIDEWALK REPAIR PROGRAM .... 25,000 50,000 50,000 50,000~ __ 5~0,00~ SOMMON GREENS SIDEWALK REPAIR PROGRAM DEL MONTE AVE REHABILITATION EAST GRAND / DUBUQUE INTERSECTION EL CORTEZ DRIVE IMPROVEMENTS SREENDALE AVENUE REHABILITATION ~UARD RAIL INSTALLATIONS HUNTINGTON AVE RESURFACING PROJ MITCHELL AVENUE REHABILITATION DAK AVENUE EXTENSION PAVEMENT MANAGEMENT UPDATE PINEHURST WAY REHABILITATION STREET RESURFACING PROGRAM, 2004-2005 SOUTH LINDEN AVE GRADE SEPARATION STREET SLURRY SEAL, 2004-2005 US 101 FLYOVER TO OYSTER POINT BLVD US 101 OFF RAMP AND HOOK RAMPS WESTBOROUGH STREET LIGHTS UPGRADE WEST ORANGE AVE INTERSECTION IMPR 50,000 100,000 TOTAL STR_EETS 25 000 50,000 50,000 50,000 100 000 RAILROAD CROSSINGS GATEWAY BLVD RAILROAD CROSSING 3'OTAL~LROADCROSSiNGs;; ; ;; ; . ; - STORM DRAINS ARCH CULVERT REPLACEMENT AVALON DRIVE STORM DRAIN BEACON STREET STORM DRAIN MISCELLANEOUS STORM DRAIN REPAIR STORM DRAIN MASTER PLAN / IMPLEMENTATION SWIFT AVENUE / MICHELLE COURT STORM DRAIN SANITARY SEWER "A" STREET SANITARY SEWER AIRPORT BLVD SEWER BYPASS, WET WEATHER, PH II BLOWER BUILDING AIR CONDITIONING SYSTEM CALIFORNIA AVE SEWER REPAIR EAST HARRIS SEWER REPAIR EAST OF 101 SEWER IMPR., PH~FPRIOR I (WW, PH IV) _ ___ FRANCISCO DRIVE SEWER LINDENVILLE IMPROVEMENTS. WET WEATHER, PH IV MANHOLE REPAIR PROGRAM OUTFALL REPAIR PROJECT PUMP STATION f~3 & SWIFT AVE SEWER IMPROV. ~-UMP STATION RENOVATION SANITARY SEWER INSPECTION PROGRAM SEISMIC UPGRADE OF WQCP & PUMP STA., WW, PH II STRUCTURAL REPAIR / SEWER REHAB IMPROV. WATER QUALITY CONTROL PLANT EXPANSION WET WEATHER PROGRAM, PHASE I WINSTON MANOR SEWER, WET WEATHER, PH II I 10 TOTAL PROJECT COSTS FOR 5 YEARS Including Estimated Available Prior Year F U N D I N G S O U R C E _ _ _ Cap_itel Improve~men~t_(~e~Ea_l_F..u_n~) ...... Grants Est. Avail Est. Avail PROJECT NAME Prior Year FY 04-05 FY 05-06 FY 06-07 FY 07-08 FY 08-09 Prior Year FY 04-05 FY 05-06 FY 06-07 FY 07-08 FY 08-09 PUBLIC FACILITIES AGENCY BUILDING IMPROVEMENTS BICYCLE LOCKERS REHAB PROGRAM 7,687 CAPITAL IMPROVEMENT PROGRAM STUDY CITY FACILITY / BUILDING MAINTENANCE 50,000 50,000 50,0~. _ 50,000 50,000 CITY HALL ANNEX EXPANSION 100,~O00 CITY-WIDE SPACE ANALYSIS DAY CARE FACILITY EMERGENCY GENERATOR REPL ./UPGRADE FIRE STATION 65 EXTERIOR REPAIRS HILTON HOTEL SITE REMEDIATION 10,382 INSTALL ADA IMPROVEMENTS AT CITY BUILDINGS 12,500 25,000 25,000 25,000 VIISCELLANEOUS LAND ACQUISITION VISB WALL LEAKS 25,000 NEW CITY PARKING LOT NEW LIBRARY NEW FIRE STAT NO. 61_, ADMIN OFF & TRAINING FAC OYSTER POINT MARINA REMEDIATION PAINTING OF CITY BUILDINGS 50,000 50,000 50,000 50,000 50,000 ROOF INSTALLATION 60,000 60,000 __ 60,000 60,000 60,000 SAN MATEO COUNTY HOUSING PROJECT TRAIN STATION STUDY WESTBOROUGH REC CENTER HVAC INSTALLATION PARKS COMMON GREENS IRRIGATION REPAIR PROGRAM COMMON GREENS TREE REMEDIATION EL CAMINO REAL CORRIDOR IMPROVEMENTS GATEWAY BLVD ISLAND IMPROVEMENTS LINEAR PARK TRAIL VARIOUS CITY GREEN SPOT~ 9,6~- .......... 50,000 50,000 50,000 50,000 WESTBOROUGH LANDSCAPE IMPROVEMENT 26,800 36,450 - 50,000 50000 __ 50,000 50,000: , . : ~: ~ - TRAFFIC AIRPORT BLVD & GRAND AVE AIRPORT BLVD & MILLER AVE AIRPORT BLVD & SAN MATEO AVE BAYSHORE/AIRPORT/SISTER CITIES BICYCLE DETECTION LOOPS CITY-WIDE TRAFFIC MODEL ECCLES AVE & OYSTER POINT BLVD DUBUQUE AVE & EAST GRAND AVE DUBUQUE AVE / OYSTER POINT BLVD EL CAMINO REAL / ARLINGTON DR SIGNAL FORBES BLVD / EAST GRAND AVE FORBES BLVD / ECCLES AVE TRAFFIC SIGNAL GATEWAY BLVD & EAST GRAND TRAFFIC IMPR GRANDVIEW DRIVE / GRAND AVE SIGNAL GULL DRIVE & OYSTER POINT BLVD GRAND / EAST GRAND HARBOR WAY HICKEY BLVD INTERCONNECT HIGHWAY 101 / PRODUCE SIGNAL LINDEN / PINE TRAFFIC SIGNAL 11 TOTAL PROJECT COSTS FOR 5 YEARS Including Estimated Available Prior Year F U N D I N G S O U R C E .... Ca~pital I m_ p r~o_ve _meant .(_ _G. ~e _n~ r_al~F_u n d) ......... G?an~ts Est. Avail Est. Avail PROJECT NAME Prior Year FY 04-05 FY 05-06 FY 06-07 FY 07-08 FY 08-09 Prior Year FY 04-05 FY 06-06 FY 06-07 FY 07-08 FY 08-09 MISCELLANEOUS TRAFFIC IMPROVEMENTS MITCHELL AVENUE MUTCD UPDATE OPTICOM SYSTEM SIGN INVENTORY SOUTH AIRPORT BLVD HOOK RAMP SOUTH AIRPORT BLVD/MITCHELL AVE/GATEWAY BLVD SOUTH AIRPORT BLVD/UTAH AVE WESTBOROUGH BLVD/GELLERT & OLYMPIC DR IMPR : TOTAL TRAFFIC i__ . . .. , . , . . INFORMATION TECHNOLOGY DISASTER RECOVERY PLANNING/PURCHASE 40,400 30,000 25,000 25,000 25,000 FIBER NETWORK (MFIS) 14,000 FINANCIAL/HUMAN RESOURCES SOFTWARE GEOGRAPHICAL INFORMATION SYSTEMS, PHASE I 15,000 50,000 50,000 50,000 INTRANET - WEB PROJECT 10,000 10,000 10,000 10,000 LASER FICHE, PHASE II 15,000 .15,000 PERMITTING PROJECT, R & D 10,000 10,000 UPGRADE CITY VOICE MAIL SYSTEM POLICE CAD/RMS AND FIRE RMS UPGRADE 66,000 195,759 ToTA~ INFORMATION TECHNOLOGy ~,000 ii0~ 95i~ 195,759 , - AIRCRAFT NOISE INSULATION PROGRAM (ANIP) PHASE XVIII 1,187,600 12 TOTAL PROJECT COSTS FOR 5 YEARS Including Estimated Available Prior Year F U N D I N G S O U R C E S Redevelopment (Tax Increment) Bonds/Loans Est, Avail Est. Avail PROJECT NAME Prior Year FY 04-05 FY 05-06 FY 06-07 FY 07-08 FY 08-09 Prior Year FY 04-05 FY 05-06 FY 06-07 FY 07-08 FY 08-09 STREETS ANNUAL SIDEWALK REPAIR PROGRAM COMMON GREENS SIDEWALK REPAIR PROGRAM DEL MONTE AVE REHABILITATION EAST GRAND / DUBUQUE INTERSECTION EL CORTEZ DRIVE IMPROVEMENTS GREENDALE AVENUE REHABILITATION GUARD RAIL INSTALLATIONS HUNTINGTON AVE RESURFACING PROJ MITCHELL AVENUE REHABILITATION OAK AVENUE EXTENSION 600,000 2,000,000 PAVEMENT MANAGEMENT UPDATE PINEHURST WAY REHABILITATION STREET RESURFACING PROGRAM, 2004-2005 SOUTH LINDEN AVE GRADE SEPARATION STREET SLURRY SEAL 2004-2005 US 101 FLYOVER TO OYSTER POINT BLVD US 101 OFF RAMP AND HOOK RAMPS 1,000,000 WESTBOROUGH STREET LIGHTS UPGRADE WEST ORANGE AVE INTERSECTION IMPR 600~ 2025,000 - 1,000,000 , RAILROAD CROSSINGS GATEWAY BLVD RAILROAD CROSSING TOT~ RAILROAD CROSSINGS : STORM DRAINS ARCH CULVERT REPLACEMENT ~VALON DRIVE STORM DRAIN 9EACON STREET STORM DRAIN ~IISCELLANEOUS STORM DRAIN REPAIR STORM DRAIN MASTER PLAN / IMPLEMENTATION SWIFT AVENUE / MICHELLE COURT STORM DRAIN ;; TOTAL STORM DRAINS - - SANITARY SEWER 'A" STREET SANITARY SEWER ~,IRPORT BLVD SEWER BYPASS, WET WEATHER, PH II 509,638 3,373,736 BLOWER BUILDING AIR CONDITIONING SYSTEM 3,ALIFORNIA AVE SEWER REPAIR EAST HARRIS SEWER REPAIR LA__ST OF 101 SEWER IMPR., PH I/PRIOR I (WW, PH IV) __ __ 12,976,944 FRANCISCO DRIVE SEWER LINDENVILLE IMPROVEMENTS, WET WEATHER, PH IV 79,597 6,603,000 MANHOLE REPAIR PROGRAM OUTFALL REPAIR PROJECT PUMP STATION #3 & SWIFT AVE SEWER IMPROV. 1,500,000 1,500,000 PUMP STATION RENOVATION SANITARY SEWER INSPECTION PROGRAM SEISMIC UPGRADE OF WQCP & PUMP STA., WW, PH II 495,000 STRUCTURAL REPAIR / SEWER REHAB IMPROV. WATER QUALITY CONTROL PLANT EXPANSION WET WEATHER PROGRAM, PHASE I WINSTON MANOR SEWER, WET WEATHER, PH II 90,000 326,000 TOTAL SEWER 1,500,- ~! 1,500,000 ~ - 13,056,541 7,697,638 3,699,736 13 TOTAL PROJECT COSTS FOR 5 YEARS Including Estimated Available Prior Year F U N D I N G S O U R C E S Redevelopment (Tax Increment) Bonds/Loans Est. Avail Est. Avail PROJECT NAME Prior Year FY 04-05 FY 05-06 FY 06-07 FY 07-08 FY 08-09 Prior Year FY 04-05 FY 05-06 FY 06-07 FY 07-08 FY 08-09 PUBLIC FACILITIES AGENCY BUILDING IMPROVEMENTS 500,000 BICYCLE LOCKERS REHAB PROGRAM CAPITAL IMPROVEMENT PROGRAM STUDY CITY FACILITY/BUILDING MAINTENANCE CITY HALL ANNEX EXPANSION CITY-WIDE SPACE ANALYSIS DAY CARE FACILITY ........................ _4_9_8,_ ~._0~__ EMERGENCY GENERATOR REPL ./UPGRADE FIRE STATION 65 EXTERIOR REPAIRS HILTON HOTEL SITE REMEDIATION INSTALL ADA IMPROVEMENTS AT CITY BUILDINGS 37,500 MISCELLANEOUS LAND ACQUISITION 3,000,000 3,500,000 1,000,000 VISB WALL LEAKS NEW CITY PARKING LOT 300,000 NEW LIBRARY NEW FIRE STAT NO. 61, ADMIN OFF & TRAINING FAC t,000,000 OYSTER POINT MARINA REMEDIATION PAINTING OF CITY BUILDINGS ROOF INSTALLATION SAN MATEO COUNTY HOUSING PROJECT 1, _0~0,~.__ 1,500,000 1,000,000 TRAIN STATION STUDY 75,000 WESTBOROUGH REC CENTER HVAC INSTALLATION '1'O~ PUBEC 4,~,000 6,337;500 PARKS COMMON GREENS IRRIGATION REPAIR PROGRAM COMMON GREENS TREE REMEDIATION EL CAMINO REAL CORRIDOR IMPROVEMENTS 80,000 GATEWAY BLVD ISLAND IMPROVEMENTS LINEAR PARK TRAIL VARIOUS CITY GREEN SPOTS WESTBOROUGH LANDSCAPE IMPROVEMENT TOTAL PARKS ................ TRAFFIC AIRPORT BLVD & GRAND AVE AIRPORT BLVD & MILLER AVE AIRPORT BLVD & SAN MATEO AVE BAYSHORE/AIRPORT/SlSTER CITIES BICYCLE DETECTION LOOPS CITY-WIDE TRAFFIC MODEL ECCLES AVE & OYSTER POINT BLVD DUBUQUE AVE & EAST GRAND AVE DUBUQUE AVE / OYSTER POINT BLVD EL CAM INO REAL/ARLINGTON DR SIGNAL 10,000 FORBES BLVD / EAST GRAND AVE FORBES BLVD / ECCLES AVE TRAFFIC SIGNAL GATEWAY BLVD & EAST GRAND TRAFFIC IMPR GRANDVIEW DRIVE / GRAND AVE SIGNAL GULL DRIVE & OYSTER POINT BLVD GRAND / EAST GRAND HARBOR WAY HICKEY BLVD INTERCONNECT HIGHWAY 101 / PRODUCE SIGNAL LINDEN / PIN~E_TRAF~FIC SIGNA~L 14 TOTAL PROJECT COSTS FOR 5 YEARS Including Estimated Available Prior Year F U N D I N G S O U R C E S .... ~_?development (Tax Increment) __ Bonds/Loans Est. Avail Est, Avail PROJECT NAME Prior Year FY 04-05 FY 05-06 FY 06-07 FY 07-08 FY 08-09 Prior Year FY 04-05 FY 05-06 FY 06-07 FY 07-08 FY 08-09 MISCELLANEOUS TRAFFIC IMPROVEMENTS MITCHELL AVENUE MUTCD UPDATE OPTICOM SYSTEM SIGN INVENTORY I SOUTH AIRPORT BLVD HOOK RAMP SOUTH AIRPORT BLVD/MiTCHELL AVE/GATEWAY BLVD ~SOUTH AIRPORT BLVD/UTAH AVE ~/ESTBOROUGH BLVD/GELLERT & OLYMPIC DR IMPR TOTAL TRAFFIC 10,000 - - , - ; - INFORMATION TECHNOLOGY DISASTER RECOVERY PLANNING/PURCHASE FIBER NETWORK (MFIS) FINANCIAL / HUMAN RESOURCES SOFTWARE GEOGRAPHICAL INFORMATION SYSTEMS, PHASE I 40,000 INTRANET * WEB PROJECT LASER FICHE, PHASE II PERMITI'ING PROJECT, R & D UPGRADE CITY VOICE MAIL SYSTEM POLICE CAD/EMS AND FIRE HMS UPGRADE : ~'1'~ iHFbRMATiON TECHNOLOG¥ 40,000 , AIRCRAFT NOISE INSULATION PROGRAM (ANIP) PHASE XVIII : TOTALANip ~: _~ ~~ '~ '__ " ' 15 TOTAL PROJECT COSTS FOR 5 YEARS Including Estimated Available Prior Year F U N D I N G S O U R C E S Developer Fees Gas Tax Est. Avail Est. Avail PROJECT NAME Prior Year FY 04-05 FY 05-06 FY 06-07 FY 07-08 FY 08-09 Prior Year FY 04-05 FY 05-06 FY 06-07 FY 07-08 FY 08-09 STREETS ANNUAL SIDEWALK REPAIR PROGRAM COMMON GREENS SIDEWALK REPAIR PROGRAM DEL MONTE AVE REHABILITATION 42,000 50,000 400,000 EAST GRAND / DUBUQUE INTERSECTION EL CORTEZ DRIVE IMPROVEMENTS GREENDALE AVENUE REHABILITATION 202,000 GUARD RAIL INSTALLATIONS HUNTINGTON AVE RESURFACING PROJ MITCHELL AVENUE REHABILITATION .......... 30,0(~- OAK AVENUE EXTENSION PAVEMENT MANAGEMENT UPDATE 21,~)00 PINEHURST WAY REHABILITATION 57,000 250,000 STREET RESURFACING PROGRAM, 2004-2005 200,000 800,000 800,000 800,000 800,000 SOUTH LINDEN AVE GRADE SEPARATION 2,000 STREET SLURRY SEAL, 2004-2005 US 101 FLYOVER TO OYSTER POINT BLVD US 101 OFF RAMP AND HOOK RAMPS WESTBOROUGH STREET LIGHTS UPGRADE __ 100,000_. 50,000 50,000 50,000 50,000 WEST ORANGE AVE INTERSECTION IMPR 350,000 1,530,000 850,000 RAILROAD CROSSINGS GATEWAY BLVD RAILROAD CROSSING 200,000 STORM DRAINS ARCH CULVERT REPLACEMENT 50,000 50,000 [ 50,000 50,000 ! 50,000 AVALON DRIVE STORM DRAIN ...................... BEACON STREET STORM DRAIN MISCELLANEOUS STORM DRAIN REPAIR 86,000 50,000 50,000 50,000 50.000 ~ STORI~ DRAIN MASTER PLAN / IMPLEMENTATION SWIFT AVENUE / MICHELLE COURT STORM DRAIN : TOT~ STORM DRAINS * . . i ~_ _ ._ 136,000 ' ..iL 100,000 100,000 100,__0~0_ _100,~ SANITARY SEWER 'A" STREET SANITARY SEWER AIRPORT BLVD SEWER BYPASS, WET WEATHER, PH II __. BLOWER BUILDING AIR CONDITIONING SYSTEM CALIFORNIA AVE SEWER REPAIR EAST HARRIS SEWER REPAIR EAST OF 101 SEWER IMPR., PH I/PRI~OR I (WW, PH IV) _ 1,900,000 FRANCISCO DRIVE SEWER LINDENVILLE IMPROVEMENTS, WET WEATHER, PH IV MANHOLE REPAIR PROGRAM OUTFALL REPAIR PROJECT PUMP STATION #3 & SWIFT AVE SEWER IMPROV. PUMP STATION RENOVATION SANITARY SEWER iNSPECTION PROGRAM SEISMIC UPGRADE OF WOCP & PUMP STA., WW, PH II __ STRUCTURAL REPAIR / SEWER REHAB IMPROV. WATER QUALITY CONTROL PLANT EXPANSION WET WEATHER PROGRAM, PHASE I WINSTON MANOR SEWER, WET WEATHER, PH II 16 TOTAL PROJECT COSTS FOR 5 YEARS Including Estimated Available Prior Year F U N D I N G S O U R C E S Developer Fees Gas Tax Est. Avail Est, Avail PROJECT NAME Prior Year FY 04-05 FY 05-06 FY 06-07 FY 07-08 FY 08-09 Prior Year FY 04-05 FY 05-06 FY 06-07 FY 97-08 FY 08-09 PUBLIC FACILITIES AGENCY BUILDING IMPROVEMENTS BICYCLE LOCKERS REHAB PROGRAM CAPITAL IMPROVEMENT PROGRAM STUDY 6,000 ! 8,000 8,000 8,000 8,000 CITY FACILITY / BUILDING MAINTENANCE CITY HALL ANNEX EXPANSION CITY-WIDE SPACE ANALYSIS ___ DAY CARE FACILITY __._ EMERGENCY GENERATOR REPL ./UPGRADE __. FIRE STATION 65 EXTERIOR REPAIRS HILTON HOTEL SITE REMEDIATION _ __ INSTALL ADA IMPROVEMENTS AT CITY BUILDINGS __ MISCELLANEOUS LAND ACQUISITION MSB WALL LEAKS NEW CITY PARKING LOT NEW LIBRARY NEW FIRE STAT NO. 61, ADMIN OFF & TRAINING FAC OYSTER POINT MARINA REMEDIATION PAINTING OF CITY BUILDINGS ROOF INSTALLATION SAN MATED COUNTY HOUSING PROJECT TRAIN STATION STUDY WESTBOROUGH REC CENTER HVAC INSTALLATION : ~OT~ ~UBL!C ~iLiTiE$ PARKS COMMON GREENS IRRIGATION REPAIR PROGRAM COMMON GREENS TREE REMEDIATION --L CAMINO REAL CORRIDOR IMPROVEMENTS __ __ 3ATEWAY BLVD ISLAND IMPROVEMENTS LINEAR PARK TRAIL VARIOUS CITY GREEN SPOTS ........................... WESTBOROUGH LANDSCAPE IMPROVEMENT ;; PARKS: 417,000 TRAFFIC AIRPORT BLVD & GRAND AVE AIRPORT BLVD & MILLER AVE AIRPORT BLVD & SAN MATEO AVE BAYSHORE/AIRPORT/SISTER CITIES BICYCLE DETECTION LOOPS 18,00_0_ CITY-WIDE TRAFFIC MODEL 40,000 40,000 ECCLES AVE & OYSTER POINT BLVD DUBUQUE AVE & EAST GRAND AVE DUBUQUE AVE / OYSTER POINT BLVD EL CAMINO REAL / ARLINGTON DR SIGNAL 65,000 __ FORBES BLVD / EAST GRAND AVE FORBES BLVD / ECCLES AVE TRAFFIC SIGNAL GATEWAY BLVD & EAST GRAND TRAFFIC IMPR GRANDVIEW DRIVE / GRAND AVE SIGNAL GULL DRIVE & OYSTER POINT BLVD GRAND / EAST GRAND HARBOR WAY HICKEY BLVD INTERCONNECT __45,000 183,000 HIGHWAY 101 /PRODUCE SIGNAL 150,000 LINDEN / PINE TRAFFIC SIGNAL 17 TOTAL PROJECT COSTS FOR 5 YEARS Including Estimated Available Prior Year F U N D I N G S O U R C E S Developer Fees Gas Tax Est. Avail Est. Avail PROJECT NAME Prior Year FY 04-05 FY 05-06 FY 06-07 FY 07-08 FY 08-09 Prior Year FY 04-05 FY 05-06 FY 06-07 FY 07-08 FY 08-09 MISCELLANEOUS TRAFFIC IMPROVEMENTS 40,000 40,000 80,000 80,000 80,000 80,000 MITCHELL AVENUE MUTCD UPDATE OPTICOM SYSTEM SIGN INVENTORY SOUTH AIRPORT BLVD HOOK RAMP SOUTH AIRPORT BLVD/MITCHELL AVE/GATEWAY BLVD SOUTH AIRPORT BLVD/UTAH AVE WESTBOROUGH BLVD/GELLERT & OLYMPIC DR IMPR 150,000 30,000 TOTAL. TRAFFIC_, ! 50,~O00~ ~_ - - - 145,000 155,000 80,000 80,000 431,000_ INFORMATION TECHNOLOGY DISASTER RECOVERY PLANNING/PURCHASE FIBER NETWORK (MFIS) FINANCIAL / HUMAN RESOURCES SOFTWARE 3EOGRAPHICAL INFORMATION SYSTEMS, PHASE I INTRANET - WEB PROJECT LASER FICHE, PHASE II PERMITTING PROJECT, R & D UPGRADE CITY VOICE MAIL SYSTEM POLICE CAD/FIMS AND FIRE RMS UPGRADE : : TOT~ iNFORMATION TECHNOLOGY AIRCRAFT NOISE iNSULATION PROGRAM (ANIP) PHASE XVlll TOTAL ANiP ~- ~ ~ ' . . ~ ; GRANDTOTAL ,: [ 1~900,000 3i000i000~ 3,000,. .000 605;000 511,000 1,gi8,000 !~038~000 1+038~000 i 1~38gi000 18 TOTAL PROJECT COSTS FOR 5 YEARS Including Estimated Available Prior Year F U N D I N G S O U R C E S Measure A Sewer Enterprise Est. Avail Est. Avail PROJECT NAME Prior Year FY 04-05 FY 05-06 FY 06-07 FY 07-08 FY 08-09 Prior Year FY 04-05 FY 05-06 FY 06-07 FY 07-08 FY 08-09 STREETS ANNUAL SIDEWALK REPAIR PROGRAM COMMON GREENS SIDEWALK REPAIR PROGRAM DEL MONTE AVE REHABILITATION 50,000 EAST GRAND / DUBUQUE INTERSECTION 100,000 EL CORTEZ DRIVE IMPROVEMENTS 100,000 G_R_E~EN_D_A_L_E AVE~N__U_E R___EH~A_BI~LI_T_ATI_ON ........ 346,000 GUARD RAIL INSTALLATIONS ....... ~0,000 HU NTIN~G~T~ON~AA_VE R E S~U_R_F_ AC I~N_G_P R OJ ................... 180,0(~0- MITCHELL AVENUE REHABILITATION OAK AVENUE EXTENSION PAVEMENT MANAGEMENT UPDATE ...... ~i_0~ 40,000 40,000 -- 4--0,000 40,000 __. PINEHURST WAY REHABILITATION STREET RESURFACING PROGRAM, 2004-2005 380,00~ SOUTH LINDEN AVE GRADE SEPARATION 20,__.~ STREET SLURRY SEAL, 2004-2005 10,000 300,000 150,000 150,_~0_0 150,000 150,000 ...... US 101 FLYOVER TO OYSTER POINT BI-~/D US 101 OFF RAMP AND HOOK RAMPS WESTBOROUGH STREET LIGHTS UPGRADE WEST ORANGE AVE INTERSECTION IMPR 42,807 i TOTAL STREETS : _.__ .41_~87.0_7_. 900,000 470,0OO 190,000 !90,000 RAILROAD CROSSINGS GATEWAY BLVD RAILROAD CROSSING ; ;;; ~(Tr~oADcRoSSiNGS ; ;;. . : STORM DRAINS ARCH CULVERT REPLACEMENT AVALON DRIVE STORM DRAIN 55,000 55,000 BEACON STREET STORM DRAIN 34,000 i 150,000 MISCELLANEOUS STORM DRAIN REPAIR STORM DRAIN MASTER PLAN / IMPLEMENTATION SWIFT AVENUE / MICHELLE COURT STORM DRAIN 75,000 75,000 TOTAL STORM DRAINS _ 34,000 28~0,_~0~0_ SANITARY SEWER "A" STREET SANITARY SEWER 100,000 AIRPORT BLVD SEWER BYPASS, WET WEATHER, PH II 56,626 BLOWER BUILDING AIR CONDITIONING SYSTEM .................................. 1~00,000 CALIFORNIA AVE SEWER REPAIR 100,000 EAST HARRIS SEWER REPAIR ........... 60,000 250,000 EAST OF 101 SEWER IMPR., PH VPRIOR ~ (WW, PH IV) ._. FRANCISCO DRIVE SEWER 75,000 225,000 LINDENVlLLE IMPROVEMENTS, WET WEATHER, PH IV 730,000 MANHOLE REPAIR PROGRAM 55,970 20,00~_ 20,000 20,000 20,000 OUTFALL REPAIR PROJECT ...... 100,~0~30_ __ DUMP STATION f~3 & SWIFT AVE SEWER IMPROV. PUMP STATION RENOVATION 70,333 50,000 50,000 50,000 50,000 SANITARY SEWER INSPECTION PROGRAM 50,472 20,000 20,000 20,000 20,000 SEISMIC UPGRADE OF WQCP & PUMP STA., WW, PH II 55,000~ ..... STRUCTURAL REPAIR / SEWER REHAB IMPROV. 500,000 500,000 500,000 500,00~ WATER QUALITY CONTROL PLANT EXPANSION 106,862 WET WEATHER PROGRAM, PHASE I 18,388,563 ............. WINSTON MANOR SEWER, WET WEATHER, PH ti 10,000 ~ - ~; .. ,.: 18,772,200 ,1,286,626 i 1,065,000 590,000 590,000 , 590i000 19 TOTAL PROJECT COSTS FOR 5 YEARS Including Estimated Available Prior Year F U N D I N G S O U R C E S Measure A Sewer Enterprise Est. Avail Est. Avail PROJECT NAME Prior Year FY 04-05 FY 05-06 FY 06-07 FY 07-08 FY 08-09 Prior Year FY 04-05 FY 05-06 FY 06-07 FY 07-08 FY 08-09 PUBLIC FACILITIES AGENCY BUILDING IMPROVEMENTS BICYCLE LOCKERS REHAB PROGRAM CAPITAL IMPROVEMENT PROGRAM STUDY _. 6,000 8,000 8,000 8,000 8,000 6,000 8,000 8,000 8,000 8,000_ CITY FACILITY/BUILDING MAINTENANCE CITY HALL ANNEX EXPANSION CITY-WIDE SPACE ANALYSIS DAY CARE FACILITY EMERGENCY GENERATOR REPL ./UPGRADE 10,000 10,000 FIRE STATION 65 EXTERIOR REPAIRS HILTON HOTEL SITE REMEDIATION INSTALL ADA IMPROVEMENTS AT CITY BUILDINGS MISCELLANEOUS LAND ACQUISITION MSB WALL LEAKS NEW CITY PARKING LOT NEW LIBRARY NEW FIRE STAT NO. 61, ADMIN OFF & TRAINING FAC OYSTER POINT MARINA REMEDIATION PAINTING OF CITY BUILDINGS ROOF INSTALLATION SAN MATED COUNTY HOUSING PROJECT TRAIN STATION STUDY WESTBOROUGH REC CENTER HVAC INSTALLATION ! TOTAL PUBUC UTILITIES 6~,~._~. 8,000 8,000 i 8,000 8,000 .10i~ 8i~ 8,~ 8,000 PARKS COMMON GREENS IRRIGATION REPAIR PROGRAM COMMON GREENS TREE REMEDIATION EL CAMINO REAL CORRIDOR IMPROVEMENTS GATEWAY BLVD ISLAND IMPROVEMENTS LINEAR PARK TRAIL VARIOUS CITY GREEN SPOTS ~VESTBOROUGH LANDSCAPE IMPROVEMENT ~OT~ PARKS ~ ~ ' I rRAFFIC AIRPORT BLVD & GRAND AVE ' ~,IRPORT BLVD & MILLER AVE ~JRPORT BLVD & SAN MATED AVE ~AYSHORE/AIRPORT/SlSTER CITIES BICYCLE DETECTION LOOPS ;ITY-WIDE TRAFFIC MODEL ECCLES AVE & OYSTER POINT BLVD DUBUQUE AVE & EAST GRAND AVE DUBUQUE AVE / OYSTER POINT BLVD EL CAMINO REAL / ARLINGTON DR SIGNAL FORBES BLVD / EAST GRAND AVE FORBES BLVD / ECCLES AVE TRAFFIC SIGNAL 270,000 GATEWAY BLVD & EAST GRAND TRAFFIC IMPR -~RANDVlEW DRIVE / GRAND AVE SIGNAL GULL DRIVE & OYSTER POINT BLVD GRAND / EAST GRAND HARBOR WAY HICKEY BLVD INTERCONNECT HIGHWAY 101 / PRODUCE SIGNAL LINDEN / PINE TRAFFIC SIGNAL 2O TOTAL PROJECT COSTS FOR 5 YEARS Including Estimated Available Prior Year F U N D I N G S O U R C E S Measure A Sewer Enterprise Est. Avail Est. Avalt PROJECT NAME Prior Year FY 04-05 FY 05-06 FY 06-07 FY 07-08 FY 08-09 Prior Year FY 04-05 FY 05-06 FY 05-07 FY 07-08 FY 08-09 MISCELLANEOUS TRAFFIC IMPROVEMENTS MITCHELL AVENUE MUTCD UPDATE OPTICOM SYSTEM SIGN INVENTORY SOUTH AIRPORT BLVD HOOK RAMP SOUTH AIRPORT BLVD/MITCHELL AVE/GATEWAY BLVD SOUTH AIRPORT BLVD/UTAH AVE WESTBOROUGH BLVD/GELLERT & OLYMPIC DR IMPR i TOTAL TRAFFIC __~ 270,000 - - _ ~ ~ ~ - INFORMATION TECHNOLOGY DISASTER RECOVERY PLANNING/PURCHASE FIBER NETWORK (MFIS) 25,000 50,000 FINANCIAL / HUMAN RESOURCES SOFTWARE GEOGRAPHICAL INFORMATION SYSTEMS, PHASE I 1,000 INTRANET - WEB PROJECT LASER FICHE, PHASE ti PERMI3-rlNG PROJECT, R & D UPGRADE CITY VOICE MAIL SYSTEM POLICE CAD/RMS AND FIRE RMS UPGRADE TOTAL iN FORMATION TECHNOLOGY ~ ; ' i . ' i" 26,000 50,0~0 . ~= . AIRCRAFT NOISE INSULATION PROGRAM {ANIP) PHASE XVIII :~: ~:!... .... __._~2~,_~.~_7 ........ ?.,!_~,_.~..... .... :._608,000 I 19~8, _070- 1_~.~_~0~0- 198,_000~ __1_8,808__,_200~.~1,30~2,_62~6 , 1,12~.000598,000 598,00~__ 5_~000_ 21 TOTAL PROJECT COSTS FOR 5 YEARS Including Estimated Available Prior Year F U N D I N G S O U R C E S Storm Water Other Est. Avail Est. Avail PROJECT NAME Prior Year FY 04-05 FY 05-06 FY 06-07 FY 07-08 FY 08-09 Prior Year FY 04-05 FY 05-06 FY 06-07 FY 07-08 FY 08-09 STREETS ANNUAL SIDEWALK REPAIR PROGRAM COMMON GREENS SIDEWALK REPAIR PROGRAM 75,000 50,000 50,000 ~,000 50,000 DEL MONTE AVE REHABILITATION EAST GRAND / DUBUQUE INTERSECTION EL CORTEZ DRIVE IMPROVEMENTS GREENDALE AVENUE REHABILITATION GUARD RAIL INSTALLATIONS HUNTINGTON AVE RESURFACING PROJ MITCHELL AVENUE REHABILITATION OAK AVENUE EXTENSION PAVEMENT MANAGEMENT UPDATE PtNEHURST WAY REHABILITATION STREET RESURFACING PROGRAM, 2004-2005 SOUTH LINDEN AVE GRADE SEPARATION STREET SLURRY SEAL, 2004-2005 US 101 FLYOVER TO OYSTER POINT BLVD 516,000 US 101 OFF RAMP AND HOOK RAMPS 92,000 WESTBOROUGH STREET LIGHTS UPGRADE WEST ORANGE AVE INTERSECTION IMPR 33,770 TOTAE STREETS ;., 716,770 50,000 50,000 50,000 RAILROAD CROSSINGS GATEWAY BLVD RAILROAD CROSSING TOT~ RAi~OAD CROSSINGS STORM DRAINS ARCH CULVERT REPLACEMENT AVALON DRIVE STORM DRAIN BEACON STREET STORM DRAIN MISCELLANEOUS STORM DRAIN REPAIR 50,000 STORM DRAIN MASTER PLAN/_ IMPLEMENTATION __ 75,000 75,000 _ 75,000 SWIFT AVENUE / MICHELLE COURT STORM DRAIN TOT~ STORM D~A ~ i25;~ ~ 75,000 ~ ~ :,., SANITARY SEWER "A" STREET SANITARY SEWER AIRPORT BLVD SEWER BYPASS, WET WEATHER, PH II BLOWER BUILDING AIR CONDITIONING SYSTEM CALIFORNIA AVE SEWER REPAIR EAST HARRIS SEWER REPAIR EAST OF 101 SEWER IMPR., PH I/PRIOR I (WW, PH ~__ FRANCISCO DRIVE SEWER LINDENVlLLE IMPROVEMENTS, WET WEATHER, PH IV MANHOLE REPAIR PROGRAM OUTFALL REPAIR PROJECT PUMP STATION #3 & SWIFT AVE SEWER IMPROV. PUMP STATION RENOVATION SANITARY SEWER INSPECTION PROGRAM SEISMIC UPGRADE OF WQCP & PUMP STA., WW, PH II STRUCTURAL REPAIR / SEWER REHAB IMPROV. WATER QUALITY CONTROL PLANT EXPANSION WET WEATHER PROGRAM, PHASE I WINSTON MANOR SEWER, WET WEATHER, PH II 22 TOTAL PROJECT COSTS FOR 5 YEARS Including Estimated Available Prior Year F U N D I N G S O U R C E S Storm Water Other Est. Avail ESL Avail PROJECT NAME Prior Year FY 04-05 FY 05-06 FY 06-07 FY 07-08 FY 08-09 Prtor Year FY 04-05 FY 05-06 FY 06-07 FY 07-08 FY 08-09 PUBLIC FACILITIES AGENCY BUILDING IMPROVEMENTS BICYCLE LOCKERS REHAB PROGRAM CAPITAL IMPROVEMENT PROGRAM STUDY CITY FACILITY / BUILDING MAINTENANCE CITY HALL ANNEX EXPANSION CITY-WIDE SPACE ANALYSIS DAY CARE FACILITY EMERGENCY GENERATOR REPL ./UPGRADE FIRE STATION 65 EXTERIOR REPAIRS HILTON HOTEL SITE REMEDIATION INSTALL ADA IMPROVEMENTS AT CITY BUILDINGS MISCELLANEOUS LAND ACQUISITION MSB WALL LEAKS NEW CITY PARKING LOT NEW LIBRARY NEW FIRE STAT NO. 61, ADMIN OFF & TRAINING FAC OYSTER POINT MARINA REMEDIATION 329,427 PAINTING OF CITY BUILDINGS ROOF INSTALLATION SAN MATEO COUNTY HOUSING PROJECT TRAIN STATION STUDY WESTBOROUGH REC CENTER HVAC INSTALLATION :: ~O~PUBE C ~J~iES ~ ;~ : ~ : 329i427 PARKS COMMON GREENS IRRIGATION REPAIR PROGRAM 75,000 25,000 25,000 25,000 25,000 COMMON GREENS TREE REMEDIATION 75,000 25,000 25,000 25,000 25,00--0 EL CAMINO REAL CORRIDOR IMPROVEMENTS GATEWAY BLVD ISLAND IMPROVEMENTS 50,000 LINEAR PARK TRAIL VARIOUS CITY GREEN SPOTS WESTBOROUGH LANDSCAPE IMPROVEMENT TOT~ pARKS ~ ~ , 200 000 50,000 50,000 50,000 50,000 TRAFFIC AIRPORT BLVD & GRAND AVE 947,000 AIRPORT BLVD & MILLER AVE 349,000 AIRPORT BLVD & SAN MATEO AVE 785,000 BAYSHORE/AIRPORT/SlSTER CITIES 333,000 BICYCLE DETECTION LOOPS CITY-WIDE TRAFFIC MODEL ECCLES AVE & OYSTER POINT BLVD 421,000 DUBUQUE AVE & EAST GRAND AVE 1,265,000 DUBUQUE AVE / OYSTER POINT BLVD 924,000 EL CAMINO REAL / ARLINGTON DR SIGNAL FORBES BLVD / EAST GRAND AVE 1,609,000 FORBES BLVD / ECCLES AVE TRAFFIC SIGNAL GATEWAY BLVD & EAST GRAND TRAFFIC IMPR 217,000 GRANDVIEW DRIVE / GRAND AVE SIGNAL 594,000 GULL DRIVE & OYSTER POINT BLVD 609,000 GRAND / EAST GRAND 565,000 HARBOR WAY 2,721,000 HICKEY BLVD INTERCONNECT HIGHWAY 101 /PRODUCE SIGNAL LINDEN / PINE TRAFFIC SIGNAL 23 TOTAL PROJECT COSTS FOR 5 YEARS Including Estimated Available Prior Year F U N D I N G S O U R C E S Storm Water Other Est. Avail Est. Avail PROJECT NAME Prior Year FY 04-05 FY 05-06 FY 06-07 FY 07-08 FY 08-09 Prior Year FY 04-05 FY 05-06 FY 06-07 FY 07-08 FY 08-09 MISCELLANEOUS TRAFFIC IMPROVEMENTS MITCHELL AVENUE 1,942,00~0 MUTCD UPDATE OPTICOM SYSTEM 50,000 SIGN INVENTORY SOUTH AIRPORT BLVD HOOK RAMP 1,386,000 SOUTH AIRPORT BLVD/MITCHELL AVE/GATEWAY BLVD 1,946,000 SOUTH AIRPORT BLVD/UTAH AVE 302,000 ~NESTBOROUGH BLVD/GELLERT & OLYMPIC DR IMPR TOT~ TRAFFIC , ', : 217 000 50,0002,854;000 ~ i3,279,000 iNFORMATION TECHNOLOGY DISASTER RECOVERY PLANNING/PURCHASE FIBER NETWORK (MFIS) FINANCIAL / HUMAN RESOURCES SOFTWARE GEOGRAPHICAL INFORMATION SYSTEMS, PHASE I INTRANET - WEB PROJECT LASER FICHE, PHASE II PERMITTING PROJECT, R & D UPGRADE CITY VOICE MAIL SYSTEM 25,0005,000 POLICE CAD/RMS AND FIRE RMS UPGRADE 124.295 ! 145,400 TOTAL iNFORMATION TECHNOLOGY _ - ~ - .. 124,295! 170,400 5,000 - - - AIRCRAFT NOISE INSULATION PROGRAM {ANIP)__ PHASE XVIII ~OT~ ANIp: ~ : :~ ~ GRAND TOT~ 125,000 .. 75,~0~)0_ : 75,000 %587,492: 2;959,000 t3;379,000 24 TOTAL PROJECT COSTS FOR 5 YEARS Including Estimated Available Prior Year F U N D I N G S O U R C E S Funding To Be Determined Total Est. Avail Est. Avail PROJECT NAME Prior Year FY 04-05 FY 05-06 FY 06-07 FY 07-08 FY 08-09 Prior Year FY 04-05 FY 05-06 FY 06-07 FY 07-08 FY 08-09 STREETS ANNUAL SIDEWALK REPAIR PROGRAM 25,000 25,000 50,000 50,000 50,000 50,000 COMMON GREENS SIDE_WALK REPAIR PROGRAM 75,000 50,000 50,000 50,000 50,000 D_EL MONTE AVE REHABILITATION 42,000 100,000 400,000 - EAST GRAND / DUBUQUE INTERSECTION 100,000 EL CORTEZ DRIVE IMPROVEMENTS 100,000 GREENDALE AVENUE REHABILITATION 548,000 GUARD RAIL INSTALLATIONS 50,000 HUNTINGTON AVE RESURFAClNG PROJ 180,000 MITCHELL AVENUE REHABILITATION 30,000 OAK AVENUE EXTENSION 600,000 2,000,000 PAVEMENT MANAGEMENT UPDATE 21,000 20,000 40,000 40,000 40,000 40,000 PINEHURST WAY REHABILITATION 57,000 250,000 STREET RESURFACING PROGRAM, 2004-2005 580,000 800,000 800,000 800,000 800,000 SOUTH LINDEN AVE GRADE SEPARATION 22,000 STREET SLURRY SEAL, 2004-2005 10,000 300,000 150,000 150,000 150,000 150,000 US 101 FLYOVER TO OYSTER POINT BLVD 516,000 US 101 OFF RAMP AND HOOK RAMPS 92,000 1,000,000 WESTBOROUGH STREET LIGHTS UPGRADE - 100,000 50,000 50,000 50,000 50,000 WEST ORANGE AVE INTERSECTION IMPR 176,577 1 :TOTAl.STREETS ~ . . 2,184,577 i 4,275,000 2,100,000 1,140,000 1,140,000 !,140,000 RAILROAD CROSSINGS GATEWAY BLVD RAILROAD CROSSING - - 200,000 - - - TOTS ~LRO~ CR0~SINGS ~ :-, ~ STORM DRAINS ARCH CULVERT REPLACEMENT .................................... ~50,~000 50_,000 50,000 50,000_ 5~0,.~00()_ AVALON DRIVE STORM DRAIN 55,00~ 55,000 BEACON STREET STORM DRAIN 34,000 150,000 MISCELLANEOUS STORM DRAIN REPAIR 136,000 50,000 50,000 50,000 50,000 STORM DRAIN MASTER PLAN / IMPLEMENTATION 75,000 75,000 75,000 SWIFT AVENUE / MICHELLE COURT STORM DRAIN 75,000 75,000 ! ~OI'~STORM DRAINS 295,000 : 280,000 305,000 175,000 i00~000 SANITARY SEWER "A" STREET SANITARY SEWER 100,000 AIRPORT BLVD SEWER BYPASS, WET WEATHER, PH II 566,264 3,373,736 BLOWER BUILDING AIR CONDITIONING SYSTEM 100,000 CALIFORNIA AVE SEWER REPAIR 100,000 EAST HARRIS SEWER REPAIR 60,000 250,000 ! EAST OF 101 SEWER IMPR., PH I/PRIOR I (WW, PH IV) 14,876,944 FRANCISCO DRIVE SEWER 75,000 225,000 LINDENVILLE IMPROVEMENTS, WET WEATHER, PH IV 79,597 7,333,000 MANHOLE REPAIR PROGRAM 55,970 20,000 20,000 20,000 20,000 OUTFALL REPAIR PROJECT 100,000 PUMP STATION #3 & SWIFT AVE SEWER IMPROV. 1,500,000 1,500,000 PUMP STATION RENOVATION 70,333 50,000 50,000 50,000 50,000 SANITARY SEWER INSPECTION PROGRAM 50,472 20,000 20,000 20,000 20,000 SEISMIC UPGRADE OF WQCP & PUMP STA., WW, PH II 550,000 . STRUCTURAL REPAIR / SEWER REHAB IMPROV. 500,000 500,000 500,000 I 500,000 WATER QUALITY CONTROL PLANT EXPANSION 106,862 WET WEATHER PROGRAM, PHASE I 18,388,563 WINSTON MANOR SEWER, WET WEATHER, PH Il 100,000 326,000 - - ~OTAI-SEW_ER : ~. 33,728,7~4.1 10,484~64 6,264i~6 S~,000 ] 25 TOTAL PROJECT COSTS FOR 5 YEARS Including Estimated Available Prior Year F U N D I N G S O U R C E S Funding To Be Delermined Total Est. Avail Est. Avail PROJECT NAME Prior Year FY 04-05 FY 05-06 FY 06-07 FY 07-08 FY 08-09 Prior Year FY 04-05 FY 05-06 FY 06-07 FY 07-08 FY 05-09 PUBLIC FACILITIES AGENCY BUILDING IMPROVEMENTS 500,000 BICYCLE LOCKERS REHAB PROGRAM 7,687 CAPITAL IMPROVEMENT PROGRAM STUDY 18,000 24,000 24,000 ! 24,000 24,000 CITY FACILITY ! BUILDING MAINTENANCE 50,000 50,000 50,000 50,000 50,000 CITY HALL ANNEX EXPANSION 100,000 400,000 400,000 CITY-WIDE SPACE ANALYSIS 75,000 75,000 DAY CARE FACILITY 498,044 EMERGENCY GENERATOR REPL J UPGRADE 76,092 20,000 100,000 100,000 50,000 FIRE STATION 65 EXTERIOR REPAIRS 35,000 35,000 HILTON HOTEL SITE REMEDIATION 10,382 INSTALL ADA IMPROVEMENTS AT CITY BUILDINGS 50,000 25,000 25,000 25,000 MISCELLANEOUS LAND ACQUISITION 3,000,000 3,500,000 1,000,000 MSB WALL LEAKS 25,000 NEW CITY PARKING LOT 300,000 NEW LIBRARY 30,000,000 30,000,000 NEW FIRE STAT NO. 61, ADMIN OFF & TRAINING FAC 1,000,000 OYSTER POINT MARINA REMEDIATION 329,427 PAINTING OF CITY BUILDINGS 50,000 50,000 50,000 50,000 50,000 ROOF INSTALLATION 60,000 60,000 60,000 60,000 60,000 SAN MATEO COUNTY HOUSING PROJECT 1,000,000 1,500,000 1,000,000 TRAIN STATION STUDY 75,000 i 100,000 - - 100,000 - - - WESTBOROUGH REC CENTER HVAC INSTALLATION L 210,000 ; .;, TOT~ PUBUC UTILITIES,, PARKS COMMON GREENS IRRIGATION REPAIR PROGRAM - - 75,000 25,000 25,000 25,000 25,000 COMMON GREENS TREE REMEDIATION 75,000 25,000 25,000 25,000 25,000 EL CAMINO REAL CORRIDOR IMPROVEMENTS 80,000 GATEWAY BLVD ISLAND IMPROVEMENTS 50,000 LINEAR PARK TRAIL 417,000 3,000,000 3,000,000 VARIOUS CiTY GREEN SPOTS 9,650 50,000 50,000 50,000 50,000 WESTBOROUGH LANDSCAPE IMPROVEMENT 26,800 - - - ; ; TOT~PARKS :; :~ ; ; ~: ,- ; - ; 236i450 3,100i000 3~100~000 100,000 TRAFFIC AIRPORT BLVD & GRAND AVE 947,000 AIRPORT BLVD & MILLER AVE 349,000 AIRPORT BLVD & SAN MATEO AVE 785,000 BAYSHORE/AIRPORT/SISTER CITIES 333,000 BICYCLE DETECTION LOOPS 18,000 CITY-WIDE TRAFFIC MODEL ................................................. 40,~_ 4~0.!000~ ECCLES AVE & OYSTER POINT BLVD 421,000 DUBUQUE AVE & EAST GRAND AVE 1,265,000 DUBUQUE AVE / OYSTER POINT BLVD EL CAMINO REAL / ARLINGTON DR SIGNAL 75,000 FORBES BLVD / EAST GRAND AVE 1,609,000 FORBES BLVD / ECCLES AVE TRAFFIC SIGNAL 270,000 GATEWAY BLVD & EAST GRAND TRAFFIC IMPR 217,000 GRANDVIEW DRIVE / GRAND AVE SIGNAL 594,000 GULL DRIVE & OYSTER POINT BLVD 609,000 GRAND / EAST GRAND 565,000 HARBOR WAY 2,721,000 HICKEY BLVD INTERCONNECT 45,000 HIGHWAY 101 /PRODUCE SIGNAL 183,000 LINDEN / PINE TRAFFIC SIGNA~L - _ ..... 150,000 26 TOTAL PROJECT COSTS FOR 5 YEARS Including Estimated Available Prior Year F U N D I N G S O U R C E S Funding To Be Determined Total Est. Avail Est. Avail PROJECT NAME Prior Year FY 04-05 FY 05-06 FY 06-07 FY 07-08 FY 08-09 Prior Year FY 04-05 FY 05-06 FY 06-07 FY 07-08 FY 08-09 MISCELLANEOUS TRAFFIC IMPROVEMENTS ............................ 40,000 40,000 80,000 80,000 80,000 i 80,~ MITCHELL AVENUE 1,942,000 MUTCD UPDATE 100.000 100,000 OPTICOM SYSTEM 50,000 SIGN INVENTORY 50.000 50,000 SOUTH AIRPORT BLVD HOOK RAMP 1,386,000 SOUTH AIRPORT BLVD/MITCHELL AVE/GATEWAY BLVD 1.946,000 SOUTH AIRPORT BLVD/UTAH AVE 302,000 WESTBOROUGH BLVD/GELLERT & OLYMPIC DR IMPR 180,000 TOTALTRAFFIC . 50,000 100,000 ; . 642,000 355,000 2.984,000 180,000 645,000 13,710,000 INFORMATION TECHNOLOGY DISASTER RECOVERY PLANNING/PURCHASE 40.4,00 30.000 ,, , 25,000 , 25 000 25,000 FIBER NETWORK (MFIS) 39,000 50,000 FINANCIAL/HUMAN RESOURCES SOFTWARE 700,000 , 700,000 GEOGRAPHICAL INFORMATION SYSTEMS, PHASE I 56,000 50.000 50.0(X) 50,000 INTRANET - WEB PROJECT -, 10,000 ,10,000 10000 ,, 10000 LASER FICHE, PHASE II 15,000 15,000 PE__RMITTING PROJECT, R & D -, , , ,10,000 10,000; . UPGRADE CITY VOICE MAIL SYSTEM 25,000 5,000 POLICE CAD/RMS AND FIRE RMS UPGRADE 190,295 341,159 .... ~OTAL i~O~MATI0N TECHNOLOGY ~ __ 700.000 85.000 AIRCRAFT NOISE INSULATION PROGRAM {ANIP) PHASE XVIII 1,187,600 ~ ' 960,000 30,000~000 44~121,695 22~860,423_ 18,337,736 5,689~000 : 3,3i9,000 46,224,000 27 PROJECT DESCRIPTION AND NOTES 1 2 3 4 5 6 7 8 9 10 11 FUNDING PRIOR AVAILABLE NEW ITEM NO. PROJECT NAME & NUMBER FY 04-05 FY 05-06 FY 06-07 FY 07-08 FY 08-09 METHOD YEAR PRIOR YEAR APPROPRIATION Column 1 Column 2 Column 3 Column 4 Column 5 Column 6 Column 7 Column 8 Column 9 Column 10 Column 11 Provides a reference number for all projects within a specific category and does not necessarily indicate the order in which the project will be undertaken. Project Name & Number refers to the Engineering Division name and number designation for current project underway. The numbers in parenthesis are the Finance Depadment account numbers. The estimated project cost for Fiscal Year 2004-2005. The estimated project cost for Fiscal Year 2005-2006. The estimated project cost for Fiscal Year 2006-2007, The estimated project cost for Fiscal Year 2007-2008. The estimated project cost for Fiscal Year 2008-2009. The soumes of funds, Prior year's funding approved for this project, Prior year's funding available (unused) for the project. Funding request for the current fiscal year. 28 1A. U.S. 101 FLYOVER TO OYSTER POINT BOULEVARD lB. US 101 OFF KAMP AND HOOK RAMPS 2. 2004-2005 STREET RESURFACING PROGRAM 3. 2004-2005 STREET SLURRY SEAL 4. PAVEMENT MANAGEMENT UPDATE 5. SOUTH LINDEN AVENUE GILa. DE SEPARATION 6. OAK AVENUE EXTENSION 7. DEL MONTE AVENUE ILEHABILITATION STREETS 8. PINEHURST WAY REHABILITATION 9. WESTBOROUGH STREET LIGHTS UPGRADE 10. COMMON GREENS SIDEWALK REPAIR PROGRAM 11. ANNUAL SIDEWALK REPAIR PROGRAM 12. GREENDALE AVENUE REHABILITATION 13. WEST ORANGE AVENUE INTERSECTION IMPROVEMENTS 14. GUARD RAIL INSTALLATION 15. EL CORTEZ DRIVE IMPROVEMENTS MAJOR STREET PROJECTS - PROJECT DESCRIPTIONS ITEM NO. lA - U.S. 101 FLYOVER TO OYSTER POINT BOULEVARD THIS PROJECT WILL CONSTRUCT THE SOUTHBOUND FLYOVER FROM HIGHWAY 101 TO EASTBOUND OYSTER POINT BOULEVARD AS THE NEXT PHASE TO THE OYSTER POINT INTERCHANGE. ITEM NO. lB - US 101 OFF RAMP AND HOOK RAMPS THE PROJECT WILL ADD AN ADDITIONAL SOUTHBOUND OFF-RAMP AND ON-RAMP RECOMMENDED IN EAST OF 101 STUDY, POLICY CIR-3. ENGINEERING DIVISION FISCAL YEAR 2004-2005 Page 1Major Street Project CAPITAL IMPROVEMENT PROGRAM MAJOR STREET PROJECTS 1 ITEM NO. 2 3 4 5 6 7 8 9 10 11 PROJECTNAME&NUMBER IA U.S. 101 FLYOVER TO OYSTER POINT BOULEVARD 516,000 (50-13231-9715) lB US 101 OFF RAMP AND HOOK RAMPS 1,092,000 (50-13231-9710) METHOD YEAR PRIOR YEAR UTL B GR APPROPRIATI 4,153,500 516,000 FY 04-05 FY 05-06 FY 06-07 FY 07-08 FY 08-09 PROJECT COSTS UTL B DP 1,368,500 92,000 I TOTAL 1,608,000 0 0 0 0 5,522,000 608,000 CI = CAPITAL IMPROVEMENT FUNDS GR = GRANTS MA = MEASURE A RDA = REDEVELOPMENT AGENCY DP = DEVELOPER FEES TIF = TRAFFIC IMPACT FEE GT = GAS TAX SE = SEWER ENTERPRISE FUND SB = SAN BRUNO SHARE SW = STORM WATER FUND CS = CITY SERVICES FUND PD = PARKING DISTRICT UTL = UT L TIES REIMBURSEMENT B = BONDS GTW = GATEWAY ASSESSMENT PROP 12 = PROPOSITION 12 GRANT FUNDING ON g:/cip 04-05/cip-fy 04-05 STREETS- PROJECT DESCRIPTIONS ITEM NO. 1 - EAST GRAND/DUBUqUE INTERSECTION THE PROJECT WILL MODIFY THE EXISTING INTERSECTION TO ACCOMMODATE TRUCK TRAFFIC. ITEM NO. 2 - 2004-2005 RESURFACING PROGRAM THE PROJECT WILL RESURFACE VARIOUS CITY STREETS IN THE CITY. ITEM NO. 3 - 2004-2005 STREET SLURRY SEAL THE PROJECT WILL INVOLVE THE DIG-OUTS AND SLURRY SEALING OF RESIDENTIAL STREETS IN THE CITY. ITEM NO. 4 - PAVEMENT MANAGEMENT UPDATE THE PROJECT WILL UPDATE ALL THE RESIDENTIAL PAVEMENT DISTRESS SURVEY TO QUALIFY TO MTC FUNDS FOR FUTURE ROAD RESURFACING PROJECTS. AND INTERGRATE PAVEMENT MANAGEMENT DATA WITH THE ARCMAP SOFTWARE. ITEM NO. 5 - SOUTH LINDEN AVENUE GRADE SEPARATION THIS PROJECT WILL PROCEED WITH DETAILED TRAFFIC STUDIES ON THE SOUTH LINDEN GRADE SEPARATION, PRODUCE AVENUE EXIT RAMP AND AIRPORT BOULEVARD/GRAND AVENUE INTERSECTION. ITEM NO. 6 - OAK AVENUE EXTENSION THIS PROJECT WILL STUDY THE EXTENSION OF OAK AVENUE FROM MISSION ROAD TO EL CAMtNO REAL. FUNDING IS FROM THE EL CAMINO REDEVELOPMENT AGENCY. ITEM NO. 7 - DEL MONTE AVENUE REHABILITATION THE PROJECT WILL PREPARE THE PS & E FOR THE REHABILITATION OF DEL MONTE AVENUE FROM ROMNEY AVENUE TO ARROYO DRIVE. ENGINEERING DIVISION FISCAL YEAR 2004-2005 Page 1 - Streets CAPITAL IMPROVEMENT PROGRAM STREETS 1 IITEM NO. 2 3 4 5 6 7 8 9 10 11 PROJECT NAME & NUMBER EAST GRAND/DUBUQUE INTERSECTION ST-00-4 (51-13231-0001 ) 2004-2005 STREET RESURFACING PROGRAM (51-13231-0501 ) 2004-2005 STREET SLURRY SEAL ST-03-3 (51-13231-0403) FY 04-05 FY 05-06 FY 06-07 FY 07-08 FY 08-09 PAVEMENT MANAGEMENT UPDATE ST-99-3 (51-13231-9913) PROJECT COSTS SOUTH LINDEN AVENUE GRADE SEPARATION ST-03-6 (51 ~13231-0401 ) 100,000 OAK AVENUE EXTENSION ST-02-6 (51-13231-0301 ) (TOTAL PROJECT COST: $ 3,000,000) 580,000 800,000 800,000 800,000 800,000 DEL MONTE AVENUE REHABILITATION ST-02-7 (51-13231-0302) (TOTAL PROJECT COST: $ 858,000) 310,000 150,000 150,000 150,000 150,000 PAGE SUBTOTAL 41,000 40,000 40,000 40,000 40,000 22,000 FUNDING PRIOR AVAILABLE iiiiiii!ii!i!iii!!iiN~Wli!:!i!!ii!iiii!iJ METHOD YEAR PRIOR YEAR i!!iA~p~O~R ATIONJ 2,600,000 142,000 400,000 APPROPRIATION MA 175,000 10,000 MA 20,000 20,000 iiiiiii!j!iillt~!i GT 58,000 42,000 3,695,000 1,490,000 990,000 990,000 990,000 CI = CAPITAL IMPROVEMENT FUNDS DP = DEVELOPER FEES SB = SAN BRUNO SHARE OA = OTHER AGENCY CONTRIBUTIONS (COLMA & SMC) B = BONDS GR = GRANTS TIF = TRAFFIC IMPACT FEE SW = STORM WATER FUND GTW = GATEWAY ASSESSMENT CG = COMMON GREENS FUND MA = MEASURE A GT = GAS TAX CS = CITY SERVICES FUND RDA = REDEVELOPMENT AGENCY SE = SEWER ENTERPRISE FUND PD = PARKING DISTRICT PROP 12 = PROPOSITION 12 GRANT FUNDING OPT = ORANGE PARK TRUST FUND g:/cip 04-05/cip-fy 04-05 STREETS - PROJECT DESCRIPTIONS ITEM NO. 8 - PINEHURST WAY REHABILITATION THE PROJECT WILL PREPARE THE PS & E FOR THE REHABILITATION OF PINEHURST WAY FROM HAZELWOOD TO ROCKWOOD. ITEM NO. 9 - WESTBOROUGH STREET LIGHTS UPGRADE THE PROJECT WILL UPGRADE ALL FEEDER LIGHTING CIRCUITS, WIRINGS, FIXTURES, LINES AND EQUIPMENT WITHIN THE WESTBOROUGH NEIGHBORHOOD AREA. ITEM NO. 10 - COMMON GREENS SIDEWALK REPAIR PROGRAM THE PROJECT WILL REPAIR OR REPLACE DAMAGED SIDEWALK WITHIN THE COMMON GREENS. ITEM NO. 11 - ANNUAL SIDEWALK REPAIR PROGRAM THE PROJECT WILL REPAIR OR REPLACE DAMAGED SIDEWALK IN THE CITY. ITEM NO. 12 - GREENDALE DRIVE REHABILITATION THE PROJECT WILL RESURFACE GREENDALE AVENUE WHICH START AND END TO CALLAN BOULEVARD. ITEM NO. 13- WEST ORANGE AVENUE iNTERSECTION IMPROVEMENTS THE PROJECT WILL CONSTRUCT NEW LIGHTED CROSSWALKS, NEW ISLANDS AND BEAUTIFICATION ENHANCEMENTS AT THE INTERSECTION OF WEST ORANGE AND MEMORIAL DRIVE. ITEM NO. 14 - GUARD RAIL INSTALLATIONS THE PROJECT WILL INSTALL GUARD RAIL AT VARIOUS LOCATIONS THROUGHOUT THE CITY AS NEEDED, SUCH AS JUNIPERO SERRA BOULEVARD, RAILROAD AVENUE AND HICKEY BOULEVARD. ITEM NO. 15 - EL CORTEZ DRIVE IMPROVEMENTS THIS PROJECT WILL INSTALL A RETAINING WALL ON EL CORTEZ DRIVE TO PREVENT EROSION ONTO THE ROADWAY SURFACE. ENGINEERING DIVISION FISCAL YEAR 2004-2005 Page 2 - Streets CAPITAL IMPROVEMENT PROGRAM STREETS 1 IITEM NO. 10 2 3 4 5 6 7 8 9 10 11 PROJECT NAME& NUMBER PINEHURST WAY REHABILITATION (51-13231-0303) (TOTAL PROJECT COST: $ 410,000) WESTBOROUGH STREET LIGHTS UPGRADE (51-13231-0505) COMMON GREENS SIDEWALK REPAIR PROGRAM (51-13231-0307) ANNUAL SIDEWALK REPAIR PROGRAM (51-13231-0308) FY 04-05 FY 05-06 FY 06-07 FY 07-08 FY 08-09 PROJECT COSTS 57,000 250,000 100,000 50,000 50,000 50,000 50,000 75,000 50,000 50,000 50,000 50,000 50,000 50,000 50,000 50,000 50,000 12 GREENDALE DRIVE REHABILITATION 548,000 (51-13231-0402) 13 WEST ORANGE AVENUE INTERSECTION 176,577 IMPROVEMENTS (51-13231-0316) 14 GUARD RAIL INSTALLATIONS 50,000 (51-13231-0502) 15 EL CORTEZ DRIVE IMPROVEMENTS 100,000 (51-13231-0508) FUNDING PRIOR AVAILABLE ~,!;ri ; !! ! ! ! ii! ~ !i!!!!! ii !iilI METHOD YEAR PRIOR YEAR 'APPROPRIATION;I GT APPROPRIATI 60,000 57,000 GT CG 75,000 75,000 CI 25,000 25,000 RDA GT 202,000 202,000 MA 346,000 346,000 GR 100,000 100,000 PROP 12 420 420 MA 42,807 42,807 OPT 33,350 33,350 MA MA I PAGE SUBTOTAL 1,156,577 400,000 150,000 150,000 150,000 884,577 881,577 I -rOyAL 4,851,577 1,8 0,000 1,140,000 1,140,000 1,140,000 2,162,577 1,576,577 ICI = CAPITAL IMPROVEMENT FUNDS GR = GRANTS MA = MEASURE A RDA = REDEVELOPMENT AGENCY DP = DEVELOPER FEES TIF = TRAFFIC IMPACT FEE GT = GAS TAX SE = SEWER ENTERPRISE FUND SB = SAN BRUNO SHARE SW = STORM WATER FUND CS = CITY SERVICES FUND PD = PARKING DISTRICT OA = OTHER AGENCY CONTRIBUTIONS (COLMA & SMC) GTW = GATEWAY ASSESSMENT PROP 12 = PROPOSITION 12 GRANT FUNDING B = BONDS CG = COMMON GREENS FUND OPT = ORANGE PARK TRUST FUND g:/cip 04-05/cip-fy 04-05 STREETS - PROJECT DESCRIPTIONS ITEM NO. 16 - HUNTINGTON AVENUE RESURFACING PROJECT THE PROJECT WILL RESURFACE HUNTINGTON AVENUE (SPRUCE AVENUE-CITY LIMITS AT NOOR AVENUE) TO IMPROVE ROADWAY SURFACE. ITEM NO. 17 - MITCHELL AVENUE REHABILITATION THE PROJECT WILL PREPARE THE PS & E FOR THE REHABILITATION OF MITCHELL AVENUE FROM HARBOR WAY TO SOUTH AIRPORT BOULEVARD. ENGINEERING DIVISION FISCAL YEAR 2004-2005 Page 3 - Streets CAPITAL IMPROVEMENT PROGRAM 1 ITEM NO. STREETS 2 3 4 5 6 7 8 9 10 11 PROJECT NAME & NUMBER 16 HUNTINGTON AVENUE RESURFACING PROJECT 17 MITCHELL AVENUE REHABILITATION PAGE SUBTOTAL FY 04-05 FY 05-06 FY 06-07 FY 07-08 FY 08-09 PROJECT COSTS 180,000 30,000 FUNDING PRIOR AVAILABLE METHOD YEAR PRIOR YEAR MA GT GT MA APPROPRIATI 0 210,000 0 0 0 ON TOTAL 4,851,577 2,100,000 1,140,000 1,140,000 1,140,000 CI = CAPITAL IMPROVEMENT FUNDS DP = DEVELOPER FEES SB = SAN BRUNO SHARE OA = OTHER AGENCY CONTRIBUTIONS (COLMA & SMC) B = BONDS GR = GRANTS MA = MEASURE A TIF = TRAFFIC IMPACT FEE GT = GAS TAX SW = STORM WATER FUND CS = CITY SERVICES FUND GTVv' = GATEWAY ASSESSMENT CG = COMMON GREENS FUND RDA = REDEVELOPMENT AGENCY SE = SEWER ENTERPRISE FUND PD = PARKING DISTRICT PROP 12 = PROPOSITION 12 GRANT FUNDING OPT = ORANGE PARK TRUST FUND g:/cip 04105/cip-fy 04-05 RAILROAD CROSSINGS I.GATEWAY BOULEVARD RAILROAD CROSSING IMPROVEMENT RAILROAD CROSSING - PROJECT DESCRIPTIONS ITEM NO. 1 - GATEWAY BOULEVARD CROSSING THE PROJECT WILL IMPROVE THE CROSSING BY INSTALLING A CONCRETE/RUBBER CROSSING TO PROVIDE A SMOOTHER LOWER MAINTENANCE SURFACING FOR VEHICLES. ENGINEERING DIVISION FISCAL YEAR 2004-2005 Page 1 - RR XING CAPITAL IMPROVEMENT PROGRAM RAILROAD CROSSINGS 1 2 3 4 5 6 7 8 9 10 11 ITEM NO. PROJECT NAME & NUMBER FY 04-05 FY 05-06 FY 06-07 FY 07-08 FY 08-09 METHOD YEAR PRIOR YEAR ~ii[Al~ .P,~I~iA,~I~I'~i !! PROJECT COSTS 1 GATEWAY BOULEVARD 200,000 (51-13231-9716) GT A P P R O P R I AT I O N J TOTAL 0 200,000 0 0 0 0 0 ICI = CAPITAL IMPROVEMENT FUNDS GR = GRANTS MA = MEASURE A RDA = REDEVELOPMENT AGENCY DP = DEVELOPER FEES TIF = TRAFFIC IMPACT FEE GT = GAS TAX SE = SEWER ENTERPRISE FUND SB = SAN BRUNO SHARE SW = STORM WATER FUND CS: CITY SERVICES FUND PD = PARKING DISTRICT B = BONDS GTW = GATEWAY ASSESSMENT PROP 12 = PROPOSITION 12 GRANT FUNDING g:/cip 04-05/form_cip fy 04-05 MISCELLANEOUS STORM DRAIN REPAIR 2. BEACON STREET STORM DRAIN t. ARCH CU1 VERI RI:PIAf'I(MI(NI 4. MASIER PI.AN/IMI~I.I(MI~NI'AIlON SI'ORM [)RAINS 5 SWIFI AVI{NI~I~/MICIII~LL[~ COURT STORM DRAINS 6. AVALON DRIVE STORM DRAINS // / STORM DRAINS - PROJECT DESCRIPTIONS ITEM NO. 1 - MISCELLANEOUS STORM DRAIN REPAIRS THE PROJECT WILL CORRECT MINOR STORM DRAIN PROBLEMS THROUGHOUT THE CITY. ITEM NO. 2 o BEACON STREET STORM DRAIN THIS PROJECT WILL EXAMINE THE STORM DRAIN SYSTEM ON BEACON STREET AND PROPOSE POSSIBLE SOLUTIONS TO PREVENT FLOODING. ITEM NO. 3 - ARCH CULVERT REPLACEMENT THE NEW PROJECT WILL REPLACE THE EXISTING ARCH CULVERT SYSTEMS AT THE INTERSECTIONS IN THE DOWNTOWN AREA WITH NEW CATCHBASINS. ITEM NO. 4 - STORM DRAIN MASTER PLAN IMPLEMENTATION A STORM DRAIN MASTER PLAN WILL EVALUATE THE CITY'S STORM DRAIN SYSTEM AND IDENTIFY DEFICIENCIES TO THE EXISTING SYSTEM, DEFINE A RANGE OF POSSIBLE SOLUTIONS, PROPOSE A FINANCING PLAN, AND PROVIDE IMPROVEMENT RECOMMENDATIONS FOR THE CIP. ITEM NO, 5 - SWIFT AVENUF-_.JMICHELLE COURT THE PROJECT WILL EVALUATE THE STORM DRAIN SYSTEM ON SWIFT AVENUE AND MICHELLE COURT AND INSTALL A CHECK VALVE AND/OR LINER IN THE SYSTEM. ITEM NO. 6 - AVALON DRIVE THE PROJECT WILL INSTALL DRAINAGE IMPROVEMENTS ON AVALON DRIVE FROM GRANADA DRIVE TO CONSTITUTION WAY. ENGINEERING DIVISION FISCAL YEAR 2004-2005 Page 1 - Storm Drain CAPITAL IMPROVEMENT PROGRAM STORM DRAINS 1 IITEM NO. 2 3 4 5 6 7 8 9 10 11 PROJECT NAME & NUMBER MISCELLANEOUS STORM DRAIN REPAIR (51-13231-9916) BEACON STREET STORM DRAIN (51-13231-0008) 3 ARCH CULVERT REPLACEMENT (51-13231-0014) STORM DRAIN MASTER PLAN IMPLEMENTATION (51-13231-0310) (TOTAL PROJECT COST: $ 525,000) FY 04-05 FY 05-06 FY 06-07 FY 07-08 FY 08-09 SWIFT AVENUE/MICHELLE COURT STORM DRAINS (51-13231-0503) PROJECT COSTS 136,000 50,000 50,000 50,000 50,000 6 AVALON DRIVE STORM DRAINS (51-13231-0504) 184,000 TOTAL 50,000 50,000 50,000 50,000 50,000 75,000 75,000 75,000 METHOD YEAR PRIOR YEAR ~'.APPROPRIATIONI GT 86,000 SW 50,000 MA 36,000 GT 50,000 SW 75,000 MA 75,000 75,000 APPROPRIATION 55,000 55,000 575,000 305,000 175,000 100,000 100,000 MA Cl= CAPITALIMPROVEMENT FUNDS DP = DEVELOPER FEES SB = SAN BRUNO SHARE GR = GRANTS TIF=TRAFFICIMPACTFEE SW =STORM WATER FUND B=BONDS MA= MEASURE A GT=GASTAX CS=CITYSERVICESFUND GTW = GATEWAY ASSESSMENT RDA=REDEVELOPMENTAGENCY SE=SEWER ENTERPRISE FUND PD= PARKING DISTRICT PROP12=PROPOSITION12GRANTFUNDING g:/cip O4-05/form_cip fy 04-05 1. WATER QUALITY CONTROL PLANT EXPANSION 2. PUMP STATION RENOVATION 3. MANHOLE REPAIR PROGRAM 4. SANITARY SEWER INSPECTION SANITARY SEWER 5. BLOWER BUILDING AIR. CONDITIONING 6. WET WEATHER PROGRAM, PHASE I 7. EAST OF 101 SEWER IMPROVEMENTS 8. SEISMIC UPGRADE OF WATER QUALITY CONTROL PLANT AND PUMP STAIlONS 9. AIRPORT BOULEVARD SEWER BYPASS 10. OUTFALL REPAIR PROJECT 12. WINSTON MANOR SEWER REPAIR 13. 'A" STREET SANITARY SEWER 14. CALIFORNIA AVENUE SEWER REPAIR 15. EAST HAP. RIS SEWER REPAIR 16. FRANCISCO DRIVESEWER 17. PUMP STATION #3 AND SWIFTAVENUE SEWER IMPROVEMENTS SANITARY SEWER - PROJECT DESCRIPTIONS ITEM NO. 1- WATER (~UALtTY (~ONTROL PLANT EXPANSION THIS PROJECT UPGRADED THE TREATMENT PLANT. ITEM NO. 2 - PUMP STATION RENOVATION THIS PROJECT WILL CONTINUE THE REHABILITATION AND UPGRADING OF THE CITY'S PUMPING STATIONS TO ENSURE THAT EXISTING PUMP FACILITIES CAN ADEQUATELY TRANSPORT THE CITY'S WASTEWATER FLOWS. ITEM NO. 3 - MANHOLE REPAIR PROGRAM THiS PROGRAM WILL REPAIR OLD BRICK CONSTRUCTED MANHOLES THAT HAVE DAMAGED BOTTOMS OR HAVE SEVERE INFLOW PROBLEMS. TYPICALLY, LINING OR COATING OF THE INTERIOR BARREL IS REQUIRED. LOCATIONS ARE LIMITED TO DOWNTOWN AREA ONLY. ITEM NO. 4 - SANITARy SEWER INSPECTION THIS PROGRAM WILL CONDUCT INLINE VIDEO INSPECTIONS TO DETERMINE THE STRUCTURAL AND ALIGNMENT CONDITION OF THE IN PLACE PIPE. CAMERA REQUIREMENTS VARY AS DOES THE LENGTH OF THE RUNS. VIDEOS WILL HELP MAINTENANCE DETERMINE REPAIR/REPLACEMENT OPTIONS. ITEM NO. 5 - BLOWER BUILDING AIR CONDITIONING THIS PROJECT WILL REPLACE TWO ROOF-MOUNTED SWAMP COOLERS THAT HAVE BECAME CORRODED AND HAVE NUMEROUS LEAKS. ITEM NO. 6 - WET WEATHER PROGRAM, PHASE I THIS PROJECT CONSIST OF UPGRADING SAN MATEO PUMP STATION, NEW SHAW ROAD PUMP STATION, TWO ( 2 ) NEW SHAW ROAD AND LOWRIE AVENUE FORCE MAINS PLUS STORAGE POND AND OTHER E:NGINEERING DIVISION FISCAL YEAR 2004-2005 Page 1 - Sanitary Sewer CAPITAL IMPROVEMENT PROGRAM SANITARY SEWER 1 ITEM NO. 2 3 4 5 6 7 8 9 10 11 PROJECT NAME & NUMBER WATER QUALITY CONTROL PLANT EXPANSION (71-13234-9742) PUMP STATION RENOVATION (71-13235-0053) FrY 04-05 FY 05-06 FY 06-07 FY 07-08 FY 08-09 MANHOLE REPAIR PROGRAM (71-13235-9751) 106,862 SANITARY SEWER INSPECTION (71-13235-0051) PROJECT COSTS BLOWER BUILDING AIR CONDITIONING (71-13235-0251) 70,333 50,000 50,000 50,000 50,000 WET WEATHER PROGRAM, PHASE 1 SHAW ROAD PUMP STATION SHAW ROAD FORCE MAIN SAN MATEO PUMP STATION LOWRIE AVENUE FORCE MAIN EFFLUENT STORAGE BASIN/OTHER (71-13235-0351 ) (TOTAL PROJECT COST: $ 24,197,335) 55,970 20,000 20,000 20,000 20,000 PAGE SUBTOTAL 50,472 20,000 20,000 20,000 20,000 FUNDING PRIOR YEAR AVAILABLE METHOD PRIOR YEAR SE 168,000 SE 76,160 SE 55,970 SE 85,543 APPROPRIATION 106,862 70,333 100,000 SE 100,000 18,388,563 18,772,200 90,000 90,000 90,000 90,000 SE 11,000,000 18,388,563 B/L 11,485,673 CI= CAPtTALIMPROVEMENT FUNDS DP = DEVELOPER FEES SB = SAN BRUNO SHARE GR = GRANTS TIF = TRAFFIC IMPACT FEE SW = STORM WATER FUND B = BONDS MA= MEASURE A GT = GAS TAX CS = CITY SERVICES FUN[) GTW =GATEWAYASSESSMENT RDA=REDEVELOPMENTAGENCY SE=SEWER ENTERPRISE FUND PD = PARKING DISTRICT PROP12=PROPOSITION12GRANTFUNDING g:/cip 04-05/cip-fy 04-05 SANITARY SEWER - PROJECT DESCRIPTIONS ITEM NO. 7 - EAST OF 101 SEWER IMPROVEMENTS PHASE I/PRIORITY 1 (WET WEATHER PROGRAM PHASE IV) THIS PROJECT CONSIST OF UPGRADING THE PUMP STATION # 4. ITEM NO. 8 - SEISMIC UPGRADE OF WATER QUALITy CONTROL PLANT AND PUMP STATIONS (WET WEATHER PROGRAM PHASE II) THIS PROJECT WILL SEISMICALLY UPGRADE THE WATER QUALITY CONTROL PLANT AND ASSOCIATED PUMP STATIONS BASED UPON THE SEISMIC VULNERABILITY OF THE WASTEWATER SYSTEM STUDY BY EARTH QUICK ENGINEERING. ITEM NO. 9 ' AIRPORT BOULEVARD SEWER BYPASS/WET WEATHER PROGRAM, PHASE II) THIS PROJECT WiLL BE DONE UNDER WET WEATHER PROGRAM PHASE II AND WILL EVALUATE THE EXISTING SEWER SYSTEM ON AIRPORT BOULEVARD FROM CHAPMAN AVENUE TO ARMOUR AVENUE. THE EXISTING 8" LINE IS UNDER CAPACITY DURING PEAK STORM EVENTS. THiS PROJECT WILL ANALYZE AND PRESENT VARIOUS ALTERNATIVES TO IMPROVING THE SYSTEM IN THE AREA. ITEM NO. 10 - OUTFALL REPAIR pROJECT THIS PROJECT WILL PERMANENTLY REPAIR THE CRACK IN THE OUTFALL LINE LEADING iNTO THE BAY. ITEM NO. 11 - STRUCTURAL REPAIR/SEWER REHABILITATION IMPROVEMENTS_ THIS PROJECT WiLL DESIGN AND CONSTRUCT VARIOUS REPAIR AND IMPROVEMENTS THROUGHOUT THE SANITARY SYSTEM. ($500,000/YEAR FOR NEXT 19 YEARS). ITEM NO. 12 - WINSTON MANOR SEWER REPAIR (WET WEATHER PROGRAM - PHASE II) THE SANITARY SEWER LINE WHICH STARTS AT THE INTERSECTION OF HICKEY BOULEVARD AND CAMARITAS AVENUE TO EL CAMINO REAL HAS ROOT INTRUSION WHICH DAMAGED THE PIPE AND THE LINE HAS SE"FTLED. DUE TO POOR ACCESSIBILITY, MAINTENANCE IS DIFFICULT. REHABILITATION OR REPLACEMENT IS REQUIRED. VARIOUS FORMS OF TRENCHLESS METHODS WILL BE EVALUATED TO REPLACE THIS LINE. ITEM NO. 13 - "A" STREET SANITARY SEWER DURING WET WEATHER EVENTS, THE SANITARY LINE ON FIRST STREET SURCHARGES WHICH CAUSED OVERFLOWS IN THE "A" STREET LINE. THIS PROJECT WILL iNCREASE LINE SIZES TO HANDLE THE FLOWS. ENGINEERING DIVISION FISCAL YEAR 2004-2005 Page 2 - Sanitary Sewer CAPITAL IMPROVEMENT PROGRAM SANITARY SEWER 1 IITEM NO. 2 3 4 5 6 7 8 9 10 11 PROJECT NAME & NUMBER FY 04-05 FY 05-06 FY 06-07 FY 07-08 FY 08-09 PROJECT COSTS 7 EAST OF 101 SEWER IMPROVEMENTS 14,876,944 PHASE 1/PRIORITY 1 (WET WEATHER PROGRAM PHASE IV) (71-13235-0352) (TOTAL PROJECT COST: $15,000,000) 8 SEISMIC UPGRADE OF WATER QUALITY CONTROL 550,000 PLANT AND PUMP STATIONS 0NET WEATHER PROGRAM PHASE II) (71-13235-0555) AIRPORT BOULEVARD SEWER BYPASS (WET WEATHER PROGRAM, PHASE II) (71-13235-0556) 566,264 3,373,736 10 OUTFALL REPAIR PROJECT 100,000 (71-13235-0550) STRUCTURAL REPAIR/SEWER REHABILITATION IMPROVEMENTS WINSTON MANOR SEWER REPAIR (WET WEATHER PROGRAM, PHASE II) (71-13235-0557) 500,000 500,000 500,000 500,000 100,000 326,000 11 FUNDING METHOD B/L 13,100,000 DP 1,900,000 SE B/L SE B/L SE SE SE ;B/L 12 13 "A" STREET SANITARY SEWER 100,000 (71-13235-0551 ) SE PAGE SUBTOTAL 16,293,208 4,199,736 500,000 500,000 500,000 15,000,000 14,876,944 PRIOR YEAR ;APPROPRIATION APPROPRIATION CI=CAPITALIMPROVEMENTFUNDS DP=DEVELOPERFEES SB = SAN BRUNO SHARE GR=GRANTS TIF=TRAFFICIMPACTFEE SW =STORM WATER FUND B~=BONDS~OANS MA= MEASUREA GT= GASTAX CS=CITYSERVICESFUND GTW = GATEWAY ASSESSMENT RDA=REDEVELOPMENTAGENCY SE=SEWER ENTERPRISE FUND PD = PARKING DISTRICT PROP12=PROPOSITION12GRANTFUNDING g:/cip 04-05/cip-fy 04~05 SANITARY SEWER - PROJECT DESCRIPTIONS ITEM NO. 14 - CALIFORNIA AVENUE SEWER REPAIR THIS PROJECT Will REHABILITATE OR REPLACE THE LINE DEPENDING UPON EVALUATION OF THE MOST COST-EFFECTIVE SOLUTION. ITEM NO. 15 - EAST HARRIS SEWER REPAIR THIS SEWER LINE BETWEEN HARBOR AND LAWRENCE AVENUES REQUIRES REHABILITATION OR REPLACEMENT DUE TO DIFFERENTIAL SETTLEMENT. SETTLEMENT REDUCES THE CAPACITY OF THE LINE AND INCREASES MAINTENANCE REQUIREMENTS. THE SEWER LINE WILL BE INSPECTED BY VIDEO TO ESTABLISH THE NEEDED WORK PRIOR TO FINAL DESIGN. ITEM NO. 16 - FRANCISCO DRIVE SEWER REHABILITATION OF A DETERIORATED AND SAGGED SEWER LINE WHICH REQUIRES CONTINUAL AND HEAVY MAINTENANCE REQUIREMENTS. LINE SECTION STARTS FROM THE CORNER OF FRANCISCO DRIVE AND SONORA AVENUE AND ENDS 900 FEET DOWN STREAM. THE LINE WILL BE RETURNED TO ITS PROPER GRADE. ITEM NO 17 - PUMP STATION # 3 AND SWIFT AVENUE SEWER IMPROVEMENTS THIS PROJECT WILL UPGRADE SANITARY SEWER PUMP STATION NO. 3 AND CORRECT DEFICIENCIES IN THE SEWER LINE IN SWIFT AVENUE. ITEM NO. 18 - LINDENVILLE SEWER/STORM REHABILITATION {WET WEATHER PROGRAM PHASE V) THE PROJECT WILL CONSIST OF NEW STORMWATER INTERCEPTORS ALONG THE SOUTH MAPLE AVENUE, VICTORY AVENUE AND SOUTH LINDEN AVENUE AND A NEW PUMP STATION. ENGINEERING DIVISION FISCAL YEAR 2004-2005 Page 3 - Sanitary Sewer CAPITAL IMPROVEMENT PROGRAM SANITARY SEWER 1 2 3 4 5 6 7 8 9 10 11 IITEM NO. PROJECTNAME& NUMBER FY 04-05 FY 05-06 FY 06-07 FY 07-08 FY 08-09 14 CALIFORNIA AVENUE SEWER REPAIR 100,000 (71-13235-0552) 15 EAST HARRIS SEWER REPAIR (71-13235-0553) 16 FRANCISCO DRIVE SEWER (71-13235-0554) PUMP STATION # 3 AND SWIFT AVENUE SEWER IMPROVEMENTS (71-13235-0558) PROJECT COSTS 60,000 250,000 75,000 225,000 METHOD PRIOR YEAR SE 17 1,500,000 1,500,000 SE SE RDA DP 18 LINDENVILLE SEWER/STORM REHABILITATION 7,412,597 (WET WEATHER PROGRAM PHASE V) (71-13235-0455) (TOTAL PROJECT COST $ 8,030,000) B/L 697,000 SE PAGESUBTOTAL 9,147,597 1,975,000 0 0 0 APPROPRIATION 697,000 79,597 TOTAL 44,213,005 6,264,736 590,000 590,000 590,000 CI= CAPITALIMPROVEMENT FUNDS DP = DEVELOPER FEES SB = SAN BRUNO SHARE GR = GRANTS TIF=TRAFFICIMPACTFEE SW =STORM WATER FUND B~=BONDS~OANS MA=MEASUREA GT= GAS TAX CS= CITY SERVICESFUND GTW =GATEWAYASSESSMENT RDA=REDEVELOPMENTAGENCY SE=SEWER ENTERPRISE FUND PD= PARKING DISTRICT PROP12=PROPOSITION12GRANTFUNDING g:/cip 04-05/cip-fy 04-05 PUBLIC FACILI'FIES I.CITY FACILITY/BUILDING MAIN'FFLNAN('E 6 traIN STA HON 2. CAPITAL IMPROVEMENT PROGRAM $11IDY '7 MSI~ WAI,I, I.FAKS 3. ROOF INSTALLATION ~. 1111 lf)NItOIFI, SIII 4. EMERGENCY GENERATOR REPLACEMENF:UPGRAI)E 9, DAY CARE FACII.IHFS 5. INSTALL ADA IMPROVEMENTS AT CITY BUll. DINGS 15. MISCEI_.LANEOUS LAND AQUISITION 16 PAINTING OF CITY BUII,DINGS 18. NEW FIRE STATION NO, 61 ADMINISTRATION OFFICES AND TRAINING FACILITY 22 NEW CITY PARKING LOT 10, OYSTI R POINF MARINA REMEDtA'FION 11 BICYCI E EOCKI~R RFtIABII,II'A HON PROGRAM t2 SAN MA I EO tlf~/JSING PROJECT 13. AGENCY BUII.I)ING IMPROVEMENTS PUBLIC FACILITIES - PROJECT DESCRIPTIONS ITEM NO. 1 - CITY FACILITY/BUILDING MAINTENANCE THIS PROGRAM WILL ALLOW FOR THE REPLACEMENT OF ROOFS, PAINTING, WINDOW REPLACEMENTS, FLOOR TREATMENT AND MISCELLANEOUS WORK AS NEEDED TO KEEP BUILDING IN SAFE AND HABITABLE CONDITION. PUBLIC COUNTER RECONFIGURATION IS INCLUDED IN THIS PROJECT. ITEM NO. 2 - CAPITAL IMPROVEMENT PROGRAM STUDY THIS PROJECT FUNDS PREPARATION OF THE CAPITAL IMPROVEMENT PROGRAM. ITEM NO. 3 - ROOF INSTALLATION THIS PROJECT WILL INSTALL ROOFING AT VARIOUS CITY BUILDINGS AS NEEDED ITEM NO. 4 - EMERGENCY GENERATOR REPLACEMENT/UPGRADE PROGRAM THIS PROGRAM WILL ALLOW FOR THE REPLACEMENT AND INSTALLATION OF UPDATED EQUIPMENT FOR THE GENERATION OF EMERGENCY POWER FOR BUILDINGS DUE TO POWER OUTAGES. THIS YEAR A NEW GENERATOR WILL BE INSTALLED AT CORPORATION YARD AND EXISTING GENERATOR AT CORPORATION YARD WILL BE INSTALLED AT FIRE STATION 64. ITEM NO. 5 - INSTALL ADA IMPROVEMENTS AT CITY BUILDINGS THIS PROJECT WILL INSTALL ADA RELATED ACCESS/USE IMPROVEMENTS TO VARIOUS BUILDING LOCATIONS THROUGHOUT THE CITY AS NEEDED. ITEM NO. 6 - TRAIN STATION THIS PROJECT WILL STUDY THE EFFECTS THE TRAIN STATION RELOCATION WILL HAVE ON CITY FACILITIES AND IMPROVE THE INTERFACE WITH CALTRAIN TO ENSURE THE NEEDS OF THE CITY, COMMUNITY AND BUSINESSES ARE MET. ITEM NO. 7 - MSB WALL LEAKS THIS PROJECT IS A CONTINUATION FROM WORK DONE IN PREVIOUS YEARS AND WILL SEAL GARAGE BASEMENT WALLS AND PROVIDE PROPER DRAINAGE FOR THE LANDSCAPE AREA ALONG ARROYO DRIVE. ONE PLANTER HAS BEEN SEALED. ITEM NO. 8 - HILTON HOTEL SITE REMEDIATION THiS PROJECT WILL REMEDIATE THE LANDFILL BETWEEN GULL DRIVE AND MARINA BOULEVARD. TOXIC REMEDIATION, METHANE BARRIERS AND MONITORING ARE PART OF THE PROJECT. ENGINEERING DIVISION FISCAL YEAR 2004-2005 Page 1 - Public Facilities CAPITAL IMPROVEMENT PROGRAM PUBLIC FACILITIES 1 IITEM NO. 2 3 4 5 6 7 8 9 10 11 PROJECTNAME&NUMBER FY 04-05 FY 05-06 FY 06-07 FY 07-08 FY 08-09 PROJECT COSTS 1 CITY FACILITY/BUILDING MAINTENANCE 50,000 50,000 50,000 50,000 50,000 (51-13232-0221 ) 2 CAPITAL IMPROVEMENT PROGRAM STUDY 18,000 24,000 24,000 24,000 (51-13232-0021) 24,000 3 ROOF INSTALLATION 60,000 60,000 60,000 60,000 60,000 (51-13232-0520) 4 EMERGENCY GENERATOR REPLACEMENT/UPGRADE 96,092 100,000 100,000 50,000 PROGRAM (51-13232-0224) 5 INSTALL ADA IMPROVEMENTS AT CITY BUILDINGS 50,000 25,000 25,000 25,000 (51-13232-0524) 6 TRAIN STATION 75,000 (51-13232-0320) 7 MSB WALL LEAKS 25,000 (51-13232-0220) 8 HILTON HOTEL SITE REMEDIATION 10,382 (51-13231-0015) METHOD YEAR PRIOR YEAR i!APPROPRIATION I APPROPRIATI CI 44,740 0 CI 6,000 0 GT 6,000 0 MA 6,000 0 SE 6,OO0 0 CI 0 0 CI 66,092 66,092 SE 10,000 10,000 CI 0 0 RDA 0 0 B 75,000 75,000 CI 25,000 25,000 CI 100,000 10,382 I PAGE SUBTOTAL 384,474 259,000 259,000 209,000 134,000 344,832 186,474 CI = CAPITAL IMPROVEMENT FUNDS GR = GRANTS MA = MEASURE A RDA = REDEVELOPMENT AGENCY DP = DEVELOPER FEES TIF = TRAFFIC IMPACT FEE GT = GAS TAX SE = SEWER ENTERPRISE FUND SB = SAN BRUNO SHARE SW = STORM WATER FUND CS = CITY SERVICES FUND PD = PARKING DISTRICT SWRP = SOLID WASTE REDUCTION PROGRAM B = BONDS GTW = GATEWAY ASSESSMENT PROP 12 = PROPOSITION 12 GRANT FUNDING ON g:/cip 04-05/form_cip-fy 04-05 PUBLIC FACILITIES - PROJECT DESCRIPTIONS ITEM NO. 9 - DAY CARE FACILITIES THIS PROJECT WILL PROVIDE DAY CARE FACILITIES IN THE GATEWAY REDEVELOPMENT AREA, FUNDED BY 1999 GATEWAY RDA BOND PROCEEDS. ITEM NO. 10 - OYSTER POINT MARINA REMEDIATION THIS PROJECT WILL REMEDIATE CLAY CAP AT THE MARINA. ITEM NO. 11 - BICYCLE LOCKER REHABILITATION PROGRAM THIS PROGRAM WILL PROVIDE FOR MAINTENANCE OF THE EXISTING BICYCLE LOCKERS AT CITY HALL AND THE CORPORATION YARD. ITEM NO. 12 - SAN MATEO COUNTY HOUSING PROJECT THE REDEVELOPMENT AGENCY HAS SEVERAL LOW-TO-MODERATE HOUSING PROJECTS WHICH THIS PROJECT WILL FUND. ITEM NO. 13 - AGENCY BUILDING IMPROVEMENTS THIS PROJECT IS FUNDED BY THE REDEVELOPMENT AGENCY AND WILL REHABILITATE SEVERAL BUILDINGS IN THE DOWNTOWN AREA. ITEM NO. 14 - FIRE STATION 65 EXTERIOR REPAIRS THE PROJECT WILL REPAIR/REPLACE EXISTING STUCCO WALL ON THE SOUTH SIDE AND ON THE WALKWAY, EXTERIOR AND INTERIOR PAINTING, CABINETS, SANDBLAST AND POWDER COAT GATES, GAS PUMP, INSTALL SUBSURFACE DRAINAGE SYSTEM, INSTALL HOT WATER CIRCULATION SYSTEM, CLEAN FURNACE AND DUCTS, TILE WORK. ITEM NO. 15 - MISCELLANEOUS LAND ACQUISITION THIS PROJECT WILL ALLOCATE FUNDING FOR UNDESIGNATED LAND PURCHASES FOR HOUSING. ITEM NO. 16 - PAINTING OF CITY BUILDING PAINTING OF VARIOUS CITY BUILDINGS AS NEEDED. ITEM NO. 17 - CITY HALL ANNEX EXPANSION THE PROJECT WILL STUDY THE FEASIBILITY OF EXPANDING THE CITY HALL ANNEX BUILDING ON THE NEEDS OF BUILDING/FIRE PREVENTION, ENGINEERING AND PLANNING DIVISION. ENGINEERING DIVISION FISCAL YEAR 2004-2005 Page 2 - Public Facilities CAPITAL IMPROVEMENT PROGRAM PUBLIC FACILITIES 1 IITEM NO. 2 3 4 5 6 7 8 9 10 11 PROJECTNAME& NUMBER 9 DAY CARE FACILITIES (51-13232-0225) (TOTAL PROJECT COST: $ 3,000,000) 10 OYSTER POINT MARINA REMEDIATION (51-13232-0410) 11 BICYCLE LOCKER REHABILITATION PROGRAM (51-13232-0020) 12 SAN MATEO COUNTY HOUSING PROJECT (51-13232-0450) (TOTAL PROJECT COST: $ 3,500,000) 13 AGENCY BUILDING IMPROVEMENTS (51-13232-0451 ) 14 FIRE STATION 65 EXTERIOR REPAIRS FY 04-05 FY 05-06 FY 06-07 FY 07-08 FY 08-09 PROJECT COSTS 498,044 329,427 7,687 2,500,000 1,000,000 35,000 1,000,000 500,000 15 MISCELLANEOUS LAND ACQUISITION 6,500,000 (51-13232-0452) (TOTAL PROJECT COST: $ 7,500,000) 16 PAINTING OF CITY BUILDING 50,000 50,000 50,000 50,000 50,000 (51-13232-0522) FUNDING PRIOR AVAILABLE !!i~ ?,il ! UE~':!iiiii !!i! iill METHOD YEAR PRIOR YEAR ii APPROPRIATiON i~ APPROPRIATION RDA/B 2,990,000 498,044 !'~!~;~:~[~;~[[~!~:~+~[~ SWRP 400,000 329,427 G R 10,000 7,687 RDA 1,000,000 1,000,000 RDA 500,000 500,000 RDA 3,000,000 3,000,000 17 CITY HALL ANNEX EXPANSION 100,000 400,000 400,000 CI 0 0 CI I PAGE SUBTOTAL 10,385,158 2,085,000 150,000 450,000 450,000 7,900,000 5,335,158 CI = CAPITAL IMPROVEMENT FUNDS GR = GRANTS MA = MEASURE A RDA = REDEVELOPMENT AGENCY DP = DEVELOPER FEES TIF = TRAFFIC IMPACT FEE GT = GAS TAX SE = SEWER ENTERPRISE FUND SB = SAN BRUNO SHARE SW = STORM WATER FUND CS = CITY SERVICES FUND PD = PARKING DISTRICT SWRP = SOL D WASTE REDUCTION PROGRAM B = BONDS GTW = GATEWAY ASSESSMENT PROP 12 = PROPOSITION 12 GRANT FUNDING g:/cip 04-05/form_cip-fy 04-05 PUBLIC FACILITIES - PROJECT DESCRIPTIONS ITEM NO. 18 - NEW FIRE STATION NO. 61 ADMINISTRATION OFFICES AND TRAINING FACILITY THIS PROJECT WILL RENOVATE THE FACILITY ACQUIRED AT THE INTERSECTION OF NORTH CANAL STREET AND SOUTH SPRUCE AVENUE FOR FIRE STATION 61, ADMINISTRATION OFFICES AND A TRAINING FACILITY. ITEM NO. 19 - WESTBOROUGH RECREATION CENTER HVAC INSTALLATION THIS PROJECT WILL INSTALL AIR CONDITIONING AT THE WESTBOROUGH CENTER TO KEEP THE BUILDING IN A MORE HABITABLE CONDITION FOR THE VARIOUS USES. ITEM NO. 20 - CITYWIDE SPACE ANALYSIS THIS PROJECT WILL STUDY THE SPACE REQUIREMENTS FOR ALL CITY DEPARTMENTS. ITEM NO. 21 - NEW LIBRARY THIS PROJECT WILL CONSTRUCT A NEW LIBRARY TO ADEQUATELY SUPPORT THE NEEDS OF THE COMMUNITY. ITEM NO. 22 - NEW CITY PARKING LOT THIS PROJECT WILL DEMOLISH THE EXISTING BUILDINGS AND CONVERT 178-190 AIRPORT BOULEVARD TO A CITY PARKING LOT. ENGINEERING DIVISION FISCAL YEAR 2004-2005 Page 3 - Public Facilities CAPITAL IMPROVEMENT PROGRAM PUBLIC FACILITIES 1 2 3 4 5 6 7 8 9 10 11 IITEM NO. PROJECTNAME&NUMBER FY 04-05 FY 05-06 FY 06-07 FY 07-08 FY 08-09 PROJECT COSTS 18 NEW FIRE STATION NO. 61, ADMINISTRATION 1,000,000 OFFICES AND TRAINING FACILITY (51-13232-9921) 19 WESTBOROUGH RECREATION CENTER HVAC 100,000 INSTALLATION 20 CITY~NIDE SPACE ANALYSIS 21 NEW LIBRARY 75,000 22 NEW CITY PARKING LOT 300,000 FUNDING PRIOR AVAILABLE METHOD YEAR PRIOR YEAR i?APPROPRIATtONI APPROPRIATION RDA 5,000,000 0 TBD TBD 30,000,000 TBD RDA PAGE SUBTOTAL 1,300,000 175,000 0 0 30,000,000 5,000,000 TOTAL 12,069,632 2,519,000 409,000 659,000 30,584,000 CI= CAPITALIMPROVEMENT FUNDS DP = DEVELOPER FEES SB = SAN BRUNO SHARE SWRP= SOL D WASTE REDUCT ON PROGRAM GR = GRANTS TIF=TRAFFICIMPACTFEE SW =STORM WATER FUND B=BONDS MA= MEASUREA GT= GAS TAX CS=CITYSERVICESFUND GTW = GATEWAYASSESSMENT RDA=REDEVELOPMENTAGENCY SE = SEWER ENTERPRISE FUND PD=PARKING DISTRICT PROP12=PROPOSITION12GRANTFUNDING g:/cip 04-05/form_cip-fy 04-05 1, VARIOUS CiTY GREEN SPOTS 2. WESTBOROUGH LANDSCAPE IMPROVEMENTS 3. LINEAR PARK TRAIL 4, GATEWAY BOULEVARD ISLAND IMPROVEMENTS PARKS 5. COMMON GREENS IRRIGATION R/EPAIRPROGRAM 6. COMMON GREENS TREE REMED[ATION 7. EL CAMINO REAL CORRIDOR IMPROVEMENTS PARKS - PROJECT DESCRIPTIONS ITEM NO. 1 - VARIOUS CITY GREEN SPOTS THIS PROJECT WOULD LANDSCAPE VARIOUS GREEN SPOTS AND MEDIAN ISLANDS AROUND THE CITY. ITEM NO. 2- WESTBOROUGH LANDSCAPE IMPROVEMENT THIS PROJECT WILL DESIGN NEW LANDSCAPING AND IRRIGATION ON THE MEDIANS OF GELLERT BOULEVARD AND WESTBORQUGH BOULEVARD. ITEM NO. 3- ~-INEAR PARK TRAII~ DESIGN DEVELOPMENT, TO INCLUDE ENGINEERING FOR CIVIL, TRAFFIC, STRUCTURAL, AND GEOTECHNICAL; CONSTRUCTION DOCUMENTS FOR THREE SEGMENTS: ORANGE NORTH, SPRUCE TO ORANGE, HUNTINGTON TO SPRUCE; BIDDING AND CONSTRUCTION ADMINISTRATION FOR CONSTRUCTION OF THE LINEAR PARK. THIS WILL ALLOW TO PROGRESS ON CONSTRUCTION OF THE LINEAR PARK AS DEVELOPER FEES AND/OR GRANT FUNDS BECOME AVAILABLE. ITEM NO. 4 - GATEWAY BOULEVARD ISLAND IMPROVEMENTS THIS PROJECT WiLL PROVIDE MEDIAN IMPROVEMENTS ON GATEWAY BOULEVARD, NORTH OF THE GATEWAY/EAST GRAND INTERSECTION. ENGINEERING DIVISION FISCAL YEAR 2004-2005 Page 1 - Parks CAPITAL IMPROVEMENT PROGRAM PARKS 1 IITEM NO. 2 3 4 5 6 7 PROJECT NAME & NUMBER VARIOUS CITY GREEN SPOTS (51-13232-0116) FY 04-05 FY 05-06 FY 06-07 FY 07-08 FY 08-09 PROJECT COSTS WESTBOROUGH LANDSCAPE IMPROVEMENT (51-13232-0117) 9,650 50,000 50,000 50,000 50,000 3 LINEAR PARK TRAIL (51-13232-0523) 26,800 417,000 3,000,000 3,000,000 GATEWAY BOULEVARD ISLAND IMPROVEMENTS (51-13232-0032) 50,000 8 9 10 11 FUNDING PRIOR AVAILABLE METHOD YEAR PRIOR YEAR Cl CI 26,800 DP ~TW APPROPRIATION PAGE SUBTOTAL 503,450 3,050,000 3,050,000 50,000 50,000 CI= CAPITALIMPROVEMENTFUNDS DP= DEVELOPER FEES SB = SAN BRUNO SHARE GR = GRANTS TIF=TRAFFICIMPACTFEE SW =STORM WATER FUND B=BONDS MA= MEASUREA GT=GASTAX CS=CITYSERVICESFUND GTW =GATEWAYASSESSMENT RDA = REDEVELOPMENT AGENCY SE = SEWER ENTERPRISE FUND PD = PARKING DISTRICT PROP 12 = PROPOSITION 12 GRANT FUNDING g:/cip 04-05/form_cip-fy 04-05 PARKS - PROJECT DESCRIPTIONS ITEM NO. 5 - COMMON GREENS IRRIGATION REPAIR PROGRAM THE PROJECT WILL REPAIR AND REPLACE IRRIGATION SYSTEMS/COMPONENTS WITHIN THE COMMON GREENS AS REQUIRED. ITEM NO. 6 - COMMON GREENS TREE REMEDIATION THE PROJECT WILL REMOVE, THIN, TRIM OR REPLACE NECESSARY TREES WITHIN THE COMMON GREENS ITEM NO. 7 - EL CAMINO REAL CORRIDOR IMPROVEMENTS THIS PROJECT WILL DEVELOPE CONCEPTUAL PLANS FOR IMPROVING AND BEAUTIFYING EL CAMINO REAL WITHIN THE CITY LIMITS. ENGINEERING DIVISION FISCAL YEAR 2004-2005 Page 2 - Parks CAPITAL IMPROVEMENT PROGRAM PARKS 1 ITEM NO, PAGE SUBTOTAL 2 3 4 5 6 7 8 PROJECT NAME & NUMBER COMMON GREENS IRRIGATION REPAIR PROGRAM (51-13232-0321 ) COMMON GREENS TREE REMEDIATION (51-13232-0322) EL CAMINO REAL CORRIDOR IMPROVEMENTS (51-13232-0521 ) FY 04-05 FY 05-06 FY 06-07 FY 07-08 FY 08-09 PROJECT COSTS 75,000 25,000 25,000 25,000 25,000 75,000 25,000 25,000 25,000 25,000 80,000 FUNDING METHOD CG 9 10 11 PRIOR AVAILABLE YEAR YEAR PRIOR APPROPRIATION 230,000 50,000 50,000 50,000 50,000 CG 75,000 75,000 RDA 150,000 150,000 TOTAL 733,450 3,100,000 3,100,000 100,000 100,000 Cl= CAPITALIMPROVEMENT FUNDS DP = DEVELOPER FEES SB= SAN BRUNO SHARE CG = COMMON GREENS ASSESSMENTS GR=GRANTS TIF=TRAFFICIMPACTFEE SW =STORM WATER FUND B=BONDS MA = MEASURE A GT = GAS TAX CS = CITY SERVICES FUND GTW = GATEWAY ASSESSMENT RDA = REDEVELOPMENT AGENCY SE = SEWER ENTERPRISE FUND PD = PARKING DISTRICT PROP 12 = PROPOSITION 12 GRANT FUNDING g:/cip 04-05/form_cip-fy 04-05 1. CITY-WIDE TRAFFIC MODEL 2. WESTBOROUGH BOULEVARD/GELLERTAND OLYMPIC DRIVE TRAFFIC IMPROVEMENT TRAFFIC 3. FORBES BOUI.EVARD/EC~:I,ES AVENUE 1KAFFIC SIGNAL 4. EL CAMINO REAL/ARLINGTON [)RIVE TRAFFIC SIGNAL 5 MISCEI,I,ANE()[~S TRAFFIC IMPROVEMENTS 6. tlICKEY F~OtI[,EVARD INTERCONNECT 7. GATEWAY BOULEVARD/EAST GRAND AVENUE TRAFFIC IMPROVEMENT 8. OPTICOM SYSTEM TRAFFIC - PROJECT DESCRIPTIONS ITEM NO. 1 - CITYWIDE TRAFFIC MODEL DEVELOP A CITY-WIDE TRAFFIC MODEL TO STUDY TRAFFIC CONGESTION IN THE CITY. ITEM NO. 2 - WESTBOROUGH BOULEVARD/GELLERT AND OLYMPIC DRIVE IMPROVEMENTR THIS PROJECT WILL PROVIDE TRAFFIC IMPROVEMENTS RELATED TO THE MARBELLA PROJECT. ITEM NO. 3 - FORBES BOULEVARD/ECCLES AVENUE TRAFFIC SIGNAl, INSTALL A NEW TRAFFIC SIGNAL AT THE INTERSECTION OF FORBES BOULEVARD AND ECCLES AVENUE. ITEM NO. 4 - EL CAMINO REAL/ARLINGTON DRIVE TRAFFIC SIGNAl CITY'S SHARE OF CALTRAN'S INSTALLED SIGNAL. ITEM NO. 5 - MISCELLANEOUS TRAFFIC IMPROVEMENTS FUNDS MINOR TRAFFIC IMPROVEMENTS, TRAFFIC ADVISORY COMMITTEE, AUDIBLE PEDESTRIAN UNITS AT INTERSECTIONS, BICYCLE ADVISORY COMMITTEE AND TDA PROJECTS. ITEM NO. 6 - HICKEY BOULEVARD INTERCONNECT INTERCONNECT SIGNALS ALONG HICKEY BOULEVARD BETWEEN JUNIPERO SERRA BOULEVARD AND EL CAMINO REAL. ITEM NO. 7 - GATEWAY BOULEVARD/EAST GRAND AVENUE THIS PROJECT WILL PROVIDE INTERSECTION IMPROVEMENTS TO ACCOMMODATE FUTURE GROWTH. ITEM NO. 8 - OPTICOM SYSTEM THIS PROJECT WILL INSTALL OPTICOM SYSTEM (EMERGENCY VEHICLE ADVANCE WARNING SYSTEM) TO IMPROVE EMERGENCY RESPONSE TIMES AND REDUCE INTERSECTION ACCIDENTS INVOLVING EMERGENCY VEHICLES. ITEM NO. 9 - GRANDVIEW DRIVE/GRAND AVENUF THIS PROJECT WILL PROVIDE INTERSECTION IMPROVEMENTS TO ACCOMMODATE FUTURE GROWTH. ENGINEERING DIVISION FISCAL YEAR 2004-2005 Page 1 - Traffic CAPITAL IMPROVEMENT PROGRAM TRAFFIC 1 2 3 4 5 6 7 8 9 10 11 ITEM NO. PROJECTNAME&NUMBER I CITY~NIDE TRAFFIC MODEL 80,000 (51-13231-0312) 2 WESTBOROUGH BOULEVARD/GELLERT AND 180,000 OLYMPIC DRIVE TRAFFIC IMPROVEMENT (51-13231-0506) 3 FORBES BOULEVARD/ECCLES AVENUE TRAFFIC 270,000 SIGNAL (51-13231-0210) 4 EL CAMINO REAL/ARLINGTON DRIVE TRAFFIC SIGNAL 75,000 (51-13231-0206) FY 04-05 FY 05-06 FY 06-07 FY 07-08 FY 08-09 PROJECT COSTS 5 MISCELLANEOUS TRAFFIC IMPROVEMENTS 80,000 80,000 80,000 80,000 80,000 (51-13231-0012) 6 HICKEY BOULEVARD INTERCONNECT 45,000 (51-13231-0507) 7 GATEWAY BOULEVARD/EAST GRAND AVENUE 217,000 TRAFFIC IMPROVEMENT (51-13231-0400) 8 OPTICOM SYSTEM 50,000 (51-13231-0208) 9 GRANDVIEW DRIVE/GRAND AVENUE 594,000 PAGE SUBTOTAL 997,000 674,000 80,000 80,000 80,000 METHOD YEAR PRIOR YEAR il ~!~! APPROPRIATI GT 80,000 40,000 DP 0 0 GT MA 270,000 270,000 GT 65,000 65,000 RDA 10,000 10,000 GT 80,000 40,000 GT TIF 217,000 217,000 110,000 0 832,000 642,000 GTW TIF Cl= CAPITALIMPROVEMENT FUNDS DP = DEVELOPER FEES SB = SAN BRUNO SHARE TDA = TRANSPORTAT ON DEVELOPMENT ACT GR = GRANTS TIF=TRAFFICIMPACTFEE SW =STORM WATER FUND B=BONDS MA= MEASUREA GT= GAS TAX CS=CITYSERVICES FUND GTW =GATEWAYASSESSMENT RDA=REDEVELOPMENTAGENCY SE=SEWER ENTERPRISE FUND PD= PARKING DISTRICT PROP12=PROPOSITION12GRANTFUNDING g:/cip 04-05/form_cip fy 04-05 TRAFFIC - PROJECT DESCRIPTIONS ITEM NO. 10 - SOUTH AIRPORT BOULEVARD/UTAH AVENUE THIS PROJECT WILL PROVIDE INTERSECTION IMPROVEMENTS TO ACCOMMODATE FUTURE GROWTH. ITEM NO. 11 - AIRPORT BOULEVARD/MILLER AVENUE THIS PROJECT WILL ADD ANOTHER LEFT TURN LANE ON THE OFF-RAMP. ITEM NO. 12 - FORBES BOULEVARD/EAST GRAND AVENUE THIS PROJECT WILL PROVIDE INTERSECTION IMPROVEMENTS TO ACCOMMODATE FUTURE GROWTH. ITEM NO. 13 - GRAND/EAST GRAND THIS PROJECT WILL ADD AN ADDITIONAL RIGHT TURN LANE ONTO EAST-BOUND EAST GRAND AVENUE. ITEM NO. 14 - AIRPORT BOULEVARD AND SAN MATEO AVENUE THIS PROJECT WILL PROVIDE INTERSECTION IMPROVEMENTS TO ACCOMMODATE FUTURE GROWTH IN THE AREA. ITEM NO. 15 - AIRPORT BOULEVARD AND GRAND AVENUE THIS PROJECT WiLL ADD AN ADDITIONAL LEFT TURN LANE AT GRAND AVENUE TO WESTBOUND EAST GRAND AVENUE. ITEM NO. 16 - SOUTH AIRPORT BOULEVARD/MITCHELL AVENUE AND GATEWAY BOULEVARD THIS PROJECT WILL PROVIDE INTERSECTION IMPROVEMENTS TO ACCOMMODATE FUTURE GROWTH IN THE AREA. ITEM NO. 17 - BAYSHORE/AIRPORT/SISTER CITIES THIS PROJECT WILL PROVIDE INTERSECTION IMPROVEMENTS TO ACCOMMODATE FUTURE GROWTH. ITEM NO. 18 - ECCLES AVENUE AND OYSTER POINT BOULEVARD THIS PROJECT WILL PROVIDE INTERSECTION IMPROVEMENTS TO ACCOMMODATE FUTURE GROWTH, ITEM NO. 19 - SOUTH AIRPORT BOULEVARD HOOK RAMPS THIS PROJECT WILL ADD AN ADDITIONAL RIGHT TURN LANE TO THE HOOK RAMPS. ITEM NO.20 - DUBUQUE AVENUE/OYSTER POINT BOULEVARD THIS PROJECT WILL PROVIDE INTERSECTION IMPROVEMENTS TO ACCOMMODATE FUTURE GROWTH. ENGINEERING DIVISION FISCAL YEAR 2004-2005 Page 2- Traffic CAPITAL IMPROVEMENT PROGRAM 1 IITEM NO. TRAFFIC 2 3 4 5 6 7 8 9 10 11 PROJECT NAME & NUMBER FY 04-05 10 SOUTH AIRPORT BOULEVARD/UTAH AVENUE 11 AIRPORT BOULEVARD/MILLER AVENUE 12 FORBES BOULEVARD/EAST GRAND AVENUE 13 GRAND/EAST GRAND 14 AIRPORT BOULEVARD AND SAN MATED AVENUE 15 AIRPORT BOULEVARD AND GRAND AVENUE 16 SOUTH AIRPORT BOULEVARD/MITCHELL AVENUE AND GATEWAY BOULEVARD 17 BAYSHORE/AIRPORT/SISTER CITIES 18 ECCLES AVENUE AND OYSTER POINT BOULEVARD 19 SOUTH AIRPORT BOULEVARD HOOK RAMPS 20 DUBUQUE AVENUE/OYSTER POINT BOULEVARD FY 05-06 FY 06-07 FY 07-08 FY 08-0g 565,000 TIF TIF TIF TIF 785,000 TIF 947,000 TIF 1,946,000 TIF 333,000 421,000 TIF 1,386,000 TIF 924,000 TIF PROJECT COSTS 302,000 349,000 1,609,000 PRIOR YEAR AVAILABLE PRIOR YEAR APPROPRIATION FUNDING METHOD PAGE SUBTOTAL 0 2,260,000 0 565,000 6,742,000 0 0 i;~!~[!~ ! i![ti!~i~!~!:!:i!~i:I h il~!~!:iI Cl = CAPITAL IMPROVEMENT FUNDS GR = GRANTS MA = MEASURE A RDA = REDEVELOPMENT AGENCY DP = DEVELOPER FEES TIF = TRAFFIC IMPACT FEE GT = GAS TAX SE = SEWER ENTERPRISE FUND SB = SAN BRUNO SHARE SW = STORM WATER FUND CS = CITY SERVICES FUND PD = PARKING DISTRICT TDA = TRANSPORTATION DEVELOPMENT ACT B = BONDS GTW = GATEWAY ASSESSMENT PROP 12 = PROPOSITION 12 GRANT FUNDING g:/cip 04-05/form_cip fy 04-05 TRAFFIC - PROJECT DESCRIPTIONS ITEM NO. 21 - GULL DRIVE AND OYSTER POINT E, OUI-I~VARD THIS PROJECT WILL PROVIDE AN ADDITIONAL LEFT TURN LANE FROM GULL DRIVE TO OYSTER POINT BOULEVARD. ITEM NO. 22 - DUBUCIUE AVENUE AND EAST GRAND AVENUE THIS PROJECT WILL PROVIDE iNTERSECTiON IMPROVEMENTS TO ACCOMMODATE FUTURE GROWTH. ITEM NO, 23 - MITCHELL AVENUE THIS PROJECT WILL PROVIDE ROADWAY IMPROVEMENTS TO ACCOMMODATE FUTURE GROWTH. ITEM NO. 24 - HARBOR WAY THIS PROJECT WILL PROVIDE ROAD~VAY IMPROVEMENTS TO ACCOMMODATE FUTURE GROWTH. iTEM NO. 25 - BICYCLE DETECTION LOOPS THIS PROJECT WILL INSTALL BICYCLE DETECTION LOOPS AT EXISTING SIGNALS (9) WITHIN THE EAST OF 101 AREA, iTEM NO. 26- LINDEN/PINE SIGNAL THIS PROJECT WILL INSTALL A NEW TRAFFIC SIGNAL AT THE INTERSECTION OF LINDEN AND PINE AVENUE. CURRENTLY, THERE iS AN ALL-WAY STOP, !TEM NO. 27 - HIGHWAY 101 AND PRODUCE SIGNAL THIS PROJECT WILL INSTALL TRAFFIC SIGNALS AT PRODUCE AND THE SOUTHBOUND HIGHWAY 101 OFF RAMP. ITEM NO. 28- SIGN INVENTORY THIS PROJECT WILL PURCHASE SOFTWARE AND IMPLEMENT SIGN INVENTORY IN PREPARATION FOR MUTCD UPDATE. ITEM NO. 29 - MUTCD UPDATE THIS PROJECT WILL UPDATE ALL CITY SiGNS/MARKINGS TO CURRENT STATE STANDARDS. ENGINEERING DIVISION FISCAL YEAR 2004-2005 Page 3-Traffic CAPITAL IMPROVEMENT PROGRAM TRAFFIC 1 2 3 4 5 6 7 6 9 10 11 IITEM PROJECT NAME & NUMBER FY 04-05 FY 05-06 FY 06-07 FY 07-08 FY 06-09 FUNDING PRIOR NO. AVAILABLE METHOD YEAR PRIOR YEAR PROJECT COSTS APPROPRIATI 21 GULL DRIVE AND OYSTER POINT BOULEVARD 22 DUBUQUE AVENUE AND EAST GRAND AVENUE 23 MITCHELL AVENUE 24 HARBOR WAY 25 BICYCLE DETECTION LOOPS 26 LiNDEN/PINE SIGNAL 27 HIGHWAY 101 AND PRODUCE SIGNAL 28 SIGN INVENTORY 29 MUTCD UPDATE PAGESUBTOTAL 50,000 100,000 609,000 1,265,000 1,942,000 2,721,000 18,000 150,000 183,000 TIF TIF TIF TIF GT GT GT 0 50,000 100,000 0 6,888,000 0 0 ON TOTAL 997,000 2,984,000 180,000 645,000 13,710,000 832,000 642,000 CI=CAPITALIMPROVEMENTFUNDS DP=DEVELOPER FEES SB=SANBRUNOSHARE TDA=TRANSPORTATION DEVELOPMENT ACT GR = GRANTS TIF = TRAFFIC IMPACT FEE SW = STORM WATER FUND B = BONDS MA= MEASUREA GT= GAS TAX CS= CITYSERVICESFUND GTW = GATEWAY ASSESSMENT RDA = REDEVELOPMENT AGENCY SE = SEWER ENTERPRISE FUND PD = PARKING DISTRICT PROP 12 = PROPOSITION 12 GRANT FUNDING g:/cip 04-05/form_cip fy 04-05 2. FIBER NETWORK(MFIS) 3. GIS PHASEI INFORMATION TECilNOLOGY 4 I)I~AS~IER RE('OVERY PtANNING/PUR('IIASE 6. I!PGRADI! (TrY VOICE MAILSYS~EM 8. INTRANET-WEB PROJECq" 9. POLICE CAD/RMS AND FIRE RMS UPGRADE INFORMATION TECHNOLOGY - PROJECT DESCRIPTIONS ITEM NO. 1 - FINANCIAL AND HUMAN RESOURCES SOFTWARE THE PROJECT WILL REPLACE THE 18 YEARS OLD DOS BASED FINANCIAL SOFTWARE SYSTEM, AND WILL ACQUIRE A HUMAN RESOURCES MODULE THAT INTERFACE WITH THE FINANCIAL AND PAYROLL SYSTEM. PROJECT IS CURRENTLY ON HOLD. THE FOLLOWING IS AVAILABLE FUNDING FOR THIS PROJECT: REVELOPMENT AGENCY, SEWER ENTERPRISE FUND, COMMON GREENS FUND, BONDS, AIRCRAFT NOISE INSULATION PROJECT, AND SOLID WASTE ITEM NO. 2 - FIBER NETWORK {MFIS) THE PROJECT WILL BE FOR EQUIPMENT FOR THE FIBER OPTIC NETWORK. IT WOULD BE EXPECTED TO COMPLETE THE REMAINING WORK STARTED BY RCN ITEM NO. 3- GIS PHASE I THE PROJECT WOULD START THE BASE GIS FOUNDATION AND RELIABLE DATABASE THAT CAN BE INTEGRATED TO EXISTING CITY SOFTWARE, THE RDA FUNDS ARE FROM THE INFORMATION TECHNOLOGY OPERATION BUDGET. ITEM NO.4 - DISASTER RECOVERY PLANNING/PURCHASE THE PROJECT WILL IMPLEMENT A DISASTER RECOVERY PLAN FOR THE CITY'S TECHNOLOGY INFRASTRUCTURE, BUYING BACKUP AND FALL OVER SYSTEMS. IMPLEMENTING AND TESTING EMERGENCY RECOVERY SCENARIOS. ITEM NO, 5 - LASER FICHE PHASE II THE PROJECT WILL ALLOW OTHER DEPARTMENTS TO USE THE LASER FICHE AND PURCHASE MORE LICENSES FOR EACH DEPARTMENT WHEN NEEDED. ITEM NO. 6 - UPGRADE CITY VOICE MAIL SYSTEM THE PROJECT WILL REPLACE/UPGRADE THE CITY VOICE MAIL SYSTEM. ENGINEERING DIVISION FISCAL YEAR 2004-2005 Page 1 - information Technology CAPITAL IMPROVEMENT PROGRAM INFORMATION TECHNOLOGY 1 2 3 4 5 6 7 8 9 10 FUNDING PRIOR AVAILABLE ITEM NO. PROJECT NAME & NUMBER FY 04-05 FY 05-06 FY 06-07 FY 07-08 FY 08-09 METHOD YEAR PRIOR YEAR PROJECT COSTS APPROPRIATI I FINANCIAL AND HUMAN RESOURCES SOFTWARE 700,000 (51-16110-0240) (PROJECT ON HOLD) 2 FIBER NETWORK (MFIS) 39,000 50,000 (51-16110-0122) (PROJECT COST $104,000) 3 GIS PHASE I 56,000 50,000 50,000 50,000 (51-13232-0024) (PROJECT COST $209,500) 4 DISASTER RECOVERY PLANNING/PURCHASE 70,400 25,000 25,000 25,000 (51-16110-0242) (PROJECT COST $145,400) 5 LASER FISCHE PHASE II 15,000 15,000 (51-16110-0541 ) (PROJECT COST $30,000) 6 UPGRADE CITY VOICE MAIL SYSTEM 25,000 5,000 (51-16110-0540) (PROJECT COST $50,000) CI 14,000 14,000 SE 25,000 25,000 SE 1,000 1,000 CI 20,000 15,000 RDA 40,000 4O,000 Gl 40,400 40,400 CI CS CI=CAPITALIMPROVEMENTFUNDS DP = DEVELOPER FEES SB = SAN BRUNO SHARE ANIP=AIRCRAFTNOISEINSULATION PROJECT CG=COMMON GREENSFUND GR = GRANTS TIF = TRAFFIC IMPACT FEE SW = STORM WATER FUND B = BONDS SWASTE = SOLID WASTE MA= MEASURE A GT=GASTAX CS=CITYSERVICESFUND GT~N= GATEWAY ASSESSMENT RDA=REDEVELOPMENTAGENCY SE=SEWERENTERPRISEFUND PD = PARKING DISTRICT PROP12=PROPOSITION12GRANTFUNDING g:/cip 04-05/cip-fy 04-05 INFORMATION TECHNOLOGY - PROJECT DESCRIPTIONS ITEM NO. 7 - PERMITTING PROJECT, RESEARCH AND DEVELOPMENT THE PROJECT WILL EVALUATE AND FUND THE PROCESS AND PLATFORM FOR THE PERMIT SYSTEM INFORMATION TO BE INPUTTED FROM THE FIELD USING HAND HELD DEVICES FOR BUILDING INSPECTIONS. ITEM NO. 8 - INTRANET - WEB PROJECT THE PROJECT WILL REDESIGN THE WEBSITE USING VENDOR SOFTWARE FOR USE AND ACCESS BY BOTH CITY AGENCIES AND THE PUBLIC. ITEM NO. 9 - POLICE (~AD/RM~; AND FIRE RM~ UPGRADE UPGRADE THE COMPUTER AIDED DISPATCH AND RECORD MANAGEMENT ENGINEERING DIVISION FISCAL YEAR 2004-2005 Page 2 - Information Technology CAPITAL IMPROVEMENT PROGRAM INFORMATION TECHNOLOGY 1 IITEM NO. PAGE SUBTOTAL 2 3 4 5 6 7 8 9 10 11 PROJECT NAME& NUMBER FY 04-05 FY 05-06 FY 06-07 FY 07-08 FY 08-09 PROJECT COSTS PERMITTING PROJECT, RESEARCH AND DEVELOPMENT (PROJECT COST $ 20,000) INTRANET - WEB PROJECT (51-16110-0542) (PROJECT COST $ 40,000) POLICE CAD/RMS AND FIRE RMS UPGRADE (51-16110-0315) (PROJECT COST $ 531,454) 10,000 10,000 10,000 10,000 10,000 10,000 531,454 FUNDING METHOD CI CI CI CS GR EQ PRIOR AVAILABLE YEAR PRIOR YEAR APPROPRIATI 66,000 66,000 124,295 124,295 190,295 190,295 541,454 20,000 20,000 10,000 0 TOTAL 746,854 865,000 95,000 85,000 0 330,695 325,695 .......... CI = CAPITAL IMPROVEMENT FUNDS DP = DEVELOPER FEES ISB = SAN BRUNO SHARE ICG = COMMON GREENS FUND GR = GENERAL FUND MA = MEASURE A TIF = TRAFFIC IMPACT FEE GT = GAS TAX SW = STORM WATER FUND CS = CITY SERVICES FUND B = BONDS GTW = GATEWAY ASSESSMENT ANIP = AIRCRAFT NOISE INSULATION PROJECT RDA = REDEVELOPMENT AGENCY SE = SEWER ENTERPRISE FUND PD = PARKING DISTRICT PROP 12 = PROPOSITION 12 GRANT FUNDING EQ = EQUIPMENT REPLACEMENT FUND g:/cip 04-05/cip-fy 04-05 AIRCRAFT NOISE INSULATION I. PHASE XVIII m AIRCRAFT NOISE INSULATION PROGRAM ITEM NO. 1 - PHASE XVIII COVERS MULTI-FAMILY UNITS LOCATED IN BURl BURl AND THE CAMARITAS NEIGHBORHOOD. ENGINEERING DIVISION FISCAL YEAR 2004-2005 Page 1 - ANIP CAPITAL IMPROVEMENT PROGRAM AIRCRAFT NOISE INSULATION PROGRAM 1 IITEM NO. 2 3 4 5 6 7 8 9 10 11 PHASE XVIII (28-13240-9890) PROJECT NAME& NUMBER FY 04~05 FY 05-06 FY 06-07 FY 07-08 FY 08-09 PROJECT COSTS 1,187,600 FUNDING PRIOR AVAILABLE ,~!~,!!~!~ METHOD YEAR PRIOR YEAR ~EI~ APPROPRIATION SFIA 1,720,000 1,187,600 TOTAL 1,187,600 0 0 0 0 1,720,000 1,187,600 CI=CAPITALIMPROVEMENTFUNDS DP = DEVELOPER FEES SB = SAN BRUNO SHARE SFIA=SAN FRANCISCOINTERNATIONALAIRPORT GR = GRANTS TIF=TRAFFICIMPACTFEE SW =STORM WATER FUND B=BONDS MA= MEASUREA GT= GASTAX CS=CITYSERVICES FUND GTW = GATEWAY ASSESSMENT RDA=REDEVELOPMENTAGENCY SE=SEWER ENTERPRISE FUND PD=PARKING DISTRICT PROP12=PROPOSITION12GRANTFUNDING g:/cip 04-05/form_cip fy 04-05